Extension of the Prohibition Against Certain Flights in the Baghdad Flight Information Region (FIR) (ORBB), 57384-57390 [2022-20318]
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Federal Register / Vol. 87, No. 181 / Tuesday, September 20, 2022 / Rules and Regulations
of environmental considerations and
take those considerations into account
when making decisions on major
Federal actions that could have
environmental impacts anywhere
beyond the borders of the United States.
The FAA has determined this action is
exempt pursuant to Section 2–5(a)(i) of
Executive Order 12114 because it does
not have the potential for a significant
effect on the environment outside the
United States.
In accordance with FAA Order
1050.1F, Environmental Impacts:
Policies and Procedures, paragraph 8–
6(c), the FAA has prepared a
memorandum for the record stating the
reason(s) for this determination and has
placed it in the docket for this
rulemaking.
VII. Executive Order Determinations
A. Executive Order 13132, Federalism
The FAA has analyzed this rule under
the principles and criteria of Executive
Order 13132. The agency has
determined this action will not have a
substantial direct effect on the States, or
the relationship between the Federal
Government and the States, or on the
distribution of power and
responsibilities among the various
levels of government. Therefore, this
rule will not have federalism
implications.
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B. Executive Order 13211, Regulations
That Significantly Affect Energy Supply,
Distribution, or Use
The FAA analyzed this rule under
Executive Order 13211. The agency has
determined it is not a ‘‘significant
energy action’’ under the executive
order and will not be likely to have a
significant adverse effect on the supply,
distribution, or use of energy.
C. Executive Order 13609, Promoting
International Regulatory Cooperation
Executive Order 13609 promotes
international regulatory cooperation to
meet shared challenges involving
health, safety, labor, security,
environmental, and other issues and to
reduce, eliminate, or prevent
unnecessary differences in regulatory
requirements. The FAA has analyzed
this action under the policies and
agency responsibilities of Executive
Order 13609 and has determined that
this action will have no effect on
international regulatory cooperation.
economic analyses and technical
reports, may be accessed from the
internet through the docket for this
rulemaking.
Those documents may be viewed
online at https://www.regulations.gov
using the docket number listed above. A
copy of this rule will be placed in the
docket. Electronic retrieval help and
guidelines are available on the website.
It is available 24 hours each day, 365
days each year. An electronic copy of
this document may also be downloaded
from the Office of the Federal Register’s
website at https://
www.federalregister.gov and the
Government Publishing Office’s website
at https://www.govinfo.gov. A copy may
also be found at the FAA’s Regulations
and Policies website at https://
www.faa.gov/regulations_policies.
Copies may also be obtained by
sending a request to the Federal
Aviation Administration, Office of
Rulemaking, ARM–1, 800 Independence
Avenue SW, Washington, DC 20591, or
by calling (202) 267–9677. Interested
persons must identify the docket or
amendment number of this rulemaking.
47531, 47534, Pub. L. 114–190, 130 Stat. 615
(49 U.S.C. 44703 note); articles 12 and 29 of
the Convention on International Civil
Aviation (61 Stat. 1180), (126 Stat. 11).
B. Small Business Regulatory
Enforcement Fairness Act
14 CFR Part 91
The Small Business Regulatory
Enforcement Fairness Act of 1996
(SBREFA) (Pub. L. 104–121) (set forth as
a note to 5 U.S.C. 601) requires FAA to
comply with small entity requests for
information or advice about compliance
with statutes and regulations within its
jurisdiction. A small entity with
questions regarding this document may
contact its local FAA official, or the
persons listed under the FOR FURTHER
INFORMATION CONTACT heading at the
beginning of the preamble. To find out
more about SBREFA on the internet,
visit https://www.faa.gov/regulations_
policies/rulemaking/sbre_act/.
List of Subjects in 14 CFR Part 91
Air traffic control, Aircraft, Airmen,
Airports, Aviation safety, Freight, Iran.
The Amendment
In consideration of the foregoing, the
Federal Aviation Administration
amends chapter I of title 14, Code of
Federal Regulations, as follows:
PART 91—GENERAL OPERATING AND
FLIGHT RULES
VIII. Additional Information
1. The authority citation for part 91
continues to read as follows:
A. Electronic Access
Except for classified material, all
documents the FAA considered in
developing this rule, including
Authority: 49 U.S.C. 106(f), 106(g), 40101,
40103, 40105, 40113, 40120, 44101, 44111,
44701, 44704, 44709, 44711, 44712, 44715,
44716, 44717, 44722, 46306, 46315, 46316,
46504, 46506–46507, 47122, 47508, 47528–
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■
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2. Amend § 91.1617 by revising
paragraph (e) to read as follows:
■
§ 91.1617 Special Federal Aviation
Regulation No. 117—Prohibition Against
Certain Flights in the Tehran Flight
Information Region (FIR) (OIIX).
*
*
*
*
*
(e) Expiration. This SFAR will remain
in effect until October 31, 2024. The
FAA may amend, rescind, or extend this
SFAR, as necessary.
Issued in Washington, DC, under the
authority of 49 U.S.C. 106(f) and (g),
40101(d)(1), 40105(b)(1)(A), and 44701(a)(5),
on or about September 19, 2022.
Billy Nolen,
Acting Administrator.
[FR Doc. 2022–20316 Filed 9–19–22; 8:45 am]
BILLING CODE 4910–13–P
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
[Docket No. FAA–2018–0927; Amdt. No. 91–
353B]
RIN 2120–AL76
Extension of the Prohibition Against
Certain Flights in the Baghdad Flight
Information Region (FIR) (ORBB)
Federal Aviation
Administration (FAA), Department of
Transportation (DOT).
ACTION: Final rule.
AGENCY:
SUMMARY: This action extends, for an
additional two years, the prohibition
against certain flight operations in the
Baghdad FIR (ORBB) at altitudes below
Flight Level 320 (FL320) by all: U.S. air
carriers; U.S. commercial operators;
persons exercising the privileges of an
airman certificate issued by the FAA,
except when such persons are operating
U.S.-registered aircraft for a foreign air
carrier; and operators of U.S.-registered
civil aircraft, except when the operator
of such aircraft is a foreign air carrier.
The FAA finds this action necessary to
address continuing hazards to persons
and aircraft engaged in such flight
operations due to the complex security
environment that currently exists in the
Baghdad FIR (ORBB) and the associated
safety-of-flight hazards, as described in
the preamble to this final rule. The FAA
also republishes, with minor
administrative revisions, the approval
process and exemption information for
this Special Federal Aviation Regulation
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(SFAR), consistent with other recently
published flight prohibition SFARs.
DATES: This final rule is effective on
September 20, 2022.
FOR FURTHER INFORMATION CONTACT: Bill
Petrak, Flight Standards Service,
Federal Aviation Administration, 800
Independence Avenue SW, Washington,
DC 20591; telephone 202–267–8166;
email bill.petrak@faa.gov.
SUPPLEMENTARY INFORMATION:
I. Executive Summary
This action extends the expiration
date of SFAR No. 77, title 14 Code of
Federal Regulations (CFR), 91.1605,
from October 26, 2022, until October 26,
2024. SFAR No. 77 prohibits certain
flight operations in the Baghdad FIR
(ORBB) at altitudes below Flight Level
(FL) 320 by all: U.S. air carriers; U.S.
commercial operators; persons
exercising the privileges of an airman
certificate issued by the FAA, except
when such persons are operating U.S.registered aircraft for a foreign air
carrier; and operators of U.S.-registered
civil aircraft, except when the operator
of such aircraft is a foreign air carrier.
Consistent with other recently
published flight prohibition SFARs, this
action also republishes, with minor
administrative revisions, the approval
process and exemption information for
this flight prohibition SFAR.
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II. Authority and Good Cause
A. Authority
The FAA is responsible for the safety
of flight in the U.S. and for the safety
of U.S. civil operators, U.S.-registered
civil aircraft, and U.S.-certificated
airmen throughout the world. Sections
106(f) and (g) of title 49, U.S. Code
(U.S.C.), subtitle I, establish the FAA
Administrator’s authority to issue rules
on aviation safety. Subtitle VII of title
49, Aviation Programs, describes in
more detail the scope of the agency’s
authority. Section 40101(d)(1) provides
that the Administrator shall consider in
the public interest, among other matters,
assigning, maintaining, and enhancing
safety and security as the highest
priorities in air commerce. Section
40105(b)(1)(A) requires the
Administrator to exercise this authority
consistently with the obligations of the
U.S. Government under international
agreements.
The FAA is promulgating this rule
under the authority described in 49
U.S.C. 44701, General requirements.
Under that section, the FAA is charged
broadly with promoting safe flight of
civil aircraft in air commerce by
prescribing, among other things,
regulations and minimum standards for
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practices, methods, and procedures that
the Administrator finds necessary for
safety in air commerce and national
security. This regulation is within the
scope of the FAA’s authority because it
continues to prohibit the persons
described in paragraph (a) of SFAR No.
77, § 91.1605, from conducting flight
operations in the Baghdad FIR (ORBB)
at altitudes below FL320 due to the
continuing hazards to the safety of U.S.
civil flight operations, as described in
the preamble to this final rule.
B. Good Cause for Immediate Adoption
Section 553(b)(B) of title 5, U.S. Code,
authorizes agencies to dispense with
notice and comment procedures for
rules when the agency for ‘‘good cause’’
finds that those procedures are
‘‘impracticable, unnecessary, or contrary
to the public interest.’’ Also, section
553(d) permits agencies, upon a finding
of good cause, to issue rules with an
effective date less than 30 days from the
date of publication. In this instance, the
FAA finds good cause to forgo notice
and comment because notice and
comment would be impracticable and
contrary to the public interest. In
addition, it is contrary to the public
interest to allow this SFAR to expire.
The risk environment for U.S. civil
aviation in airspace managed by other
countries with respect to safety of flight
is fluid in circumstances involving
weapons capable of targeting or
otherwise negatively affecting U.S. civil
aviation, as well as other hazards to U.S.
civil aviation associated with fighting,
extremist and militant activity, or
heightened tensions. This fluidity and
the need for the FAA to rely upon
classified information in assessing these
risks makes providing notice and
opportunity to comment impracticable
and contrary to the public interest. The
potential for rapid changes in the risks
to U.S. civil aviation significantly limits
how far in advance of a new or amended
flight prohibition the FAA can usefully
assess the risk environment.
Furthermore, to the extent that these
rules and any amendments are based
upon classified information, the FAA
cannot share such information with the
general public. As a result, engaging in
notice and comment would be
impracticable.
Additionally, it is crucial that the
FAA’s flight prohibitions, and any
amendments thereto, reflect the
agency’s current understanding of the
risk environment for U.S. civil aviation.
This allows the FAA to protect the
safety of U.S. operators’ aircraft and the
lives of their passengers and crews
without over-restricting U.S. operators’
routing options. The delay that would
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be occasioned by providing an
opportunity to comment on this action
would mean that the resulting final
action would not be based on the latest
information about aviation risk in a
fluid environment.
As described in the preamble to this
rule, extending the flight prohibition for
U.S. civil aviation operations in the
Baghdad FIR (ORBB) at altitudes below
FL320 is necessary due to continuing
safety-of-flight hazards associated with
multiple state and non-state actors
conducting attacks in the Baghdad FIR
(ORBB) in pursuit of various objectives.
These attacks include military activity
by state actors, as well as ongoing
militia and terrorist attacks against the
Government of Iraq and against U.S. and
coalition interests co-located with
civilian airports. Accordingly, the FAA
finds good cause exists to forgo notice
and comment and any delay in the
effective date for this rule.
III. Background
On October 16, 2020, due to the
complex security environment that
existed in Iraq, the FAA published a
final rule amending SFAR No. 77,
§ 91.1605, to prohibit U.S. civil aviation
operations in the Baghdad FIR (ORBB)
at altitudes below FL320.1 Additionally,
given that the security environment in
Iraq remained fluid and tense, the FAA
was concerned about the safety of U.S.
civil aviation operations in the Baghdad
FIR (ORBB) at altitudes at and above
FL320. As a result, NOTAM KICZ
A0036/20, which prohibited U.S. civil
aviation operations in the Baghdad FIR
(ORBB) at all altitudes remained in
effect following publication of the
October 16, 2020 final rule. This
approach maintained flexibility for the
FAA to revisit the all-altitude flight
prohibition as necessary to determine
whether U.S. civil aviation operations
could occur safely in the Baghdad FIR
(ORBB) at altitudes at or above FL320.
The FAA continued to monitor the
security environment in the Baghdad
FIR (ORBB) and associated risks to civil
aviation safety. By October 2021, the
FAA assessed the safety risks to U.S.
civil aviation in the Baghdad FIR
(ORBB) at altitudes at or above FL320
had diminished sufficiently that U.S.
civil aviation could safely resume
operations at those altitudes. Since the
FAA issued NOTAM KICZ A0036/20 in
March 2020, there had been no known
1 See Prohibition Against Certain Flights in the
Baghdad Flight Information Region (FIR) (ORBB)
final rule, 85 FR 65686, Oct. 16, 2020, for an indepth discussion of the security environment in the
Baghdad FIR (ORBB) at that time and the FAA’s
analysis of the associated risks to U.S. civil aviation
operations.
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threats or attempted attacks against
aircraft operating at altitudes at or above
FL320. Although ground-based attacks
against U.S. and coalition forces in Iraq
continued, and incidents involving
weaponized unmanned aircraft systems
(UAS) had risen significantly, those
attacks posed no direct threat to civil
aircraft overflying the Baghdad FIR
(ORBB) at altitudes at or above FL320.
Therefore, on October 22, 2021, the FAA
rescinded NOTAM KICZ A0036/20.
SFAR No. 77, 14 CFR 91.1605, remained
in effect and continued to prohibit U.S.
civil aviation operations in the Baghdad
FIR (ORBB) at altitudes below FL320
due to the continued unacceptable risk
to the safety of U.S. civil aviation
operations at those altitudes.
IV. Discussion of the Final Rule
The FAA continues to assess the
situation in the Baghdad FIR (ORBB) at
altitudes below FL320 as presenting an
unacceptable risk to the safety of U.S.
civil aviation. Iranian-aligned militia
groups (IAMGs) publicly threatened to
attack coalition forces remaining in Iraq
after December 31, 2020, and continue
to demonstrate their capability and
intent to attack U.S. and international
interests in Iraq, as well as selected Iraqi
government targets. On November 7,
2021, militants conducted a weaponized
UAS attack against Iraqi Prime Minister
Mustafa al-Kadhimi’s residence in
Baghdad. In January 2022, IAMGs
conducted a series of attempted attacks
that were likely intended to
commemorate the second anniversary of
the deaths of Iranian Revolutionary
Guard Corps (IRGC) Quds Forces
Commander Qassem Soleimani and
Iraqi Popular Mobilization Units Deputy
Head Abu Mahdi al-Muhandis in a U.S.
airstrike in January 2020. On January 3,
2022, IAMGs attempted to attack U.S.
interests co-located with Baghdad
International Airport (ORBI) with two
weaponized UAS. Defensive counterrocket, artillery, and mortar (C–RAM)
systems thwarted the attack, with no
reported casualties or damage. On
January 4, 2022, militants
unsuccessfully attempted an attack with
two weaponized UAS against Ayn Al
Asad Air Base (ORAA). On January 5,
2022, indirect rocket fire impacted the
runway at Baghdad International
Airport (ORBI) but did not cause any
casualties.
IAMGs have access to UAS and antiaircraft capable weapons systems,
including the Iranian-produced 358
loitering hybrid surface-to-air missile
(SAM)/UAS system, which present
inadvertent risks to the safety of U.S.
civil aviation operations in the Baghdad
FIR (ORBB) at altitudes below FL320
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and at potentially targeted airports.
IAMGs likely lack the ability to conduct
effective target identification and
airspace de-confliction, increasing the
risk of an accidental shoot down of a
civil aircraft due to misidentification or
misperception.
In addition, the FAA remains
concerned about cross-border military
activity. Both Iran and Turkey have
previously conducted various no-notice,
cross-border operations striking targets
in northern Iraq using a variety of
weapons, including short-range ballistic
missiles, rockets, and weaponized UAS.
In a recent example, on March 12, 2022,
up to twelve Fateh-110 surface-tosurface ballistic missiles launched from
western Iran and impacted near the
construction site of the new U.S.
consulate in Erbil, Iraq, and Erbil
International Airport (ORER). Iranian
officials claimed responsibility for the
ballistic missile attack, allegedly carried
out in response to the loss of two IRGC
officials in an alleged third-party
airstrike in Syria. The missile attack
damaged surrounding buildings, but
there were no reported casualties,
according to the Kurdish Interior
Ministry. The assessed points of impact
were approximately 14km east/
northeast of Erbil International Airport
(ORER), based on available open-source
reporting.
While this attack did not pose a direct
threat to the airport, the missile
trajectories possibly presented an
inadvertent risk to aircraft in flight that
might have been operating at low
altitude in the vicinity of Erbil
International Airport (ORER) during the
time of the attack. In general,
unannounced third-party cross-border
operations in the Baghdad FIR (ORBB)
present a low altitude safety-of-flight
risk for aircraft flying in the vicinity of
the targeted location(s) and for aircraft
on the ground at airports co-located
with, or in close proximity to, the
intended targets. These activities also
pose an airspace de-confliction
challenge. Additionally, there continues
to be an inadvertent risk to civil aviation
operations in the Baghdad FIR (ORBB)
from global positioning system (GPS)
jammers.
Therefore, as a result of the
significant, continuing risks to the safety
of U.S. civil aviation operations in the
Baghdad FIR (ORBB) at altitudes below
FL320, the FAA extends the expiration
date of SFAR No. 77, § 91.1605, from
October 26, 2022, until October 26,
2024.
Further amendments to SFAR No. 77,
§ 91.1605, might be appropriate if the
risk to U.S. civil aviation safety and
security changes. In this regard, the
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FAA will continue to monitor the
situation and evaluate the extent to
which persons described in paragraph
(a) of this rule might be able to operate
safely in the Baghdad FIR (ORBB) at
altitudes below FL320.
The FAA also republishes the details
concerning the approval and exemption
processes in Sections V and VI of this
preamble, consistent with other recently
published flight prohibition SFARs, to
enable interested persons to refer to this
final rule for comprehensive
information about requesting relief from
the FAA from the provisions of SFAR
No. 77, § 91.1605.
V. Approval Process Based on a
Request From a Department, Agency, or
Instrumentality of the United States
Government
A. Approval Process Based on an
Authorization Request From a
Department, Agency, or Instrumentality
of the United States Government
In some instances, U.S. Government
departments, agencies, or
instrumentalities may need to engage
U.S. civil aviation to support their
activities in the Baghdad FIR (ORBB) at
altitudes below FL320. If a department,
agency, or instrumentality of the U.S.
Government determines that it has a
critical need to engage any person
described in paragraph (a) of SFAR No.
77, § 91.1605, including a U.S. air
carrier or commercial operator, to
transport civilian or military passengers
or cargo or conduct other operations in
the Baghdad FIR (ORBB) at altitudes
below FL320, that department, agency,
or instrumentality may request the FAA
to approve persons described in
paragraph (a) of SFAR No. 77, § 91.1605,
to conduct such operations.
The requesting U.S. Government
department, agency, or instrumentality
must submit the request for approval to
the FAA’s Associate Administrator for
Aviation Safety in a letter signed by an
appropriate senior official of the
requesting department, agency, or
instrumentality.2 The FAA will not
accept or consider requests for approval
from anyone other than the requesting
U.S. Government department, agency, or
instrumentality. In addition, the senior
official signing the letter requesting
FAA approval must be sufficiently
2 This approval procedure applies to U.S.
Government departments, agencies, or
instrumentalities; it does not apply to the public.
The FAA describes this procedure in the interest of
providing transparency with respect to the FAA’s
process for interacting with U.S. Government
departments, agencies, or instrumentalities that
seek to engage U.S. civil aviation to operate in the
area in which this SFAR would prohibit their
operations in the absence of specific FAA approval.
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positioned within the requesting
department, agency, or instrumentality
to demonstrate that the organization’s
senior leadership supports the request
for approval and is committed to taking
all necessary steps to minimize aviation
safety and security risks to the proposed
flights. The senior official must also be
in a position to: (1) attest to the accuracy
of all representations made to the FAA
in the request for approval, and (2)
ensure that any support from the
requesting U.S. Government
department, agency, or instrumentality
described in the request for approval is
in fact brought to bear and is maintained
over time. Unless justified by exigent
circumstances, requesting U.S.
Government departments, agencies, or
instrumentalities must submit requests
for approval to the FAA no less than 30
calendar days before the date on which
the requesting department, agency, or
instrumentality wishes the operator(s) to
commence the proposed operation(s).
The requestor must send the request
to the Associate Administrator for
Aviation Safety, Federal Aviation
Administration, 800 Independence
Avenue SW, Washington, DC 20591.
Electronic submissions are acceptable,
and the requesting entity may request
that the FAA notify it electronically as
to whether the FAA grants the request
for approval. If a requestor wishes to
make an electronic submission to the
FAA, the requestor should contact the
Air Transportation Division, Flight
Standards Service, at (202) 267–8166, to
obtain the appropriate email address. A
single letter may request approval from
the FAA for multiple persons described
in SFAR No. 77, § 91.1605, or for
multiple flight operations. To the extent
known, the letter must identify the
person(s) the requester expects the
SFAR to cover on whose behalf the U.S.
Government department, agency, or
instrumentality seeks FAA approval,
and it must describe—
• The proposed operation(s),
including the nature of the mission
being supported;
• The service the person(s) covered
by the SFAR will provide;
• To the extent known, the specific
locations in the Baghdad FIR (ORBB) at
altitudes below FL320 where the
proposed operation(s) will occur,
including, but not limited to, the flight
path and altitude of the aircraft while it
is operating in the Baghdad FIR (ORBB)
at altitudes below FL320 and the
airports, airfields, or landing zones at
which the aircraft will take off and land;
and
• The method by which the
requesting department, agency, or
instrumentality will provide, or how the
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operator will otherwise obtain, current
threat information and an explanation of
how the operator will integrate this
information into all phases of the
proposed operations (i.e., the premission planning and briefing, in-flight,
and post-flight phases).
The request for approval must also
include a list of operators with whom
the U.S. Government department,
agency, or instrumentality requesting
FAA approval has a current contract(s),
grant(s), or cooperative agreement(s) (or
its prime contractor has a
subcontract(s)) for specific flight
operations in the Baghdad FIR (ORBB)
at altitudes below FL320. The requestor
may identify additional operators to the
FAA at any time after the FAA issues its
approval. Neither the operators listed in
the original request, nor any operators
the requestor subsequently seeks to add
to the approval, may commence
operations under the approval until the
FAA issues them an Operations
Specification (OpSpec) or Letter of
Authorization (LOA), as appropriate, for
operations in the Baghdad FIR (ORBB)
at altitudes below FL320. The approval
conditions discussed below apply to all
operators. Requestors should send
updated lists to the email address they
obtain from the Air Transportation
Division by calling (202) 267–8166.
If an approval request includes
classified information, requestors may
contact Aviation Safety Inspector Bill
Petrak for instructions on submitting it
to the FAA. His contact information
appears in the FOR FURTHER INFORMATION
CONTACT section of this final rule.
FAA approval of an operation under
SFAR No. 77, § 91.1605, does not relieve
persons subject to this SFAR of the
responsibility to comply with all other
applicable FAA rules and regulations.
Operators of civil aircraft must comply
with the conditions of their certificates,
OpSpecs, and LOAs, as applicable.
Operators must also comply with all
rules and regulations of other U.S.
Government departments, agencies, or
instrumentalities that may apply to the
proposed operation(s), including, but
not limited to, regulations issued by the
Transportation Security Administration.
B. Approval Conditions
If the FAA approves the request, the
FAA’s Aviation Safety organization will
send an approval letter to the requesting
U.S. Government department, agency, or
instrumentality informing it that the
FAA’s approval is subject to all of the
following conditions:
(1) The approval will stipulate those
procedures and conditions that limit, to
the greatest degree possible, the risk to
the operator, while still allowing the
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57387
operator to achieve its operational
objectives.
(2) Before any approval takes effect,
the operator must submit to the FAA:
(a) A written release of the U.S.
Government from all damages, claims,
and liabilities, including without
limitation legal fees and expenses,
relating to any event arising out of or
related to the approved operations in
the Baghdad FIR (ORBB) at altitudes
below FL320; and
(b) The operator’s written agreement
to indemnify the U.S. Government with
respect to any and all third-party
damages, claims, and liabilities,
including without limitation legal fees
and expenses, relating to any event
arising out of or related to the approved
operations in the Baghdad FIR (ORBB)
at altitudes below FL320.
(3) Other conditions the FAA may
specify, including those the FAA might
impose in OpSpecs or LOAs, as
applicable.
The release and agreement to
indemnify do not preclude an operator
from raising a claim under an applicable
non-premium war risk insurance policy
the FAA issues under chapter 443 of
title 49, U.S. Code.
If the FAA approves the proposed
operation(s), the FAA will issue an
OpSpec or LOA, as applicable, to the
operator(s) identified in the original
request and any operators the requestor
subsequently adds to the approval,
authorizing them to conduct the
approved operation(s). In addition, as
stated in paragraph (3) of this section
V.B., the FAA notes that it may include
additional conditions beyond those
contained in the approval letter in any
OpSpec or LOA associated with a
particular operator operating under this
approval, as necessary in the interests of
aviation safety. U.S. Government
departments, agencies, and
instrumentalities requesting FAA
approval on behalf of entities with
which they have a contract or
subcontract, grant, or cooperative
agreement should request a copy of the
relevant OpSpec or LOA directly from
the entity with which they have any of
the foregoing types of arrangements, if
desired.
VI. Information Regarding Petitions for
Exemption
Any operations not conducted under
an approval the FAA issues through the
approval process set forth previously
may only occur in accordance with an
exemption from SFAR No. 77,
§ 91.1605. A petition for exemption
must comply with 14 CFR part 11. The
FAA will consider whether exceptional
circumstances exist beyond those
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described in the approval process in the
previous section. To determine whether
a petition for exemption from the
prohibition this SFAR establishes
fulfills the standard of 14 CFR 11.81, the
FAA consistently finds necessary the
following information:
• The proposed operation(s),
including the nature of the operation;
• The service the person(s) covered
by the SFAR will provide;
• The specific locations in the
Baghdad FIR (ORBB) at altitudes below
FL320 where the proposed operation(s)
will occur, including, but not limited to,
the flight path and altitude of the
aircraft while it is operating in the
Baghdad FIR (ORBB) at altitudes below
FL320 and the airports, airfields, or
landing zones at which the aircraft will
take off and land;
• The method by which the operator
will obtain current threat information
and an explanation of how the operator
will integrate this information into all
phases of its proposed operations (i.e.,
the pre-mission planning and briefing,
in-flight, and post-flight phases); and
• The plans and procedures the
operator will use to minimize the risks
identified in this preamble to the
proposed operations, to support the
relief sought and demonstrate that
granting such relief would not adversely
affect safety or would provide a level of
safety at least equal to that provided by
this SFAR. The FAA has found
comprehensive, organized plans and
procedures of this nature to be helpful
in facilitating the agency’s safety
evaluation of petitions for exemption
from flight prohibition SFARs.
The FAA includes, as a condition of
each such exemption it issues, a release
and agreement to indemnify, as
described previously.
The FAA recognizes that, with the
support of the U.S. Government, the
governments of other countries could
plan operations that may be affected by
SFAR No. 77, § 91.1605. While the FAA
will not permit these operations through
the approval process, the FAA will
consider exemption requests for such
operations on an expedited basis and in
accordance with the order of preference
set forth in paragraph (c) of SFAR No.
77, § 91.1605.
If a petition for exemption includes
information that is sensitive for security
reasons or proprietary information,
requestors may contact Aviation Safety
Inspector Bill Petrak for instructions on
submitting it to the FAA. His contact
information is listed in the FOR FURTHER
INFORMATION CONTACT section of this
final rule.
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VII. Regulatory Notices and Analyses
Federal agencies consider impacts of
regulatory actions under a variety of
executive orders and other
requirements. First, Executive Orders
12866 and 13563 direct that each
Federal agency shall propose or adopt a
regulation only upon a reasoned
determination that the benefits of the
intended regulation justify its costs.
Second, the Regulatory Flexibility Act
of 1980 (Pub. L. 96–354), as codified in
5 U.S.C. 603 et seq., requires agencies to
analyze the economic impact of
regulatory changes on small entities.
Third, the Trade Agreements Act of
1979 (Pub. L. 96–39), as codified in 19
U.S.C. Chapter 13, prohibits agencies
from setting standards that create
unnecessary obstacles to the foreign
commerce of the United States. In
developing U.S. standards, the Trade
Agreements Act requires agencies to
consider international standards and,
where appropriate, that they be the basis
of U.S. standards. Fourth, the Unfunded
Mandates Reform Act of 1995 (Pub. L.
104–4), as codified in 2 U.S.C. Chapter
25, requires agencies to prepare a
written assessment of the costs, benefits,
and other effects of proposed or final
rules that include a Federal mandate
likely to result in the expenditure by
State, local, or tribal governments, in the
aggregate, or by the private sector, of
$100 million or more annually (adjusted
for inflation with base year of 1995).
This portion of the preamble
summarizes the FAA’s analysis of the
economic impacts of this final rule.
In conducting these analyses, the FAA
has determined this final rule has
benefits that justify its costs. This rule
is a significant regulatory action, as
defined in section 3(f) of Executive
Order 12866, as it raises novel policy
issues contemplated under that
Executive order. As 5 U.S.C. 553 does
not require notice and comment for this
final rule, 5 U.S.C. 603 and 604 do not
require regulatory flexibility analyses
regarding impacts on small entities.
This rule will not create unnecessary
obstacles to the foreign commerce of the
United States. This rule will not impose
an unfunded mandate on State, local, or
tribal governments, or on the private
sector, by exceeding the threshold
identified previously.
A. Regulatory Evaluation
This rule prohibits U.S. civil flights in
the Baghdad FIR (ORBB) at altitudes
below FL320, due to the significant,
continuing hazards to U.S. civil aviation
detailed in the preamble of this final
rule. This action also extends the
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expiration date of this rule for an
additional two years.
The FAA acknowledges this flight
prohibition might result in additional
costs to some U.S. operators, such as
increased fuel costs and other
operational-related costs. However, the
FAA expects the benefits of this action
exceed the costs because it will result in
the avoidance of risks of fatalities,
injuries, and property damage that
could occur if a U.S. operator’s aircraft
were shot down (or otherwise damaged)
while operating in the Baghdad FIR
(ORBB) at altitudes below FL320.
B. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA),
in 5 U.S.C. 603, requires an agency to
prepare an initial regulatory flexibility
analysis describing impacts on small
entities whenever 5 U.S.C. 553 or any
other law requires an agency to publish
a general notice of proposed rulemaking
for any proposed rule. Similarly, 5
U.S.C. 604 requires an agency to prepare
a final regulatory flexibility analysis
when an agency issues a final rule
under 5 U.S.C. 553 after that section or
any other law requires publication of a
general notice of proposed rulemaking.
The FAA concludes good cause exists to
forgo notice and comment and to not
delay the effective date for this rule. As
5 U.S.C. 553 does not require notice and
comment in this situation, 5 U.S.C. 603
and 604 similarly do not require
regulatory flexibility analyses.
C. International Trade Impact
Assessment
The Trade Agreements Act of 1979
(Pub. L. 96–39) prohibits Federal
agencies from establishing standards or
engaging in related activities that create
unnecessary obstacles to the foreign
commerce of the United States.
Pursuant to this Act, the establishment
of standards is not considered an
unnecessary obstacle to the foreign
commerce of the United States, so long
as the standard has a legitimate
domestic objective, such as the
protection of safety, and does not
operate in a manner that excludes
imports that meet this objective. The
statute also requires consideration of
international standards and, where
appropriate, that they be the basis for
U.S. standards.
The FAA has assessed the potential
effect of this final rule and determined
that its purpose is to protect the safety
of U.S. civil aviation from risks to their
operations in the Baghdad FIR (ORBB)
at altitudes below FL320, a location
outside the U.S. Therefore, the rule
complies with the Trade Agreements
Act of 1979.
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Federal Register / Vol. 87, No. 181 / Tuesday, September 20, 2022 / Rules and Regulations
D. Unfunded Mandates Assessment
Title II of the Unfunded Mandates
Reform Act of 1995 (Pub. L. 104–4)
requires each Federal agency to prepare
a written statement assessing the effects
of any Federal mandate in a proposed or
final agency rule that may result in an
expenditure of $100 million or more (in
1995 dollars) in any one year by State,
local, and tribal governments, in the
aggregate, or by the private sector; such
a mandate is deemed to be a ‘‘significant
regulatory action.’’ The FAA currently
uses an inflation-adjusted value of $155
million in lieu of $100 million.
This final rule does not contain such
a mandate. Therefore, the requirements
of Title II of the Act do not apply.
E. Paperwork Reduction Act
The Paperwork Reduction Act of 1995
(44 U.S.C. 3507(d)) requires the FAA to
consider the impact of paperwork and
other information collection burdens it
imposes on the public. The FAA has
determined no new requirement for
information collection is associated
with this final rule.
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F. International Compatibility and
Cooperation
In keeping with U.S. obligations
under the Convention on International
Civil Aviation, the FAA’s policy is to
conform to International Civil Aviation
Organization (ICAO) Standards and
Recommended Practices to the
maximum extent practicable. The FAA
has determined no ICAO Standards and
Recommended Practices correspond to
this regulation. The FAA finds this
action is fully consistent with the
obligations under 49 U.S.C.
40105(b)(1)(A) to ensure the FAA
exercises its duties consistently with the
obligations of the United States under
international agreements.
While the FAA’s flight prohibition
does not apply to foreign air carriers,
DOT codeshare authorizations prohibit
foreign air carriers from carrying a U.S.
codeshare partner’s code on a flight
segment that operates in airspace for
which the FAA has issued a flight
prohibition for U.S. civil aviation. In
addition, foreign air carriers and other
foreign operators may choose to avoid,
or be advised or directed by their civil
aviation authorities to avoid, airspace
for which the FAA has issued a flight
prohibition for U.S. civil aviation.
G. Environmental Analysis
The FAA has analyzed this action
under Executive Order 12114,
Environmental Effects Abroad of Major
Federal Actions, and DOT Order
5610.1C, Paragraph 16. Executive Order
12114 requires the FAA to be informed
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16:25 Sep 19, 2022
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of environmental considerations and
take those considerations into account
when making decisions on major
Federal actions that could have
environmental impacts anywhere
beyond the borders of the United States.
The FAA has determined this action is
exempt pursuant to Section 2–5(a)(i) of
Executive Order 12114 because it does
not have the potential for a significant
effect on the environment outside the
United States.
In accordance with FAA Order
1050.1F, Environmental Impacts:
Policies and Procedures, paragraph
8–6(c), the FAA has prepared a
memorandum for the record stating the
reason(s) for this determination and has
placed it in the docket for this
rulemaking.
VIII. Executive Order Determinations
A. Executive Order 13132, Federalism
The FAA has analyzed this rule under
the principles and criteria of Executive
Order 13132. The agency has
determined this action will not have a
substantial direct effect on the States, or
the relationship between the Federal
Government and the States, or on the
distribution of power and
responsibilities among the various
levels of government. Therefore, this
rule will not have federalism
implications.
B. Executive Order 13211, Regulations
That Significantly Affect Energy Supply,
Distribution, or Use
The FAA analyzed this rule under
Executive Order 13211. The agency has
determined it is not a ‘‘significant
energy action’’ under the executive
order and will not be likely to have a
significant adverse effect on the supply,
distribution, or use of energy.
C. Executive Order 13609, Promoting
International Regulatory Cooperation
Executive Order 13609 promotes
international regulatory cooperation to
meet shared challenges involving
health, safety, labor, security,
environmental, and other issues and to
reduce, eliminate, or prevent
unnecessary differences in regulatory
requirements. The FAA has analyzed
this action under the policies and
agency responsibilities of Executive
Order 13609 and has determined that
this action will have no effect on
international regulatory cooperation.
57389
economic analyses and technical
reports, may be accessed from the
internet through the docket for this
rulemaking.
Those documents may be viewed
online at https://www.regulations.gov
using the docket number listed above. A
copy of this rule will be placed in the
docket. Electronic retrieval help and
guidelines are available on the website.
It is available 24 hours each day, 365
days each year. An electronic copy of
this document may also be downloaded
from the Office of the Federal Register’s
website at https://
www.federalregister.gov and the
Government Publishing Office’s website
at https://www.govinfo.gov. A copy may
also be found at the FAA’s Regulations
and Policies website at https://
www.faa.gov/regulations_policies.
Copies may also be obtained by
sending a request to the Federal
Aviation Administration, Office of
Rulemaking, ARM–1, 800 Independence
Avenue SW, Washington, DC 20591, or
by calling (202) 267–9677. Interested
persons must identify the docket or
amendment number of this rulemaking.
B. Small Business Regulatory
Enforcement Fairness Act
The Small Business Regulatory
Enforcement Fairness Act of 1996
(SBREFA) (Pub. L. 104–121) (set forth as
a note to 5 U.S.C. 601) requires FAA to
comply with small entity requests for
information or advice about compliance
with statutes and regulations within its
jurisdiction. A small entity with
questions regarding this document may
contact its local FAA official, or the
persons listed under the FOR FURTHER
INFORMATION CONTACT heading at the
beginning of the preamble. To find out
more about SBREFA on the internet,
visit https://www.faa.gov/regulations_
policies/rulemaking/sbre_act/.
List of Subjects in 14 CFR Part 91
Air traffic control, Aircraft, Airmen,
Airports, Aviation safety, Freight, Iraq.
The Amendment
In consideration of the foregoing, the
Federal Aviation Administration
amends chapter I of title 14, Code of
Federal Regulations, as follows:
PART 91—GENERAL OPERATING AND
FLIGHT RULES
IX. Additional Information
1. The authority citation for part 91
continues to read as follows:
A. Electronic Access
Except for classified material, all
documents the FAA considered in
developing this rule, including
Authority: 49 U.S.C. 106(f), 106(g), 40101,
40103, 40105, 40113, 40120, 44101, 44111,
44701, 44704, 44709, 44711, 44712, 44715,
44716, 44717, 44722, 46306, 46315, 46316,
46504, 46506–46507, 47122, 47508, 47528–
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■
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Federal Register / Vol. 87, No. 181 / Tuesday, September 20, 2022 / Rules and Regulations
47531, 47534, Pub. L. 114–190, 130 Stat. 615
(49 U.S.C. 44703 note); articles 12 and 29 of
the Convention on International Civil
Aviation (61 Stat. 1180), (126 Stat. 11).
2. Amend § 91.1605 by revising
paragraph (e) to read as follows:
■
§ 91.1605 Special Federal Aviation
Regulation No. 77—Prohibition Against
Certain Flights in the Baghdad Flight
Information Region (FIR) (ORBB).
*
*
*
*
*
(e) Expiration. This SFAR will remain
in effect until October 26, 2024. The
FAA may amend, rescind, or extend this
SFAR, as necessary.
Issued in Washington, DC, under the
authority of 49 U.S.C. 106(f) and (g),
40101(d)(1), 40105(b)(1)(A), and 44701(a)(5),
on or about September 22, 2022.
Billy Nolen,
Acting Administrator.
[FR Doc. 2022–20318 Filed 9–19–22; 8:45 am]
BILLING CODE 4910–13–P
CONSUMER PRODUCT SAFETY
COMMISSION
16 CFR Part 1223
[Docket No. CPSC–2013–0025]
Safety Standard for Infant Swings
Consumer Product Safety
Commission.
ACTION: Direct final rule.
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AGENCY:
SUMMARY: In November 2012, the U.S.
Consumer Product Safety Commission
(CPSC) published a consumer product
safety standard for infant swings with
modifications to make the standard
more stringent under section 104 of the
Consumer Product Safety Improvement
Act of 2008 (CPSIA). The standard
incorporated by reference the 2012
voluntary standard for infant swings
that was in effect at the time. The CPSIA
sets forth a process for updating
mandatory standards for durable infant
or toddler products that are based on a
voluntary standard when the voluntary
standards organization revises the
standard, unless the Commission
determines the revision does not
improve the safety of the consumer
product. Consistent with the CPSIA’s
update process, the Commission issued
direct final rules in June 2013, January
2021, and October 2021, each time to
update the incorporation by reference
for the mandatory standard to reflect
ASTM’s revision of the voluntary
standard. In May 2022, ASTM approved
another revision to the voluntary
standard for infant swings, ASTM
F2088–22. ASTM notified CPSC of this
revision on July 5, 2022. Consistent with
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16:25 Sep 19, 2022
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the CPSIA’s process for updating
mandatory standards for durable infant
or toddler products that are based on a
voluntary standard, when the voluntary
standards organization revises the
standard, this direct final rule updates
the mandatory standard for infant
swings to incorporate by reference
ASTM’s 2022 version of the voluntary
standard.
DATES: The rule is effective on January
1, 2023, unless CPSC receives a
significant adverse comment by October
20, 2022. If CPSC receives such a
comment, it will publish a document in
the Federal Register, withdrawing this
direct final rule before its effective date.
The incorporation by reference of the
publication listed in this rule is
approved by the Director of the Federal
Register as of January 1, 2023.
ADDRESSES: You can submit comments,
identified by Docket No. CPSC–2013–
0025, by any of the following methods:
Electronic Submissions: Submit
electronic comments to the Federal
eRulemaking Portal at:
www.regulations.gov. Follow the
instructions for submitting comments.
CPSC typically does not accept
comments submitted by electronic mail
(email), except as described below.
CPSC encourages you to submit
electronic comments by using the
Federal eRulemaking Portal.
Mail/Hand Delivery/Courier Written
Submissions: Submit comments by mail,
hand delivery, or courier to: Office of
the Secretary, Consumer Product Safety
Commission, 4330 East West Highway,
Bethesda, MD 20814; telephone (301)
504–7479. If you wish to submit
confidential business information, trade
secret information, or other sensitive or
protected information that you do not
want to be available to the public, you
may submit such comments by mail,
hand delivery, or courier, or you may
email them to: cpsc-os@cpsc.gov.
Instructions: All submissions must
include the agency name and docket
number. CPSC may post all comments
without change, including any personal
identifiers, contact information, or other
personal information provided, to:
https://www.regulations.gov. Do not
submit through this website:
confidential business information, trade
secret information, or other sensitive or
protected information that you do not
want to be available to the public. If you
wish to submit such information, please
submit it according to the instructions
for mail/hand delivery/courier/
confidential written submissions.
Docket: For access to the docket to
read background documents or
comments received, go to: https://
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www.regulations.gov, and insert the
docket number, CPSC–2013–0025, into
the ‘‘Search’’ box, and follow the
prompts.
FOR FURTHER INFORMATION CONTACT:
Carlos Torres, Project Manager, Division
of Mechanical and Combustion
Engineering, U.S. Consumer Product
Safety Commission, 5 Research Place,
Rockville, MD 20850; telephone: (301)
987–2504; email: ctorres@cpsc.gov.
SUPPLEMENTARY INFORMATION:
A. Background
1. Statutory Authority
Section 104(b)(1) of the CPSIA
requires the Commission to assess the
effectiveness of voluntary standards for
durable infant or toddler products and
to adopt mandatory standards for these
products. 15 U.S.C. 2056a(b)(1). A
mandatory standard must be
‘‘substantially the same as’’ the
corresponding voluntary standard, or it
may be ‘‘more stringent than’’ the
voluntary standard, if the Commission
determines that more stringent
requirements would further reduce the
risk of injury associated with the
product. Id.
Section 104(b)(4)(B) of the CPSIA
specifies a process for updating the
Commission’s rules when a voluntary
standards organization revises a
standard that the Commission
previously incorporated by reference
under section 104(b)(1). First, the
voluntary standards organization must
notify the Commission of the revision.
Once the Commission receives this
notification, the Commission may reject
or accept the revised standard. The
Commission may reject the revised
standard by notifying the voluntary
standards organization, within 90 days
of receiving notice of the revision, that
it has determined that the revised
standard does not improve the safety of
the consumer product and that it is
retaining the existing standard. If the
Commission does not take this action to
reject the revised standard, the revised
voluntary standard will be considered a
consumer product safety standard
issued under section 9 of the Consumer
Product Safety Act (15 U.S.C. 2058),
effective 180 days after the Commission
received notification of the revision or
on a later date specified by the
Commission in the Federal Register. 15
U.S.C. 2056a(b)(4)(B).
2. Safety Standard for Infant Swings
Under section 104(b)(1) of the CPSIA,
the Commission adopted a mandatory
rule for infant swings, codified in 16
CFR part 1223. The rule incorporated by
reference ASTM F2088–12a, Standard
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Agencies
[Federal Register Volume 87, Number 181 (Tuesday, September 20, 2022)]
[Rules and Regulations]
[Pages 57384-57390]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2022-20318]
-----------------------------------------------------------------------
DEPARTMENT OF TRANSPORTATION
Federal Aviation Administration
14 CFR Part 91
[Docket No. FAA-2018-0927; Amdt. No. 91-353B]
RIN 2120-AL76
Extension of the Prohibition Against Certain Flights in the
Baghdad Flight Information Region (FIR) (ORBB)
AGENCY: Federal Aviation Administration (FAA), Department of
Transportation (DOT).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: This action extends, for an additional two years, the
prohibition against certain flight operations in the Baghdad FIR (ORBB)
at altitudes below Flight Level 320 (FL320) by all: U.S. air carriers;
U.S. commercial operators; persons exercising the privileges of an
airman certificate issued by the FAA, except when such persons are
operating U.S.-registered aircraft for a foreign air carrier; and
operators of U.S.-registered civil aircraft, except when the operator
of such aircraft is a foreign air carrier. The FAA finds this action
necessary to address continuing hazards to persons and aircraft engaged
in such flight operations due to the complex security environment that
currently exists in the Baghdad FIR (ORBB) and the associated safety-
of-flight hazards, as described in the preamble to this final rule. The
FAA also republishes, with minor administrative revisions, the approval
process and exemption information for this Special Federal Aviation
Regulation
[[Page 57385]]
(SFAR), consistent with other recently published flight prohibition
SFARs.
DATES: This final rule is effective on September 20, 2022.
FOR FURTHER INFORMATION CONTACT: Bill Petrak, Flight Standards Service,
Federal Aviation Administration, 800 Independence Avenue SW,
Washington, DC 20591; telephone 202-267-8166; email
[email protected].
SUPPLEMENTARY INFORMATION:
I. Executive Summary
This action extends the expiration date of SFAR No. 77, title 14
Code of Federal Regulations (CFR), 91.1605, from October 26, 2022,
until October 26, 2024. SFAR No. 77 prohibits certain flight operations
in the Baghdad FIR (ORBB) at altitudes below Flight Level (FL) 320 by
all: U.S. air carriers; U.S. commercial operators; persons exercising
the privileges of an airman certificate issued by the FAA, except when
such persons are operating U.S.-registered aircraft for a foreign air
carrier; and operators of U.S.-registered civil aircraft, except when
the operator of such aircraft is a foreign air carrier. Consistent with
other recently published flight prohibition SFARs, this action also
republishes, with minor administrative revisions, the approval process
and exemption information for this flight prohibition SFAR.
II. Authority and Good Cause
A. Authority
The FAA is responsible for the safety of flight in the U.S. and for
the safety of U.S. civil operators, U.S.-registered civil aircraft, and
U.S.-certificated airmen throughout the world. Sections 106(f) and (g)
of title 49, U.S. Code (U.S.C.), subtitle I, establish the FAA
Administrator's authority to issue rules on aviation safety. Subtitle
VII of title 49, Aviation Programs, describes in more detail the scope
of the agency's authority. Section 40101(d)(1) provides that the
Administrator shall consider in the public interest, among other
matters, assigning, maintaining, and enhancing safety and security as
the highest priorities in air commerce. Section 40105(b)(1)(A) requires
the Administrator to exercise this authority consistently with the
obligations of the U.S. Government under international agreements.
The FAA is promulgating this rule under the authority described in
49 U.S.C. 44701, General requirements. Under that section, the FAA is
charged broadly with promoting safe flight of civil aircraft in air
commerce by prescribing, among other things, regulations and minimum
standards for practices, methods, and procedures that the Administrator
finds necessary for safety in air commerce and national security. This
regulation is within the scope of the FAA's authority because it
continues to prohibit the persons described in paragraph (a) of SFAR
No. 77, Sec. 91.1605, from conducting flight operations in the Baghdad
FIR (ORBB) at altitudes below FL320 due to the continuing hazards to
the safety of U.S. civil flight operations, as described in the
preamble to this final rule.
B. Good Cause for Immediate Adoption
Section 553(b)(B) of title 5, U.S. Code, authorizes agencies to
dispense with notice and comment procedures for rules when the agency
for ``good cause'' finds that those procedures are ``impracticable,
unnecessary, or contrary to the public interest.'' Also, section 553(d)
permits agencies, upon a finding of good cause, to issue rules with an
effective date less than 30 days from the date of publication. In this
instance, the FAA finds good cause to forgo notice and comment because
notice and comment would be impracticable and contrary to the public
interest. In addition, it is contrary to the public interest to allow
this SFAR to expire.
The risk environment for U.S. civil aviation in airspace managed by
other countries with respect to safety of flight is fluid in
circumstances involving weapons capable of targeting or otherwise
negatively affecting U.S. civil aviation, as well as other hazards to
U.S. civil aviation associated with fighting, extremist and militant
activity, or heightened tensions. This fluidity and the need for the
FAA to rely upon classified information in assessing these risks makes
providing notice and opportunity to comment impracticable and contrary
to the public interest. The potential for rapid changes in the risks to
U.S. civil aviation significantly limits how far in advance of a new or
amended flight prohibition the FAA can usefully assess the risk
environment. Furthermore, to the extent that these rules and any
amendments are based upon classified information, the FAA cannot share
such information with the general public. As a result, engaging in
notice and comment would be impracticable.
Additionally, it is crucial that the FAA's flight prohibitions, and
any amendments thereto, reflect the agency's current understanding of
the risk environment for U.S. civil aviation. This allows the FAA to
protect the safety of U.S. operators' aircraft and the lives of their
passengers and crews without over-restricting U.S. operators' routing
options. The delay that would be occasioned by providing an opportunity
to comment on this action would mean that the resulting final action
would not be based on the latest information about aviation risk in a
fluid environment.
As described in the preamble to this rule, extending the flight
prohibition for U.S. civil aviation operations in the Baghdad FIR
(ORBB) at altitudes below FL320 is necessary due to continuing safety-
of-flight hazards associated with multiple state and non-state actors
conducting attacks in the Baghdad FIR (ORBB) in pursuit of various
objectives. These attacks include military activity by state actors, as
well as ongoing militia and terrorist attacks against the Government of
Iraq and against U.S. and coalition interests co-located with civilian
airports. Accordingly, the FAA finds good cause exists to forgo notice
and comment and any delay in the effective date for this rule.
III. Background
On October 16, 2020, due to the complex security environment that
existed in Iraq, the FAA published a final rule amending SFAR No. 77,
Sec. 91.1605, to prohibit U.S. civil aviation operations in the
Baghdad FIR (ORBB) at altitudes below FL320.\1\ Additionally, given
that the security environment in Iraq remained fluid and tense, the FAA
was concerned about the safety of U.S. civil aviation operations in the
Baghdad FIR (ORBB) at altitudes at and above FL320. As a result, NOTAM
KICZ A0036/20, which prohibited U.S. civil aviation operations in the
Baghdad FIR (ORBB) at all altitudes remained in effect following
publication of the October 16, 2020 final rule. This approach
maintained flexibility for the FAA to revisit the all-altitude flight
prohibition as necessary to determine whether U.S. civil aviation
operations could occur safely in the Baghdad FIR (ORBB) at altitudes at
or above FL320.
---------------------------------------------------------------------------
\1\ See Prohibition Against Certain Flights in the Baghdad
Flight Information Region (FIR) (ORBB) final rule, 85 FR 65686, Oct.
16, 2020, for an in-depth discussion of the security environment in
the Baghdad FIR (ORBB) at that time and the FAA's analysis of the
associated risks to U.S. civil aviation operations.
---------------------------------------------------------------------------
The FAA continued to monitor the security environment in the
Baghdad FIR (ORBB) and associated risks to civil aviation safety. By
October 2021, the FAA assessed the safety risks to U.S. civil aviation
in the Baghdad FIR (ORBB) at altitudes at or above FL320 had diminished
sufficiently that U.S. civil aviation could safely resume operations at
those altitudes. Since the FAA issued NOTAM KICZ A0036/20 in March
2020, there had been no known
[[Page 57386]]
threats or attempted attacks against aircraft operating at altitudes at
or above FL320. Although ground-based attacks against U.S. and
coalition forces in Iraq continued, and incidents involving weaponized
unmanned aircraft systems (UAS) had risen significantly, those attacks
posed no direct threat to civil aircraft overflying the Baghdad FIR
(ORBB) at altitudes at or above FL320. Therefore, on October 22, 2021,
the FAA rescinded NOTAM KICZ A0036/20. SFAR No. 77, 14 CFR 91.1605,
remained in effect and continued to prohibit U.S. civil aviation
operations in the Baghdad FIR (ORBB) at altitudes below FL320 due to
the continued unacceptable risk to the safety of U.S. civil aviation
operations at those altitudes.
IV. Discussion of the Final Rule
The FAA continues to assess the situation in the Baghdad FIR (ORBB)
at altitudes below FL320 as presenting an unacceptable risk to the
safety of U.S. civil aviation. Iranian-aligned militia groups (IAMGs)
publicly threatened to attack coalition forces remaining in Iraq after
December 31, 2020, and continue to demonstrate their capability and
intent to attack U.S. and international interests in Iraq, as well as
selected Iraqi government targets. On November 7, 2021, militants
conducted a weaponized UAS attack against Iraqi Prime Minister Mustafa
al-Kadhimi's residence in Baghdad. In January 2022, IAMGs conducted a
series of attempted attacks that were likely intended to commemorate
the second anniversary of the deaths of Iranian Revolutionary Guard
Corps (IRGC) Quds Forces Commander Qassem Soleimani and Iraqi Popular
Mobilization Units Deputy Head Abu Mahdi al-Muhandis in a U.S.
airstrike in January 2020. On January 3, 2022, IAMGs attempted to
attack U.S. interests co-located with Baghdad International Airport
(ORBI) with two weaponized UAS. Defensive counter-rocket, artillery,
and mortar (C-RAM) systems thwarted the attack, with no reported
casualties or damage. On January 4, 2022, militants unsuccessfully
attempted an attack with two weaponized UAS against Ayn Al Asad Air
Base (ORAA). On January 5, 2022, indirect rocket fire impacted the
runway at Baghdad International Airport (ORBI) but did not cause any
casualties.
IAMGs have access to UAS and anti-aircraft capable weapons systems,
including the Iranian-produced 358 loitering hybrid surface-to-air
missile (SAM)/UAS system, which present inadvertent risks to the safety
of U.S. civil aviation operations in the Baghdad FIR (ORBB) at
altitudes below FL320 and at potentially targeted airports. IAMGs
likely lack the ability to conduct effective target identification and
airspace de-confliction, increasing the risk of an accidental shoot
down of a civil aircraft due to misidentification or misperception.
In addition, the FAA remains concerned about cross-border military
activity. Both Iran and Turkey have previously conducted various no-
notice, cross-border operations striking targets in northern Iraq using
a variety of weapons, including short-range ballistic missiles,
rockets, and weaponized UAS. In a recent example, on March 12, 2022, up
to twelve Fateh-110 surface-to-surface ballistic missiles launched from
western Iran and impacted near the construction site of the new U.S.
consulate in Erbil, Iraq, and Erbil International Airport (ORER).
Iranian officials claimed responsibility for the ballistic missile
attack, allegedly carried out in response to the loss of two IRGC
officials in an alleged third-party airstrike in Syria. The missile
attack damaged surrounding buildings, but there were no reported
casualties, according to the Kurdish Interior Ministry. The assessed
points of impact were approximately 14km east/northeast of Erbil
International Airport (ORER), based on available open-source reporting.
While this attack did not pose a direct threat to the airport, the
missile trajectories possibly presented an inadvertent risk to aircraft
in flight that might have been operating at low altitude in the
vicinity of Erbil International Airport (ORER) during the time of the
attack. In general, unannounced third-party cross-border operations in
the Baghdad FIR (ORBB) present a low altitude safety-of-flight risk for
aircraft flying in the vicinity of the targeted location(s) and for
aircraft on the ground at airports co-located with, or in close
proximity to, the intended targets. These activities also pose an
airspace de-confliction challenge. Additionally, there continues to be
an inadvertent risk to civil aviation operations in the Baghdad FIR
(ORBB) from global positioning system (GPS) jammers.
Therefore, as a result of the significant, continuing risks to the
safety of U.S. civil aviation operations in the Baghdad FIR (ORBB) at
altitudes below FL320, the FAA extends the expiration date of SFAR No.
77, Sec. 91.1605, from October 26, 2022, until October 26, 2024.
Further amendments to SFAR No. 77, Sec. 91.1605, might be
appropriate if the risk to U.S. civil aviation safety and security
changes. In this regard, the FAA will continue to monitor the situation
and evaluate the extent to which persons described in paragraph (a) of
this rule might be able to operate safely in the Baghdad FIR (ORBB) at
altitudes below FL320.
The FAA also republishes the details concerning the approval and
exemption processes in Sections V and VI of this preamble, consistent
with other recently published flight prohibition SFARs, to enable
interested persons to refer to this final rule for comprehensive
information about requesting relief from the FAA from the provisions of
SFAR No. 77, Sec. 91.1605.
V. Approval Process Based on a Request From a Department, Agency, or
Instrumentality of the United States Government
A. Approval Process Based on an Authorization Request From a
Department, Agency, or Instrumentality of the United States Government
In some instances, U.S. Government departments, agencies, or
instrumentalities may need to engage U.S. civil aviation to support
their activities in the Baghdad FIR (ORBB) at altitudes below FL320. If
a department, agency, or instrumentality of the U.S. Government
determines that it has a critical need to engage any person described
in paragraph (a) of SFAR No. 77, Sec. 91.1605, including a U.S. air
carrier or commercial operator, to transport civilian or military
passengers or cargo or conduct other operations in the Baghdad FIR
(ORBB) at altitudes below FL320, that department, agency, or
instrumentality may request the FAA to approve persons described in
paragraph (a) of SFAR No. 77, Sec. 91.1605, to conduct such
operations.
The requesting U.S. Government department, agency, or
instrumentality must submit the request for approval to the FAA's
Associate Administrator for Aviation Safety in a letter signed by an
appropriate senior official of the requesting department, agency, or
instrumentality.\2\ The FAA will not accept or consider requests for
approval from anyone other than the requesting U.S. Government
department, agency, or instrumentality. In addition, the senior
official signing the letter requesting FAA approval must be
sufficiently
[[Page 57387]]
positioned within the requesting department, agency, or instrumentality
to demonstrate that the organization's senior leadership supports the
request for approval and is committed to taking all necessary steps to
minimize aviation safety and security risks to the proposed flights.
The senior official must also be in a position to: (1) attest to the
accuracy of all representations made to the FAA in the request for
approval, and (2) ensure that any support from the requesting U.S.
Government department, agency, or instrumentality described in the
request for approval is in fact brought to bear and is maintained over
time. Unless justified by exigent circumstances, requesting U.S.
Government departments, agencies, or instrumentalities must submit
requests for approval to the FAA no less than 30 calendar days before
the date on which the requesting department, agency, or instrumentality
wishes the operator(s) to commence the proposed operation(s).
---------------------------------------------------------------------------
\2\ This approval procedure applies to U.S. Government
departments, agencies, or instrumentalities; it does not apply to
the public. The FAA describes this procedure in the interest of
providing transparency with respect to the FAA's process for
interacting with U.S. Government departments, agencies, or
instrumentalities that seek to engage U.S. civil aviation to operate
in the area in which this SFAR would prohibit their operations in
the absence of specific FAA approval.
---------------------------------------------------------------------------
The requestor must send the request to the Associate Administrator
for Aviation Safety, Federal Aviation Administration, 800 Independence
Avenue SW, Washington, DC 20591. Electronic submissions are acceptable,
and the requesting entity may request that the FAA notify it
electronically as to whether the FAA grants the request for approval.
If a requestor wishes to make an electronic submission to the FAA, the
requestor should contact the Air Transportation Division, Flight
Standards Service, at (202) 267-8166, to obtain the appropriate email
address. A single letter may request approval from the FAA for multiple
persons described in SFAR No. 77, Sec. 91.1605, or for multiple flight
operations. To the extent known, the letter must identify the person(s)
the requester expects the SFAR to cover on whose behalf the U.S.
Government department, agency, or instrumentality seeks FAA approval,
and it must describe--
The proposed operation(s), including the nature of the
mission being supported;
The service the person(s) covered by the SFAR will
provide;
To the extent known, the specific locations in the Baghdad
FIR (ORBB) at altitudes below FL320 where the proposed operation(s)
will occur, including, but not limited to, the flight path and altitude
of the aircraft while it is operating in the Baghdad FIR (ORBB) at
altitudes below FL320 and the airports, airfields, or landing zones at
which the aircraft will take off and land; and
The method by which the requesting department, agency, or
instrumentality will provide, or how the operator will otherwise
obtain, current threat information and an explanation of how the
operator will integrate this information into all phases of the
proposed operations (i.e., the pre-mission planning and briefing, in-
flight, and post-flight phases).
The request for approval must also include a list of operators with
whom the U.S. Government department, agency, or instrumentality
requesting FAA approval has a current contract(s), grant(s), or
cooperative agreement(s) (or its prime contractor has a subcontract(s))
for specific flight operations in the Baghdad FIR (ORBB) at altitudes
below FL320. The requestor may identify additional operators to the FAA
at any time after the FAA issues its approval. Neither the operators
listed in the original request, nor any operators the requestor
subsequently seeks to add to the approval, may commence operations
under the approval until the FAA issues them an Operations
Specification (OpSpec) or Letter of Authorization (LOA), as
appropriate, for operations in the Baghdad FIR (ORBB) at altitudes
below FL320. The approval conditions discussed below apply to all
operators. Requestors should send updated lists to the email address
they obtain from the Air Transportation Division by calling (202) 267-
8166.
If an approval request includes classified information, requestors
may contact Aviation Safety Inspector Bill Petrak for instructions on
submitting it to the FAA. His contact information appears in the FOR
FURTHER INFORMATION CONTACT section of this final rule.
FAA approval of an operation under SFAR No. 77, Sec. 91.1605, does
not relieve persons subject to this SFAR of the responsibility to
comply with all other applicable FAA rules and regulations. Operators
of civil aircraft must comply with the conditions of their
certificates, OpSpecs, and LOAs, as applicable. Operators must also
comply with all rules and regulations of other U.S. Government
departments, agencies, or instrumentalities that may apply to the
proposed operation(s), including, but not limited to, regulations
issued by the Transportation Security Administration.
B. Approval Conditions
If the FAA approves the request, the FAA's Aviation Safety
organization will send an approval letter to the requesting U.S.
Government department, agency, or instrumentality informing it that the
FAA's approval is subject to all of the following conditions:
(1) The approval will stipulate those procedures and conditions
that limit, to the greatest degree possible, the risk to the operator,
while still allowing the operator to achieve its operational
objectives.
(2) Before any approval takes effect, the operator must submit to
the FAA:
(a) A written release of the U.S. Government from all damages,
claims, and liabilities, including without limitation legal fees and
expenses, relating to any event arising out of or related to the
approved operations in the Baghdad FIR (ORBB) at altitudes below FL320;
and
(b) The operator's written agreement to indemnify the U.S.
Government with respect to any and all third-party damages, claims, and
liabilities, including without limitation legal fees and expenses,
relating to any event arising out of or related to the approved
operations in the Baghdad FIR (ORBB) at altitudes below FL320.
(3) Other conditions the FAA may specify, including those the FAA
might impose in OpSpecs or LOAs, as applicable.
The release and agreement to indemnify do not preclude an operator
from raising a claim under an applicable non-premium war risk insurance
policy the FAA issues under chapter 443 of title 49, U.S. Code.
If the FAA approves the proposed operation(s), the FAA will issue
an OpSpec or LOA, as applicable, to the operator(s) identified in the
original request and any operators the requestor subsequently adds to
the approval, authorizing them to conduct the approved operation(s). In
addition, as stated in paragraph (3) of this section V.B., the FAA
notes that it may include additional conditions beyond those contained
in the approval letter in any OpSpec or LOA associated with a
particular operator operating under this approval, as necessary in the
interests of aviation safety. U.S. Government departments, agencies,
and instrumentalities requesting FAA approval on behalf of entities
with which they have a contract or subcontract, grant, or cooperative
agreement should request a copy of the relevant OpSpec or LOA directly
from the entity with which they have any of the foregoing types of
arrangements, if desired.
VI. Information Regarding Petitions for Exemption
Any operations not conducted under an approval the FAA issues
through the approval process set forth previously may only occur in
accordance with an exemption from SFAR No. 77, Sec. 91.1605. A
petition for exemption must comply with 14 CFR part 11. The FAA will
consider whether exceptional circumstances exist beyond those
[[Page 57388]]
described in the approval process in the previous section. To determine
whether a petition for exemption from the prohibition this SFAR
establishes fulfills the standard of 14 CFR 11.81, the FAA consistently
finds necessary the following information:
The proposed operation(s), including the nature of the
operation;
The service the person(s) covered by the SFAR will
provide;
The specific locations in the Baghdad FIR (ORBB) at
altitudes below FL320 where the proposed operation(s) will occur,
including, but not limited to, the flight path and altitude of the
aircraft while it is operating in the Baghdad FIR (ORBB) at altitudes
below FL320 and the airports, airfields, or landing zones at which the
aircraft will take off and land;
The method by which the operator will obtain current
threat information and an explanation of how the operator will
integrate this information into all phases of its proposed operations
(i.e., the pre-mission planning and briefing, in-flight, and post-
flight phases); and
The plans and procedures the operator will use to minimize
the risks identified in this preamble to the proposed operations, to
support the relief sought and demonstrate that granting such relief
would not adversely affect safety or would provide a level of safety at
least equal to that provided by this SFAR. The FAA has found
comprehensive, organized plans and procedures of this nature to be
helpful in facilitating the agency's safety evaluation of petitions for
exemption from flight prohibition SFARs.
The FAA includes, as a condition of each such exemption it issues,
a release and agreement to indemnify, as described previously.
The FAA recognizes that, with the support of the U.S. Government,
the governments of other countries could plan operations that may be
affected by SFAR No. 77, Sec. 91.1605. While the FAA will not permit
these operations through the approval process, the FAA will consider
exemption requests for such operations on an expedited basis and in
accordance with the order of preference set forth in paragraph (c) of
SFAR No. 77, Sec. 91.1605.
If a petition for exemption includes information that is sensitive
for security reasons or proprietary information, requestors may contact
Aviation Safety Inspector Bill Petrak for instructions on submitting it
to the FAA. His contact information is listed in the FOR FURTHER
INFORMATION CONTACT section of this final rule.
VII. Regulatory Notices and Analyses
Federal agencies consider impacts of regulatory actions under a
variety of executive orders and other requirements. First, Executive
Orders 12866 and 13563 direct that each Federal agency shall propose or
adopt a regulation only upon a reasoned determination that the benefits
of the intended regulation justify its costs. Second, the Regulatory
Flexibility Act of 1980 (Pub. L. 96-354), as codified in 5 U.S.C. 603
et seq., requires agencies to analyze the economic impact of regulatory
changes on small entities. Third, the Trade Agreements Act of 1979
(Pub. L. 96-39), as codified in 19 U.S.C. Chapter 13, prohibits
agencies from setting standards that create unnecessary obstacles to
the foreign commerce of the United States. In developing U.S.
standards, the Trade Agreements Act requires agencies to consider
international standards and, where appropriate, that they be the basis
of U.S. standards. Fourth, the Unfunded Mandates Reform Act of 1995
(Pub. L. 104-4), as codified in 2 U.S.C. Chapter 25, requires agencies
to prepare a written assessment of the costs, benefits, and other
effects of proposed or final rules that include a Federal mandate
likely to result in the expenditure by State, local, or tribal
governments, in the aggregate, or by the private sector, of $100
million or more annually (adjusted for inflation with base year of
1995). This portion of the preamble summarizes the FAA's analysis of
the economic impacts of this final rule.
In conducting these analyses, the FAA has determined this final
rule has benefits that justify its costs. This rule is a significant
regulatory action, as defined in section 3(f) of Executive Order 12866,
as it raises novel policy issues contemplated under that Executive
order. As 5 U.S.C. 553 does not require notice and comment for this
final rule, 5 U.S.C. 603 and 604 do not require regulatory flexibility
analyses regarding impacts on small entities. This rule will not create
unnecessary obstacles to the foreign commerce of the United States.
This rule will not impose an unfunded mandate on State, local, or
tribal governments, or on the private sector, by exceeding the
threshold identified previously.
A. Regulatory Evaluation
This rule prohibits U.S. civil flights in the Baghdad FIR (ORBB) at
altitudes below FL320, due to the significant, continuing hazards to
U.S. civil aviation detailed in the preamble of this final rule. This
action also extends the expiration date of this rule for an additional
two years.
The FAA acknowledges this flight prohibition might result in
additional costs to some U.S. operators, such as increased fuel costs
and other operational-related costs. However, the FAA expects the
benefits of this action exceed the costs because it will result in the
avoidance of risks of fatalities, injuries, and property damage that
could occur if a U.S. operator's aircraft were shot down (or otherwise
damaged) while operating in the Baghdad FIR (ORBB) at altitudes below
FL320.
B. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA), in 5 U.S.C. 603, requires an
agency to prepare an initial regulatory flexibility analysis describing
impacts on small entities whenever 5 U.S.C. 553 or any other law
requires an agency to publish a general notice of proposed rulemaking
for any proposed rule. Similarly, 5 U.S.C. 604 requires an agency to
prepare a final regulatory flexibility analysis when an agency issues a
final rule under 5 U.S.C. 553 after that section or any other law
requires publication of a general notice of proposed rulemaking. The
FAA concludes good cause exists to forgo notice and comment and to not
delay the effective date for this rule. As 5 U.S.C. 553 does not
require notice and comment in this situation, 5 U.S.C. 603 and 604
similarly do not require regulatory flexibility analyses.
C. International Trade Impact Assessment
The Trade Agreements Act of 1979 (Pub. L. 96-39) prohibits Federal
agencies from establishing standards or engaging in related activities
that create unnecessary obstacles to the foreign commerce of the United
States. Pursuant to this Act, the establishment of standards is not
considered an unnecessary obstacle to the foreign commerce of the
United States, so long as the standard has a legitimate domestic
objective, such as the protection of safety, and does not operate in a
manner that excludes imports that meet this objective. The statute also
requires consideration of international standards and, where
appropriate, that they be the basis for U.S. standards.
The FAA has assessed the potential effect of this final rule and
determined that its purpose is to protect the safety of U.S. civil
aviation from risks to their operations in the Baghdad FIR (ORBB) at
altitudes below FL320, a location outside the U.S. Therefore, the rule
complies with the Trade Agreements Act of 1979.
[[Page 57389]]
D. Unfunded Mandates Assessment
Title II of the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-
4) requires each Federal agency to prepare a written statement
assessing the effects of any Federal mandate in a proposed or final
agency rule that may result in an expenditure of $100 million or more
(in 1995 dollars) in any one year by State, local, and tribal
governments, in the aggregate, or by the private sector; such a mandate
is deemed to be a ``significant regulatory action.'' The FAA currently
uses an inflation-adjusted value of $155 million in lieu of $100
million.
This final rule does not contain such a mandate. Therefore, the
requirements of Title II of the Act do not apply.
E. Paperwork Reduction Act
The Paperwork Reduction Act of 1995 (44 U.S.C. 3507(d)) requires
the FAA to consider the impact of paperwork and other information
collection burdens it imposes on the public. The FAA has determined no
new requirement for information collection is associated with this
final rule.
F. International Compatibility and Cooperation
In keeping with U.S. obligations under the Convention on
International Civil Aviation, the FAA's policy is to conform to
International Civil Aviation Organization (ICAO) Standards and
Recommended Practices to the maximum extent practicable. The FAA has
determined no ICAO Standards and Recommended Practices correspond to
this regulation. The FAA finds this action is fully consistent with the
obligations under 49 U.S.C. 40105(b)(1)(A) to ensure the FAA exercises
its duties consistently with the obligations of the United States under
international agreements.
While the FAA's flight prohibition does not apply to foreign air
carriers, DOT codeshare authorizations prohibit foreign air carriers
from carrying a U.S. codeshare partner's code on a flight segment that
operates in airspace for which the FAA has issued a flight prohibition
for U.S. civil aviation. In addition, foreign air carriers and other
foreign operators may choose to avoid, or be advised or directed by
their civil aviation authorities to avoid, airspace for which the FAA
has issued a flight prohibition for U.S. civil aviation.
G. Environmental Analysis
The FAA has analyzed this action under Executive Order 12114,
Environmental Effects Abroad of Major Federal Actions, and DOT Order
5610.1C, Paragraph 16. Executive Order 12114 requires the FAA to be
informed of environmental considerations and take those considerations
into account when making decisions on major Federal actions that could
have environmental impacts anywhere beyond the borders of the United
States. The FAA has determined this action is exempt pursuant to
Section 2-5(a)(i) of Executive Order 12114 because it does not have the
potential for a significant effect on the environment outside the
United States.
In accordance with FAA Order 1050.1F, Environmental Impacts:
Policies and Procedures, paragraph 8-6(c), the FAA has prepared a
memorandum for the record stating the reason(s) for this determination
and has placed it in the docket for this rulemaking.
VIII. Executive Order Determinations
A. Executive Order 13132, Federalism
The FAA has analyzed this rule under the principles and criteria of
Executive Order 13132. The agency has determined this action will not
have a substantial direct effect on the States, or the relationship
between the Federal Government and the States, or on the distribution
of power and responsibilities among the various levels of government.
Therefore, this rule will not have federalism implications.
B. Executive Order 13211, Regulations That Significantly Affect Energy
Supply, Distribution, or Use
The FAA analyzed this rule under Executive Order 13211. The agency
has determined it is not a ``significant energy action'' under the
executive order and will not be likely to have a significant adverse
effect on the supply, distribution, or use of energy.
C. Executive Order 13609, Promoting International Regulatory
Cooperation
Executive Order 13609 promotes international regulatory cooperation
to meet shared challenges involving health, safety, labor, security,
environmental, and other issues and to reduce, eliminate, or prevent
unnecessary differences in regulatory requirements. The FAA has
analyzed this action under the policies and agency responsibilities of
Executive Order 13609 and has determined that this action will have no
effect on international regulatory cooperation.
IX. Additional Information
A. Electronic Access
Except for classified material, all documents the FAA considered in
developing this rule, including economic analyses and technical
reports, may be accessed from the internet through the docket for this
rulemaking.
Those documents may be viewed online at https://www.regulations.gov
using the docket number listed above. A copy of this rule will be
placed in the docket. Electronic retrieval help and guidelines are
available on the website. It is available 24 hours each day, 365 days
each year. An electronic copy of this document may also be downloaded
from the Office of the Federal Register's website at https://www.federalregister.gov and the Government Publishing Office's website
at https://www.govinfo.gov. A copy may also be found at the FAA's
Regulations and Policies website at https://www.faa.gov/regulations_policies.
Copies may also be obtained by sending a request to the Federal
Aviation Administration, Office of Rulemaking, ARM-1, 800 Independence
Avenue SW, Washington, DC 20591, or by calling (202) 267-9677.
Interested persons must identify the docket or amendment number of this
rulemaking.
B. Small Business Regulatory Enforcement Fairness Act
The Small Business Regulatory Enforcement Fairness Act of 1996
(SBREFA) (Pub. L. 104-121) (set forth as a note to 5 U.S.C. 601)
requires FAA to comply with small entity requests for information or
advice about compliance with statutes and regulations within its
jurisdiction. A small entity with questions regarding this document may
contact its local FAA official, or the persons listed under the FOR
FURTHER INFORMATION CONTACT heading at the beginning of the preamble.
To find out more about SBREFA on the internet, visit https://www.faa.gov/regulations_policies/rulemaking/sbre_act/.
List of Subjects in 14 CFR Part 91
Air traffic control, Aircraft, Airmen, Airports, Aviation safety,
Freight, Iraq.
The Amendment
In consideration of the foregoing, the Federal Aviation
Administration amends chapter I of title 14, Code of Federal
Regulations, as follows:
PART 91--GENERAL OPERATING AND FLIGHT RULES
0
1. The authority citation for part 91 continues to read as follows:
Authority: 49 U.S.C. 106(f), 106(g), 40101, 40103, 40105, 40113,
40120, 44101, 44111, 44701, 44704, 44709, 44711, 44712, 44715,
44716, 44717, 44722, 46306, 46315, 46316, 46504, 46506-46507, 47122,
47508, 47528-
[[Page 57390]]
47531, 47534, Pub. L. 114-190, 130 Stat. 615 (49 U.S.C. 44703 note);
articles 12 and 29 of the Convention on International Civil Aviation
(61 Stat. 1180), (126 Stat. 11).
0
2. Amend Sec. 91.1605 by revising paragraph (e) to read as follows:
Sec. 91.1605 Special Federal Aviation Regulation No. 77--Prohibition
Against Certain Flights in the Baghdad Flight Information Region (FIR)
(ORBB).
* * * * *
(e) Expiration. This SFAR will remain in effect until October 26,
2024. The FAA may amend, rescind, or extend this SFAR, as necessary.
Issued in Washington, DC, under the authority of 49 U.S.C.
106(f) and (g), 40101(d)(1), 40105(b)(1)(A), and 44701(a)(5), on or
about September 22, 2022.
Billy Nolen,
Acting Administrator.
[FR Doc. 2022-20318 Filed 9-19-22; 8:45 am]
BILLING CODE 4910-13-P