Adoption and Submittal of State Plans for Designated Facilities: Implementing Regulations Under Clean Air Act Section 111(d), 79176-79212 [2022-27557]
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79176
Federal Register / Vol. 87, No. 246 / Friday, December 23, 2022 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 60
[EPA–HQ–OAR–2021–0527; FRL–8606–02–
OAR]
RIN 2060–AV48
Adoption and Submittal of State Plans
for Designated Facilities: Implementing
Regulations Under Clean Air Act
Section 111(d)
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
This action proposes
amendments to the implementing
regulations that govern the processes
and timelines for state and Federal
plans that implement emission
guidelines under Clean Air Act (CAA)
section 111(d). The proposed
amendments include revisions to the
timing requirements for state plan
submittal, the Environmental Protection
Agency (EPA)’s action on state plan
submissions, the EPA’s promulgation of
a Federal plan, and for when states must
establish increments of progress. These
proposed amendments address the
vacatur of certain timing requirements
by the United States Court of Appeals
for the District of Columbia Circuit (D.C.
Circuit) in American Lung Association.
v. EPA. The EPA is also proposing to
add regulatory mechanisms to improve
flexibility and efficiency in the
submission, review, approval, revision,
and implementation of state plans. This
action further proposes new
requirements for meaningful
engagement with pertinent stakeholders
as part of state plan development,
including, but not limited to, industry,
small businesses, and communities
most affected by and vulnerable to the
impacts of the plan. This action
additionally proposes clarifying
requirements for states’ consideration of
‘remaining useful life and other factors’
(RULOF) in applying a standard of
performance. This action proposes to
amend the definition of standard of
performance and provide clarification
associated with CAA section 111(d)
compliance flexibilities, including
trading or averaging. Finally, this action
proposes requirements for the electronic
submission of state plans and several
other clarifications and minor revisions.
DATES:
Comments. Comments must be
received on or before February 27, 2023.
Public hearing: The EPA will hold a
virtual public hearing on January 24,
2023. See SUPPLEMENTARY INFORMATION
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SUMMARY:
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for additional information on the
hearing.
ADDRESSES: You may send comments,
identified by Docket ID No. EPA–HQ–
OAR–2021–0527, by any of the
following methods:
• Federal eRulemaking Portal:
https://www.regulations.gov/ (our
preferred method). Follow the online
instructions for submitting comments.
• Email: a-and-r-docket@epa.gov.
Include Docket ID No. EPA–HQ–OAR–
2021–0527 in the subject line of the
message.
• Fax: (202) 566–9744. Attention
Docket ID No. EPA–HQ–OAR–2021–
0527.
• Mail: U.S. Environmental
Protection Agency, EPA Docket Center,
Docket ID No. EPA–HQ–OAR–2021–
0527, Mail Code 28221T, 1200
Pennsylvania Avenue NW, Washington,
DC 20460.
• Hand/Courier Delivery: EPA Docket
Center, WJC West Building, Room 3334,
1301 Constitution Avenue NW,
Washington, DC 20004. The Docket
Center’s hours of operation are 8:30
a.m.–4:30 p.m., Monday–Friday (except
Federal holidays).
Instructions: All submissions received
must include the Docket ID No. for this
rulemaking. Comments received may be
posted without change to https://
www.regulations.gov/, including any
personal information provided. For
detailed instructions on sending
comments and additional information
on the rulemaking process, see the
SUPPLEMENTARY INFORMATION section of
this document.
FOR FURTHER INFORMATION CONTACT: For
questions about this proposed action,
contact Dr. Michelle Bergin, Sector
Policies and Programs Division (Mail
Code D205–01), Office of Air Quality
Planning and Standards, U.S.
Environmental Protection Agency,
Research Triangle Park, North Carolina
27711; telephone number: (919) 541–
2627; fax number: (919) 541–4991; and
email address: bergin.michelle@epa.gov.
SUPPLEMENTARY INFORMATION:
Participation in virtual public
hearing. The public hearing will be held
via virtual platform on January 24, 2023,
and will convene at 11 a.m. Eastern
Time (ET) and conclude at 7 p.m. ET.
If the EPA receives a high volume of
registrations for the public hearing, we
may continue the public hearing on
January 25, 2023. On each hearing day,
the EPA may close a session 15 minutes
after the last pre-registered speaker has
testified if there are no additional
speakers. The EPA will announce any
further details at https://www.epa.gov/
stationary-sources-air-pollution/
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Upon publication of this document in
the Federal Register, the EPA will begin
pre-registering speakers for the hearing.
The EPA will accept registrations on an
individual basis. To register to speak at
the virtual hearing, please use the
online registration form available at
https://www.epa.gov/stationary-sourcesair-pollution/adoption-and-submittalstate-plans-designated-facilities-40-cfr
or contact the public hearing team at
(888) 372–8699 or by email at
SPPDpublichearing@epa.gov. The last
day to pre-register to speak at the
hearing will be January 19, 2023. Prior
to the hearing, the EPA will post a
general agenda that will list preregistered speakers in approximate
order at: https://www.epa.gov/
stationary-sources-air-pollution/
adoption-and-submittal-state-plansdesignated-facilities-40-cfr.
The EPA will make every effort to
follow the schedule as closely as
possible on the day of the hearing;
however, please plan for the hearings to
run either ahead of schedule or behind
schedule.
Each commenter will have 4 minutes
to provide oral testimony. The EPA
encourages commenters to submit a
copy of their oral testimony as written
comments to the rulemaking docket.
The EPA may ask clarifying questions
during the oral presentations but will
not respond to the presentations at that
time. Written statements and supporting
information submitted during the
comment period will be considered
with the same weight as oral testimony
and supporting information presented at
the public hearing.
The EPA does not intend to publish
a document in the Federal Register
announcing updates. While the EPA
expects the hearing to go forward as
described in this section, please monitor
https://www.epa.gov/stationary-sourcesair-pollution/adoption-and-submittalstate-plans-designated-facilities-40-cfr
for any updates to the information
described in this document, including
information about the public hearing, or
contact the public hearing team at (888)
372–8699 or by email at
SPPDpublichearing@epa.gov.
If you require the services of a
translator or a special accommodation
such as audio description, please preregister for the hearing with the public
hearing team and describe your needs
by January 9, 2023. The EPA may not be
able to arrange accommodations without
advanced notice.
Docket. The EPA has established a
docket for this rulemaking under Docket
ID No. EPA–HQ–OAR–2021–0527. All
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documents in the docket are listed in
the Regulations.gov index. Although
listed in the index, some information is
not publicly available, e.g., Confidential
Business Information (CBI) 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.
Publicly available docket materials are
available either electronically in
Regulations.gov or in hard copy at the
EPA Docket Center, Room 3334, WJC
West Building, 1301 Constitution
Avenue NW, Washington, DC. The
Public Reading Room is open from 8:30
a.m. to 4:30 p.m., Monday through
Friday, excluding legal holidays. The
telephone number for the Public
Reading Room is (202) 566–1744, and
the telephone number for the EPA
Docket Center is (202) 566–1742.
Instructions. Direct your comments to
Docket ID No. EPA–HQ–OAR–2021–
0527. The EPA’s policy is that all
comments received will be included in
the public docket without change and
may be made available online at https://
www.regulations.gov, including any
personal information provided, unless
the comment includes information
claimed to be CBI or other information
whose disclosure is restricted by statute.
Do not submit electronically through
https://www.regulations.gov/ any
information that you consider to be CBI
or other information whose disclosure is
restricted by statute. See Submitting CBI
for instructions for submitting this type
of information.
The EPA may publish any comment
received to its public docket.
Multimedia submissions (audio, video,
etc.) must be accompanied by a written
comment. The written comment is
considered the official comment and
should include discussion of all points
you wish to make. The EPA will
generally not consider comments or
comment contents located outside of the
primary submission (i.e., on the Web,
cloud, or other file sharing system). For
additional submission methods, the full
EPA public comment policy,
information about CBI or multimedia
submissions, and general guidance on
making effective comments, please visit
https://www.epa.gov/dockets/
commenting-epa-dockets.
The https://www.regulations.gov/
website allows you to submit your
comment anonymously, which means
the EPA will not know your identity or
contact information unless you provide
it in the body of your comment. If you
send an email comment directly to the
EPA without going through https://
www.regulations.gov/, your email
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address will be automatically captured
and included as part of the comment
that is placed in the public docket and
made available on the internet. If you
submit an electronic comment, the EPA
recommends that you include your
name and other contact information in
the body of your comment and with any
digital storage media you submit. If the
EPA cannot read your comment due to
technical difficulties and cannot contact
you for clarification, the EPA may not
be able to consider your comment.
Electronic files should not include
special characters or any form of
encryption and be free of any defects or
viruses. For additional information
about the EPA’s public docket, visit the
EPA Docket Center homepage at https://
www.epa.gov/dockets.
Throughout this proposal, the EPA is
soliciting comment on numerous
aspects of the proposed rulemaking. The
EPA has indexed each explicit comment
solicitation with an alpha-numeric
identifier (e.g., ‘‘C–1’’, ‘‘C–2’’, ‘‘C–3’’,
. . .) to provide a framework for
effective and efficient provision of
comments. The EPA asks that
commenters include the corresponding
identifier when providing comments
relevant to that solicitation in either a
heading, or within the text of each
comment (e.g., ‘‘In response to
solicitation of comment C–1, . . .’’) to
make clear which comment solicitation
is being addressed. The identifiers are
helpful to the Agency for purposes of
organizing its responses, but do not
necessarily comprise an exhaustive
index of issues on which the EPA is
soliciting comment and which the
public may address in their comments.
The EPA is soliciting comment on the
issues described in this proposal.
Submitting CBI. Do not submit
information containing CBI to the EPA
through https://www.regulations.gov/.
Clearly mark the part or all of the
information that you claim to be CBI.
For CBI information on any digital
storage media that you mail to the EPA,
mark the outside of the digital storage
media as CBI, note the docket ID, and
then identify electronically within the
digital storage media the specific
information that is claimed as CBI. In
addition to one complete version of the
comments that includes information
claimed as CBI, you must submit a copy
of the comments that does not contain
the information claimed as CBI directly
to the public docket through the
procedures outlined in Instructions
section of this document. If you submit
any digital storage media that does not
contain CBI, mark the outside of the
digital storage media clearly that it does
not contain CBI and note the docket ID.
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Information not marked as CBI will be
included in the public docket and the
EPA’s electronic public docket without
prior notice. Information marked as CBI
will not be disclosed except in
accordance with procedures set forth in
40 CFR part 2.
Our preferred method to receive CBI
is for it to be transmitted electronically
using email attachments, File Transfer
Protocol (FTP), or other online file
sharing services (e.g., Dropbox,
OneDrive, Google Drive). Electronic
submissions must be transmitted
directly to the OAQPS CBI Office using
the email address, oaqpscbi@epa.gov,
and should include clear CBI markings
and note the docket ID, as described
above. If assistance is needed with
submitting large electronic files that
exceed the file size limit for email
attachments, and if you do not have
your own file sharing service, please
email oaqpscbi@epa.gov to request a file
transfer link. If sending CBI information
through the postal service, please send
it to the following address: OAQPS
Document Control Officer (C404–02),
OAQPS, U.S. Environmental Protection
Agency, Research Triangle Park, North
Carolina 27711, Attention Docket ID No.
EPA–HQ–OAR–2021–0527. The mailed
CBI material should be double wrapped
and clearly marked. Any CBI markings
should not show through the outer
envelope.
Preamble acronyms and
abbreviations. We use multiple
acronyms and terms in this preamble.
While this list may not be exhaustive, to
ease the reading of this preamble and for
reference purposes, the EPA defines the
following terms and acronyms here:
ACE Affordable Clean Energy Rule
ALA American Lung Association
BSER Best System of Emission Reduction
CAA Clean Air Act
CBI confidential business information
CDC Centers for Disease Control and
Prevention
CDX Central Data Exchange
CFR Code of Federal Regulations
EG Emission Guideline
EGU electric generating unit
EPA Environmental Protection Agency
FIP Federal Implementation Plan
ICR Information Collection Request
NAAQS National Ambient Air Quality
Standards
OAQPS Office of Air Quality Planning and
Standards
OMB Office of Management and Budget
PRA Paperwork Reduction Act
PM2.5 fine particulate matter
RFA Regulatory Flexibility Act
RIN Regulatory Information Number
RULOF remaining useful life and other
factors
SIP State Implementation Plan
SPeCS State Planning Electronic
Collaboration System
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TAR Tribal Authority Rule
TIP Tribal Implementation Plan
UMRA Unfunded Mandates Reform Act
U.S.C. United States Code
Organization of this document. The
information in this preamble is
organized as follows:
I. General Information
A. Does this action apply to me?
B. Where can I get a copy of this document
and other related information?
II. Background
A. What is the statutory authority for this
action?
B. What is the background for this action?
III. What actions are we proposing?
A. Revised Implementing Timelines
B. Federal Plan Authority and Timeline
Upon Failure To Submit a Plan
C. Requirement for Outreach and
Meaningful Engagement
D. Regulatory Mechanisms for State Plan
Implementation
E. Remaining Useful Life and Other Factors
(RULOF) Provisions
F. Provision for Electronic Submission of
State Plans
G. Other Proposed Modifications and
Clarifications
IV. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Paperwork Reduction Act (PRA)
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act
(UMRA)
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
I. National Technology Transfer and
Advancement Act (NTTAA)
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
K. Determination Under Section CAA
307(d)
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I. General Information
A. Does this action apply to me?
This action applies to states in the
development and submittal of state
plans pursuant to CAA section 111(d),
and to the EPA in promulgating a
Federal plan pursuant to CAA section
111(d). After the EPA promulgates a
final emission guideline (EG), each state
that has one or more designated
facilities must develop, adopt, and
submit to the EPA, a state plan under
CAA section 111(d). The term
‘‘designated facility’’ means ‘‘any
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existing facility . . . which emits a
designated pollutant and which would
be subject to a standard of performance
for that pollutant if the existing facility
were an affected facility.’’ See 40 CFR
60.21a(b). If a state fails to submit a plan
or the EPA determines that a state plan
is not satisfactory, the EPA has the
authority to establish a Federal CAA
section 111(d) plan in such instances.
Under the Tribal Authority Rule
(TAR), eligible tribes may seek approval
to implement a plan under CAA section
111(d) in a manner similar to a state.
See 40 CFR part 49, subpart A. Tribes
may, but are not required to, seek
approval for treatment in a manner
similar to a state for purposes of
developing a Tribal Implementation
Plan (TIP) implementing an EG. If a
tribe obtains approval and submits a
TIP, the EPA will use similar timelines
and criteria and will follow similar
procedures as those for state plans.
Tribes that choose to develop plans will
have the same flexibilities available to
states in this process. The TAR
authorizes tribes to submit CAA
programs; however, it does not require
tribes to develop CAA programs. Tribes
may implement those programs, or even
portions of programs, that are most
relevant to the air quality needs of
tribes. If a tribe does not seek and obtain
the authority from the EPA to establish
a TIP, the EPA has the authority to
establish a Federal CAA section 111(d)
plan for designated facilities that are
located in areas of Indian country. A
Federal plan would apply to all
designated facilities located in the areas
of Indian country covered by the
Federal plan unless and until the EPA
approves a TIP applicable to those
facilities.
B. Where can I get a copy of this
document and other related
information?
In addition to being available in the
docket, an electronic copy of this action
is available on the internet. Following
signature by the EPA Administrator, the
EPA will post a copy of this proposed
action at https://www.epa.gov/
stationary-sources-air-pollution/
adoption-and-submittal-state-plansdesignated-facilities-40-cfr. Following
publication in the Federal Register, the
EPA will post the Federal Register
version of the proposal and key
technical documents at this same
website.
A memorandum showing the rule
edits that would be necessary to
incorporate the changes to 40 CFR part
60 subpart Ba proposed in this action is
available in the docket (Docket ID No.
EPA–HQ–OAR–2021–0527). Following
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signature by the EPA Administrator, the
EPA also will post a copy of this
document to https://www.epa.gov/
stationary-sources-air-pollution/
adoption-and-submittal-state-plansdesignated-facilities-40-cfr.
II. Background
A. What is the statutory authority for
this action?
The statutory authority for this action
is provided by sections 301 and 111 of
the CAA (42 U.S.C. 7411 and 7601).
Section 301 of the CAA contains general
provisions for the administration of the
CAA. As described further in the next
section, CAA section 111 requires the
EPA to establish emission standards for
certain stationary sources that, in the
Administrator’s judgment, ‘‘cause[ ], or
contribute[ ] significantly to, air
pollution which may reasonably be
anticipated to endanger public health or
welfare.’’ CAA section 111(b) provides
the EPA’s authority to regulate new and
modified sources, while CAA section
111(d) directs the EPA to ‘‘prescribe
regulations which shall establish a
procedure’’ for states to establish
standards for existing sources of certain
air pollutants to which a standard of
performance would apply if such
existing source were a new source. The
EPA addresses its obligation under CAA
section 111(d) to establish a procedure
for states to submit plans both through
its promulgation of the general
implementing regulations addressed by
this action as well as through
promulgation of EGs for specific source
categories.
B. What is the background for this
action?
Clean Air Act section 111(d) governs
the establishment of standards of
performance for existing stationary
sources. CAA section 111(d) directs the
EPA to ‘‘prescribe regulations which
shall establish a procedure similar to
that provided by [CAA section 110]’’ for
states to submit state plans to establish
standards of performance for existing
sources of certain air pollutants to
which a standard of performance would
apply if such an existing source were a
new source under CAA section 111(b).
Therefore, an existing source can only
be regulated under CAA section 111(d)
if it belongs to a source category that is
regulated under CAA section 111(b).
The EPA’s implementing regulations
use the term ‘‘designated facility’’ to
identify those existing sources. See 40
CFR 60.21a(b).
CAA section 111(b)(1)(A) requires that
a source category be included on the list
for regulation if, ‘‘in [the EPA
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Administrator’s] judgment it causes, or
contributes significantly to, air pollution
which may reasonably be anticipated to
endanger public health or welfare.’’
Once a source category is listed, CAA
section 111(b)(1)(B) requires that the
EPA propose and then promulgate
‘‘standards of performance’’ for new
sources in such source category. 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 non-air quality health
and environmental impact and energy
requirements) the Administrator
determines has been adequately
demonstrated.’’ This provision requires
the EPA to determine both the best
system of emission reduction (BSER) for
the regulated source category and the
degree of emission limitation achievable
through application of the BSER. The
EPA must then, under CAA section
111(b)(1)(B), promulgate standards of
performance for new sources that reflect
that level of stringency.
Once the EPA promulgates standards
of performance for new sources within
a particular source category, the EPA is
required, in certain circumstances, to
regulate emissions from designated
(existing) facilities in that same source
category.1 Under CAA section 111(d),
the Agency has, to date, issued EGs
regulating five pollutants from six
source categories that remain in effect
(i.e., sulfuric acid plants (acid mist),
phosphate fertilizer plants (fluorides),
primary aluminum plants (fluorides),
kraft pulp plants (total reduced sulfur),
municipal solid waste landfills (landfill
gases)), and fossil-fuel fired electric
generating units (carbon dioxide). See
‘‘Phosphate Fertilizer Plants; Final
Guideline Document Availability,’’ 42
FR 12022 (March 1, 1977); ‘‘Standards
of Performance for New Stationary
Sources; Emission Guideline for
Sulfuric Acid Mist,’’ 42 FR 55796
(October 18, 1977); ‘‘Kraft Pulp Mills,
Notice of Availability of Final Guideline
1 In accordance with CAA section 111(d), states
are required to submit plans pursuant to these
regulations to establish standards of performance
for existing sources for any air pollutant: (1) the
emission of which is subject to a Federal New
Source Performance Standard; and (2) which is
neither a pollutant regulated under CAA section
108(a) (i.e., criteria air pollutants such as groundlevel ozone and particulate matter, and their
precursors, like volatile organic compound) or a
hazardous air pollutant regulated [from the same
source category] under CAA section 112. See also
definition of ‘‘designated pollutant’’ in 40 CFR
60.21a(a).
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Document,’’ 44 FR 29828 (May 22,
1979); ‘‘Primary Aluminum Plants;
Availability of Final Guideline
Document,’’ 45 FR 26294 (April 17,
1980); ‘‘Emission Guidelines and
Compliance Times for Municipal Solid
Waste Landfills,’’ 81 FR 59276 (August
29, 2016); ‘‘Repeal of the Clean Power
Plan; Emission Guidelines for
Greenhouse Gas Emissions From
Existing Electric Utility Generating
Units; Revisions to Emission Guidelines
Implementing Regulations,’’ 84 FR
32520 (July 8, 2019) (Affordable Clean
Energy (ACE) Rule).2 3 On November 15,
2021, the EPA proposed EGs to regulate
greenhouse gas emissions (in the form of
methane limitations) from sources in the
oil and natural gas industry. 86 FR
63110. In addition, the Agency has
regulated additional pollutants for solid
waste incineration units under CAA
section 129 in accordance with CAA
section 111(d).4
The mechanism for regulating
designated facilities under CAA section
111(d) differs from the mechanism for
regulating new facilities under CAA
section 111(b). Pursuant CAA section
111(b), the EPA promulgates standards
of performance that are directly
applicable to new, modified, and
reconstructed facilities in a specified
source category. In contrast, CAA
section 111(d) operates together with
CAA section 111(a)(1) to collectively
establish and define roles and
responsibilities for both the EPA and the
states in the regulation of designated
facilities. Under the regulatory
framework for designated facilities,
states are authorized to establish
standards of performance. However,
2 The EPA has also issued several EGs that have
subsequently been repealed or vacated by the
courts. The EPA regulated mercury from coal-fired
electric power plants in a 2005 rule that was
vacated by the D.C. Circuit, ‘‘Standards of
Performance for New and Existing Stationary
Sources: Electric Utility Steam Generating Units;
Final Rule,’’ 70 FR 28606 (May 18, 2005) (Clean Air
Mercury Rule), vacated by New Jersey v. EPA, 517
F.3d 574 (D.C. Cir. 2008). The EPA also issued CAA
section 111(d) EGs regulating GHG emissions from
fossil fuel-fired electric power plants in a 2015 rule
‘‘Carbon Pollution Emission Guidelines for Existing
Stationary Sources: Electric Utility Generating
Units; Final Rule,’’ 80 FR 64662 (October 23, 2015)
(Clean Power Plan). The EPA subsequently repealed
and replaced the 2015 rule with the ACE Rule.
3 The ACE Rule was initially vacated by Am. Lung
Ass’n v. EPA, 985 F.3d 914 (D.C. Cir. 2021). The
Supreme Court subsequently reversed and
remanded the D.C. Circuit’s opinion, West Virginia
v. EPA, 142 S. Ct. 2587 (June 30, 2022). On October
27, 2022, the D.C. Circuit amended its judgement
and recalled the partial mandate vacating the ACE
Rule, effectively reinstating ACE. Order, ALA v.
EPA, No. 19–1140, ECF No. 1970895.
4 CAA Section 129 directs the EPA Administrator
to develop regulations under CAA section 111
limiting emissions of nine air pollutants from four
categories of solid waste incineration units.
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such standards of performance must
reflect the degree of emission limitation
achievable through the application of
the BSER 5 that the EPA has determined
for the designated facilities in the source
category. As with standards of
performance under CAA section 111(b),
the requirement for the EPA to
determine the BSER derives from the
definition of ‘‘standard of performance’’
under CAA section 111(a)(1). Further,
CAA section 111(d)(1) requires the
EPA’s regulations to permit states, in
applying a standard of performance to
particular sources, to take into account
the source’s remaining useful life and
other factors, a process addressed in
more detail in section III.E of this
preamble.
The EPA addresses its obligation
under CAA section 111(d) to establish a
procedure for states to submit plans
both through its promulgation of general
implementing regulations for section
111(d) as well as through promulgation
of EGs for specific source categories.
While CAA section 111(d)(1) authorizes
states to develop state plans that
establish standards of performance and
provides states with certain discretion
in determining the appropriate
standards, CAA section 111(d)(2)
provides the EPA a specific oversight
role with respect to such state plans.
This latter provision authorizes the EPA
to prescribe a Federal plan for a state
‘‘in cases where the state fails to submit
a satisfactory plan.’’ The states must
therefore submit their plans to the EPA,
and the EPA must evaluate each state
plan to determine whether each plan is
‘‘satisfactory.’’ If a state fails to submit
a plan or the EPA determines that a state
plan is not satisfactory, CAA section
111(d)(2) gives the EPA the ‘‘same
authority’’ to prescribe a Federal plan in
such instances as it has to promulgate
a Federal Implementation Plan (FIP)
under CAA section 110(c).
In 1975, the EPA issued the first
general implementing regulations to
prescribe the process for the adoption
and submittal of state plans for
designated facilities under CAA section
111(d) (codified at 40 CFR part 60,
subpart B (subpart B)). 40 FR 53340
(November 17, 1975). Responding to the
direction to ‘‘establish a procedure
similar to that provided by’’ CAA
section 110, in promulgating subpart B
the EPA aligned the timing
requirements for state and Federal plans
under CAA section 111(d) with the
then-applicable timeframes for State
5 In this proposal, the EPA is also referring to ‘‘the
degree of emission limitation achievable through
application of the BSER’’ as the presumptive level
of stringency.
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Implementation Plans (SIPs) and FIPs
prescribed in CAA section 110, as
established by the 1970 CAA
Amendments. The implementing
regulations were not significantly
revised after their original promulgation
in 1975 6 until 2019, when the EPA
promulgated a new set of implementing
regulations codified at 40 CFR part 60,
subpart Ba. 84 FR 32520 (July 8, 2019)
(subpart Ba).
In promulgating subpart Ba in 2019,
the EPA intended to update and
modernize the implementing
regulations to align the procedures for
CAA section 111(d) state and Federal
plans with CAA amendments made after
subpart B was first promulgated in 1975.
Notably, subpart B did not align either
with CAA section 111(d) as amended by
Congress in 1977 or with the timelines
in CAA section 110 as amended by
Congress in 1990. The EPA therefore
considered it appropriate to update the
implementing regulations for CAA
section 111(d) to mirror changes to CAA
section 110, given that section 111(d)(1)
of the CAA directs the EPA to
‘‘prescribe regulations which shall
establish a procedure similar to that
provided by section 110’’ of the CAA for
states to submit plans to the EPA. In
promulgating subpart Ba, the EPA
directly aligned the timing requirements
for CAA section 111(d) state and Federal
plans (40 CFR 60.23a(a)(1) and
60.27a(c), respectively) with the timing
requirements for SIPs and FIPs under
CAA section 110 (see CAA section
110(a)(1) and 110(c)(1), respectively).
In promulgating subpart Ba, the EPA
also added the definition of ‘‘standard of
performance’’ (40 CFR 60.21a(f))
(defined under subpart B as ‘‘emission
standard’’ (40 CFR 60.21(f))) and the
remaining useful life provision (40 CFR
60.24a(e)) (referred under subpart B as
the variance provision (40 CFR
60.24(d))). The EPA further added
required minimum administrative and
technical criteria for inclusion by state
plans (40 CFR 60.27a(g)). Applying
these criteria, the EPA determines
whether a state plan or portion of a plan
submitted is complete (referred to as a
completeness review). Once a state plan
or portion of a plan is determined to be
complete, the EPA will approve or
disapprove the plan or portions of the
plan. For details on the EPA’s rationale
for the promulgation of these provisions
see 84 FR 32520 (July 8, 2019).
Subpart Ba is applicable to any final
EG published or ongoing after July 8,
6 In 2012, the EPA revised several provisions of
subpart B, mainly to include allowance systems as
a form of an emission standard. 77 FR 9303
(February 16, 2012).
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2019. However, in this action, the EPA
is proposing to amend subpart Ba to be
applicable only to any final EG
published after July 8, 2019 (see section
III.G.2.i of this preamble). This includes,
if finalized, the proposed EGs to
regulate greenhouse gas emissions from
sources in the oil and natural gas
industry, to the extent the final EG does
not contain EG-specific requirements
superseding subpart Ba. 86 FR 63110,
November 15, 2021. Subpart B (pre2019) continues to apply to EGs
promulgated prior to July 8, 2019, and
to EGs issued pursuant to CAA section
129.
In January 2021, the D.C. Circuit
vacated several provisions of subpart
Ba, all of which relate to timelines for
state plans and Federal plans. Am. Lung
Ass’n v. EPA, 985 F.3d 914, 991. (D.C.
Cir. 2021) (ALA).7 In this vacatur, the
court identified several flaws in the
EPA’s rationale for extending CAA
section 111(d) state and Federal plan
timelines. First, the court found that the
EPA erred in adopting the timelines for
SIPs and FIPs in CAA section 110
without meaningfully addressing the
differences in the scale of effort required
for development and evaluation of CAA
section 110 SIPs, as compared with the
scale of effort needed for CAA section
111(d) state plans. Id. at 992–93. The
court also concluded that in
promulgating the timelines in subpart
Ba, the EPA failed to justify why the
shorter deadlines under subpart B were
unworkable. Id. at 993. Further, the
court held that the EPA was required to
consider the effect of its subpart Ba
timelines on public health and welfare,
consistent with the statutory purpose of
CAA section 111(d). In the court’s view,
the EPA’s ‘‘complete failure to say
anything at all about the public health
and welfare implications of the
extended timeframes’’ meant that the
EPA failed to consider an important
aspect of the problem. Id. at 992 (citing
Motor Vehicle Mfrs. Ass’n of U.S., Inc.
v. State Farm Mut. Auto. Ins. Co. 463
U.S. 29, 43 (1983)).
Based on these reasons, the court
vacated the timeline for state plan
submissions after publication of a final
EG (40 CFR 60.23a(a)(1)), the EPA’s
deadline for taking action on state plan
submissions (40 CFR 60.27a(b)), the
7 The Supreme Court subsequently reversed and
remanded the D.C. Circuit’s opinion. West Virginia
v. EPA, 142 S.Ct. 2587 (June 30, 2022). However,
no Petitioner sought certiorari on, and the West
Virginia decision did not implicate, the D.C.
Circuit’s vacatur of portions of subpart Ba. See
Amended Judgment, ALA v. EPA, No. 19–1140
(D.C. Cir. October 27, 2022), ECF No. 1970898
(ordering that petitions for review challenging the
timing portion of implementing regulations be
granted).
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EPA’s deadline for promulgating a
Federal plan (40 CFR 60.27a(c)), and the
timeline associated with requirements
for increments of progress (40 CFR
60.24a(d)). Because of the vacatur,
subpart Ba currently does not provide
generally applicable timelines for state
plan submissions, the deadline for the
EPA’s promulgation of a Federal plan,
and the timeline associated with
requirements for increments of progress.
The EPA notes that while it is proposing
generally applicable timelines for the
implementing regulations, a particular
EG may include its own specific
timelines. 40 CFR 60.20a(a)(1).
III. What actions are we proposing?
The EPA is proposing several
revisions to subpart Ba both to address
the vacatur of the timing provisions by
the D.C. Circuit in ALA, and to further
improve the state and Federal plan
development and implementation
process. In response to the ALA
decision, this action proposes
timeframes for (1) state plan submittal,
(2) the EPA’s action on state plan
submissions, (3) the EPA’s promulgation
of a Federal plan, and (4) requirements
to establish increments of progress (see
section III.A of this preamble). This
action further proposes to revise the
timeframe for the EPA’s determination
of completeness on a state plan
submission. Additionally, the EPA is
proposing to revise the conditions under
which the EPA must promulgate a
Federal plan in instances where a state
has not submitted a complete plan (see
section III.B of this preamble).
The EPA is also proposing to enhance
requirements for reasonable notice and
opportunity for public participation in
subpart Ba to require that states, as part
of the state plan development or
revision process, undertake outreach
and meaningful engagement with a
broad range of pertinent stakeholders.
Pertinent stakeholders include
communities most affected by and
vulnerable to the impacts of the plan or
plan revision (see section III.C of this
preamble). Increased vulnerability may
be attributable, among other reasons, to
both an accumulation of negative and
lack of positive environmental, health,
economic, or social conditions within
these populations or communities.
To improve flexibility and efficiency
in the submission, review, approval,
and implementation of state plans, the
EPA is proposing to include the
following regulatory mechanisms in
subpart Ba, all of which currently exist
under CAA section 110: (1) partial
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approval/disapproval, (2) conditional
approval, (3) allowance for parallel
processing, (4) a mechanism for the EPA
to call for plan revisions, and (5) an
error correction mechanism (see section
III.D).
The EPA is also proposing revisions
to properly implement the remaining
useful life and other factors (RULOF)
provision of the statute. These revisions
are intended to provide clarity and
consistency for states and the EPA in
considering RULOF when applying
standards of performance to individual
sources, while still fulfilling the
statutory purpose of CAA section 111(d)
(see sections III.E of this preamble). The
EPA is also proposing to require
electronic submissions of state plans
(see section III.F of this preamble).
Finally, this action proposes
clarifying amendments to the subpart Ba
definition of standard of performance
and proposes to amend the Agency’s
interpretation of CAA section 111(d)
with respect to permissible compliance
(see section III.G of this preamble). In
particular, the EPA is proposing to
determine that, under appropriate
circumstances, the EPA may approve
state plans that authorize sources to
meet their emission limits in the
aggregate, such as through standards
that permit compliance via trading or
averaging. In doing so, the EPA is also
proposing to conclude that CAA section
111 does not limit the BSER to controls
that can be applied at and to the source.
The EPA is also proposing several
additional minor clarifications or
revisions as described in section III.G of
this preamble.
The EPA recognizes that, under
certain circumstances, some provisions
of the implementing regulations may
not fit the needs of a specific EG.
Therefore, the implementing regulations
provide that each EG may include
specific implementing provisions in
addition to or that supersede the
requirements of subpart Ba. 40 CFR
60.20a(a)(1). The EPA will address
unusual circumstances or facts that are
not accommodated by the general
provisions of subpart Ba through a
specific EG as the time and processes
needed for development and adoption
of state plans to implement the EG may
be affected by unusual characteristics of
a source category. An example of an EG
where the EPA is proposing to
supersede certain requirements of
subpart Ba to address the specific facts
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and circumstances of the source
category (including to diverge from
some of the general requirements
proposed in this action) is the proposed
EGs to regulate greenhouse gas
emissions (in the form of methane
limitations) from sources in the oil and
natural gas industry.8
The EPA notes that the remaining
provisions in subpart Ba were not
affected by the ALA decision and
remain legally effective. This includes
40 CFR 60.20a(a), which makes subpart
Ba applicable to any final EG published
after July 8, 2019. 40 CFR 60.20a(a).
Therefore, the revisions to subpart Ba
proposed in this action, if finalized,
would apply to any EG published after
July 8, 2019. The EPA is not soliciting
comment on this action as it applies to
any specific EG or source category. The
EPA is only soliciting comment on the
proposed changes to subpart Ba as
specifically described in this preamble.
The EPA is not reopening any other
provisions of subpart Ba not addressed
by these proposed changes. The EPA
will only consider comments that
pertain to the topics discussed in this
action.
A. Revised Implementing Timelines
As described in section II.A. of this
preamble above, the subpart Ba timing
requirements were vacated by the D.C.
Circuit in the ALA decision. These
vacated timing requirements are: the
timeline for state plan submissions, the
timeline for the EPA to act on a state
plan, the timeline for the EPA to
promulgate a Federal plan, and the
timeline that dictates when state plans
must include increments of progress.
These timelines are all critical to
ensuring that the emission reductions
anticipated by the EPA in an EG become
federally enforceable measures and are
timely implemented by the designated
facilities. The EPA is proposing revised
timelines for these key aspects of
implementation that both appropriately
accommodate the process required by
states and the EPA to develop and
evaluate plans to effectuate the EG and
8 For example, see supplemental notice of
proposed rulemaking titled ‘‘Standards of
Performance for New, Reconstructed, and Modified
Sources and Emissions Guidelines for Existing
Sources: Oil and Natural Gas Sector Climate
Review,’’ where, due to the size and variety of
emission sources in the oil and gas sector, the EPA
has proposed to permit states 18 months to submit
state plans rather than the general 15 months
proposed here.
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79181
are consistent with the objective of CAA
section 111(d) to ensure that designated
facilities control emissions of pollutants
that the EPA has determined may be
reasonably anticipated to endanger
public health or welfare. These
timelines will be applicable to any final
EG published after July 8, 2019,
including those currently proposed to
regulate greenhouse gas emissions (in
the form of methane limitations) from
sources in the oil and natural gas
industry, to the extent the final EG does
not contain EG-specific requirements
superseding subpart Ba. 86 FR 63110,
November 15, 2021.
As described in greater detail above in
section II of this preamble, the D.C.
Circuit’s vacatur of the extended
timelines in subpart Ba was based both
on the EPA’s failure to substantiate the
necessity for the additional time at each
step of the administrative process, and
the EPA’s failure to address how those
extended implementation timelines
would impact public health and
welfare. Accordingly, the EPA has
evaluated these factors and is proposing
timelines, as described in the following
sections, based on the minimum
administrative time reasonably
necessary for each step in the
implementation process, thus
minimizing impacts on public health
and welfare while accommodating the
time needed for states to develop an
effective plan. This approach addresses
both aspects of the ALA decision
because the EPA and states will take no
longer than necessary to develop and
adopt plans that impose requirements
consistent with the overall objectives of
CAA section 111(d).
The EPA is proposing the following
timelines to replace those vacated in
ALA, as discussed in further detail in
this preamble: 15 months for state plan
submissions after publication of a final
EG; 12 months for the EPA to take final
action on a state plan after submission;
12 months for the EPA to promulgate a
Federal plan either after the state plan
deadline if a state has failed to submit
a complete plan, or after the EPA’s
disapproval of a state plan submission;
and, requiring state plans to include
increments of progress if the plan
requires final compliance with
standards of performance later than 16
months after the plan submission
deadline. A summary of the timelines is
shown in Table 1.
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TABLE 1—PROPOSED SUBPART Ba TIMELINES COMPARED WITH THOSE VACATED FROM SUBPART Ba AND WITH THOSE
FROM SUBPART B
Process step
2022 Subpart Ba proposal
Subpart Ba (2019) vacated timelines
State Plan submittal after effective
date of EG.
State Plan completeness determination.
State Plan evaluation ..........................
15 months ...............................
36 months ...........................................
9 months.
2 months after State Plan
submission.
12 months after completeness
6 months after State Plan submission
N/A.
12 months after completeness ...........
EPA Federal Plan promulgation ..........
12 months after failure to submit or disapproval.
If compliance is >16 months ..
24 months after finding of failure to
submit or disapproval.
If compliance is >24 months ...............
4 months after State Plan
submittal deadline.
6 months after State Plan
submittal deadline.
If compliance is >12 months.
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Requirements for Increments of
Progress after submittal deadline.
The EPA acknowledges these
deadlines are not identical to those for
SIPs under CAA section 110. This is
consistent with the requirement of CAA
section 111(d) that the EPA to
promulgate a procedure ‘‘similar’’ to
that of CAA section 110, rather than an
identical procedure. This is also
consistent with the ALA decision,
which requires the EPA to ‘‘engage
meaningfully with the different scale’’
of CAA section 111(d) and 110 plans.
Am. Lung Ass’n v. EPA, 985 F.3d 914,
993 (D.C. Cir. 2021). Accordingly, the
EPA evaluated each step of the
implementation process to
independently determine the
appropriate duration of time to
accomplish the given step as part of the
overall process, and the timelines
proposed in these implementing
regulations represent what the EPA has
determined will be necessary for the
implementation of most EGs. An EG for
a typical source category or pollutant,
for which the proposed timelines would
be appropriate, might include: an
inventory of designated facilities; a
well-defined BSER and presumptive
level of stringency so that states need to
do little analytical work to establish
standards of performance; an EPAprovided model rule; and state plan
requirements that do not significantly
deviate from these general
implementing regulations.
The EPA recognizes that there may be
EGs for pollutants or source categories
that require exceptions or
accommodations to these general
requirements. Examples of
circumstances that may require an
exception could include EGs that
require states to perform extensive
engineering and/or economic analyses
for their plan; EGs with an exceptional
need to expedite implementation (e.g.,
immediate impact for health and
welfare impacts); EGs that apply to an
extraordinary number of designated
facilities; or EGs that are novel and/or
unusually complex. For situations like
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these, 40 CFR 60.20a(a)(1) provides that
an EG may supersede any aspect of the
implementing regulations, including the
implementation timelines. It is within
the EPA’s discretion to determine
whether a proposed change in
implementation time may be justified
within an individual EG based on these
or other appropriate factors. For EGs
that supersede implementation
timelines, the EPA is proposing to
require that the EPA both provide a
justification for the differing timelines
and address how the change in timeline
will impact health and welfare. The
EPA is not in this action seeking
comment on whether to supersede the
presumptive subpart Ba timelines for
any particular EG.
1. State Plan Submission Timelines
This section discusses the EPA’s
proposal for the duration of time states
will have to submit plans to the EPA
following the publication of a final EG.
Under CAA section 111(d), it is first the
EPA’s responsibility to establish a BSER
and a presumptive level of stringency
via a promulgated EG. It is then each
state’s obligation to submit a plan to the
EPA which establishes standards of
performance for each designated
facility. The EPA is proposing to require
that each state adopt and submit to the
Administrator, within 15 months after
publication of a final EG, a plan for the
control of the designated pollutant(s) to
which the EG applies.
The implementing regulations
promulgated under subpart B currently
provide that states have 9 months to
submit a state plan after publication of
a final EG. 40 CFR 60.23(a)(1). In 2019,
the EPA promulgated subpart Ba and
provided 3 years for states to submit
plans, consistent with the timelines
provided for submission of SIPs
pursuant to CAA section 110(a)(1). This
3-year timeframe was vacated in the
ALA decision, and thus currently there
is no applicable deadline for state plan
submissions required under EGs subject
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Subpart B (1975)
to subpart Ba. In evaluating the
appropriate timeline for plan submittal
to replace the vacated provision, the
EPA reviewed steps that states need to
carry out to develop, adopt, and submit
a state plan to the EPA, and its history
in implementing EGs under the timing
provisions of subpart B. The EPA
further evaluated statutory deadlines,
contents, and processes for relatively
comparable state plans under CAA
section 129, and attainment planning
SIPs pursuant CAA sections 189(a)(2)(B)
and 189(b)(2)) for the 2012 National
Ambient Air Quality Standards
(NAAQS) for fine particulate matter
(PM2.5). 78 FR 3085 (January 15, 2013).
In developing a CAA section 111(d)
state plan, a state must consider
multiple components in meeting
applicable requirements. Subpart Ba
specifies the elements that must be
included in a state plan submission (see
40 CFR 60.24a, 60.25a, 60.26a) and
certain processes that a state plan must
undergo in adopting and submitting a
plan (see 40 CFR 60.23a). In addition to
the requirements of these implementing
regulations, there are also state-specific
processes applicable to the development
and adoption of a state plan. In
particular, the component that the EPA
expects to take the most time and have
the most variability from state to state is
the administrative process (e.g., through
legislative processes, regulation, or
permits) that establishes standards of
performance. State rulemaking usually
involves several phases, including
providing notice that the agency is
considering adopting the rule; taking
public comment; and approving or
adopting the final rule. The final
process required to formally adopt a
rule is different in many states.9
9 In many states, the agency must submit its rule
to a particular independent commission or the
legislature for review and approval before the rule
is finally adopted. Generally, adopted rules are filed
with a state entity, such as the Secretary of State,
and eventually published in a register and placed
into the state’s administrative code. State law
establishes when an adopted rule is effective.
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Considering this variability, 15 months
should adequately accommodate the
differences in state processes necessary
for the development of a state plan that
meets applicable requirements. The EPA
evaluated data from previously
implemented EGs, and the statutory
deadlines and data from analogous
programs (i.e., CAA sections 129 and
189), as described below, to help inform
this proposed 15-month timeline. The
EPA solicits comment on whether the
proposed 15-month timeline adequately
accommodates state-level administrative
processes in developing and adopting
plans without substantially or
unnecessarily delaying emission
reductions that are protective of public
health or welfare (Comment A1–1).
As previously described, subpart B
provides 9 months for states to submit
plans after publication of a final EG. The
EPA’s review of state’s timeliness for
submitting CAA section 111(d) plans
under the 9-month timeline indicates
that most states either did not submit
plans or submitted plans that were
substantially late.10 We note that the
plans submitted under subpart B were
not subject to the additional
requirements the EPA is proposing for
meaningful engagement and
consideration of RULOF, respectively
described in sections III.C and III.E of
this preamble. For these reasons, the
EPA finds that 9 months is not a
suitable amount of time for most states
to adequately develop a plan for an EG.
To help inform what is an appropriate
proposal for the state plan submission
deadline, the EPA also reviewed CAA
section 129’s statutory deadline and
requirements for state plans, and the
timeliness and responsiveness of states
under CAA section 129 EGs. CAA
section 129 references CAA section
111(d) in many instances, creating
considerable overlap in the
functionality of the programs. Notably,
existing solid waste incineration units
are subject to the requirements of both
CAA sections 129 and 111(d). CAA
section 129(b)(1). The processes for
CAA sections 111(d) and 129 are very
similar in that states are required to
submit plans to implement and enforce
the EPA’s EGs. However, there are some
key distinctions between the two
programs, most notably that CAA
section 129(b)(2) specifies that state
10 The EPA reviewed the information available in
40 CFR part 62. The supporting information
reviewed is available at Docket ID No. EPA–HQ–
OAR–2021–0527. Part 62 codifies the
Administrator’s approval and disapproval of state
plans for the control of pollutants and facilities
under CAA section 111(d), and under CAA section
129 as applicable, and the Administrator’s
promulgation of such plans or portions of plans
thereof.
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plans be submitted no later than 1 year
from the promulgation of a
corresponding EG, whereas the statute
does not specify a particular timeline for
state plan submissions under CAA
section 111(d) and is instead governed
by the EPA’s implementing regulations
(i.e., subparts B and Ba). Moreover, CAA
section 129 plans are required by statute
to be at least as protective as the EPA’s
EGs. However, CAA section 111(d)
permits states to take into account
remaining useful life and other factors,
which suggests that the development of
a CAA section 111(d) plan could
involve more complicated analyses than
a CAA section 129 plan (see section III.E
for more information on RULOF
provisions). The contrast between the
CAA section 129 plans and CAA section
111(d) plans suggests that in
determining the timeframe for CAA
section 111(d) plan submissions the
EPA should provide for a longer
timeframe than the 1-year timeframe the
statute provides under CAA section 129.
The EPA found that a considerable
number of states have not made
required state plan submissions in
response to a CAA section 129 EG. In
instances where states submitted CAA
section 129 plans, a significant number
of states submitted plans between 14 to
17 months after the promulgated EG.11
This suggests that states will typically
need more than 1 year to develop a state
plan to implement an EG, particularly
for a program that permits more sourcespecific analysis than under CAA
section 129 as CAA section 111(d) does.
In the 2019 promulgation of subpart
Ba, the EPA mirrored CAA section 110
by giving states 3 years to submit plans.
As previously described, the court
partly faulted the EPA for adopting the
CAA section 110 timelines without
accounting for the differences in scale
and scope between CAA section 110
and 111(d) plans. The EPA has now
more closely evaluated the statutory
deadlines and requirements in the CAA
section 110 implementation context to
determine what is feasible for a CAA
section 111(d) state plan submission
timeline. The EPA specifically focused
on statutory SIP submission deadline
and requirements in the context of
attainment plans for the 2012 PM2.5
NAAQS under CAA section 189. CAA
section 189(a)(2)(B) requires states to
submit attainment planning SIPs within
11 The EPA reviewed the information available in
40 CFR part 62. The supporting information
reviewed is available at Docket ID No. EPA–HQ–
OAR–2021–0527. Part 62 codifies the
Administrator’s approval and disapproval of state
plans for the control of pollutants and facilities
under CAA section 111(d), and under CAA section
129 as applicable.
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18 months after an area is designated
nonattainment. The 2012 PM2.5 NAAQS
attainment plans were, in most cases,
more complicated for states to develop
when compared to a typical plan under
CAA sections 111(d). For example,
attainment plans require states to
determine how to control a variety of
sources, based on extensive modeling
and analyses, in order to bring a
nonattainment area into attainment of
the NAAQS by a specified attainment
date. Under CAA section 111(d), it is
clear which designated facilities must
be subject to a state plan, and the
standards of performance for these
sources must reflect the level of
stringency determined by the EG unless
a state chooses to account for RULOF.
As further described in section III.E of
this preamble, accounting for RULOF is
expected to be a limited, rather than
broadly used, exception. The difference
in complexity between the CAA section
189 plan requirements and the CAA
section 111(d) plan requirements
suggests that a timeline shorter than 18
months is more appropriate for
development of CAA 111(d) state plans
submissions.
Thus, based on the EPA’s evaluation
of states’ responsiveness to previous
CAA section 111(d) EGs, the contrast
between the development of CAA
section 111(d) plans and CAA section
129 plans, and the relative difference in
complexity between attainment plan
requirements under CAA section 189
and CAA section 111(d) state plan
requirements, the EPA is proposing to
require that state plans under CAA
section 111(d) be due 15 months after
publication of a final EG. This proposed
timeframe is substantially shorter than
the 3 years deadline vacated by the D.C.
Circuit; however, the timeline should
provide states adequate time to adopt
and submit approvable plans without
extending the timing such that
significant adverse impacts to health
and welfare are likely to occur from the
foregone emission reductions during the
state planning process. Allowing states
sufficient time to develop feasible
implementation plans for their
designated facilities that adequately
address public health and
environmental objectives also ultimately
helps ensure more timely
implementation of an EG, and therefore
achievement in actual emission
reductions, than would an unattainable
deadline that may result in the failure
of states to submit plans and requiring
the development and implementation a
of Federal plan. The EPA is soliciting
comment on the proposed state plan
submission timeline and the analysis
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supporting the EPA’s proposed
determination regarding the amount of
time reasonably necessary for plan
development and submission. The EPA
is also soliciting comment on whether
the EPA should consider any other
factors in setting this timeline
(Comment A1–2).
The EPA recognizes that the court, in
ALA, faulted the Agency for failing to
consider the potential impacts to public
health and welfare associated with
extending planning deadlines. The EPA
does not interpret the court’s direction
to require a quantitative measure of
impact, but rather consideration of the
importance of the public health and
welfare goals when determining
appropriate deadlines for
implementation of regulations under
CAA section 111(d). Because 15 months
is the generally expeditious period of
time in which the EPA finds that most
states can create and submit a plan per
the EPA’s corresponding emission
guidelines that is both comprehensive
and legally sound, it follows that the
EPA has appropriately considered the
potential impacts to public health and
welfare associated with this extension of
time by providing no more time than the
states reasonably need to ensure a plan
is comprehensive and timely. To the
extent the EPA considers deviating from
these expeditious timeframes in
promulgating an EG in the future, the
EPA will consider the public health and
welfare impacts associated with the
change, consistent with the court’s
direction in ALA, particularly where the
EPA is providing additional time for
state plan development.
While the EPA is proposing and
soliciting comment on all components
of the implementation timelines
proposed in this action, the EPA is
especially interested in comments
regarding the proposed state plan
submission timeline. The EPA
acknowledges that there are a number of
individual state-specific factors that can
affect the amount of time required for
the development and submission of
state plans. The EPA is therefore
soliciting specific comments on details
of state plan development and adoption
processes and how those should inform
a state plan submission deadline,
including whether there are reasons
why the EPA should consider either a
longer or a shorter timeframe (Comment
A1–3).
As discussed in section III.C of this
preamble below, the EPA is proposing
to revise subpart Ba to include a
requirement for states to undertake
outreach and meaningful engagement
with pertinent stakeholders as part of
the state plan development process. The
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EPA solicits comment on how much, if
any, time this additional engagement
will take in the state plan development
process (Comment A1–4). The EPA
recognizes that the time needed to
conduct meaningful engagement will be
highly dependent on the number and
location of designated facilities
addressed by an EG, as well as on the
type of health or environmental impacts
of the associated emissions. If
stakeholder and public involvement
required by the proposed amendments
does not generate a large number of
specific and unique comments, data, or
other considerations, then the level of
effort states will employ to review them
will be lower in comparison to when
meaningful engagement comments are
voluminous. Also, to the extent that
states already employ significant
engagement with pertinent stakeholders,
the proposed meaningful engagement
amendments would not result in
additional costs, while other states that
do not have engagement procedures
already in place may be required to
increase their level of effort to engage
with pertinent stakeholders.
In section III.E of this preamble, the
EPA is also proposing revisions to the
RULOF provision. These proposed
revisions would clarify the procedures
for considering RULOF by establishing
a robust analytical framework that
would require a state to provide a
sufficient justification when applying a
standard of performance that is less
stringent than the EPA’s presumptive
level of stringency, thereby allowing the
EPA to readily determine if the state’s
plan is satisfactory and therefore
approvable. The proposed state plan
submission timeline of 15 months
should adequately provide time for
states to conduct the analyses required
by this provision; however, the EPA is
soliciting comment on whether states
will need additional time in the plan
development to account for instances
where RULOF is considered. The EPA is
specifically requesting comment on how
much additional time might be required
for this consideration and how that
additional time fits within the entire
process of state plan development
(Comment A1–5).
The proposed state plan submission
timeline should be generally achievable
by states. The EPA notes it is obligated
to promulgate a Federal plan for states
that have not submitted a plan by the
submission deadline. Once the
obligation to promulgate a Federal plan
is triggered, it can only be tolled by the
EPA’s approval of a state plan. If a
Federal plan is promulgated, a state may
still submit a plan to replace the Federal
plan. A Federal plan under CAA section
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111(d) is a means to ensure timely
implementation of EGs, and a state may
choose to accept a Federal plan for their
sources rather than submit a state plan.
While the EPA encourages states to
timely submit plans for EGs, there are
no sanctions associated with failing to
timely submit an approvable plan or
with the implementation of a Federal
plan.12
2. Timeline for the EPA To Determine
Completeness of State Plans
Once a state plan has been submitted
to the EPA, the EPA reviews the plan for
‘‘completeness’’ to determine whether
the plan includes certain elements
necessary to ensure that the EPA can
substantively evaluate the plan. The
EPA determines completeness by
comparing the state’s submission
against the administrative and technical
criteria specified in subpart Ba to see if
the submission contains the elements
specified therein (see 40 CFR 60.27a(g)
for completeness criteria). In the 2019
promulgation of subpart Ba, the timeline
provided for the EPA to determine the
completeness of a state plan mirrored
the language in CAA section
110(k)(1)(B): ‘‘Within 60 days of the
Administrator’s receipt of a plan or plan
revision, but no later than 6 months
after the date, if any, by which a State
is required to submit the plan or
revision, the Administrator shall
determine whether the minimum
criteria [for completeness] have been
met.’’
After a state plan is complete through
either an affirmative determination or
by operation of law, the EPA will act on
the state plan submission through
notice-and-comment rulemaking. The
proposed timeline for the EPA to act on
a state plan submission can be found in
section III.A.3 of this preamble below.
If a state plan submission does not
contain the elements required by the
completeness criteria, the EPA would
find that the state has failed to submit
a complete plan and notify the state
through a letter. The determination of
incompleteness treats the state as if the
state has made no submission at all. The
determination that a submission is
incomplete and that the state has failed
to submit a plan is ministerial in nature
and requires no exercise of discretion or
judgment on the Agency’s part.
As part of the EPA’s overall effort to
set implementation timelines under
12 CAA section 179 provides that sanctions
should be applied in states that fail to submit
approvable SIPs for certain specified requirements
for NAAQS implementation. The EPA has not
promulgated any similar sanctions provisions
governing the submission of state plans pursuant to
section 111(d).
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CAA section 111(d) that are as
expeditious as possible, the EPA is
proposing to revise the timing element
of the completeness review in subpart
Ba. In light of the ministerial nature of
the completeness determination, the
EPA proposes to provide a maximum of
60 days from receipt of the state plan
submission for the EPA to make a
determination of completeness. The
EPA is additionally proposing to
provide that any state plan or plan
revision submitted to the EPA that has
not received a completeness
determination within 60 days of receipt,
shall on that date be deemed, by
operation of law, to meet the
completeness criteria, which will trigger
the EPA’s obligation to take substantive
action on the state plan. Sixty days
provides an expeditious timeframe for
the EPA to evaluate state plans for
completeness and to notify the states of
the determination. Because the EPA
may be required to evaluate up to 50
state plans during this period, in
addition to plans submitted by
territories, tribes and local governments,
the EPA does not find that this
timeframe could reasonably be
shortened any further. The EPA is
soliciting comment on the
appropriateness of providing a 60-day
timeline for the EPA to conclude its
completeness review (Comment A2–1).
The EPA notes that, because the
EPA’s finding of a plan as incomplete
puts a state in the legal status of not
having submitted a plan at all, the status
and potential delinquency of a state’s
plan is evaluated against the state plan
submission deadline. If the EPA
determines that a plan is incomplete
and this occurs at some point after the
state plan submission deadline, the EPA
treats the state as if the state has made
no submission at all and thus the EPA’s
authority to provide a Federal plan is
triggered. If a state submits a plan prior
to the state plan submission deadline
and the EPA also makes a determination
that the plan is incomplete prior to the
state plan submission deadline, the EPA
will treat the state as if the state has
made no submission at all, but this
determination does not yet trigger
further action by the EPA. Instead,
because the state still has an
opportunity to submit a complete plan
before the state plan submission
deadline, the EPA’s authority to
promulgate a Federal plan is only
triggered if the state fails to timely
submit a new plan to replace the
incomplete plan by the state plan
deadline.
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3. Timeline for the EPA’s Action on
State Plans
After a state plan has been determined
to be complete or is deemed complete
by operation of law, the EPA must
evaluate and determine whether the
plan or plan revision is approvable, in
part or in whole (see section III.D.1 of
this preamble for discussion on
proposed partial plan approvals). In
order to determine whether it is
appropriate to approve or disapprove a
state plan, CAA section 111(d) provides
that the EPA must evaluate whether the
plan is ‘‘satisfactory,’’ that is, whether
the components of the plan meet all the
requirements of the statute, these
implementing regulations, and the
corresponding EG, through a proposed
notice-and-comment rulemaking. After
the EPA reviews comments on the
proposed action, the EPA will finalize
its action to approve or disapprove the
plan. If the EPA approves a state plan,
the standards of performance and other
components of that state plan become
federally enforceable. If the state plan is
disapproved, in part or in whole, the
EPA is obligated to promulgate a
Federal plan for designated facilities
within that state (see section III.A.4 of
this preamble below for the EPA’s
timeline to publish a Federal plan).
Subpart B requires the EPA to take
action on applicable state plans (e.g.,
approve or disapprove) within 4 months
after the date required for submission.
40 CFR 60.27(b). In the development of
subpart Ba, the EPA contended that 4
months was an inadequate time to
review and take action on state plans
and therefore instead provided a
deadline of 12 months for final action
on a state plan (mirroring the maximum
time permitted under CAA section
110(k)(1)(2) for the EPA’s action on
complete SIPs). 84 FR 32520, July 8,
2019. In the ALA decision, the D.C.
Circuit vacated this revised timeline in
subpart Ba on the basis that the EPA did
not adequately justify the extended
timeframes and did not consider the
public health and welfare impacts of
extending the implementation times. As
is discussed below, the EPA has now
closely evaluated the process, steps, and
timeframes for the EPA to substantively
review and act upon each state plan
submission through a public notice-andcomment rulemaking process. After
considering the time anticipated to be
necessary for generally expeditious EPA
action on state plans, the EPA is again
proposing to require that it must take
final action on a state plan or plan
revision submission within 12 months
after a plan is determined to be
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complete or becomes complete by
operation of law.13
The first step of the EPA acting on a
plan is that once a state plan submittal
has been deemed ‘‘complete’’ under 40
CFR 60.27a(g), an intra-agency
workgroup reviews the plan
components to determine whether they
conform to the applicable regulatory
requirements. The workgroup may
require a broad range of expertise in
legal, technical, and policy areas,
potentially including attorneys,
engineers, scientists, economists, air
monitoring experts, health and welfare
analysts, and/or policy analysts from
across a variety of EPA programs. After
review and coordination, the workgroup
then develops recommendations for
approval or disapproval of each plan
component and presents them to
Agency decision-makers for review.
Once the Agency completes its internal
decision-making process, the workgroup
proceeds to prepare a written notice of
proposed rulemaking. The notice of
proposed rulemaking contains the EPA’s
legal, policy, and technical bases for its
proposed action on a state plan
submission, which must be thoroughly
developed and explained in writing to
provide clear and concise information
and reasoning to support the public in
understanding the Agency’s decision
and the justification for that decision,
and so that the public may provide
informed comments on the proposal.
The EPA may further develop technical
support documents as record support
for the proposal. The draft proposed
rulemaking and any record support then
undergo a multi-layered review process
across EPA offices and levels of
management before being processed for
signature. The process to evaluate the
state plan, draft a proposed action on a
CAA section 111(d) state plan, and get
the proposed action edited, reviewed,
and signed typically requires a
minimum of between 6 to 8 months to
complete. The signed notice of proposed
rulemaking is then submitted for
publication in the Federal Register,
which may require several weeks
processing prior to publication.
The publication of the proposed
rulemaking triggers the start of a public
comment period of at least 30 days with
possible extension if requested. Because
of the types of sources and pollutants
regulated under CAA section 111(d), the
EPA reasonably anticipates that many of
its proposed actions on state plans will
garner significant public interest from
individuals, industry, states, and
13 The deadlines for the EPA action under subpart
Ba would apply to any state plan submission
regardless of when it is submitted.
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environmental and public health
advocates. After completion of the
comment period, the EPA then reviews
all comments and determines whether,
based on any comment, it should alter
its proposed action or further augment
the legal, policy, and technical
rationales supporting that action.
Comments received on a proposed
action may include technical
information that was not available to the
EPA at the time of proposal. In the event
technical data are received as part of
comments on the proposed action, the
EPA would then be required to review
the new data and evaluate whether and
how it should affect the EPA’s proposed
conclusions regarding the state plan. If
a substantive comment is raised that
merits reconsideration of the EPA’s
proposed action, the EPA may
determine that it is necessary to revise
and repropose its action on the state
plan or it may go to the state for more
information to help the Agency
determine how to proceed.
Once this review of comments is
complete, the workgroup drafts and
presents updated recommendations for
action for internal review and
consideration by Agency decisionmakers. Once the Agency completes its
internal decision-making process, the
workgroup then drafts a notice of final
rulemaking on the plan submission,
which includes responses to comments,
any necessary record support, and may
also include final regulatory text. The
draft final action is then reviewed by
senior management and other interested
EPA offices within the Agency prior to
signature of the final rulemaking
approving or disapproving, in whole or
in part, a state plan. It is reasonable to
permit at least 4 to 7 months for
evaluation of the comments received,
any necessary technical analysis,
decision-making, and drafting and
review of the final action.
The duration of each step in this
deliberative process varies. The amount
of time the EPA needs to review a state
plan submission and the time it needs
to finalize a notice of proposed
rulemaking, depends in part on the
plan’s complexity and the nature of the
technical, policy, and legal issues that it
implicates. For example, a state plan
submission that invokes RULOF for
several designated facilities is more
complex and time consuming to review
than a plan that simply establishes
standards of performance reflecting the
presumptive level of stringency for all
sources. Similarly, the amount of time
needed to respond to comments and
issue a final rulemaking depends in part
on the number and type of comments
received on the EPA’s proposed
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rulemaking. Additionally, the EPA
reasonably anticipates that it will be
required to review multiple plan
submissions at a given time, and these
phases of review for a given plan are
impacted by the EPA’s review of other
state plan submissions, as the EPA will
need to assure its review across multiple
plans and regional offices is consistent
from a legal, technical, and policy
perspective.
The EPA finds 12 months is a
reasonably expeditious timeframe to
accommodate the EPA to act on a state
plan or plan revision submission and
the considerations described above,
while ensuring that an EG is
expeditiously implemented. The
process and steps described above
highlight the fact that it would be
unreasonable, if not impossible, to
accomplish all of the steps in a legally
and technically sound manner within a
4-month timeframe as required under
subpart B. Particularly, the EPA’s
proposed action has to be open for
public comment for at least 30 days,
therefore the 4-month timeline provided
in subpart B only gives the EPA 3
months to do the substantive work of
both the proposed and final actions,
including evaluating the state plan
submission, drafting preamble notices,
responding to comments, and
developing record support at both the
proposed and final action stages. A 12month timeframe after a plan is
determined to be complete more
reasonably accommodates the process
and steps described above.14
The EPA recognizes that the court in
ALA faulted the Agency for failing to
consider the potential impacts to public
health and welfare associated with
extending planning deadlines. The EPA
does not interpret the court’s direction
to require a quantitative measure of
impact, but rather consideration of the
importance of the public health and
welfare goals of CAA section 111(d)
when determining appropriate
deadlines. Because 12 months is an
adequate period of time in which the
EPA can both expeditiously act on a
plan submission and ensure that its
action is technically and legally sound,
it follows that the EPA has
appropriately considered the potential
impacts to public health and welfare
associated with this extension of time
by providing no more time than the EPA
reasonably needs to ensure a plan
14 While the EPA would have the discretion to act
on a state’s submission more quickly than 12
months where specific circumstances allow (e.g.,
where there are no public comments on the
proposed action), the EPA does not believe that it
would be reasonably possible to act significantly
more quickly than 12 months in most cases.
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submission contains appropriate and
protective emission reduction measures.
If the EPA does not have adequate time
to evaluate a state plan submission, its
ability to ensure the plan contains
appropriate measures to satisfactorily
implement and enforce the standards
necessary to comply with the EG may be
compromised, which would in turn
compromise the EPA’s ability to ensure
that the public health and welfare
objectives of the EG are satisfied.
The EPA is soliciting comment
regarding its rationale for proposing a
12-month timeframe for the EPA’s
action on a complete state plan or plan
revision submission, including whether
there are reasons that the EPA should
consider either a longer or a shorter
timeframe (Comment A3–1). The EPA
notes that this timeframe for the EPA’s
action on complete state plan
submission would apply to any final EG
regulating greenhouse gas emissions
from sources in the oil and natural gas
industry. 86 FR 63110, November 15,
2021.
4. Timeline for the EPA To Promulgate
a Federal Plan
CAA section 111(d)(2) provides that
the EPA has the same authority to
prescribe a Federal plan for a state that
fails to submit a satisfactory plan as it
does for promulgating a FIP under CAA
section 110(c). Accordingly, the EPA’s
obligation to promulgate a Federal plan
is triggered in three situations: where a
state does not submit a plan by the plan
submission deadline; where the EPA
determines a portion or all of a state
plan submission did not meet the
completeness criteria and the time
period for state plan submission has
elapsed and, therefore, the state is
treated as having not submitted a
required plan; and where the EPA
disapproves a state’s plan. 40 CFR
20.27a(c). In the first two instances of
triggering a Federal plan, the EPA is
proposing to require that its timeline to
promulgate a Federal plan for those
states would begin the day after the state
plan is due.15 In the third instance, the
15 The EPA has discretion to address its obligation
to promulgate a Federal plan in a variety of ways
for states that do not have an approved state plan.
For example the EPA may initially promulgate a
single Federal plan that applies to all appropriate
states and then update that Federal plan as
necessary to accommodate the inclusion of other
states that trigger the need for a Federal plan in the
future (e.g., a Federal plan that applies to states that
fail to submit a plan can be updated to include
applicability for states that later have a plan
disapproved); or the EPA may promulgate Federal
plans each time its authority to do so has been
triggered (e.g., the EPA will promulgate a Federal
plan for all states that fail to submit a plan and
another Federal plan for all states that have their
plan disapproved).
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EPA is proposing to require that its
timeline to promulgate a Federal plan
would begin at its disapproval of the
state’s plan.
The original implementing
regulations in subpart B provided the
EPA with 6 months to promulgate a
Federal plan once its obligation to do so
was triggered. 40 CFR 60.27(d). When
the EPA promulgated subpart Ba in
2019, it concluded that this amount of
time was insufficient and consequently
extended the time for the EPA to
promulgate a Federal plan to 24 months,
mirroring the timeframe permitted for
promulgation of a FIP under CAA
section 110. 84 FR 32520, July 8, 2019.
In the ALA decision, the D.C. Circuit
vacated this revised timeline in subpart
Ba on the basis that the EPA did not
adequately justify the extended
timeframe and did not consider the
health and welfare impacts of extending
the implementation timeframe.
In this action, the EPA reevaluated the
process, steps, and timeframes for the
EPA to promulgate a Federal plan
through a public notice-and-comment
rulemaking process.16 Based on this
assessment as presented below, the EPA
is proposing to require that it
promulgate a Federal plan within 12
months after either the date required for
submission of a state plan (for states that
fail to submit a complete plan) or the
date the EPA disapproves a state’s plan.
The EPA is also proposing a change to
the trigger for the EPA’s obligation and
timeline to provide a Federal plan for
states that do not submit a timely plan
16 The EPA reviewed the information available in
40 CFR part 62 associated with the promulgation of
Federal Plans under CAA section 111(d). The
supporting information reviewed is available at
Docket ID No. EPA–HQ–OAR–2021–0527. Under
the provisions of CAA section 111 and subpart B,
the EPA promulgated Federal plans for municipal
solid waste landfills EG 40 CFR part 60 subpart Cc
(Federal plan codified at 40 CFR part 62 subpart
GGG) and municipal solid waste landfills EG 40
CFR part 60 subpart Cf (Federal plan codified at 40
CFR part 62 subpart OOO).
The EPA also reviewed information available in
40 CFR part 62 associated with the promulgation of
Federal Plans under CAA 129. The supporting
information reviewed is available at Docket ID No.
EPA–HQ–OAR–2021–0527. Under the provisions of
CAA sections 111 and 129 and subpart B, the EPA
has promulgated Federal plans for large municipal
waste combustors EG 40 CFR part 60 subpart Cb
(Federal plan codified at 40 CFR part 62 subpart
FFF); small municipal waste combustors EG 40 CFR
part 60 subpart BBBB (Federal plan codified at 40
CFR part 62 subpart JJJ); hospital, medical, and
infectious waste incinerators EG 40 CFR part 60
subpart Ce (Federal plan codified at 40 CFR part 62
subpart HHH); commercial and industrial solid
waste incinerators EG 40 CFR part 60 subpart DDDD
(Federal plan codified at 40 CFR part 62 subpart III)
and sewage sludge incinerators EG 40 CFR part 60
subpart MMMM (Federal plan codified at 40 CFR
part 62 subpart LLL).
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and that discussion is found in section
III.B of this preamble.
A Federal plan must meet the
requirements of CAA section 111(d) and
therefore contain the same components
as a state plan, namely standards of
performance for designated facilities
and measures that provide for the
implementation and enforcement of
such standards. CAA section
111(d)(2)(B) also explicitly requires the
EPA to consider RULOF in
promulgating a standard of performance
under a Federal plan. Additionally,
Federal plans containing standards of
performance are subject to the
procedural requirements of CAA section
307(d), such as the requirements for
proposed rulemaking and opportunity
for public hearing. CAA section
307(d)(1)(C). 40 CFR 60.27a implements
these various statutory requirements
and contains general regulatory
requirements for the EPA’s
promulgation of a Federal plan. To meet
these applicable requirements, the
process, and steps for the EPA to
promulgate a Federal plan is described
in the following paragraphs.
Once the EPA’s obligation to
promulgate a Federal plan is triggered,
the EPA establishes an intra-agency
workgroup to develop the rulemaking
action to address that obligation. The
workgroup first develops
recommendations for the components of
the Federal plan to be proposed, and on
legal, policy, and technical rationales
that support the recommendations.
These components are identified in
subpart Ba as well as in the
corresponding EG and are generally the
same as those required for a state plan.
One of these fundamental components
is the determination of standards of
performance for designated facilities.
Based on the requirements of CAA
sections 111(d) and 111(a)(1), these
standards must generally reflect the
presumptive level of stringency the EPA
determines as part of the EG. Depending
on the form of the presumptive level of
stringency given in a particular EG, the
EPA may need to do additional work to
calculate standards of performance that
reflect this level of stringency. For
example, an EG may provide the
presumptive level of stringency as
numerical emission rates, which a
Federal plan could adopt as the
requisite standards of performance.
However, if an EG provides the
presumptive level of stringency in a
form other than numerical standards,
the EPA may need to calculate
appropriate standards of performance in
the context of a Federal plan. Further,
CAA section 111(d)(2) requires the EPA
to consider RULOF for sources in the
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source category in setting standards of
performance as part of a Federal plan
which requires the EPA, at least, to
identify and evaluate the remaining
useful lives, among other appropriate
factors, and accordingly establish
corresponding standards of
performance. The development of a
Federal plan may also necessitate a
determination of appropriate testing,
monitoring, reporting, and
recordkeeping requirements to
implement the standard if the EG does
not provide presumptive requirements
to address those aspects of
implementation. Further, the EPA will
need to consider associated compliance
times for designated facilities in
circumstances where they are not
provided by an EG, or in cases where a
standard of performance is adjusted to
account for RULOF. There may also be
situations where increments of progress
are warranted, and the EPA will
correspondingly need to identify and
determine the appropriate increments of
progress. The development of a Federal
plan with these components will also
include the element of meaningful
engagement, as being proposed in this
action and further described in section
III.C of this preamble.
Once the recommendations for each
component are developed, the
workgroup presents them to Agency
decision-makers for review. After the
Agency completes its internal decisionmaking process, the workgroup
proceeds to prepare a written notice of
proposed rulemaking. The proposal
must include the following elements, as
required by CAA section 307(d)(3): the
factual data on which the proposed
rulemaking is based; the methodology
used in obtaining the data and in
analyzing the data; and the major legal
interpretations and policy
considerations underlying the proposed
rulemaking. These elements must be
thoroughly developed and explained in
the proposal to meaningfully provide
the public adequate information to
comment on the proposal. The EPA may
further develop a technical support
document as record support for the
proposal.
The draft proposed rulemaking and
any record support are then reviewed by
the relevant EPA offices and processed
for signature. The signed notice of
proposed rulemaking is then submitted
for publication in the Federal Register.
To develop the proposed Federal plan
rulemaking, establish unique standards
for RULOF, allow review of materials by
senior management, go through an
interagency review process and have the
package signed typically requires a
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minimum of between six to 9 months to
complete.
As previously noted, the EPA’s
promulgation of a Federal plan is
subject to the requirements of CAA
section 307(d), which includes
providing the public with an
opportunity to provide an oral
presentation at a public hearing. CAA
section 307(d)(5). The Federal Register
Act requires the EPA to provide
sufficient notice of a public hearing,
which (in the absence of a different time
specifically prescribed by the relevant
Act of Congress) is satisfied if the EPA
provides at least 15 days’ notice. 44
U.S.C. 1508. Section 307(d)(5) of the
CAA further provides that the EPA must
keep the record for the proposed action
open for public comment for 30 days
after any public hearing for the
submission of rebuttal and
supplemental information. Because the
EPA reasonably expects to provide
notice of the required public hearing at
the time its proposed action is
published in the Federal Register, in
order to allow for both a 15-day notice
of the public hearing and a subsequent
30-day comment period on the open
record, the EPA should allow for at least
45 days for public comment on the
notice of proposed action.
As with state plans, because of the
types of sources and pollutants
regulated under CAA section 111(d), the
EPA reasonably anticipates that many of
its proposed actions on a Federal plan
will garner significant public interest
from individuals, industry, states, and
environmental and public health
advocates. After completion of the
comment period, the EPA then reviews
all comments and determines whether,
based on any comment, it should alter
any components of the proposed
Federal plan, or further augment the
legal, policy, and technical rationales
supporting that proposed action.
Additionally, in the EPA’s experience,
comments may include technical
information that was not in front of the
Agency at the time of proposal. In the
event technical data are received as part
of comments on the proposed action,
the EPA would then be required to
review the new data and evaluate
whether and how it should affect the
EPA’s proposed Federal plan. If a
substantive comment is raised that
merits reconsideration of any
component in the proposed Federal
plan, the EPA would need to repropose
the plan.
Once this review of comments is
complete, the workgroup drafts and
presents updated recommendations for
internal review and decision making.
Once the Agency completes its internal
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decision-making process, the workgroup
then drafts a notice of final rulemaking,
which includes responses to comments
and any necessary record support, and
final regulatory text as the Federal plan
directly regulates certain designated
facilities. The draft final action is then
reviewed by relevant offices within the
Agency prior to signature of the final
rule promulgating the Federal plan. The
EPA typically anticipates that the
process of reviewing comments
received, making corresponding changes
to the rulemaking, and promulgating the
final Federal plan to be between 4 and
8 months.
The duration of each step in this
deliberative process varies. The amount
of time the EPA needs to develop,
propose, and finalize a Federal plan
depends in part of the plan’s complexity
and the nature of the technical, policy,
and legal issues that it implicates. For
example, some states needing a Federal
plan may have thousands, if not
hundreds of thousands, of designated
facilities that the EPA will need to
establish standards of performance and
implementation measures for, while
other Federal plans may be significantly
smaller in scale. Similarly, the amount
of time needed to respond to comments
and issue a final rule depends in part on
the number and type of comments
received on the EPA’s proposed
rulemaking. Additionally, the EPA
reasonably anticipates that it may need
to promulgate a Federal plan for
multiple states at a given time, which
can amplify the amount of time and
work needed.
The EPA has determined that 12
months reasonably accommodates the
amount of time that the EPA needs to
undertake the process, steps, and the
considerations described above, while
ensuring that an EG is expeditiously
implemented. The process and steps
described above that must be taken in
promulgating a Federal plan highlight
the fact that it would be unreasonable,
if not an impossibility, to accomplish all
of the steps in a legally and technically
sound manner within a 6-month
timeframe as required under subpart
B.17
As with the EPA’s proposal for its
timeline to act on state plan
submissions, 12 months is generally the
period of time in which the EPA can
both expeditiously act on a plan
submission and ensure it is technically
17 While the EPA would have the discretion to
promulgate a Federal plan more quickly than 12
months where specific circumstances allow (e.g.,
where there are no public comments on the
proposed action), the EPA does not believe that
would be reasonably possible to act significantly
more quickly than 12 months in most cases.
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and legally sound. Therefore, this
extension of time considers potential
impacts to public health and welfare by
giving the EPA a reasonably expeditious
timeframe to promulgate a Federal plan
that contains appropriate and protective
emission reduction measures. This is
especially true in the context of a
Federal plan, where there is otherwise
no state plan in place that is adequately
protective of public health and welfare.
If the EPA does not have adequate time
to promulgate a Federal plan, its ability
to ensure the plan contains appropriate
measures to satisfactorily implement
and enforce the standards necessary to
comply with the EG may be
compromised, which would in turn
compromise the EPA’s ability to ensure
that the public health and welfare
objectives of the EG are satisfied.
The EPA is soliciting comment
regarding its rationale for proposing a
12-month timeframe for the EPA’s
promulgation of a Federal plan,
including whether there are reasons
why the EPA should consider either a
longer or a shorter timeframe (Comment
A4–1). The EPA notes that this
timeframe for the EPA’s promulgation of
a Federal plan would apply to any final
EG regulating greenhouse gas emissions
from sources in the oil and natural gas
industry. 86 FR 63110, November 15,
2021.
The EPA notes that a state may submit
a plan to replace a Federal plan, even
after the state plan submission deadline.
However, once the EPA’s authority and
obligation to promulgate a Federal plan
has been triggered, the act of a state
submitting a plan alone does not
abrogate the EPA’s authority or
obligatory timeline to promulgate a
Federal plan. Only an approved state
plan can supplant an already
promulgated Federal plan or abrogate
the EPA’s responsibility to timely
promulgate a Federal plan. Where a
state submits a late plan, that may have
the practical effect of concurrent
timelines for promulgation of the
Federal plan and the EPA’s action on
that late state plan; the EPA is not
obligated to act on a late state plan prior
to promulgating a Federal plan (40 CFR
60.27a(d)).
5. Timeline for Increments of Progress
As part of the EPA’s statutory
responsibility to determine the BSER
and related presumptive level of
stringency, the EPA also determines in
an EG ‘‘the time within which
compliance with standards of
performance can be achieved.’’ 40 CFR
60.22a(b)(5). As previously described,
while it is the states’ responsibility to
provide standards of performance, those
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standards of performance must reflect
the presumptive level of stringency,
unless a state chooses to account for
RULOF for a particular source.
Accordingly, states also have an
obligation to include the corresponding
compliance schedules as part of their
state plans.18 Specifically the standards
and compliance schedules ‘‘shall be no
less stringent than the corresponding
emission guideline’’ (40 CFR 60.24a(c))
unless the RULOF provision is invoked
(see section III.E of this preamble for
discussion of proposed revisions to this
provision). These compliance schedules
are an integral component to realizing
the emission reductions required by an
EG to address the health and welfare
impacts from a relevant source category
and pollutant. The sooner that the
standards are implemented, the more
quickly the public health and welfare
benefits of those reductions can be
achieved.
In the 1975 subpart B implementing
regulations for CAA section 111(d), the
EPA required that any compliance
schedule extending more than 12
months from the date required for
submittal of the plan must include
legally enforceable increments of
progress to achieve compliance for each
designated facility or category of
facilities. 40 CFR 60.24(e). In the 2019
promulgation of subpart Ba, the EPA
modified this requirement to apply to
any compliance schedule extending
more than 24 months from the state plan
submittal deadline to align with the
extended timeline for state plan
submissions. As discussed previously,
the D.C. Circuit vacated the extended
implementation timelines in subpart Ba,
including the timeline for increments of
progress.19
Both subparts B and Ba require that
standards of performance are
implemented in a timely manner
through provisions that require legally
enforceable increments of progress if the
compliance schedule extends beyond a
specific time frame.20 In the definition
of ‘‘increments of progress’’, the EPA
provides requirements for legally
enforceable increments of progress that
states must include as a part of the
standard of performance for a given
designated facility.21 The use of
increments of progress will vary from
EG to EG based on the source category
and type of regulation. There are also
situations that may lead the EPA to limit
or prohibit the use of increments of
progress in a particular EG based on the
nature of the BSER and presumptive
standards, for example if the overall
implementation timeline for a particular
EG is relatively short. The EPA may
alternatively provide presumptive
increments of progress for a specific EG.
The EPA will address these
circumstances as appropriate in a
specific EG, if the general requirements
for increments of progress of subpart Ba
need to be superseded.
Because increments of progress are
important to expeditiously addressing
public health and welfare, the EPA is
proposing to generally require that any
compliance schedule extending more
than 16 months from the date required
for submittal of a state plan must
include legally enforceable increments
of progress to achieve compliance for
each designated facility or category of
facilities. This proposed time period
accounts for the 60-day completeness
review following a state plan submittal
and the 12-month period for the state
plan review proposed in this action, and
further provides a 2-month buffer for the
case of a state plan approval by the EPA
(approval occurring 14 months after the
plan submission deadline) before
increments of progress are required.
While this time period of 16 months is
longer than the 12 months previously
provided under subpart B, it is
significantly shorter than the 24 months
vacated from subpart Ba. Additionally,
the time between a state plan approval
and the initiation of requirements for
increments of progress is less than both
the 8 months previously provided by
subpart B and less than the 6-month
buffer provided by the vacated subpart
Ba timeline. Providing a 2-month buffer
after approval of plans but before the
increments of progress are required
allows for the owner or operators of
designated facilities reasonable time to
initiate actions associated with the
increments of progress before these are
required.
This proposed timeline for increments
of progress will ensure standards of
performance are implemented as
18 ‘‘Each plan shall include standards of
performance and compliance schedules.’’ 40 CFR
60.24a(a).
19 Petitioners did not challenge, and the court did
not vacate, the substantive requirement for
increments of progress.
20 Subpart Ba at 40 CFR 60.24a(a) and 60.24a(d),
and subpart B at 40 CFR 60.24(a) and 60.24(e)(1).
21 40 CFR 60.21a(h) defines ‘‘increments of
progress’’ and requires states to include the
following steps: (1) Submittal of a final control plan
for the designated facility to the appropriate air
pollution control agency; (2) Awarding of contracts
for emission control systems or for process
modifications, or issuance of orders for the
purchase of component parts to accomplish
emission control or process modification; (3)
Initiation of on-site construction or installation of
emission control equipment or process change; (4)
Completion of on-site construction or installation of
emission control equipment or process change; and
(5) Final compliance.
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expeditiously as possible so that the
intended emission reductions are
achieved, and the public health and
welfare are protected. The EPA solicits
comment on the proposed requirement
that CAA 111(d) plans include
increments of progress for any
compliance schedule extending more
than 16 months from the state plan
submission deadline, and whether a
different timeline for increments of
progress should be considered. If
another timeline is considered, the EPA
requests specific comments on why this
other timeline is more appropriate than
16 months (Comment A5–1).
B. Federal Plan Authority and Timeline
Upon Failure To Submit a Plan
In subpart Ba, the EPA incorporated
language from CAA sections
110(c)(1)(A) and 110(k)(1)(B) addressing
the circumstances which trigger the
EPA’s authority for promulgating a
Federal plan. Specifically, the EPA
adopted language at 40 CFR
60.27a(c)(1), which requires the EPA to
promulgate a Federal plan after it finds
that a state fails to submit a required
plan or plan revision or finds that the
plan or plan revision does not satisfy
the completeness criteria under 40 CFR
60.27a(g). The EPA is currently
required, under 40 CFR 60.27a(g), to
determine whether completeness
criteria have been met no later than 6
months after the date by which a state
is required to submit a plan. These
current provisions under subpart Ba
taken together mean that, no later than
6 months after the state plan submission
deadline has passed, the EPA must
make a determination (often referred to
as a ‘‘finding of failure to submit’’) as to
whether any states have failed to submit
a plan that meets the completeness
criteria, and such finding is what
triggers the EPA’s obligation and
timeline to promulgate a Federal plan.22
The EPA acknowledges that in the
CAA section 110 context, it has not
always timely met its obligation to issue
a finding of failure to submit, which
further delays the timing for when the
EPA promulgates a FIP to achieve the
necessary emission reductions.
Accordingly, the EPA finds that there is
an opportunity to streamline the process
in the CAA section 111(d) context to
ensure that the emission reductions
anticipated by the promulgation of the
EG are realized in a timely way through
22 Note that this procedure does not address
circumstances when the EPA promulgates a Federal
plan for states whose plan is disapproved. In these
circumstances, the EPA’s disapproval itself is the
conclusion that the state plan submission was
unsatisfactory and triggers the EPA’s obligation and
timeline to promulgate a Federal plan.
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the promulgation of any necessary
Federal plan. Rather than requiring the
EPA to affirmatively issue a finding of
failure to submit before the EPA’s
obligation to issue a Federal plan is
triggered, the EPA is proposing that the
EPA’s timeline for issuing a Federal
plan for any state that has not submitted
a complete plan will be triggered by the
state plan submission deadline,
consistent with the requirements under
subpart B. In this proposed change for
subpart Ba, the EPA’s obligation and
timeline to promulgate a Federal plan
starts the day after state plans are due.
Accordingly, based on the proposed
timeline described in section III.A.4 of
this preamble above, the EPA is
proposing that the EPA will have 12
months from the state plan deadline to
promulgate a Federal plan for states that
do not submit a plan. Note, the EPA is
also proposing 12 months to promulgate
a Federal plan for states whose plans are
disapproved, but in those instances the
EPA’s obligation and timeline to
provide a Federal plan is based on its
disapproval of a state plan.
As part of this proposal to trigger the
timeline for the EPA to promulgate a
Federal plan based on the state plan
submission date instead of from when
the EPA makes a finding of failure to
submit, the EPA considered the value
and role of such finding. A finding of
failure to submit was intended to serve
three purposes under subpart Ba,
consistent with its purpose under CAA
section 110: to notify the public of the
status of state plan submissions (i.e.,
providing transparency to the process);
to notify states that the EPA has not
received a plan; and to formally start the
clock for the EPA to promulgate a
Federal plan. While these concepts are
generally an important part of the
overall Federal plan development and
implementation process, the EPA finds
that in the CAA section 111(d) context
there is minimal value in coupling the
notification aspects of a finding of
failure with the initiation of the clock
for the EPA to promulgate a Federal
plan. These aspects are not inextricably
linked to one another in that nothing
necessitates a finding of failure to
submit as the vehicle that triggers the
timeline for the EPA to promulgate a
Federal plan. By decoupling the
timeline from the finding of failure to
submit, the timeline to provide a
Federal plan by the EPA can be
triggered without the interim step and
potential lag associated with a finding of
failure to submit. By removing this
interim process for promulgating a
Federal plan, the EPA will be required
to promulgate the Federal plan more
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expeditiously, and, in turn, overall
implementation of the corresponding
EG will be timelier. This proposal is
also consistent with the spirit of the
ALA decision, where the D.C. Circuit
emphasized the need for
implementation timelines that consider
potential impacts on public health and
welfare. By expeditiously and efficiently
promulgating a Federal plan and by
removing an interim step of a finding of
failure, the EPA is further addressing
the potential impacts of implementation
times on health and welfare.
The EPA notes that its proposal does
not affect the EPA’s obligation under
CAA section 110(c) to promulgate a FIP
within 2 years of making a finding that
a state has failed to submit a complete
SIP. In the case of the CAA section 110,
the obligation for the EPA to first make
a finding of failure to submit is derived
from the statute, whereas nothing in
CAA section 111(d) obligates the EPA to
make such a finding before
promulgating a Federal plan. CAA
section 111(d)(1) directs the EPA to
promulgate a process ‘‘similar’’ to that
of CAA section 110, rather than a
process that is identical. Therefore, the
fact that a finding of failure to submit
serves as the legal predicate for the
EPA’s obligation to issue a FIP under
CAA section 110 does not mean that the
EPA is also required to treat such a
finding as a legal predicate for a Federal
plan under CAA section 111(d). While
a finding of failure to submit has value
in notifying states and the public of the
status of plans, the EPA does not find
that it is integral to the timing of
promulgating a Federal plan for states
that do not submit plans. The EPA is
therefore proposing to retain the
requirement to make a finding of failure
to submit, though this finding will no
longer be considered the event that
triggers the timeline for the EPA’s
issuance of a Federal plan. The EPA will
make this finding by publishing a notice
in the Federal Register anytime between
the deadline for state plan submissions
and the EPA’s promulgation of a Federal
plan. The EPA is soliciting comment on
its proposal to link the authority and
timeline for a Federal plan to the state
plan deadline rather than to a finding of
failure to submit (Comment B–1).
This proposed change is consistent
with the requirements that applied to
the EPA’s issuance of CAA section
111(d) plans under subpart B before
subpart Ba was issued in 2019. In
subpart B (i.e., the previously applicable
implementing regulations for CAA
section 111(d) EGs and currently
applicable implementing regulations for
CAA section 129 EGs), the EPA’s
obligation to promulgate a Federal plan
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is triggered by the state plan deadline.
The EPA is proposing to revise 40 CFR
60.27a(c)(1) to adopt similar language
from subpart B under 40 CFR 60.27(d).
The EPA is seeking comment on its
proposal to link the authority and
timeline for a Federal plan to the state
plan deadline particularly based on
experiences with the application of
subpart B’s Federal plan authority to
CAA section 129 implementation and
other Federal plans issued under CAA
section 111(d) where the authority and
timeline for a Federal plan are based on
the state plan deadline (Comment B–2).
C. Requirement for Outreach and
Meaningful Engagement
The fundamental purpose of CAA
section 111 is to reduce emissions from
certain stationary sources that cause or
significantly contribute to air pollution
which may reasonably be anticipated to
endanger public health or welfare.
Therefore, a key consideration in the
state’s development of a state plan, in
any significant plan revision,23 and in
the EPA’s development of a Federal
plan pursuant to an EG promulgated
under CAA section 111(d) is the
potential impact of the proposed plan
requirements on public health and
welfare. A robust and meaningful public
participation process during plan
development is critical to ensuring that
the full range of these impacts are
understood and considered.
States often rely primarily on public
hearings as the foundation of their
public engagement in their state plan
development process because a public
hearing is explicitly required pursuant
to the applicable regulations. The
existing provisions in subpart Ba (40
CFR 60.23a(c) through (f)) detail the
public participation requirements
associated with the development of a
state plan. Per these implementing
regulations, states must provide certain
notice of, and conduct one or more
public hearings on, their state plan
before such plan is adopted and
submitted to the EPA for review and
action.24 However, robust and
meaningful public involvement in the
development of a plan should
sometimes go beyond the minimum
requirement to hold a public hearing
depending on who is most affected by
and vulnerable to the impacts being
addressed by the plan. The CAA section
111(d) program addresses existing
23 Significant state plan revision includes, but is
not limited to, any revision to standards of
performance or to measures that provide for the
implementation or enforcement of such standards.
24 States may cancel a public hearing if no request
for one is received during the required notification
period. 40 CFR 60.23a(e).
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facilities; however, communities may
not have had a voice when the source
was originally constructed, or previous
outreach may have focused largely on
engaging the sources and the industry
itself.
In this action, the EPA is proposing to
strengthen the public participation
provisions in subpart Ba by requiring
meaningful engagement with pertinent
stakeholders in the state’s development
of a state plan, in any significant plan
revision, and in the EPA’s development
of a Federal plan pursuant to an EG
promulgated under CAA section 111(d).
In particular, the EPA is proposing to
add the requirement for meaningful
engagement with pertinent stakeholders
into 40 CFR 60.23a(i) and 60.27a(f) and
to define meaningful engagement and
pertinent stakeholders in 40 CFR 60.21a.
The EPA is proposing to define
meaningful engagement as it applies to
this subpart as ‘‘. . . timely engagement
with pertinent stakeholder
representation in the plan development
or plan revision process. Such
engagement must not be
disproportionate in favor of certain
stakeholders. It must include the
development of public participation
strategies to overcome linguistic,
cultural, institutional, geographic, and
other barriers to participation to assure
pertinent stakeholder representation,
recognizing that diverse constituencies
may be present within any particular
stakeholder community. It must include
early outreach, sharing information, and
soliciting input on the state plan.’’ The
EPA is proposing to define that
pertinent stakeholders ‘‘. . . include,
but are not limited to, industry, small
businesses, and communities most
affected by and vulnerable to the
impacts of the plan or plan revision.’’
In particular, pertinent stakeholders
include those who are most affected by
and vulnerable to the health or
environmental impacts of pollution
from the designated facilities addressed
by the plan or plan revision. Increased
vulnerability of communities may be
attributable to, among other reasons,
both an accumulation of negative and
lack of positive environmental, health,
economic, or social conditions within
these populations or communities.
Examples of such communities have
historically included, but are not
limited to, communities of color (often
referred to as ‘‘minority’’ communities),
low-income communities, Tribal and
indigenous populations, and
communities in the United States that
potentially experience disproportionate
health or environmental harms and risks
as a result of greater vulnerability to
environmental hazards. Sensitive
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populations (e.g., infants and children,
pregnant women, the elderly,
individuals with disabilities
exacerbated by environmental hazards)
may also be most affected by and
vulnerable to the impacts of the plan or
plan revision depending on the
pollutants or other factors addressed by
an EG. An example of greater
vulnerability to environmental hazards
more generally is populations lacking
the resources and representation to
combat the effects of climate change,
which could include populations
exposed to greater drought or flooding,
or damaged crops, food, and water
supplies.
Tribal communities or communities
in neighboring states may also be
impacted by a state plan and, if so,
should be identified as pertinent
stakeholders. In addition, to the extent
a designated facility would qualify for a
less stringent standard through
consideration of RULOF as described in
section III.E.8 of this preamble, the state,
must identify and engage with the
communities most affected by and
vulnerable to the health and
environmental impacts from the
designated facility considered in a state
plan for RULOF provisions. The EPA
expects that the inclusion of the
definitions of meaningful engagement
and pertinent stakeholders in subpart Ba
provide the States specificity around the
meaningful engagement requirement
while allowing for flexibility in the
implementation of such requirements.
The requirement for meaningful
engagement will ensure that states share
relevant information with and solicit
input from pertinent stakeholders at
critical junctures during plan
development, which helps ensure that a
plan is adequately addressing the
potential impacts to public health and
welfare that are the core concern of CAA
section 111. Meaningful engagement can
provide valuable information regarding
health and welfare impacts experienced
by the public (e.g., reoccurring
respiratory illness, missed work or
school days due to illness associated
with pollution, and other impacts) and
allow regulatory authorities to explore
additional options to improve public
health and welfare. Because the CAA
section 111(d) program is designed to
address widely varying types of air
pollutants that may have very different
types of impacts, from highly localized
to regional or global, ensuring fair and
balanced participation among a broad
set of pertinent stakeholders is critical.
Early engagement is especially
important for those stakeholders
directly impacted by a particular state
plan. In particular, the processes for
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meaningful engagement must allow for
fair and balanced participation and
must allow communities most affected
by and vulnerable to the impacts of a
plan an opportunity to be informed of
and weigh in on that plan.
The EPA’s authority for proposing to
strengthen the public participation
provisions by requiring meaningful
engagement is provided by the authority
of both CAA sections 111(d) and
301(a)(1). Under CAA section 111(d),
one of the EPA’s obligations is to
promulgate a process ‘‘similar’’ to that
of CAA section 110 under which states
submit plans that implement emission
reductions consistent with the BSER.
CAA section 110(a)(1) requires states to
adopt and submit SIPs after ‘‘reasonable
notice and public hearings.’’ The Act
does not define what constitutes
‘‘reasonable notice and public hearings’’
under CAA section 110, and therefore
the EPA may reasonably interpret this
requirement in promulgating a process
under which states submit state plans.
Subpart Ba currently includes certain
requirements for notice and public
hearing under 40 CFR 60.23a(c) through
(f). The notice requirements include
prominent advertisement to the public
of the date, time, and place of the public
hearing, 30 days prior to the date of
such hearing, and the advertisement
requirement may be satisfied through
the internet. Id. at (d). A state may
choose to cancel a public hearing if no
request for one is received during the
required notification period.
The EPA recognizes that a
fundamental purpose of the Act’s notice
and public hearing requirements is for
all affected members of the public, and
not just a particular subset, to
participate in pollution control planning
processes that impact their health and
welfare.25 Accordingly, in order for a
meaningful opportunity for the public to
participate in hearings over CAA section
111(d) state plans, the notice of such
hearings must be reasonably adequate in
its ability to reach affected members of
the public. Many states provide for
notification of public engagement
through the internet, however there
cannot be a presumption that such
notification is adequate in reaching all
those who are impacted by a CAA
section 111(d) state plan and would
25 Consistent with this principle of providing
reasonable notice under the CAA, under programs
other than CAA section 111(d), the EPA similarly
requires states to provide specific notice to an area
affected by a particular proposed action. See, e.g.,
40 CFR 51.161(b)(1) requiring specific notice for an
area affected by a state or local agency’s analysis of
the effect on air quality in the context of the New
Source Review program; 40 CFR 51.102(d)(2), (4),
and (5) requiring specific notice for an area affected
by a CAA section 110 SIP submission.
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benefit the most from participating in a
public hearing. For example, data shows
that as many as 30 million Americans
do not have access to broadband
infrastructure that delivers even
minimally sufficient speeds, and that 25
percent of adults ages 65 and older
report never going online.26 Examples of
prominent advertisement for a public
hearing, in addition to notice through
the internet, may include notice through
newspapers, libraries, schools,
hospitals, travel centers, community
centers, places of worship, gas stations,
convenience stores, casinos, smoke
shops, Tribal Assistance for Needy
Families offices, Indian Health Services,
clinics, and/or other community health
and social services as appropriate for
the emission guideline addressed.
Given the public health and welfare
objectives of CAA section 111(d) in
regulating specific existing sources, it is
reasonable to require meaningful
engagement as part of the state plan
development public participation
process in order to further these
objectives. Additionally, CAA section
301(a)(1) provides that the EPA is
authorized to prescribe such regulations
‘‘as are necessary to carry out [its]
functions under [the CAA].’’ The
proposed meaningful engagement
requirement would effectuate the EPA’s
function under CAA section 111(d) in
prescribing a process under which states
submit plans to implement the statutory
directives of this section. Therefore, the
EPA is proposing additional meaningful
engagement requirements in subpart Ba
to ensure that pertinent stakeholders
have reasonable notice of relevant
information and the opportunity to
participate in the state plan
development throughout the process.
During the state plan process, the EPA
expects states to identify the pertinent
stakeholders, utilizing additional
guidance that will be provided by
applicable EG. In particular, the EG will
provide information on impacts of
designated pollutant emissions that EPA
expects will assist the states in the
identification of their pertinent
stakeholders. As part of efforts to ensure
meaningful engagement, states will
share information and solicit input on
plan development and on any
26 FACT SHEET: Biden-Harris Administration
Mobilizes Resources to Connect Tribal Nations to
Reliable, High-Speed internet (December 22, 2021).
https://www.whitehouse.gov/briefing-room/
statements-releases/2021/12/22/fact-sheet-bidenharris-administration-mobilizes-resources-toconnect-tribal-nations-to-reliable-high-speedinternet/; 7 percent of Americans don’t use the
internet. Who are they? Pew Research Center (April
2, 2021), https://www.pewresearch.org/fact-tank/
2021/04/02/7-of-americans-dont-use-the-internetwho-are-they/.
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accompanying assessments. This
engagement will help ensure that plans
achieve the appropriate level of
emission reductions, that communities
most affected by and vulnerable to the
health and environmental impacts from
the designated facilities share in the
benefits of the state plan, and that these
communities are protected from being
adversely impacted by the plan. In
addition, the EPA recognizes that
emissions from the designated facilities
could cross state and/or Tribal borders,
and therefore may affect communities in
neighboring states or Tribal lands. The
EPA is soliciting comment on the
proposed definitions of pertinent
stakeholders and of meaningful
engagement (Comment C–1) and on the
proposed meaningful engagement
requirement (Comment C–2). The EPA
is also soliciting comment on how
meaningful engagement should apply to
pertinent stakeholders inside and
outside of the borders of the state that
is developing a state plan, for example
if a state should coordinate with the
neighboring state and/or Tribes for
outreach or directly contact the affected
communities (Comment C–3).
To ensure that a robust and
meaningful public engagement process
occurs as the states develop their CAA
section 111(d) plans, the EPA is also
proposing to amend the requirements in
40 CFR 60.27a(g) to include as part of
the completeness criteria the
requirements for states to demonstrate
in their plan submittal how they
provided meaningful engagement with
the pertinent stakeholders. The state
would be required to provide, in their
plan submittal, evidence of meaningful
engagement, including a list of the
pertinent stakeholders, a summary of
engagement conducted, and a summary
of the stakeholder input provided. The
EPA would evaluate the states’
demonstrations regarding meaningful
public engagement as part of its
completeness evaluation of a state plan
submittal. If a state plan submission
does not meet the required elements for
notice and opportunity for public
participation, including requirements
for meaningful engagement, this may be
grounds for the EPA to find the
submission incomplete or to disapprove
the plan. The EPA is soliciting comment
on the proposed inclusion of
meaningful engagement in completeness
criteria for state plan submission,
(Comment C–4), as well as requesting
examples or models of meaningful
engagement performed by states,
including best practices and challenges
(Comment C–5).
The EPA further notes that the
implementing regulations allow a state
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to request the approval of different state
procedures for public participation
pursuant 40 CFR 60.23a(h). The EPA
proposes to require that such alternate
state procedures do not supersede the
meaningful engagement requirements,
so that a state would still be required to
comply with the meaningful
participation requirements even if they
apply for a different procedure than the
other public notice and hearing
requirements under 40 CFR 60.23a. The
EPA is also proposing under 40 CFR
60.23a(i)(1) that states may apply for,
and the EPA may approve, alternate
meaningful engagement procedures if,
in the judgement of the Administrator,
the procedures, although different from
the requirements of this subpart, in fact
provide for adequate notice to and
meaningful participation of the public.
The EPA is soliciting comment on the
distinction between request for approval
of alternate state procedures to meet
public notice and hearing requirements
from those to meet meaningful
engagement, and comment on the
consideration of request for approval of
alternate meaningful engagement
procedures (Comment C–6).
D. Regulatory Mechanisms for State
Plan Implementation
CAA section 111(d)(1) requires the
EPA to promulgate regulations that
establish a procedure ‘‘similar’’ to that
provided by CAA section 110 for each
state to ‘‘submit to [the EPA] a state plan
which . . . establishes standards of
performance . . . and . . . provides for
the implementation and enforcement of
such standards.’’ The EPA reasonably
interprets this provision, particularly
the ‘‘similar’’ clause, as referring to all
the procedural provisions provided in
CAA section 110 which serve the same
purposes of providing useful
flexibilities for states’ and EPA’s actions
that help ensure emission reductions are
appropriately and timely implemented.
The EPA is proposing to incorporate
five regulatory mechanisms as
amendments to the implementing
regulations under 40 CFR part 60,
subpart Ba, governing the processes
under which states submit plans and the
EPA acts on those plans. The regulatory
mechanisms that are being proposed in
this action include: (1) partial approval
and disapproval of state plans by the
EPA; (2) conditional approval of state
plans by the EPA; (3) parallel processing
of plans by the EPA and states; (4) a
mechanism for a state plan call by the
EPA of previously approved state plan
revisions; and (5) an error correction
mechanism for the EPA to revise its
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prior action on a state plan.27 These
mechanisms update the implementing
regulations to better align with the
flexible procedural tools that Congress
added into section 110 of the CAA in
the 1990 Amendments. The EPA is
proposing to adopt and incorporate the
mechanisms into subpart Ba as the EPA
has interpreted and applied them in the
context of CAA section 110.
The interpretation that CAA section
111(d)(1) authorizes the EPA to adopt
procedures ‘‘similar’’ to those under
CAA section 110 for the overall state
plan process, and not just the initial
plan submission process, is
strengthened by the provisions in CAA
section 111(d)(2), which provide that
the EPA has the ‘‘same’’ authority to
enforce state plan requirements as it
does for SIPs under CAA sections 113
and 114, and to promulgate a Federal
plan for a state that has failed to submit
a satisfactory plan, as under CAA
section 110(c). This is because, read
together, CAA section 111(d)(1) and (2)
provide the set of essential procedural
requirements for state and Federal plans
that generally reflect the essential
procedural requirements for SIPs and
FIPs in section 110.28 In that context, it
is reasonable to read CAA section
111(d)(1) as authorizing the EPA to
promulgate procedures for section
111(d) that are comparable to CAA
section 110 procedures for the overall
state plan process, which is associated
with those requirements.
The availability of these five
regulatory mechanisms would
streamline the state plan review and
approval process, accommodate variable
state processes, facilitate cooperative
federalism, further protect public health
and welfare, and generally enhance the
implementation of the CAA section
111(d) program. Together, these
mechanisms provide greater flexibility,
reduce processing time, and have
27 These regulatory mechanisms were proposed to
be added to subpart B in 2015 and largely received
support from states, the public, and stakeholders,
but were never finalized. 80 FR 64965 (October 23,
2015).
28 Compare CAA section 111(d)(1) (requiring
states to submit state plans that include specified
types of measures that, in turn, meet minimum EPA
requirements) and section 111(d)(2) (indicating that
the EPA must review and approve or disapprove
state plans, requiring the EPA to promulgate a
Federal plan if the state does not submit a
satisfactory plan, authorizing the EPA to enforce
state plan measures) with section 110(a)(1)–(2)
(requiring states to submit SIPs that include
specified types of measures that in turn meet
minimum EPA requirements), section 110(k)
(requiring the EPA to review and approve or
disapprove SIPs), section 110(c) (requiring the EPA
to promulgate a FIP if the state does not submit a
plan or the EPA disapproves the state plan) and
113(a)(1) (authorizing the EPA to enforce SIP
measures).
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proven to be very useful tools for the
review and processing of CAA section
110 SIPs. The EPA is seeking comment
from all stakeholders on the
incorporation of these five proposed
mechanisms into subpart Ba (Comment
D–1).
1. Partial Approval and Disapproval
The EPA is proposing a provision
similar to that under CAA section
110(k)(3) for the EPA to partially
approve and partially disapprove
severable portions of a state plan
submitted under CAA section 111(d).
Under CAA section 110(k)(3), ‘‘[i]f a
portion of the plan revision meets all
the applicable requirements of this
chapter, the Administrator may approve
the plan revision in part and disapprove
the plan revision in part. The plan
revision shall not be treated as meeting
the requirements of this chapter until
the Administrator approves the entire
plan revision as complying with the
applicable requirements of this
chapter.’’ Subpart Ba currently
authorizes the EPA to ‘‘approve or
disapprove [the state] plan or revision or
each portion thereof.’’ (40 CFR
60.27a(b)). The EPA proposes to revise
this provision so that it is similar to
CAA section 110(k)(3), providing clarity
on the EPA’s authority to partially
approve plans and the circumstances
under which it may be used.
Pursuant to this proposal, the EPA
may partially approve or partially
disapprove a state plan when portions
of the plan are approvable, but a
discrete, severable portion is not. In
such cases, the purposes of a CAA
section 111(d) EG would be better
served by allowing the state to move
forward with implementing those
portions of the plan that are approvable,
rather than to disapprove the full plan.
This mechanism is consistent with the
ALA decision’s emphasis on ensuring
timely mitigation of harms to public
health and welfare, as problematic parts
of a state plan submission would not
stall the implementation of emission
reductions at designated facilities for
which a portion of a plan could be
approved, thus efficiently reducing the
time from EG promulgation to
implementation of emission reductions
at those facilities.
As proposed, the portion of a state
plan that the EPA may partially approve
must be ‘‘severable.’’ A portion is
severable when: (1) the approvable
portion of the plan does not depend on
or affect the portion of the plan that
cannot be approved, and (2) approving
a portion of the plan without approving
the remainder does not alter the
approved portion of a state plan in any
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way that renders it more stringent than
the state’s intent. See Bethlehem Steel v.
Gorsuch, 742 F.2d 1028, 1034 (7th Cir.
1984). The EPA’s proposed decision to
partially approve and partially
disapprove a plan must go through
notice and comment rulemaking. As a
result, the public will have an
opportunity to submit comment on the
appropriateness and legal application of
this mechanism on a particular state
plan submission. A partial disapproval
of a plan submission would have the
same legal effect as a full disapproval
for purposes of the EPA’s authority
under CAA section 111(d)(2)(A) to
promulgate, for the partially
disapproved portion of the plan, a
Federal plan for the state. See section
III.A.4 of this preamble for proposed
timelines for promulgation of a Federal
plan. If the EPA does promulgate a
Federal plan for a partially disapproved
portion, the state may, at any time,
submit a revised plan to replace that
portion. If the state does so, and the EPA
approves the revised plan, then the EPA
would withdraw the Federal plan for
that state.
This partial approval/disapproval
mechanism also enables states to
submit, and authorizes the EPA to
approve or disapprove, state plans that
are partial in nature and to address only
certain elements of a broader program.
For example, with this mechanism,
states would be able to submit partial
plans intended to replace discrete
portions of a Federal plan, where
appropriate. As proposed, partial
submittals must meet all completeness
criteria.
The EPA is soliciting comment on the
reasonableness and appropriateness of
this proposed partial approval/
disapproval mechanism as described in
this section (Comment D1–1).
2. Conditional Approval
The EPA is proposing a mechanism
analogous to the authority under CAA
section 110(k)(4) to grant the EPA the
ability to conditionally approve a state
plan under CAA section 111(d). Under
CAA section 110(k)(4), ‘‘[t]he
Administrator may approve a plan
revision based on a commitment of the
State to adopt specific enforceable
measures by a date certain, but not later
than 1 year after the date of approval of
the plan revision. Any such conditional
approval shall be treated as a
disapproval if the State fails to comply
with such commitment.’’ This provision
authorizes the EPA to conditionally
approve a plan submission that
substantially meets the requirements of
an EG but that requires some additional,
specified revisions to be fully
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approvable. For the EPA to
conditionally approve a submission, the
state Governor or their designee must
commit to adopt and submit specific
enforceable provisions to remedy the
stipulated plan deficiency. The
provisions required to be submitted by
the state pursuant to a conditional
approval would be treated as an
obligation to submit a plan revision and
be subject to the same processes and
timeframes for the EPA action as other
plan revisions (e.g., completeness
determination, approval and/or
disapproval). The EPA proposes that the
state be required to commit to adopt and
submit the necessary revisions to the
EPA no later than 1 year from the
effective date of the conditional
approval.
As proposed, if the state fails to meet
its commitment to submit the measures
within 1 year, the conditional approval
automatically converts to a disapproval.
If a conditionally approved state plan
converts to a disapproval due to either
the failure of the state to submit the
required measures or if the EPA finds
the submitted measures to be
unsatisfactory, such disapproval would
be grounds for implementation of a
Federal plan under CAA section
111(d)(2)(A). The EPA will publish a
notice in the Federal Register and, if
appropriate, on the public website
established for the EG notifying the
public that the conditional approval is
converted to a disapproval. As
described in section III.A.4 of this
preamble, the EPA will promulgate a
Federal plan within 12 months of state’s
failure to submit the required measures
or the EPA’s disapproval of measures
submitted to address the conditional
approval.
Incorporating this mechanism under
the implementing regulations for CAA
section 111(d) would have the benefit of
allowing a state with a substantially
complete and approvable program to
begin implementing it, while also
promptly making specific changes that
ensure it fully meets the requirements of
CAA section 111(d) and of the
applicable EGs.
The EPA solicits comment on this
proposed mechanism, including the
timeframe for state adoption and
submission of revisions to address the
deficiencies that serve as the basis for
the conditional approval (Comment D2–
1), and the process and timing for
promulgating a Federal plan if
approvable revisions are not submitted
(Comment D2–2).
3. Parallel Processing
The EPA is proposing to include a
mechanism similar to that for SIPs
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under 40 CFR part 51 appendix V,
section 2.3.1., for parallel processing a
plan that does not meet all of the
administrative completeness criteria
under 40 CFR 60.27a(g)(2). This
streamlined process allows the EPA to
propose approval of such a plan in
parallel with the state completing its
process to fully adopt the plan in
accordance with the required
administrative completeness criteria,
and then allows the EPA to finalize
approval once those criteria have been
fully satisfied.
In order to parallel process a plan, the
EPA proposes to require that the state
must meet the following requirements.
The state must submit the proposed
plan with a letter requesting the EPA
propose approval through parallel
processing in lieu of the letter required
under 40 CFR 60.27a(g)(2)(i). Further, a
state would be temporarily exempt from
the administrative completeness criteria
as defined by 40 CFR 60.27a(g)(2)
regarding legal adoption of the plan (40
CFR 60.27a(g)(2)(ii) and (v)) and from
public participation criteria (40 CFR
60.27a(g)(2)(vi), (vii), and (viii)),
including the meaningful engagement
criteria proposed in this action (see III.C
of this preamble above, proposed at 40
CFR 60.27a(g)(2)(ix)), as appropriate.
However, as with parallel processing for
SIPs under 40 CFR part 51 appendix V,
the EPA proposes to require that, in lieu
of these administrative criteria, the state
must include a schedule for final
adoption or issuance of the plan and a
copy of the proposed/draft regulation or
the document indicating the proposed
changes to be made, where applicable.
Note that a proposed plan submitted for
parallel processing must still meet all
the criteria for technical completeness
as defined by 40 CFR 60.27a(g)(3) and
meet all other administrative
completeness criteria as defined by 40
CFR 60.27a(g)(2). If these conditions are
met, the submitted plan may be
considered for purposes of the EPA’s
initial plan evaluation and proposed
rulemaking action.
The exceptions to the administrative
criteria described above only apply to
the EPA’s proposed action. If the EPA
has proposed approval through parallel
processing, the state must still submit a
fully adopted and final plan that meets
all of the completeness criteria under 40
CFR 60.27a(g) before the EPA can
finalize its approval, including the
requirements for legal adoption and
public engagement. If the state finalizes
and submits to the EPA a plan that
includes changes from the plan the EPA
has proposed for approval under
parallel processing, the EPA will
evaluate those changes for significance.
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If any such changes are found by the
EPA to be significant (e.g., changes to
the stringency or applicability of a
particular standard of performance),
then the state submittal would be
treated as an initial submission and the
EPA would be required to re-propose its
action on the final plan and to provide
an opportunity for public comment.
Note further that once the state plan
submission deadline passes, the EPA
retains the authority to initiate
development of a Federal plan at any
time for a state that has not submitted
a complete plan, even if a state has
requested parallel processing and the
EPA has proposed an action. The EPA
intends to continue working
collaboratively with states who are in
the process of adopting and submitting
state plans but notes that states must
remain mindful of regulatory deadlines
for CAA section 111(d) plan
submissions even when seeking to use
the parallel processing mechanism.
The EPA is requesting comment on
the reasonableness of its proposal to add
a parallel processing mechanism to
subpart Ba (Comment D3–1), including
the conditions under which a state may
request parallel processing (Comment
D3–2) and the conditions under which
the EPA may allow for parallel
processing (Comment D3–3).
4. State Plan Call
Under CAA section 110(k)(5), the EPA
may call for a revision of a state plan
‘‘[w]henever the Administrator finds
that the . . . plan . . . is substantially
inadequate to . . . comply with any
requirement of [the Act].’’ The EPA is
proposing to add a mechanism
analogous to this ‘‘SIP call’’ provision to
subpart Ba under CAA section 111(d)
which would authorize the EPA to find
that a previously approved state plan
does not meet the applicable
requirements of the CAA or of the
relevant EG and to call for a plan
revision. This mechanism is a useful
tool for ensuring that state plans
continue to meet the requirements of the
EGs and of the CAA over time. This is
particularly important because EGs that
achieve emission reductions from
specific source categories may be
implemented over many years.
The proposed state plan call
mechanism would permit EPA to
require a state to submit a revised state
plan whenever it finds an approved
CAA section 111(d) plan is
‘‘substantially inadequate’’ to comply
with applicable requirements of the
statute, the implementing regulations,
and/or the applicable EG. The EPA finds
that a plan call would be generally
appropriate under two circumstances.
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The first is when legal or technical
conditions arise after the EPA’s
approval of a state plan that undermines
the basis for the approval. Under these
conditions, the approved plan could be
considered substantially inadequate and
require revision to align with current
conditions. For example, a court
decision subsequent to the approval of
a plan may render that plan
substantially inadequate to meet
applicable requirements resulting from
the change in law.29 Additionally, the
EPA may determine that technical
conditions, such as design assumptions,
about control measures that were the
basis for a state plan approval later
prove to be inaccurate, meaning that the
plan would be substantially inadequate
to achieve the emission reductions
required by the EG and therefore the
plan should be revised.30 In response to
a state plan call under such legal or
technical circumstances, a state would
be required to submit a plan revision so
that the state plan is substantially
adequate to meet applicable
requirements, such as by updating a
provision affected by a court decision or
by revising control measures to achieve
the required emission reductions.
The second circumstance under
which the EPA could apply the state
plan call mechanism is when a state
fails to adequately implement an
approved state plan. In this case, the
approved state plan facially meets all
applicable requirements, but a failure in
implementation (e.g., due to changes in
available funding, resources, or legal
authority at the state level) renders the
plan substantially inadequate to meet
the requirements of the EG and CAA
section 111(d). In this circumstance, a
state, in response to a plan call, would
either be required to submit a plan
revision that aligns with the state’s
actual implementation of the plan or to
provide demonstration that the plan is
being adequately implemented as
approved.
Under the proposed state plan call
provision, consistent with the SIP call
process under CAA section 110(k)(5),
after the EPA finds that a state’s
approved section 111(d) plan is
substantially inadequate to comply with
29 An example of this circumstance in the context
of CAA section 110 is the 2015 ‘‘SSM SIP Call’’,
which required states to correct previously
approved SIP provisions based on subsequent court
decisions regarding startup, shutdown, and
malfunctions (SSM) operations. 80 FR 33840, June
12, 2015.
30 For example, the 1998 ‘‘NO SIP call’’ required
X
states to submit SIP revisions addressing NOX
emissions found, after SIP approvals, to
significantly impact the attainment of air quality
standards in other states due to atmospheric
transport. 63 FR 57356, October 27, 1998.
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applicable requirements, the EPA shall
publish notice of its finding in the
Federal Register. The plan call notice
will identify the plan inadequacies
leading to the plan call and establish
reasonable deadlines for submission of
plan revisions and/or for demonstration
of appropriate implementation of the
approved plan.31
The EPA is further proposing to
require that any deadline it establishes
for the submission of a state plan
revision shall not exceed 12 months
after the date of the call for plan
revisions. The EPA proposes to
determine that, while this period is less
than the time allotted for the submission
of a full state plan (proposed in III.A.1
of this preamble above as 15 months), it
provides a reasonable timeframe for
public outreach and state processes
while ensuring the deficiency is
expeditiously corrected to address any
outstanding public health and welfare
concerns associated with a deficient
plan, consistent with the ALA decision.
The deadline for submission of state
plan revisions to address the identified
inadequacies will start when notice of
the action is published in the Federal
Register.
Any failure of a state to submit
necessary revisions by the date set in
the call for state plan revisions
constitutes a failure to submit a required
plan submission. Therefore, pursuant to
CAA section 111(d)(2)(A), the EPA
would have the authority to promulgate
a Federal plan for the state within 12
months, as proposed in section III.A.4 of
this preamble, after the necessary
revisions are due. If the state fails to
submit a plan revision, to make an
adequate demonstration within the
prescribed time, or if the EPA
disapproves a submission, then the EPA
will promulgate a Federal plan
addressing the deficiency for sources
within that state.32
The EPA solicits comment on the
proposed state plan call mechanism as
described in this section (Comment D4–
1), including the circumstances of use
(Comment D4–2), the process of
notification (Comment D4–3), and the
proposed maximum deadline for
submission of plan revisions (Comment
D4–4).
5. Error Correction
Under CAA section 110(k)(6), the EPA
may, on its own, revise its prior action
on a state plan under certain
circumstances: ‘‘[w]henever the
Administrator determines that the
Administrator’s action approving,
disapproving, or promulgating any plan
or plan revision (or part thereof) . . .
was in error, the Administrator may in
the same manner as the approval,
disapproval, or promulgation revise
such action as appropriate without
requiring any further submission from
the State.’’ The EPA is proposing to add
a mechanism analogous to this ‘error
correction’ provision to subpart Ba
under CAA section 111(d).
This error correction provision would
authorize the EPA to revise its prior
action when the EPA determines its
own action on the state plan was in
error. Specifically, this provision would
allow the EPA to revise its prior action
in the same manner as used for the
original action (e.g., through
rulemaking) without requiring any
further submissions from the state. In
this manner, the proposed error
correction mechanism does away with
unnecessary burdens on states to
respond to an error made by the EPA,
such as submitting a plan revision and
the public participation related
requirements under 40 CFR 60.23a (e.g.,
providing notice and holding a public
hearing).
CAA section 110(k)(6) is phrased
broadly, and its legislative history
makes clear that it ‘‘explicitly authorizes
EPA on its own motion to make a
determination to correct any errors it
may make in taking any action, such as
. . . approving or disapproving any
plan.’’ See House Report No. 101–490 at
220. The circumstances that may give
rise to an error that the EPA may correct
with this mechanism depend on the
specific facts and plan at issue, and the
use of the mechanism is more
appropriately justified on a case-by-case
basis. The EPA has previously used
CAA section 110(k)(6) for correction of
technical or clerical errors,33 for
removal of substantive provisions from
an EPA-approved state plan that did not
relate to attainment of the NAAQS or
other CAA program,34 and when EPA,
in error and without knowledge,
approved a SIP that did not meet
applicable requirements at the time of
31 If the EPA has promulgated a Federal plan to
implement an EG that does not contain the
deficiency, a potential corrective action could
include a plan revision to adopt the Federal plan.
32 If the EPA has promulgated a Federal plan to
implement an EG that does not contain the
deficiency, the EPA could apply the existing
Federal plan to the state if appropriate.
33 For example, see 74 FR 57051, November 3,
2009, for correction of clerical and typographical
errors in a portion of an Arizona SIP.
34 For example, see 85 FR 73636, November 19,
2020, for removal of an air pollution nuisance rule
from an Ohio SIP and 86 FR 24505, May 7, 2021,
for removal of asbestos requirements from a
Kentucky SIP.
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approval.35 These examples are not the
only circumstances when the EPA has
used CAA section 110(k)(6) in the past
and do not limit the EPA for
circumstances of error correction under
section 111(d) in the future.
While the EPA maintains that this
proposed error mechanism would be
available for acting on state plans when
appropriate, the EPA expects that it will
work with states, as it has done
previously in the SIP context, to correct
any deficiencies in their plans. The EPA
is soliciting comment on this error
correction mechanism (Comment D5–1)
and the conditions under which it may
be applied (Comment D5–2). The EPA is
seeking comment on these five proposed
mechanisms from all stakeholders.
E. Remaining Useful Life and Other
Factors (RULOF) Provisions
The EPA is proposing revisions to 40
CFR 60.24a(e) in order to provide clear
requirements for the consideration of
RULOF in state plans that propose to set
a less stringent standard for a particular
source.36 This provision currently
allows states to consider RULOF to
apply a less stringent standard of
performance for a designated facility or
class of facilities if they demonstrate
one of the three following
circumstances: unreasonable cost of
control resulting from plant age,
location, or basic process design;
physical impossibility of installing
necessary control equipment; or other
factors specific to the facility (or class of
facilities) that make application of a less
stringent standard or final compliance
time significantly more reasonable. The
implementing regulations also specify
that, absent such a demonstration, the
state’s standards of performance must be
‘‘no less stringent than the
corresponding’’ EG. 40 CFR 60.24a(c).
This proposal would largely retain this
provision, including the three
circumstances under which a less
stringent standard of performance may
be applied, and provide further
clarification of what a state must
demonstrate in order to invoke RULOF
when submitting a state plan.
Specifically, the proposal would require
the state to demonstrate that a particular
facility cannot reasonably achieve the
degree of emission limitation achievable
through application of the BSER, based
on one or more of the three
circumstances. The EPA is also
proposing to clarify the third
circumstance by specifying that a state
35 For example, see 86 FR 23054, April 30, 2021,
for error correction with respect to Kentucky’s
‘‘good neighbor obligations’’ and SIP disapproval.
36 The court’s vacatur in ALA did not impact 40
CFR 60.24a(e).
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may apply a less stringent standard if
the state demonstrates, to the EPA’s
satisfaction, that factors specific to the
facility are fundamentally different than
those considered by the EPA in
determining the BSER.
Section III.E.1 of this preamble
describes the statutory and regulatory
background, and section III.E.2 of this
preamble explains the agency’s rationale
for its revisions. Sections III.E.3–8 of
this preamble describe further proposed
additions to the RULOF provision in
cases where states seek to apply a
standard that is less stringent than the
degree of emission limitation achievable
through application of the BSER. These
proposed additions include
requirements for the calculation of a less
stringent standard, contingency
requirements in cases where an
operating condition is the basis for
RULOF, and the consideration of
impacted communities. Finally, section
III.E.9 of this preamble describes
proposed revisions to address cases
where states seek to apply a more
stringent standard.
1. Statutory and Regulatory Background
Under CAA section 111(d), the EPA is
required to promulgate regulations
under which states submit plans
establishing standards of performance
for designated facilities. While states
establish the standards of performance,
there is a fundamental obligation under
CAA section 111(d) that such standards
reflect the degree of emission limitation
achievable through the application of
the BSER, as determined by the EPA. As
previously described, this obligation
derives from the definition of ‘‘standard
of performance’’ under CAA section
111(a)(1). The EPA identifies the degree
of emission limitation achievable
through application of the BSER as part
of its EG. 40 CFR 60.22a(b)(5). While
standards of performance must
generally reflect the degree of emission
limitation achievable through
application of the BSER, CAA section
111(d)(1) also requires that the EPA
regulations permit the states, in
applying a standard of performance to a
particular designated facility, to take
into account the designated facility’s
RULOF.
The 1970 version of CAA section
111(d) made no reference to the
consideration of RULOF in the context
of standards for existing sources. In the
1975 regulations promulgating subpart
B, however, the EPA included a socalled variance provision. For healthbased pollutants, states could apply a
standard of performance less stringent
than the EPA’s EGs based on cost,
physical impossibility, and other factors
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specific to a designated facility that
make the application of a less stringent
standard significantly more reasonable.
40 CFR 60.24(f). For welfare-based
pollutants, states could apply a less
stringent standard by balancing the
requirements of an EG ‘‘against other
factors of public concern.’’ 40 CFR
60.24(d). As part of the 1977 CAA
amendments, Congress amended CAA
section 111(d)(1) to require that the
EPA’s regulations under this section
‘‘shall permit the State in applying a
standard of performance to any
particular source under a plan
submitted under this paragraph to take
into consideration, among other factors,
the remaining useful life of the existing
source to which such standard applies.’’
At the time, the EPA considered the
variance provision under subpart B to
meet this requirement and did not
revise the provision subsequent to the
1977 CAA amendments until
promulgating new implementing
regulations in 2019 under subpart Ba.
As part of the 2019 revisions, the EPA
removed the health and welfare-based
pollutants distinction and collapsed the
associated requirements of the previous
variance provision into a single, new
RULOF provision. 40 CFR 60.24a(e).37
2. Rationale for the Proposed Revisions
As previously described, the statute
expressly requires the EPA to permit
states to consider RULOF for a
particular designated facility when
applying a standard of performance to
that facility. The consideration of
remaining useful life in particular can
be an important consideration, as the
cost of control for a specific designated
facility that is expected to cease
operations in the near term could
significantly vary from the average cost
calculations done as part of the BSER
determination for the source category as
a whole. In such an instance, and in
others as described throughout section
III.E of this preamble, a less stringent
standard may be justifiable in lieu of a
standard of performance that reflects the
presumptive level of stringency.
However, as currently written, the
RULOF provision in subpart Ba does not
provide clear parameters for states on
how and when to apply a standard less
stringent than the presumptive level of
stringency given in an EG to a particular
source.
As written, the references to
reasonableness in this provision are
potentially subject to widely differing
interpretations and inconsistent
37 Petitioners did not challenge, and the court in
ALA did not vacate, the new RULOF provision
under 40 CFR 60.24a(e).
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application among states developing
plans, and by the EPA in reviewing
them. Without a clear analytical
framework for applying RULOF, the
current provision may be used by states
to set less stringent standards such that
they could effectively undermine the
overall presumptive level of stringency
envisioned by the EPA’s BSER
determination and render it
meaningless. Such a result is contrary to
the overarching purpose of CAA section
111(d), which is generally to require
meaningful emission reductions from
designated facilities based on the BSER
in order to mitigate pollution which
endangers public health or welfare.
Additionally, while states have
discretion to consider RULOF under
CAA section 111(d), it is the EPA’s
responsibility to determine whether a
state plan is ‘‘satisfactory,’’ 38 which
includes evaluating whether RULOF
was appropriately considered. The
relevant dictionary meaning of
‘‘satisfactory’’ is ‘‘fulfilling all demands
or requirements.’’ The American College
Dictionary (‘‘ACD’’) 1078 (C.L. Barnhart,
ed. 1970). In addition to the
requirements of the applicable emission
guideline, state plans must be consistent
with the underlying statutory purpose of
mitigating the air pollution emissions
which endanger public health or
welfare. Thus, the most reasonable
interpretation of a ‘‘satisfactory plan’’ is
a CAA section 111(d) plan that meets
the applicable conditions or
requirements, which means that the
EPA must assess a state’s application of
RULOF to determine whether it meets
the regulatory requirements and
whether the state employed RULOF in
a manner that supports the statutory
purpose. That is, the EPA must
determine both whether the plan meets
the requirements of the particular
emission guideline, as well as meets the
requirements of the implementing
regulations that the EPA is directed to
promulgate pursuant to CAA section
111(d).39
38 CAA section 111(d)(2)(A) authorizes the EPA to
promulgate a Federal plan for any state that ‘‘fails
to submit a satisfactory plan’’ establishing standards
of performance under section 111(d)(1).
Accordingly, the EPA interprets ‘‘satisfactory’’ as
the standard by which the EPA reviews state plan
submissions.
39 Although there is no case law specifically on
the standard of review of a section 111(d)(1) state
plan or the EPA’s duty to approve satisfactory
plans, the EPA’s action on a 111(d)(1) state plan is
structurally identical to the EPA’s action on a SIP.
Under section 110(k)(3), EPA must approve a SIP
that meets all requirements of the Act. See Train v.
NRDC, 421 U.S. 60 (1975) (discussing the 1970
version of the Act); Virginia v. EPA, 108 F.3d 1397,
1408–10 (D.C. Cir. 1995) (discussing the 1970, 1977,
and 1990 versions).
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The EPA’s determination of whether
each plan is ‘‘satisfactory’’, including
the application of RULOF, must be
generally consistent from one plan to
another. If the states do not have clear
parameters for how to consider RULOF
when applying a standard of
performance to a designated facility,
then they face the risk of submitting
plans that the EPA may not be able to
consistently approve as satisfactory. For
example, under the current broadly
structured provision, two states could
consider RULOF for two identically
situated designated facilities and apply
completely different standards of
performance on the basis of the same
factors. In this example, it may be
difficult for the EPA to substantiate
finding both plans satisfactory in a
consistent manner, and the states and
sources risk uncertainty as to whether
each of the differing standards of
performance would be approvable.
Accordingly, providing a clear
analytical framework for the invocation
of RULOF will provide regulatory
certainty for states and the regulated
community as they seek to craft
satisfactory plans that EPA can
ultimately approve.
Notably, CAA section 111(d) does not
require states to consider RULOF, but
rather requires that the EPA’s
regulations ‘‘permit’’ states to do so. In
other words, the EPA must provide
states with the ability to account for
RULOF, but states may instead choose
to establish a standard of performance
that is the same as the presumptive level
of stringency set forth in the EGs. The
optionality, rather than mandate, for
states to account for RULOF further
supports the notion that this provision
is not intended to undermine the
presumptive level of stringency in an
EG for the source category broadly. The
EPA is not aware of any CAA section
111(d) EGs under which an EPAapproved state plan has previously
considered RULOF to apply a standard
of performance that deviates from the
presumptive level of stringency.
Clarifying parameters may better enable
states to effectively use this provision in
developing their state plans without
undermining the overall purpose of
CAA section 111 to mitigate pollution
which endangers public health or
welfare.
For these reasons, the EPA is
proposing to revise the RULOF
provision under subpart Ba, consistent
with the statutory construct and goals of
CAA section 111(d), in order to provide
states and sources with clarity regarding
the requirements that apply to the
development and approvability of state
plans that consider RULOF when
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applying a standard of performance to a
particular designated facility. The
following describes the guiding
principles for the EPA’s proposed
revisions.
CAA section 111(a)(1) requires that
the EPA determine the BSER is
‘‘adequately demonstrated’’ for the
regulated source category. In
determining whether a given system of
emission reduction qualifies as BSER,
CAA section 111(a)(1) requires that the
EPA take into account ‘‘the cost of
achieving such reduction and any nonair quality health and environmental
impact and energy requirements.’’ The
EPA’s proposed revisions to clarify the
RULOF provision do so by tethering the
states’ RULOF demonstration to the
statutory factors the EPA considered in
the BSER determination. This is
appropriate under the statute because
the EPA will have demonstrated that the
BSER identified in the EG is
‘‘adequately demonstrated’’ as
achievable for sources broadly within
the source category. Therefore, RULOF
is appropriately applied to permit states
to address instances where the
application of the BSER factors to a
particular designated facility is
fundamentally different than the
determinations made to support the
BSER and presumptive level of
stringency in the EG. For example, the
D.C. Circuit has stated that to be
‘‘adequately demonstrated,’’ the system
must be ‘‘reasonably reliable, reasonably
efficient, and . . . reasonably expected
to serve the interests of pollution
control without becoming exorbitantly
costly in an economic or environmental
way.’’ Essex Chem. Corp. v.
Ruckelshaus, 486 F.2d 427, 433 (D.C.
Cir. 1973). The court has further stated
that the EPA may not adopt a standard
in evaluating cost that would be
‘‘exorbitant,’’ 40 ‘‘greater than the
industry could bear and survive,’’ 41
‘‘excessive,’’ 42 or ‘‘unreasonable.’’ 43
These formulations use reasonableness
in light of the statutory factors as the
standard in evaluating cost, so that a
control technology may be considered
the ‘‘best system of emission reduction
. . . adequately demonstrated’’ if its
costs are reasonable (i.e., not exorbitant,
excessive, or greater than the industry
can bear), but cannot be considered the
BSER if its costs are unreasonable.
Similarly, in making the BSER
40 Lignite Energy Council v. EPA, 198 F.3d 930,
933 (D.C. Cir. 1999).
41 Portland Cement Ass’n v. EPA, 513 F.2d 506,
508 (D.C. Cir. 1975).
42 Sierra Club v. Costle, 657 F.2d 298, 343 (D.C.
Cir. 1981).
43 Sierra Club v. Costle, 657 F.2d 298, 343 (D.C.
Cir. 1981).
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determination, the EPA must evaluate
whether a system of emission reduction
is ‘‘adequately demonstrated’’ for the
source category based on the physical
possibility and technical feasibility of
control. Under this construct, it
naturally follows that most designated
facilities within the source category
should be able to implement the BSER
at a reasonable cost to achieve the
presumptive level of stringency, and
that RULOF will be justifiable only for
a subset of sources for which
implementing the BSER would impose
unreasonable costs or not be feasible
due to unusual circumstances that are
not applicable to the broader source
category that the EPA considered when
determining the BSER.44
The proposed revisions to the
regulatory RULOF provision, as
described in section III.E. 3–8 of this
preamble, are also consistent with how
the EPA has approached RULOF in the
implementing regulations previously.
Subparts B and Ba both currently
contain the same three circumstances
for when states may account for RULOF,
and reasonableness in light of the
statutory criteria is an element of all
three circumstances. Under those
subparts as currently written, states may
consider RULOF if they can
demonstrate unreasonable cost of
control, physical impossibility of
control, or other factors that make
application of a less stringent standard
‘‘significantly more reasonable.’’ 40 CFR
60.24(f) and 60.24a(e). The EPA’s
proposal retains the first circumstance
in whole and revises the second one to
add ‘‘technical infeasibility’’ of
installing a control as a situation where
application of consideration of RULOF
may be appropriate. The proposal
further clarifies the third catch-all
circumstance, which the first two
circumstances also fall under, by
specifying that states may consider
RULOF to apply a less stringent
standard if factors specific to a facility
are fundamentally different from the
factors considered in the determination
of the BSER in an EG. The proposed
clarification of this third criteria
provides parameters for states and the
44 This construct is also supported by CAA
section 111(d) use of the term ‘‘establishing’’ in
directing states to create and set standards of
performance. As previously described, ‘‘standard of
performance’’ is defined under CAA section
111(a)(1) as reflecting the degree of emission
limitation achievable through application of the
BSER, which sets the initial parameters for
development of the standards of performance by
states. The statute does not provide that states may
account for RULOF in ‘‘establishing’’ standards of
performance in the first instance, but permits states
to do so in ‘‘applying’’ such standards to a
particular source.
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EPA in developing and assessing state
plans, as this criteria was previously
vague and potentially open-ended as to
the circumstances under which states
could consider RULOF.
The ‘‘fundamentally different’’
standard, which undergirds all three
circumstances, is also consistent with
other variance provisions that courts
have upheld for environmental statutes.
For example, in Weyerhaeuser Co. v.
Costle, 590 F.2d 1011 (D.C. Cir. 1978),
the court considered a regulatory
provision promulgated under the Clean
Water Act (CWA) that permitted owners
to seek a variance from the EPA’s
national effluent limitation guidelines
under CWA sections 301(b)(1)(A) and
304(b)(1). The EPA’s regulation
permitted a variance where an
individual operator demonstrates a
‘‘fundamental difference’’ between a
CWA section 304(b)(1)(B) factor at its
facility and the EPA’s regulatory
findings about the factor ‘‘on a national
basis.’’ Id. at 1039. The court upheld
this standard as ensuring a meaningful
opportunity for an operator to seek
dispensation from a limitation that
would demand more of the individual
facility than of the industry generally,
but also noted that such a provision is
not a license for avoidance of the Act’s
strict pollution control requirements. Id.
at 1035.
For the reasons described in this
section, the EPA is proposing to clarify
the existing RULOF provision under 40
CFR 60.24a(e) by: (1) revising the
threshold requirements for
consideration of RULOF; (2) adding
requirements for calculating a less
stringent standard accounting for
RULOF; (3) adding requirements for
consideration of communities most
affected by and vulnerable to the health
and environmental impacts from the
designated facilities being addressed;
and (4) adding requirements for the
types of information and evidence the
states must provide to support the
invocation of RULOF in a state plan.
The EPA solicits comment on the
proposed revisions described in the
following sections (Comment E2–1),
including the use of the BSER factors as
a framework governing the invocation
and application of the RULOF provision
(Comment E2–2). The EPA notes a
specific EG may provide additional
requirements or supersede the
requirements of the implementing
regulations. 40 CFR 60.20a(a)(1). This
extends to any requirements of the
RULOF provision, as the EPA cannot
necessarily anticipate the appropriate
and potentially unique implementation
needs for every future EG. The EPA
solicits comment on the circumstances
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under which it would be appropriate for
an EG to provide additional
requirements or supersede the
requirements of these proposed
revisions to the RULOF provision
(Comment E2–3).
The EPA also solicits comment about
whether, instead of establishing firm
requirements for the application of
RULOF, the EPA should instead
consider establishing a framework,
consistent with the proposed
requirements in the following
discussion, pursuant to which state
plans would be considered
presumptively approvable (Comment
E2–4). In this scenario, states would
have certainty regarding what type of
demonstration the EPA would find
satisfactory as they develop their plans,
but states could also submit an
alternative RULOF demonstration for
the EPA’s consideration. In the latter
case, states would bear the burden of
proving to the EPA that they have
proposed a satisfactory alternative
analysis and standard, considering all
factors relevant to addressing emissions
from the source or sources at issue. The
EPA also solicits comment on what
different approaches might be
appropriate for a state in applying
RULOF to a particular source and that
the EPA should consider in determining
whether to finalize the provisions
discussed below, either as requirements
or as presumptions (Comment E2–5).
Note that the EPA considers the
proposed RULOF provisions to apply in
circumstances distinct from the flexible
compliance mechanisms, such as
trading and averaging, discussed in
section III.G.1 of this preamble. In other
words, these provisions would apply
where a state intends to depart from the
presumptive standards in the EG and
propose a less stringent standard for a
designated facility (or class of facilities),
and not where a state intends to comply
by demonstrating that a facility or group
of facilities subject to a state program
would, in the aggregate, achieve
equivalent or better reductions than if
the state instead imposed the
presumptive standards required under
the EG at individual designated
facilities.
3. Threshold Requirements for
Considering Remaining Useful Life and
Other Factors
Under the existing RULOF provision
in subpart Ba, 40 CFR 60.24a(e), a state
may only account for RULOF in
applying a standard of performance
provided that it makes a demonstration
based on one of three criteria. These
criteria are: (1) unreasonable cost of
control resulting from plant age,
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location, or basic process design; (2)
physical impossibility of installing
necessary control equipment; or (3)
other factors specific to the facility (or
class of facilities) that make application
of a less stringent standard or final
compliance time significantly more
reasonable. However, the existing
version of this provision in subpart Ba
provides no further guidance on what
constitutes reasonableness or
unreasonableness for these
demonstrations. The EPA proposes to
clarify this provision by revising it to
require that in order to account for
RULOF in applying a less stringent
standard of performance to a designated
facility, a state must demonstrate that
the designated facility cannot
reasonably apply the BSER to achieve
the degree of emission limitation
determined by the EPA because it
entails (1) an unreasonable cost of
control resulting from plant age,
location, or basic process design; (2)
physical impossibility or technical
infeasibility of installing necessary
control equipment; or (3) other
circumstances specific to the facility (or
class of facilities) that are fundamentally
different from the information
considered in the determination of the
BSER in the emission guidelines.45 The
first criterion remains the same as under
the existing RULOF provision in 40 CFR
60.24a(e). For the second criterion, the
EPA is proposing to add a reference to
technical infeasibility, as a similar yet
distinct factor from that of physical
impossibility of control. Finally, the
EPA is proposing to revise the third
criterion by referring to any
circumstances at a specific designated
facility that are ‘‘fundamentally
different from the information [the EPA]
considered in the determination of the
best system of emission reduction’’,
rather than the current regulation,
which applies to factors ‘‘that make
application of a less stringent standard
or final compliance time significantly
more reasonable.’’ This revision to the
third criterion will ensure that
application of RULOF is akin to the
types of circumstances anticipated by
the first two criteria and consistent with
the statutory construct of CAA section
111(d), as further described below,
rather than based on subjective criteria
that is untethered to the statute and that
could result in widely diverging and
45 States may also account for RULOF when
applying standards of performance to a class of
designated facilities. For purposes of administrative
efficiency, a state may be able to calculate a uniform
standard of performance that accounts for RULOF
using a single set of demonstrations to meet the
proposed requirements described in this section if
the group of sources has similar characteristics.
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potentially arbitrary application by
states.
The EPA proposes to require that, in
order to demonstrate that a designated
facility cannot reasonably meet the
presumptive level of stringency based
on one of these three criteria, the state
must show that implementing the BSER
is not reasonable for the designated
facility due to fundamental differences
between the factors the EPA considered
in determining the BSER, such as cost
and technical feasibility of control, and
circumstances at the designated facility.
Per the requirements of CAA section
111(a)(1), the EPA determines the BSER
by first identifying control methods that
it considers to be adequately
demonstrated, and then determining
which are the best systems by
evaluating (1) the cost of achieving such
reduction, (2) health and environmental
impacts, (3) energy requirements, (4) the
amount of reductions, and (5)
advancement of technology. So, for
example, if the EPA applied a specific
dollar-per-ton threshold in determining
the BSER, the state would be required
to show that the cost of implementing
the BSER in order to achieve the
presumptive level of stringency at a
particular designated facility is
unreasonably high relative to the EPA’s
cost threshold applied in the EG. Or, by
way of further example, if the EPA were
to determine that a specific back-end
control technology at a 95 percent
reduction in emissions of a specific
pollutant is the BSER for a source
category, a state could evaluate whether
it would be physically possible to install
that control technology at a designated
facility given the size and physical
constraints needed to install it. If the
state could show that the cost-per-ton
was significantly higher at a specific
designated facility or that a specific
designated facility does not have
adequate space to reasonably
accommodate the installation, that
designated source may be evaluated for
a less stringent standard because of the
consideration of RULOF. Requiring
states to hew to the same types of factors
and analyses considered in the EPA’s
BSER determination in making the
demonstration that the BSER is not
reasonable to implement at a particular
designated facility is consistent with the
statutory construct that defines RULOF
as a limited exception to the level of
stringency otherwise required by the
BSER.
In examining the factors that the EPA
considered in determining the BSER
and how they apply to a specific
facility, states may not invoke RULOF
based on minor, non-fundamental
differences. There could be instances
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where a designated facility may not be
able to comply with the level of
stringency required by the EG based on
the precise metrics of the BSER
determination but is able to do so
within a reasonable margin. For
example, if the EPA determined a BSER
based on a cost-effectiveness threshold
of $500/ton, it would not be reasonable
for a state to apply the RULOF provision
to propose a less stringent standard for
a designated facility that can meet the
standard of performance at a slightly
higher cost, such as $525/ton. There
might also be instances where the EPA
determines the BSER for a source
category as a particular technology, but
a particular designated facility does not
currently have the capability to
implement that technology, and it
would be cost prohibitive to gain that
capability. However, if that designated
facility has the ability instead to
reasonably install a different, non-BSER
technology to achieve the presumptive
level of stringency, the designated
facility would not be eligible for a less
stringent standard that accounts for
RULOF. The EPA notes the examples
described here are meant to be
illustrative hypotheticals and are not
determinative of whether state plans
that include similar scenarios would be
approvable under a specific EG.
The EPA acknowledges that what is
considered reasonable in light of the
statutory factors is a fact-specific
inquiry based on the source category
and pollutant that is being regulated
pursuant to a particular EG, and that the
EPA cannot anticipate and address all
circumstances that may arise in these
general implementing regulations. Thus,
the EPA may consider additional factors
and establish additional requirements
governing the consideration of RULOF,
including what deviations from the
presumptive standard may be
considered reasonable, in a particular
EG.
The EPA solicits comment on the
proposal to require states to
demonstrate, as a threshold matter when
determining whether a state may
account for RULOF in order to set a less
stringent standard, that the designated
facility cannot reasonably apply the
BSER to achieve the presumptive level
of stringency determined by the EPA
(Comment E3–1). The EPA further
solicits comment whether other
considerations should inform the
circumstances under which the EPA
should permit RULOF to be used to set
a less stringent standard for a particular
source (Comment E3–2).
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4. Calculation of a Standard Which
Accounts for Remaining Useful Life and
Other Factors
If a state has made the proposed
demonstration that accounting for
RULOF is appropriate for a particular
designated facility, the state may then
apply a less stringent standard. The
current RULOF provision in subpart Ba
is silent as to how a less stringent
standard should be calculated, raising
the potential for inconsistent
application of this provision across
states and the potential for the
imposition of a standard less stringent
than what would be reasonably
achievable by a designated facility. In
order to fill this gap and ensure the
integrity of the CAA section 111(d)
program, the EPA is proposing several
requirements that would apply for the
calculation of a standard of performance
that accounts for RULOF. The proposed
requirements described in this section
are designed to provide a framework for
the state’s analysis in evaluating and
identifying a less stringent standard,
and in doing so would prevent the
application of a standard that is less
stringent than what is otherwise
reasonably achievable by a particular
designated facility, while remaining
general in order to account for possible
differences across source categories and
designated facilities that may be
addressed by specific EGs.
The EPA is first proposing to require
that the state determine and include, as
part of the plan submission, a sourcespecific BSER for the designated facility.
As described previously, the statute
requires the EPA to determine the BSER
by considering control methods that it
considers to be adequately
demonstrated, and then determining
which are the best systems by
evaluating (1) the cost of achieving such
reduction, (2) health and environmental
impacts, (3) energy requirements, (4) the
amount of reductions, and (5)
advancement of technology. To be
consistent with this statutory construct,
the EPA proposes that in determining a
less stringent BSER for a designated
facility, a state must also consider all
these factors in applying RULOF for that
source.
Specifically, the state in its plan
submission must identify all control
technologies available for the source
and evaluate the BSER factors for each
technology, using the same metrics and
evaluating them in the same manner as
the EPA did in developing the EG using
the five criteria noted above.46 For
example, if the EPA evaluated capital
costs as part of its cost analysis in
setting the BSER, the state must do the
same in evaluating a control technology
for an individual designated facility,
rather than selecting a different cost
metric. The state must then calculate the
emission reductions that applying the
source-specific BSER would achieve
and select the standard which reflects
this degree of emission limitation. This
standard must be in the form or forms
(e.g., numerical rate-based emission
standard) as required by the specific EG.
The EPA notes there may be cases
where a state determines that a
designated facility cannot reasonably
implement the BSER but can instead
reasonably implement another control
measure to achieve the same level of
stringency required by an EG. In such
cases, the standard of performance that
reflects the source-specific BSER would
be the same level of stringency as the
degree of emission limitation achievable
through application of the EPA’s BSER.
The EPA solicits comment on these
proposed requirements for the
calculation and form or forms of the less
stringent standard that accounts for
remaining useful life and other factors
(Comment E4–1). The EPA believes that
the five identified BSER factors
generally address all relevant
information that states would
reasonably consider in evaluating the
emission reductions reasonably
achievable for a designated facility.
Moreover, the EPA considers that these
factors provide states with the
discretion to weigh these factors in
determining the BSER and establishing
a reasonable standard of performance
for the source. However, the EPA
solicits comments on whether there are
additional factors, not already
accounted for in the BSER analysis, that
the EPA should permit states to
consider in determining the less
stringent standard for an individual
source (Comment E4–2). The EPA also
solicits comments on whether we
should consider these factors to be part
of a presumptively approvable
framework for applying a less stringent
standard of performance, rather than
requirements, and, if so, what different
approaches states might use to evaluate
and identify less stringent standards
that the EPA should consider to be
satisfactory in evaluating state plans
that apply RULOF (Comment E4–3).
The EPA notes that CAA section
111(d) requires that state plans include
measures that provide for the
46 To the extent that a state seeks to apply RULOF
to a class of facilities that the state can demonstrate
are similarly situated in all meaningful ways, the
EPA proposes to permit the state to conduct an
aggregate analysis of these factors for the entire
class.
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implementation and enforcement of a
standard of performance. This
requirement therefore applies to any
standard of performance established by
a state that accounts for RULOF. Such
measures include monitoring, reporting,
and recordkeeping requirements, as
required by 40 CFR 60.25a, as well as
any additional measures specified under
an applicable EG. In particular, any
standard of performance that accounts
for RULOF is also subject to the
requirement under subpart Ba that the
state plan submission include a
demonstration that each standard is
quantifiable, non-duplicative,
permanent, verifiable, and enforceable.
40 CFR 60.27a(g)(3)(vi). The EPA is not
proposing to modify these requirements,
and therefore not reopening them in this
action.
5. Contingency Requirements
The EPA recognizes that a source’s
operations may change over time in
ways that cannot always be anticipated
or foreseen by the EPA, state, or
designated facility. This is particularly
true where a state seeks to rely on a
designated facility’s operational
conditions, such as the source’s
remaining useful life or restricted
capacity, as a basis for setting a less
stringent standard. If the designated
facility subsequently changes its
operating conditions after the state
applies a less stringent standard of
performance, there is potential for the
standard to not match what is
reasonably achievable by a designated
facility, resulting in forgone emission
reductions and undermining the level of
stringency set by an EG. For example, a
state may seek to invoke RULOF for an
electric generating unit (EGU) on the
basis that it is running at lower
utilization (and therefore less
efficiently) than is anticipated by the
BSER and intends to do so for the
duration of the compliance period
required by an EG. Under this scenario,
the state may be able to demonstrate
that it is not reasonably cost-effective for
the designated facility to implement the
BSER in order to achieve the
presumptive level of stringency, and the
state could set a less stringent standard
of performance for this EGU. However,
because reduced utilization is not a
physical constraint on the designated
facility’s operations, it is possible that
the source’s utilization could increase in
the future without any other legal
constraint.
The implementing regulations do not
currently address this potential
scenario. To address this issue, the EPA
is proposing to add a contingency
requirement to the RULOF provision
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that would require a state to include in
its state plan a condition making a
source’s operating condition, such as
remaining useful life or restricted
capacity, enforceable whenever the state
seeks to rely on that operating condition
as the basis for a less stringent standard.
This requirement would not extend to
instances where a state applies a less
stringent standard on the basis of an
unalterable condition that is not within
the designated source’s control, such as
technical infeasibility, space limitations,
water access, or geologic sequestration
access. Rather, this requirement
addresses operating conditions such as
operation times, operational frequency,
process temperature and/or pressure,
fuel parameters, and other conditions
that are subject to the discretion and
control of the designated facility.
As previously discussed, the state
plan submission must also include
measures for the implementation and
enforcement of a standard that accounts
for RULOF. For standards that are based
on operating conditions that a facility
has discretion over and can control, the
operating condition and any other
measure that provides for the
implementation and enforcement of the
less stringent standard must be included
in the plan submission and as a
component of the standard of
performance. For example, if a state
applies a less stringent standard for a
designated facility on the basis of a
lower capacity factor, the plan
submission must include an enforceable
requirement for the source to operate at
or below that capacity factor, and
include monitoring, reporting, and
recordkeeping requirements that will
allow the state, the EPA, and the public
to ensure that the source is in fact
operating at that lower capacity. A
specific EG may detail supplemental or
different requirements on implementing
the proposed general requirement that a
state plan submission include both the
operating condition that is the basis for
a less stringent standard, and measures
to provide for the implementation and
enforcement of such standard.
The EPA notes there may be
circumstances under which a
designated facility’s operating
conditions change permanently so that
there may be a potential violation of the
contingency requirements approved as
federally enforceable components of the
state plan. For example, a designated
facility that was previously running at
lower capacity now plans to run at a
higher capacity full time, which
conflicts with the federally enforceable
state plan requirement that the facility
operate at the lower capacity. To
address this concern, a state may submit
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a plan revision to reflect the change in
operating conditions. Such a plan
revision must include a new standard of
performance that accounts for the
change in operating conditions. The
plan revision would need to include a
standard of performance that reflects the
level of stringency required by the EG
and meet all applicable requirements, or
if a less stringent standard is still
warranted for other reasons, the plan
revision would need to meet all of the
applicable requirements for considering
RULOF. The new standard of
performance would only become
effective upon the EPA’s determination
that the plan revision is satisfactory.
The EPA requests comment on the
proposed contingency requirements to
address the concern that a designated
facility’s operations may change over
time in ways that do not match the
original rationale for a less stringent
standard (Comment E5–1).
6. Requirements Specific to Remaining
Useful Life
Remaining useful life is the one
‘‘factor’’ that CAA section 111(d)
explicitly requires that the EPA permit
states to consider in applying a standard
of performance. While the age of a fleet
can be a consideration of a BSER
determination, it is a factor that can
have considerable variability and the
annualized costs can change
considerably based on the applied
technology at a particular designated
facility and the amortization period.
When the EPA determines a BSER, it
considers cost and, in many instances,
the EPA specifically considers
annualized costs associated with
payment of the technology associated
with the BSER. The shorter that payback
period is (i.e., shorter remaining useful
life), the less cost-effective that BSER
may become. The current RULOF
provision generally allows for a state to
account for remaining useful life to set
a less stringent standard. However, the
provision does not provide guidance or
parameters on when and how a state
may do so. Consistent with the
principles described previously in this
section (section III.E), the EPA is
proposing certain requirements for
when a state seeks to apply a less
stringent standard on grounds that a
designated facility will retire in the near
future.
The EPA is proposing to require that
in order to account for remaining useful
life in setting a less stringent standard
for a particular designated facility, the
source’s retirement date must be no later
than a date to be established by the EPA
in an EG, or if the EPA does not provide
such a date in an EG, a date determined
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by the state using the methodology and
considerations provided by EPA in the
EG. More specifically, in order for a
state to determine whether a retiring
source qualifies for a less stringent
standard, the EPA is proposing to
require either that the Agency must
identify in an EG an outermost
remaining useful life date that would
provide the latest retirement date that
states can rely on for a designated
facility or that the Agency must provide
the methodology and considerations to
be applied by states as part of their
plans in determining whether a retiring
source qualifies for a less stringent
standard.
The outermost retirement date or the
methodology to establish such date for
a designated facility will be established
based on the technical record for the EG,
and as with any requirement of an EG,
subject to notice-and-comment
rulemaking through the EG proposal. By
identifying the outermost retirement
date or methodology that states may use
to account for remaining useful life, the
EPA is ensuring consistency and
appropriate implementation of an EG
across designated facilities and states. If
the EPA did not identify an outermost
retirement date or specified
methodology and conditions, then a
state plan could attempt to account for
the remaining useful life for a
designated facility whose retirement
date does not reasonably warrant a less
stringent standard, undermining the
control objectives of the EG and CAA
section 111(d) itself. Based on these
concerns, the EPA is proposing that
states may account for remaining useful
life if the retirement date is not further
out than the outermost date identified or
determined through the methodology
and conditions provided by the EPA in
the applicable EG.
If a designated facility’s retirement
date is within the period identified by
the EPA in an EG or by the state in its
plan through the methodology provided,
then the state may account for the
remaining useful life of that source in
applying a less stringent standard of
performance. As previously discussed,
the EPA is proposing to require that
when an operational condition is used
as the basis for applying a less stringent
standard, the state plan must include
that condition as a federally enforceable
requirement. Accordingly, if a state
applies a less stringent standard by
accounting for remaining useful life, the
EPA is proposing to require that the
state plan must include the retirement
date for the designated facility as an
enforceable commitment and include
measures that provide for the
implementation and enforcement of
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such commitment. For example, the
state could adopt a regulation or enter
into an agreed order requiring the
designated facility to shut down by a
certain date, and that regulation or
agreed order should then be
incorporated into the state plan. The
state could also choose to incorporate
the shutdown date into a permit and
incorporate that permit into the state
plan.
The EPA is further proposing to add
an explicit requirement in the
implementing regulations that the state
impose a standard that applies to a
designated facility until its retirement.
This standard must reflect a reasonably
achievable source-specific BSER and be
calculated and supported by the
demonstration described in section
III.E.3 of this preamble. The EPA
recognizes that, in some instances, a
designated facility may intend to retire
imminently after the promulgation of an
EG, and in such cases it may not be
reasonable to require any controls based
on the source’s exceptionally short
remaining useful life. In the case of an
imminently retiring source, the EPA is
proposing that the state apply a
standard no less stringent than one that
reflects the designated facility’s
business as usual. This requirement
equitably accommodates practical
considerations without impermissibly
exacerbating the impacts of the
pollutant regulated under CAA section
111(d). The EPA generally expects that
an ‘‘imminent’’ retirement is one that is
about to happen in the near term
relative to the compliance date in the
EG. The EPA may also define what is
considered to be the timeframe for an
imminent retirement for purposes of a
specific EG, with consideration to the
time and costs associated with meeting
compliance obligations for a given BSER
and associated standard of performance.
For example, if a BSER for a given EG
is established to be a back-end control
device with a 90 percent reduction of
the given pollutant from the emission
stream, there may be considerable time
and money to be invested in meeting
that compliance obligation. The EPA
may define the timeframe that qualifies
as an imminent retirement for this
situation to be in line with the time
needed to install the control device plus
some additional marginal time that the
EPA deems to fit within the timeline of
‘‘imminence’’ given the specific nature
and analytics associated with the source
category and BSER. This definition of
the timeframe for an imminent
retirement would differ from an
example situation where the BSER is
established to be operation and
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maintenance techniques which may
require minimal lead time and capital
costs. In this counter example, the EPA
may define in the respective EG a short
timeframe for imminent retirements or
may instead establish that there is no
such timeframe that qualifies for a
business-as-usual standard and that
retiring sources must comply with an
interim standard that requires some
appropriate level of control. If the EPA
defines an imminent timeframe in a
specific EG a state may then apply a
business as usual standard to a retiring
designated facility that is retiring within
such timeframe. The EPA intends to
provide guidance as appropriate in the
context of a specific EG regarding the
calculation of a business as usual
standard.
The EPA solicits comment on the
proposed requirements specific to the
consideration of remaining useful life as
described in this section (Comment E6–
1).
7. The EPA’s Standard of Review of
State Plans Invoking RULOF
Under CAA section 111(d)(2), the EPA
has the obligation to determine whether
a state plan submission is ‘‘satisfactory.’’
This obligation extends to all aspects of
a state plan, including the application of
a less stringent standard of performance
that accounts for RULOF. The revisions
to the RULOF provision under the
implementing regulations are intended
to provide parameters not only for the
development of CAA section 111(d)
state plans, but for the EPA to evaluate
for the approvability of such plans. The
EPA is proposing the following
requirements to further bolster the
RULOF provision and to facilitate the
EPA’s review of a state plan to
determine whether the plan
implementing the RULOF provision is
‘‘satisfactory.’’ As an initial matter, the
EPA proposes to explicitly require that
the state must carry the burden of
making the demonstrations required
under the RULOF provision. States
carry the primary responsibility to
develop plans that meet the
requirements of CAA section 111(d) and
therefore have the obligation to justify
any accounting for RULOF that they
invoke in support of standards less
stringent than those provided by the EG.
While the EPA has discretion to
supplement a state’s demonstration, the
EPA may also find that a state plan’s
failure to include a sufficient RULOF
demonstration is a basis for concluding
the plan is not ‘‘satisfactory’’ and
therefore disapprove the plan.
The EPA is further proposing that for
the required demonstrations, the state
must use information that is applicable
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to and appropriate for the specific
designated facility, and the state must
show how information is applicable and
appropriate. As RULOF is a sourcespecific determination, it is appropriate
to require that the information used to
justify a less stringent standard for a
particular designated facility be
applicable to and appropriate for that
source. The EPA anticipates that in most
circumstances, site-specific information
will be the most applicable and
appropriate to use for these
demonstrations and proposes to require
site-specific information where
available. In some instances, sitespecific information may not be
available, and a state may instead be
able to use general information about a
source category to evaluate a particular
designated facility. In such cases, the
state plan submission must provide both
the general information and a clear
assessment of how the information is
applicable to and appropriate for the
designated facility. The use of general
information must also be appropriate
and consistent with the overall
assessment and conclusions regarding
consideration of RULOF for the specific
designated facility.
Finally, the EPA proposes to require
that the information used for a state’s
demonstrations under the new RULOF
provisions must come from reliable and
adequately documented sources, such as
EPA sources and publications, permits,
environmental consultants, control
technology vendors, and inspection
reports. Requiring the use of such
sources will help ensure that an
accounting of RULOF is premised on
legitimate, verifiable, and transparent
information. The EPA notes that an EG
may also specify aspects of the
demonstrations that require certification
from third-party industry experts, such
as certified engineering firms. The EPA
solicits comment on the proposed list of
information sources (Comment E7–1)
and whether other sources should be
considered as reliable and adequately
documented sources of information for
purposes of the RULOF demonstration,
including but not limited to reliable and
adequately documented sources of cost
information (Comment E7–2).47
These requirements will aid both the
EPA in evaluating whether RULOF has
been appropriately accounted for, and
the public in commenting on the EPA’s
proposed action on a state plan that
47 The EPA acknowledges there may be reliable
and adequately documented sources of information
other than those described in this section. The EPA
encourages states to consult with their Regional
Offices if there are questions about whether a
particular source of information would meet the
applicable requirements.
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includes a less stringent standard on the
basis of RULOF. The EPA solicits
comment on the proposed requirements
described in this section regarding the
EPA’s standard of review for state plans
that invoke consideration of RULOF
(Comment E7–3).
8. Consideration of Impacted
Communities
CAA section 111(d) does not specify
what are the ‘‘other factors’’ that the
EPA’s regulations should permit for a
state to consider in applying a standard
of performance. The EPA interprets this
as providing discretion for the EPA to
identify the appropriate factors and
conditions under which the
circumstance may be reasonably
invoked in establishing a standard less
stringent than the EG. Additionally,
CAA section 111(d)(2)’s requirement
that the EPA determine whether a state
plan is ‘‘satisfactory’’ applies to such
plan’s consideration of RULOF in
applying a standard of performance to a
particular facility. Accordingly, the EPA
must determine whether a plan’s
consideration of RULOF is consistent
with section 111(d)’s overall health and
welfare objectives.
While the consideration of RULOF
can be warranted to apply a less
stringent standard of performance to a
particular facility, such standards have
the potential to result in disparate
health and environmental impacts to
communities most affected by and
vulnerable to those impacts from the
designated facilities being addressed by
the state plan. These communities could
be put in the position of bearing the
brunt of the greater health or
environmental impacts resulting from
that source implementing less stringent
emission controls than would otherwise
have been required pursuant to the EG.
The EPA considers that a lack of
attention to such potential outcomes
would be antithetical to the public
health and welfare goals of CAA section
111(d) and the CAA generally.
In order to address the potential
exacerbation of health and
environmental impacts to these
communities as a result of applying a
less stringent standard, the EPA is
proposing to require states to consider
such impacts when applying the RULOF
provision to establish those standards.
The EPA is proposing to require that, to
the extent a designated facility would
qualify for a less stringent standard
through consideration of RULOF, the
state, in calculating such standard, must
consider the potential health and
environmental impacts and potential
benefits of control to communities most
affected by and vulnerable to the
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impacts from the designated facility
considered in a state plan for RULOF
provisions. These communities will be
identified by the state as pertinent
stakeholders under the proposed
meaningful engagement requirements
described in section III.C of this
preamble.
The EPA proposes to require that state
plan submissions seeking to invoke
RULOF for a source must identify where
and how a less stringent standard
impacts these communities. In
evaluating a RULOF option for a facility,
states should describe the health and
environmental impacts anticipated from
the application of RULOF for such
communities, along with any feedback
the state received during meaningful
engagement regarding its draft state plan
submission, including on any standards
of performance that consider RULOF.
Additionally, to the extent there is a
range of options for reasonably
controlling a source based on RULOF,
the EPA is proposing that in
determining the appropriate standard of
performance, states should consider the
health and environmental impacts to the
communities most affected by and
vulnerable to the impacts from the
designated facility considered in a state
plan for RULOF provisions and provide
in the state plan submission a summary
of the results that depicts potential
impacts for those communities for that
range of reasonable control options.
This requirement to consider the
health and environmental impacts in
any standards of performance taking
into account RULOF is consistent with
the definition of ‘‘standard of
performance’’ in CAA section 111(a)(1).
This definition requires the EPA to take
into account health and environmental
impacts in determining the BSER. As
described in this section, if a designated
facility qualifies for a less stringent
standard based on RULOF, the EPA is
proposing the state plan must identify a
source-specific BSER based on the same
factors and metrics the EPA considered
in determining the BSER in the EG.
Therefore, state plans must consider
health and environmental impacts in
determining a source-specific BSER
informing a RULOF standard, just as the
EPA is statutorily required to take into
account these factors in making its
BSER determination.
As an example, the state plan
submission could include a comparative
analysis assessing potential controls on
a designated facility and the
corresponding potential impacts on
affected vulnerable communities in
controlling the source. If the
comparative analysis shows that a
designated facility may be controlled at
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a certain cost threshold higher than
required under the EPA’s proposed
revisions to the RULOF provision, and
such control benefits a vulnerable
community that would otherwise be
adversely impacted by a less stringent
standard, the state in accounting for
RULOF could use that cost threshold to
apply a standard of performance. Given
that the statute provides states with the
discretion, rather than mandate, to
consider RULOF in applying a standard
of performance under CAA section
111(d), it is reasonable for states to
consider the potential health and
environmental impacts to communities
most affected by and vulnerable to the
impacts from a particular designated
facility in calculating the level of
stringency for such standard.48
The EPA recognizes that the
consideration of communities in the
standard setting process, such as what
constitutes a benefit to a vulnerable
community and what is a reasonable
level of control, is highly dependent on
the designated pollutant and source
category subject to an EG. For example,
a comparative analysis for a localized
pollutant may be quantified and
evaluated differently from the analysis
for a global pollutant. The EPA is
therefore proposing general
requirements for the consideration of
impacts to vulnerable communities,
and, where feasible, an EG will provide
more specific guidance or requirements
on how to meet these provisions under
the implementing regulations.
Additionally, under CAA section
111(d)(2)(B), the EPA has the authority
to prescribe a Federal plan promulgating
standards of performance for designated
facilities located in a state that fails to
submit a satisfactory plan. Consistent
with the statute’s mandate for the EPA’s
regulations under CAA section 111(d) to
permit states to account for RULOF, this
provision further directs that the EPA
‘‘shall’’ take into account RULOF in
promulgating standards of performance
for a Federal plan. Therefore, because
the statute uses the same ‘‘other factors’’
phrasing in both CAA sections 111(d)(1)
governing state plans and 111(d)(2)
governing Federal plans, the EPA
proposes to require that health and
environmental impacts to vulnerable
communities be considered in both the
48 As previously described, CAA section 111(d)
gives states the discretion to consider RULOF for a
particular source and are not required to do so.
States thus have the authority to choose to impose
a more stringent standard, including the
presumptive standard, than would be permissible
under RULOF for other reasons, e.g. based on
consideration of communities other than identified
impacted communities.
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state and Federal plan contexts when
accounting for RULOF.
The EPA solicits comment on the
proposed requirements described in this
section for consideration of vulnerable
communities in the context of RULOF
(Comment E8–1).
9. Authority To Apply More Stringent
Standards as Part of the State Plan
The current RULOF provision in
subpart Ba under 40 CFR 60.24a(e)
governs instances where states seek to
apply a less stringent standard of
performance to a particular designated
facility. In promulgating this provision,
the EPA received comments contending
that if states may consider factors that
justify less stringent standards, they
must also be permitted to consider
factors that would justify greater
stringency than required by an EG, such
as more expeditious compliance
obligations or the retirement of a source.
EPA’s Responses to Public Comments
on the EPA’s Proposed Revisions to
Emission Guideline Implementing
Regulations at 56 (Docket ID No. EPA–
HQ–OAR–2017–0355–26740) (July 8,
2019). In response to these comments,
the EPA explained that it interpreted the
statutory RULOF provision as intended
to authorize only standards of
performance that are less stringent than
the presumptive level of stringency
required by a particular EG. Id. at 57.
The EPA has reevaluated its prior
interpretation and is now proposing to
amend subpart Ba to reflect its revised
interpretation that the statute authorizes
the EPA to permit states to consider
other factors that justify application of
a more stringent standard to a particular
source than required by an EG. See FCC
v. Fox Television Stations, Inc., 556 U.S.
502 (2009). The EPA’s rationale for its
revised interpretation and proposal is as
follows.
First, allowing states to apply a more
stringent standard as part of their CAA
section 111(d) plans is consistent with
CAA section 116, which generally
authorizes states to include more
stringent standards of performance or
requirements regarding control or
abatement of air pollution in their plans.
The provisions at 40 CFR 60.24a(f)
provide that nothing in the
implementing regulations shall be
construed to preclude states from
adopting or enforcing a standard of
performance or compliance schedule
that is more stringent than required by
an EG. This language is consistent with
the anti-preemption requirements of
CAA section 116. CAA section 116
provides that nothing in the statute shall
preclude or deny the right of states to
adopt or enforce ‘‘any standard or
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limitation respecting emissions of air
pollutants.’’ While CAA section 116
clearly does not preclude a state from
adopting or enforcing a standard of
performance more stringent than
required under CAA section 111(d), 40
CFR 60.24a(f) does not explicitly speak
to whether the EPA can approve a state
plan that includes such standard of
performance. However, the EPA finds
that CAA section 116, as interpreted
through the Supreme Court decision in
Union Electric Co. v. EPA, gives the EPA
the authority to approve such state plan
under CAA section 111(d). 427 U.S. 246,
263–64 (1976). The EPA proposes to
modify this provision, clarifying that to
the extent a state chooses to submit a
plan that includes standards of
performance or compliance schedules
that are more stringent than the
requirements of a final EG, states have
the authority to do so under this
provision and CAA section 116. Further,
the EPA proposes to clarify that it has
the obligation, and therefore the
authority, to review and approve such
plans and render the more stringent
requirements federally enforceable if all
applicable requirements are met.
The EPA acknowledges that it
previously took the position in the ACE
Rule that Union Electric does not
control the question of whether CAA
section 111(d) state plans may be more
stringent than Federal requirements.
The EPA took this position in the ACE
Rule on the basis that Union Electric on
its face applies only to CAA section 110,
and that it is ‘‘potentially salient’’ that
CAA section 111(d) is predicated on
specific technologies whereas CAA
section 110 gives states broad latitude in
the measures used for attaining the
NAAQS. 84 FR 32559–61. The EPA no
longer takes this position. Upon further
evaluation, the EPA finds that, because
of the structural similarities between
CAA sections 110 and 111(d), CAA
section 116 as interpreted by Union
Electric requires the EPA to approve
CAA section 111(d) state plans that are
more stringent than required by the EG.
See FCC v. Fox Television Stations, Inc.,
556 U.S. 502 (2009).
The Court in Union Electric rejected
a construction of CAA sections 110 and
116 that measures more stringent than
those required to attain the NAAQS
cannot be approved into a federally
enforceable SIP but can be adopted and
enforced only as a matter of state law.
The Court found that such an
interpretation of CAA section 116
‘‘would not only require the
Administrator to expend considerable
time and energy determining whether a
state plan was precisely tailored to meet
the Federal standards but would
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simultaneously require States desiring
stricter standards to enact and enforce
two sets of emission standards, one
federally approved plan and one stricter
state plan.’’ 427 U.S. at 263–64. The
Court concluded there was no basis ‘‘for
visiting such wasteful burdens upon the
States and the Administrator.’’ Id. Both
CAA sections 111(d) and 110 are
structurally similar in that both require
EPA to establish targets to meet the
objectives of each respective section (i.e.
the level of stringency set by an EG
under CAA section 111(d), and
attainment and maintenance of the
NAAQS under CAA section 110) and
states must adopt and submit to the EPA
plans which include requirements to
meet these targets. Specifically, the EPA
establishes a presumptive level of
stringency in an EG, and state plans
under CAA section 111(d) must include
standards of performance that generally
reflect this level of stringency. Because
CAA section 116 applies to ‘‘any
standard or limitation’’, this provision
clearly applies to standards of
performance adopted under CAA
section 111(d). Therefore, the Court’s
rationale in Union Electric also applies
to CAA section 111(d). Requiring states
to enact and enforce two sets of
standards of performance, one that is a
federally approved CAA section 111(d)
plan and one that is a stricter set of state
requirements, runs directly afoul of
Union Electric’s holding that there is no
basis for interpreting CAA section 116
in such manner.
Moreover, there is nothing in CAA
section 111(d) that precludes states from
adopting, and EPA from approving,
more stringent standards of
performance. As described previously,
while standards of performance must
generally reflect the presumptive level
of stringency identified in an EG, CAA
section 111(d) also requires the EPA to
permit states to ‘‘take into
consideration, among other factors, the
remaining useful life’’ in applying a
standard of performance to a particular
designated facility. Aside from the
explicit reference to remaining useful
life, the statute is silent as to what the
‘‘other factors’’ are that states may
consider in applying a standard of
performance and whether such factors
can be used only to weaken the
stringency of a standard of performance
for a particular designated facility.
Therefore, the EPA may reasonably
interpret this ambiguity both as to what
the ‘‘other factors’’ are that states may
use to apply a standard of performance
to a particular source, and how such
consideration may affect the stringency
of such standard. Accordingly, the EPA
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reasonably interprets this phrase as
authorizing states to consider other
factors in exercising their discretion to
apply a more stringent standard to
particular a source. This is a reasonable
interpretation of the statute because if
Congress intended the RULOF provision
to be used only to allow states to apply
less stringent standards, it would have
clearly specified that its intent or
enumerated ‘‘other factors’’ that are
appropriate for relaxing the stringency
of a standard. The statute’s explicit
reference to remaining useful life shows
that if there were factors that Congress
specifically wanted the EPA to allow or
disallow states to consider, it knew how
to expressly make its intent clear in the
RULOF provision.
In addition to finding that the statute
does not preclude the EPA’s reasonable
interpretation of the statutory RULOF
provision as described above, the EPA
has reevaluated the bases for its prior
interpretation that states may only
consider RULOF to apply a less
stringent standard and determined those
bases were flawed. In taking its prior
interpretation, the EPA noted that the
new regulatory RULOF provision under
subpart Ba at 40 CFR 60.24a(e) was
substantively similar to the variance
provision under subpart B, which
authorizes the use of other factors that
‘‘make application of a less stringent
standard or final compliance time
significantly more reasonable.’’ 40 CFR
60.24(f)(3). The EPA reasoned that
because the variance provision under
subpart B is similar to and predated
Congress’s addition of the statutory
RULOF provision to CAA section 111(d)
as part of the 1977 CAA Amendments,
‘‘Congress effectively ratified the EPA’s
implementing regulations’ clear
construct that remaining useful life and
other factors are only relevant in the
context of setting less stringent
standards.’’ EPA’s Responses to Public
Comments on the EPA’s Proposed
Revisions to Emission Guideline
Implementing Regulations at 57 (Docket
ID# No. EPA–HQ–OAR–2017–0355–
26740) (July 8, 2019). The EPA has
closely reexamined the variance
provision under subpart B and the
RULOF provision under CAA section
111(d) and does not find that these
provisions support the proposition that
Congress clearly ratified the aspect of
the variance provision in subpart B
allowing states to apply only less
stringent standards under certain
circumstances. There are notable
differences between the subpart B
variance provision and the CAA section
111(d) RULOF provision that indicate
Congress did not intend to incorporate
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and ratify all aspects of the EPA’s
regulatory approach when amending
CAA section 111(d) in 1977.
Particularly, for pollutants found to
cause or contribute to endangerment of
public health, subpart B allows states to
apply a less stringent standard under
certain circumstances unless the EPA
provides otherwise in a specific EG for
a particular designated facility or class
of facilities. 40 CFR 60.24(c), (f). Subpart
B places no similar exception for states
in authorizing them to seek a variance
for a standard addressing a pollutant for
which the EPA has made a welfarebased, but not public health-based,
endangerment finding under
111(b)(1)(A). 40 CFR 60.24(d). By
contrast, the statutory RULOF provision
does not make a similar distinction
between public health and welfarebased pollutants, which the EPA itself
acknowledged in promulgating the
regulatory RULOF provision in subpart
Ba. 84 FR 32570, July 8, 2019.
Therefore, the EPA cannot clearly
ascertain whether the statutory RULOF
provision ratified the variance provision
under subpart B, given that certain key
elements of the latter are not present in
the former. There is nothing in CAA
section 111(d) or the legislative history
that suggests Congress enacted the
statutory RULOF provision by ratifying
certain elements of the regulatory
variance provision in subpart B but not
others.
Additionally, in taking its prior
position that states may only consider
RULOF to apply a less stringent
standard, the EPA asserted that the
legislative history of the 1977 CAA
Amendments supported its
interpretation. The EPA highlighted the
following statement in the House
conference report adopting the
amendment to add the statutory RULOF
provision: ‘‘The section also makes clear
that standards adopted for existing
sources under section 111(d) of the Act
are to be based on available means of
emission control (not necessarily
technological) and must, unless the
State decides to be more stringent, take
into account the remaining useful life of
the existing sources.’’ H.R. Conf. Rep.
No. 94–1742, (Sep. 30, 1976), 1977 CAA
Legis. Hist. at 88. Based on this
statement, the EPA found that the caveat
that states have the choice to not invoke
the RULOF provision and instead ‘‘be
more stringent’’ suggests that
considering RULOF is only intended to
allow a state to make a standard less
stringent. The EPA now finds that its
prior reliance on this legislative history
was flawed. The cited statement only
speaks to remaining useful life, which is
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a factor that inherently suggests a less
stringent standard, but it is completely
silent as to the ‘‘other factors’’ the
statute references. Thus, there is no
indication that Congress intended to
limit the ‘‘other factors’’ that states may
apply in developing their plans only to
permit less stringent, and not more
stringent standards. Rather, the cited
statement explicitly acknowledges that
states may choose to ‘‘be more
stringent’’, which supports the EPA’s
interpretation of the statute to permit
states to consider other factors to set
standards more stringent than the
degree of emission limitation achievable
through application of the BSER.
Interpreting the statutory RULOF
provision as authorizing states to apply
a more stringent standard of
performance to a particular source is
also consistent with the purpose and
structure of CAA section 111(d). CAA
section 111(d) clearly contemplates
cooperative federalism, where states
bear the obligation to establish
standards of performance. Nothing
under CAA section 111(d) suggests that
the EPA has the authority to preclude
states from determining that it is
appropriate to regulate certain sources
within their jurisdiction more strictly
than otherwise required by Federal
requirements. To do so would be
arbitrary and capricious in light of the
overarching purpose of CAA section
111(d), which is to require emission
reductions from existing sources for
certain pollutants that endanger public
health or welfare. It is inconsistent with
the purpose of CAA section 111(d) and
the role it confers upon states for the
EPA to constrain them from further
reducing emissions that harm their
citizens, and the EPA does not see a
reasonable basis for doing so.
Other factors states may wish to
account for in applying a more stringent
standard than required under an EG
include, but are not limited to, early
retirements, and availability of control
technologies that allow a source to
achieve greater emission reductions.
However, the EPA cannot in the
implementing regulations anticipate
each and every factor under which a
state may seek to apply a more stringent
standard. Therefore, the EPA is
proposing general requirements under
which states may use the RULOF
provision to apply a more stringent
standard and may identify any further
parameters in a specific EG. The EPA is
also proposing to require that states
seeking to apply a more stringent
standard of performance based on other
factors must adequately demonstrate
that the different standard is in fact
more stringent than the presumptive
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level of stringency. Such standard of
performance must meet all applicable
statutory and regulatory requirements,
including that it is adequately
demonstrated, 49 and the state plan must
include measures that provide for the
implementation and enforcement of the
standard as with any standard of
performance under CAA section 111(d).
For the reasons described in this
section, the EPA proposes to revise the
RULOF provision under subpart Ba to
permit states to consider factors which
justify applying a standard of
performance that is more stringent than
required under an EG. The EPA solicits
comment on its proposed interpretation
of the statutory RULOF provision and
revision to the regulatory provision
(Comment E9–1).
Moreover, the EPA proposes to clarify
that under subpart Ba, per the authority
of CAA sections 111(d) and 116, states
may include more stringent standards of
performance in their plans and that the
EPA must approve and render such
standards as federally enforceable, so
long as the minimum requirements of
the EG and subpart Ba are met.50 The
EPA solicits comment on its proposal as
described in this section (Comment E9–
2).
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F. Provision for Electronic Submission
of State Plans
The provision at 40 CFR 60.23a(a)(1)
currently requires state plan
submissions to be made in accordance
with the provision in 40 CFR 60.4.
Pursuant to 40 CFR 60.4(a), all requests,
reports, applications, submittals, and
other communications to the
Administrator pursuant to 40 CFR part
60 shall be submitted in duplicate to the
appropriate regional office of the EPA.
The provision in 40 CFR 60.4(a) then
proceeds to include a list of the
corresponding addresses for each
regional office. In this action we are
proposing to revise 40 CFR 60.23a(a)(1)
to require electronic submission of state
plans instead of paper copies as
49 The EPA is not proposing to require the state
to conduct a source-specific BSER analysis for
purposes of applying a more stringent standard, as
the EPA proposes to require for application of a less
stringent standard. So long as the standard will
achieve equivalent or better emission reductions
than required by the EG, the EPA believes it is
appropriate to defer to the state’s discretion to, for
example, choose to impose more costly controls on
an individual source.
50 The EPA notes that its authority is constrained
to approving measures which comport with
applicable statutory requirements. For example,
CAA section 111(d) only contemplates that state
plans would include requirements for designated
facilities regulated by a particular EG; therefore, the
EPA concludes that section 116 does not provide
it with the authority to approve and render
federally enforceable measures on entities other
than those on designated facilities.
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according to 40 CFR 60.4. In particular,
we are proposing to add a sentence to
40 CFR 60.23a(a)(1) that reads as
follows: ‘‘The submission of such plan
shall be made in electronic format
according with § 60.23a(a)(3) or as
specified in an applicable emission
guideline.’’ In 40 CFR 60.23a(a)(3), the
EPA is proposing the general
requirements associated with the
electronic submittal of plans.
As previously described, CAA section
111(d) requires the EPA to promulgate
a ‘‘procedure’’ similar to that of CAA
section 110 under which states submit
plans. The statute does not prescribe a
specific platform for plan submissions,
and the EPA reasonably interprets the
procedure it must promulgate under the
statute as allowing it to require
electronic submission. Requiring
electronic submission is reasonable for
the following reasons. Providing for
electronic submittal of CAA section
111(d) state plans in subpart Ba in place
of paper submittals aligns with current
trends in electronic data management
and as implemented in the individual
EGs, will result in less burden on the
states. It is the EPA’s experience that the
electronic submittal of information
increases the ease and efficiency of data
submittal and data accessibility. The
EPA’s experience with the electronic
submittal process for SIPs under CAA
section 110 has been successful as all
the states are now using the State
Planning Electronic Collaboration
System (SPeCS). SPeCS is a userfriendly, web-based system that enables
state air agencies to officially submit
SIPs and associated information
electronically for review and approval
to meet their CAA obligations related to
attaining and maintaining the NAAQS.
SPeCS for SIPs is the EPA’s preferred
method for receiving such SIPs
submissions. The EPA has worked
extensively with state air agency
representatives and partnered with EEnterprise for the Environment and the
Environmental Council of the States to
develop this integrated electronic
submission, review, and tracking system
for SIPs. SPeCS can be accessed by the
states through the EPA’s Central Data
Exchange (CDX) (https://cdx.epa.gov/).
The CDX is the Agency’s electronic
reporting site and performs functions for
receiving acceptable data in various
formats. The CDX registration site
supports the requirements and
procedures set forth under the EPA’s
Cross-Media Electronic Reporting
Regulation, 40 CFR part 3.
The EPA is proposing to include in 40
CFR 60.23a(a)(3) the general
requirements associated with the
electronic submittal of a state plan in
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subpart Ba. As proposed, 40 CFR
60.23a(a)(3) will require state plan
submission to the EPA be via the use of
SPeCS or through an analogous
electronic reporting tool provided by the
EPA for the submission of any plan
required by this subpart. The EPA is
also proposing to include in the new
provision at 40 CFR 60.23a(a)(3)
language to specify that states are not to
transmit confidential business
information (CBI) through SPeCS. Even
though state plans submitted to the EPA
for review and approval pursuant to
CAA section 111(d) through SPeCS are
not to contain CBI, this language will
also address the submittal of CBI in the
event there is a need for such
information to be submitted to the EPA.
Any other specific requirements
associated with the electronic submittal
of a particular state plan will be
provided within the corresponding EG.
The requirements for electronic
submission of CAA section 111(d) state
plans in EGs will ensure that these
Federal records are created, retained,
and maintained in electronic format.
Electronic submittal will also improve
the Agency’s efficiency and
effectiveness in the receipt and review
of state plans. The electronic submittal
of state plans may also provide
continuity in the event of a disaster like
the one our nation experienced with
COVID–19. The EPA requests comment
on whether the EPA should provide for
electronic submittals of plans as an
option instead of as a requirement
(Comment F–1). The EPA requests
comment on whether a requirement for
electronic submissions of 111(d) state
plans should be via SPeCS or whether
another electronic mechanism should be
considered as appropriate for CAA
section 111(d) state plan submittals
(Comment F–2).
G. Other Proposed Modifications and
Clarifications
1. Standard of Performance and
Compliance Flexibility
i. Definition of Standard of Performance
The EPA proposes to amend 40 CFR
60.21a(f) and 60.24a(b) to clarify that the
definition of ‘‘Standard of performance’’
allows for state plans to include
standards in the form of an allowable
mass limit of emissions. The current
regulatory definition states that under
CAA section 111 the establishment of
standards of performance is to reflect
the degree of emission limitation
achievable through the application of
the BSER, as determined by the EPA.
Per the definition in 40 CFR 60.21a(f),
such a standard for emissions of air
pollutants includes, ‘‘but [is] not limited
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to a legally enforceable regulation
setting forth an allowable rate or limit
of emissions into the atmosphere, or
prescribing a design, equipment, work
practice, or operational standard, or
combination thereof’’. The term ‘‘an
allowable rate or limit of emissions’’
was intended to encompass standards of
performance based on quantity, rate, or
concentration of emissions of air
pollutants, consistent with the
definition of ‘‘emission limitation’’ and
‘‘emission standard’’ in CAA section
302(k).51 To address any potential
ambiguity about this term, the EPA is
proposing to amend this provision to
clarify that the term ‘‘an allowable rate
or limit of emissions’’ means ‘‘an
allowable rate, quantity, or
concentration of emissions’’ of air
pollutants. The EPA is also proposing to
amend the definition of standard of
performance under 40 CFR 60.24a(b) to
read ‘‘. . . in the form of an allowable
rate, quantity, or concentration of
emissions’’ rather than ‘‘. . . either be
based on allowable rate or limit of
emission’’. Moreover, the EPA proposes
to remove the phrase ‘‘but not limited
to’’ from 40 CFR 60.21a(f) as
unnecessary and potentially confusing
verbiage that is redundant of the word
‘‘including,’’ particularly where the
definition already identifies a wide
breadth of potential standards that may
be included in a state plan.
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ii. Compliance Flexibilities, Including
Trading or Averaging
CAA section 111(d) and these
implementing regulations authorize the
EPA to approve state plans establishing
standards of performance that meet the
emission guidelines promulgated by the
EPA, including plans that authorize
sources to meet their emission limits in
the aggregate, such as through standards
that permit compliance via trading or
averaging. (The EPA herein refers to all
these flexibilities as trading or
averaging.) In taking this position that
CAA section 111(d) and these
implementing regulations authorize the
EPA to approve state plans that include
trading or averaging, the EPA is
reversing, after reconsideration, the
contrary interpretation of CAA section
111(d) provided in the ACE Rule. As a
related matter, the EPA is also reversing
the ACE Rule’s interpretation that CAA
section 111 limits the best system of
emission reduction (BSER) to controls
that can be applied at and to the source
51 See 84 FR 32570, July 8, 2019 (explaining that
the definition of ‘‘standard of performance’’ at 40
CFR 60.24a(b) is intended to permit either rate- or
mass-based forms, depending on the considerations
specific to a particular emission guideline).
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(commonly referred to as inside-thefenceline controls).
Provisions of Section 111. Under CAA
section 111(d)(1), each state is required
to submit to the EPA ‘‘a plan which . . .
establishes standards of performance for
any existing source’’ that emits certain
types of air pollutants, and which
‘‘provides for the implementation and
enforcement of such standards of
performance.’’ Under CAA section
111(a)(1), a ‘‘standard of performance’’
is defined 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 . . .
adequately demonstrated.’’ Under CAA
section 111(a)(6) and (a)(3), ‘‘existing
source’’ is defined as a ‘‘stationary
source,’’ which, in turn, is defined, in
relevant part, as ‘‘any building,
structure, facility or installation. . . .’’
Rulemaking and Caselaw. In the
Clean Power Plan (CPP), the EPA
interpreted the term ‘‘system’’ in CAA
section 111(a)(1) to be broad and
therefore to authorize the EPA to
consider a wide range of measures from
which to select the BSER. 80 FR 64662,
64720 (October 23, 2015). Similarly, the
CPP took the position that states had
broad flexibility in choosing compliance
measures for their state plans. See, e.g.,
80 FR 64887, October 23, 2015. The CPP
went on to determine that generation
shifting qualified as the BSER, 80 FR
64707, October 23, 2015, and that states
could include trading or averaging
programs in their state plans for
compliance. 80 FR 64840, October 23,
2015.
The ACE Rule included the repeal of
the CPP. It interpreted CAA section 111
so that the type of ‘‘system’’ that the
EPA may select as the BSER is limited
to a control measure that could be
applied inside the fenceline of each
source to reduce emissions at each
source. 84 FR 32523–24, July 8, 2019.
Specifically, the ACE Rule argued that
the requirements in CAA section
111(d)(1), (a)(3), and (a)(6) that each
state establish a standard of
performance ‘‘for’’ ‘‘any existing
source,’’ defined, in general, as any
‘‘building . . . [or] facility,’’ and the
requirements in CAA section 111(a)(1)
that the degree of emission limitation
must be ‘‘achievable’’ through the
‘‘application’’ of the BSER, by their
terms, impose this limitation. The ACE
Rule also concluded that the
compliance measures the states include
in their plans must ‘‘correspond with
the approach used to set the standard in
the first place,’’ 84 FR 32556, July 8,
2019, and therefore must also be limited
to inside-the-fenceline measures that
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reduce the emissions of each source. For
these reasons, the ACE Rule invalidated
the CPP’s generation-shifting system as
the BSER, on grounds that it was an
outside-the-fenceline measure, and
precluded states from allowing their
sources to trade or average to
demonstrate compliance with their
emission standards. 84 FR 32556–57,
July 8, 2019.
In 2021, the D.C. Circuit vacated the
ACE Rule. American Lung Ass’n v. EPA,
985 F.3d 914. The Court held, among
other things, that CAA section 111(d)
does not limit the EPA, in determining
the BSER, to inside-the-fenceline
measures. The Court explained that
contrary to the ACE Rule, the abovenoted requirements in CAA section 111
that each state establish a standard of
performance ‘‘for’’ any existing
‘‘building . . . [or] facility,’’ mean that
the state must establish standards
applicable to each regulated stationary
source; and the requirements that the
degree of emission limitation must be
achievable through the ‘‘application’’ of
the BSER could be read to mean that the
sources must be able to apply the
system to reduce emissions across the
source category. None of these
requirements, the Court further
explained, can be read to mandate that
the BSER is limited to some measure
that each source can apply to its own
facility to reduce its own emissions in
a specified amount. Id. at 944–51. The
Court further held that the ACE Rule’s
premise for viewing compliance
measures as limited to inside-thefenceline, which is that BSER measures
are so limited, was invalid for the same
reason. The Court indicated that while
requiring symmetry between the nature
of the BSER and compliance measures
‘‘would be reasonable’’ where necessary
to preserve the environmental outcomes
a particular BSER was designed to
achieve, a universal restriction on
compliance measures could not be
sustained by policy concerns that were
not similarly universal. Id. at 957–58.
In 2022, the U.S. Supreme Court
reversed the D.C. Circuit’s vacatur of the
ACE Rule’s embedded repeal of the
Clean Power Plan. West Virginia v. EPA,
142 S. Ct. 2587 (2022). The Supreme
Court made clear that CAA section 111
authorizes the EPA to determine the
BSER and the amount of emission
limitation that state plans must achieve.
Id. at 2601–02. However, the Supreme
Court invalidated the CPP’s generationshifting BSER under the major questions
doctrine, explaining that the term
‘‘system’’ does not provide the ‘‘clear
congressional authorization,’’ id. at 2614
(internal quotation marks omitted),
needed to support a BSER ‘‘of such
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magnitude and consequence.’’ Id. at
2615–16. The Court declined to address
the D.C. Circuit’s decision that the text
of CAA section 111 did not limit the
type of ‘‘system’’ the EPA could
consider as the BSER to inside-thefenceline measures. See id. at 2615 (‘‘We
have no occasion to decide whether the
statutory phrase ‘‘system of emission
reduction’’ refers exclusively to
measures that improve the pollution
performance of individual sources, such
that all other actions are ineligible to
qualify as the BSER.’’ (emphasis in
original)). Nor did the Court rule on the
scope of the states’ compliance
flexibilities.
The EPA Interpretation. As noted
above, the EPA has reconsidered the
ACE Rule’s interpretation of the
compliance flexibilities available to
States under CAA section 111 and now
proposes to disagree that averaging and
trading are universally precluded. With
respect to compliance measures, the
EPA proposes to agree with the D.C.
Circuit’s reasoning in rejecting the ACE
Rule’s limitations on those measures.
American Lung Ass’n, 985 F.3d at 957–
58. As noted above, CAA section
111(d)(1) provides, in relevant part, that
states ‘‘establish[ ],’’ ‘‘implement[ ],’’ and
‘‘enforce[ ]’’ ‘‘standards of performance
for any existing source.’’ CAA section
111(d) does not, by its terms, preclude
states from having flexibility in
determining which measures will best
achieve compliance with the EPA’s
emission guidelines.
Such flexibility is consistent with the
framework of cooperative federalism
that CAA section 111(d) establishes,
which vests states with substantial
discretion. As the U.S. Supreme Court
has explained, CAA section 111(d)
‘‘envisions extensive cooperation
between Federal and state authorities,
generally permitting each State to take
the first cut at determining how best to
achieve EPA emissions standards within
its domain.’’ American Elec. Power Co.
v. Connecticut, 564 U.S. 410, 428 (2011)
(citations omitted). It should be noted
that the flexibility that CAA section
111(d) grants to states in adopting
measures for their state plans is by no
means unfettered; rather, section
111(d)(2) requires the EPA to review
state plans to assure that they are
‘‘satisfactory.’’
For the reasons just noted, the EPA
proposes to disagree with the ACE
Rule’s conclusion that state plan
compliance measures must always
correspond with the approach the EPA
uses to set the BSER, where the
environmental outcomes of the
emissions guidelines are not
compromised by a lack of alignment.
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Moreover, after reconsideration, the
EPA also proposes to reject the ACE
Rule’s interpretation that various
provisions in CAA section 111 limit the
type of ‘‘system’’ that may qualify as the
BSER to inside-the-fenceline measures.
84 FR 32556, July 8, 2019. Thus, there
could be no comparable inside-thefenceline statutory limitation on states’
compliance flexibilities in developing
their state plans. The EPA proposes to
agree with the part of the D.C. Circuit’s
decision in American Lung Ass’n, 985
F.3d at 944–51, that rejected the ACE
Rule’s inside-the-fenceline statutory
interpretation.
The EPA recognizes, however, that
while the U.S. Supreme Court in West
Virginia expressly declined to address
this part of the D.C. Circuit’s decision,
it did impose limits, through the
application of the major questions
doctrine, on the type of ‘‘system’’ that
may qualify as the BSER. 142 S. Ct. at
2615–16. The EPA does not propose in
this action to address the scope of those
limits. Thus, the EPA is not proposing
in this action to address whether it
could include trading or averaging as
part of the BSER—nor, for that matter,
is it proposing to identify any particular
control mechanism that could or could
not be part of the BSER—in light of
those limits. Instead, the EPA may
address further those limits, and their
implications for the legality of particular
systems of emission reduction and state
compliance measures, in future
emission guidelines.
Under the EPA’s proposed
interpretation of CAA section 111, the
provision permits each state to adopt
measures that allow its sources to meet
their emission limits in the aggregate,
when the EPA determines, in any
particular emission guideline, that it is
appropriate to do so, given, inter alia,
the pollutant, sources, and standards of
performance at issue. Thus, it is the
EPA’s proposed position that CAA
section 111(d) authorizes the EPA to
approve state plans, in particular
emission guidelines, that achieve the
requisite emission limitation through
the aggregate reductions from their
sources, including through trading or
averaging, where appropriate for a
particular emission guideline and
consistent with the intended
environmental outcomes of the
guideline.
We also note that the EPA has
authorized trading or averaging as
compliance methods in several emission
guidelines. In 1995, the EPA authorized
emissions trading in emission
guidelines for municipal waste
combustors. 60 FR 65387, 65402
(December 19, 1995); see 40 CFR
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60.33b(d)(2) (‘‘A State plan may
establish a program to allow owners or
operators of municipal waste combustor
plants to engage in trading of nitrogen
oxides emission credits.’’). In 2005, the
EPA authorized allowance trading in the
Clean Air Mercury Rule, 70 FR 28606,
28617 (May 18, 2005). This rule was
vacated by the D.C. Circuit on other
grounds. New Jersey v. EPA, 517 F.3d
574 (D.C. Cir. 2008). Moreover,
alongside the 2005 Mercury Rule, the
EPA amended the CAA section 111
implementing regulations subpart B to
provide that a state’s ‘‘[e]mission
standards [may] be based on an
allowance system,’’ 70 FR 28649, May
18, 2005 (promulgating 40 CFR
60.24(b)(1) (2005)), provisions that by
their terms contemplated trading and
that remained in place until rescinded
by the ACE Rule. In addition, the 2015
CPP also authorized trading or averaging
as a compliance strategy. 80 FR 64662,
64840 (October 23, 2015). Thus, the EPA
has long interpreted CAA section 111(d)
as permitting, in appropriate
circumstances, flexible mechanisms to
comply with the EPA’s emission
guidelines, and the EPA now proposes
to return to this interpretation.
In addition, there is no provision in
these implementing regulations that
precludes state plans from authorizing
sources to trade or average to
demonstrate compliance with their
standards. In particular, the proposed
revisions in the definition of ‘‘standard
of performance’’ in these regulations,
described in section III.G.1.a of this
preamble, would not impose that limit.
For example, states could authorize
their sources to comply with an
‘‘allowable quantity . . . of emissions’’
by trading allowances or with an
‘‘allowable rate . . . of emissions’’ by
trading or averaging credits. It should be
noted that in promulgating particular
emission guidelines, the EPA proposes
that it may preclude certain flexibilities,
on the grounds, for example, that for the
particular source category or pollutant
in question, implementation of those
flexibilities would undermine the
amount of emission reductions that the
EPA designed the guidelines to achieve
and thus would not achieve equivalent
emissions reductions.
2. Minor Amendments or Clarifications
The EPA is proposing the following
minor amendments to the regulatory
text in subpart Ba to address the
following editorial and other minor
clarifications.
i. The EPA is proposing to amend the
applicability provision for subpart Ba
under 40 CFR 60.20a, to clarify that the
provisions of subpart Ba are applicable
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to EGs published after July 8, 2019. The
current language in this provision states
that subpart Ba also applies to EGs if
implementation of such guidelines is
ongoing as of July 8, 2019. However,
such EGs are a null set,52 therefore the
EPA is proposing to remove this text so
that it is clear that the provisions in
subpart Ba only apply to final EGs
published after July 8, 2019. Emission
guidelines issued prior to July 8, 2019,
are subject to the provisions of subpart
B instead of subpart Ba.
ii. The EPA proposes to amend 40
CFR 60.21a(e), 60.22a(c), 60.24a(c), and
60.24a(n)(1) and (2) by deleting subpart
C from the provisions because EGs can
be codified in other subparts of this part
and not only in subpart C of this part.
iii. The EPA proposes to amend 40
CFR 60.27a(a) by replacing the word
‘‘shorten’’ with ‘‘amend’’. The
applicability provision at 40 CFR
60.20a(a)(1) states that ‘‘each emission
guideline may include specific
provisions in addition to or that
supersede requirements of this subpart.’’
However, the provision in 40 CFR
60.27a(a) only provides for the
Administrator to ‘‘shorten the period for
submission of any plan or plan revision
or portion thereof’’. To make these two
provisions consistent in light of the
proposed timelines for plan submission
included in this action, the EPA is
proposing to replace the word ‘‘shorten’’
with ‘‘amend.’’
iv. The EPA is also proposing an
editorial amendment to 40 CFR part 60
subpart A at 60.1(a) to add a reference
to subpart Ba. The applicability
provision in 40 CFR 60.1(a) states that
‘‘Except as provided in subparts B and
C, the provisions of this part apply to
the owner or operator of any stationary
source which contains an affected
facility, the construction or modification
of which is commenced after the date of
publication in this part of any standard
(or, if earlier, the date of publication of
any proposed standard) applicable to
that facility’’. We are proposing to
amend this provision to include
reference to subpart Ba in addition to
subparts B and C.
The EPA solicits comment on the
proposed clarifications as described in
section III.G.2 of this preamble.
(Comment G2–1).
3. Submission of Emissions Data and
Related Information
The EPA proposes to amend 40 CFR
60.25a(a) by deleting reference to 40
CFR part 60 appendix D because the
52 The
Municipal Solid Waste Landfills EG,
which is currently being implemented, has its own
applicability provisions and is subject to subpart B.
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system specified for information
submittal by the appendix is no longer
in use. The proposed amendments
clarify that the applicable EG will
specify the system for submission of the
inventory of designated facilities,
including emission data for the
designated pollutants and any
additional required information.
4. State Permit and Enforcement
Authority
Questions have previously arisen as to
whether states may establish standards
of performance and other plan
requirements as part of state permits
and administrative orders. The EPA is
not proposing a regulatory amendment
on this point but confirms that subpart
Ba allows for standards of performance
and other state plan requirements to be
established as part of state permits and
administrative orders, which are then
incorporated into the state plan. See 40
CFR 60.27a(g)(2)(ii).
However, the EPA notes that the
permit or administrative order alone
may not be sufficient to meet the
requirements of an EG or the
implementing regulations, including the
completeness criteria under 40 CFR
60.27a(g). For instance, a plan submittal
must include supporting material
demonstrating the state’s legal authority
to implement and enforce each
component of its plan, including the
standards of performance. Id. at 40 CFR
60.27a(g)(2)(iii). In addition, the specific
EGs may also require demonstrations
that may not be satisfied by terms of a
permit or administrative order. To the
extent that these and other requirements
are not met by the terms of the
incorporated permits and administrative
orders, states will need to include
materials in a state plan submission
demonstrating how the plan meets those
requirements. If a state does choose to
use permits or administrative orders to
establish standards of performance, it
needs to demonstrate that it has the
legal authority to do so. The
implementing regulations do not
themselves provide any independent or
additional authority to issue permits
and administrative orders under states’
EPA approved title I and title V
permitting programs. The EPA solicits
comment on these proposed
clarifications to state permit and
enforcement authority (Comment G4–1).
IV. Statutory and Executive Order
Reviews
Additional information about these
Statutory and Executive Orders can be
found at https://www.epa.gov/lawsregulations/laws-and-executive-orders.
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A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is a significant regulatory
action that was submitted to the Office
of Management and Budget (OMB) for
review because it may raise novel legal
or policy issues arising out of legal
mandates, the President’s priorities or
the principles set forth in the Executive
Order. Any changes made in response to
OMB recommendations have been
documented in the docket.
This action proposes amendments to
40 CFR part 60, subpart Ba, the general
provisions that provide a framework for
the development, adoption, and
submittal of state plans for
implementation of CAA section 111(d)
EGs. The EGs provide for regulation of
emissions of designated pollutants from
existing facilities within specific source
categories. The proposed amendments
will only be applicable to EGs
promulgated after July 8, 2019, to the
extent the EG does not supersede the
requirements of subpart Ba. The
proposed amendments will not impact
legacy EGs subject to the requirements
of 40 CFR part 60, subpart B.
The impacts of the amendments
proposed here on the benefits and costs
of a potential EG subject to subpart Ba
can vary greatly depending on the
source category, number and location of
designated facilities, and the designated
pollutant and potential controls
addressed. Additionally, the EPA may
propose to supersede these general
provisions in a particular EG, as needed
and with appropriate justification.
Emission guidelines are subject to
notice and comment rulemaking,
providing the opportunity for
stakeholders, including the public, to
consider the impacts of implementing or
superseding these amendments during
those rule making actions.
The EPA expects that the overall
impacts of the implementation of the
amendments to subpart Ba being
proposed in this action will improve the
implementation of EGs under CAA
section 111(d). In particular, the EPA
expects that the timelines proposed in
this action both appropriately
accommodate the process required by
states and the EPA to develop and
evaluate plans to effectuate an EG and
are consistent with the objective of CAA
section 111(d) to ensure that designated
facilities expeditiously control
emissions of pollutants that the EPA has
determined may be reasonably
anticipated to endanger public health or
welfare. The potential impacts of
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amendments associated with timelines
is addressed in more detail below.
As described in detail in section
III.A.1 of this preamble, the EPA is
proposing 15 months for state plan
submissions after publication of a final
EG. The EPA expects the additional
time proposed for subpart Ba compared
with the 9 months provided in subpart
B will better accommodate the process
required by states and the EPA to
develop plans to effectuate the
applicable EG. Under the proposed state
plan submission timeframe, the costs of
developing the plans may be spread
over 6 additional months. These
additional 6 months also provide for the
time needed by states to meet the
proposed requirements associated with
meaningful engagement and RULOF. As
discussed in sections III.A.1 and III.A.3
of this preamble, the EPA does not
interpret the ALA court’s direction to
require a quantitative measure of
impact, but rather consideration of the
importance of the public health and
welfare goals when determining
appropriate deadlines for
implementation of regulations under
CAA section 111(d). In proposing the
state plan submittal timeline, the EPA is
allowing states sufficient time to
develop feasible implementation plans
for their designated facilities that
adequately address public health and
environmental objectives. By allowing
sufficient time for states to develop their
state plans, the EPA has considered the
importance of the public health and
welfare goals as the proposed state
planning process timing ultimately
helps ensure timelier implementation of
an EG, and therefore achievement of
actual emission reductions, than would
an unattainable deadline that may result
in the failure of states to submit plans
and require the development and
implementation of a Federal plan. In
addition, a successful submittal of
approvable state plans will avoid an
attendant expenditure of Federal
resources associated with the
development of a Federal plan.
As described in detail in sections
III.A.3 and III.A.4 of this preamble, the
EPA is proposing 12 months for the EPA
to take final action on a state plan after
a submission is found to be complete
and 12 months for the EPA to
promulgate a Federal plan either after
the state plan deadline, if a state has
failed to submit a complete plan, or after
the EPA’s disapproval of a state plan
submission. The EPA is further
proposing to streamline the timeframe
for the EPA’s determination of
completeness on a state plan submission
from six months to 60 days from receipt
of the state plan submission (see section
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III.A.2 of this preamble). As described in
detail in section III of this preamble,
because these proposed timeframes
provide for the administrative time
reasonably necessary for EPA to
accomplish such actions in an
expeditious manner, the EPA expects
these timeframes will minimize the
impacts on public health and welfare
while ensuring that an EG is
expeditiously implemented.
As described in detail in section
III.A.5 of this preamble, the EPA is
proposing to require that state plans
include increments of progress if the
plan requires final compliance with
standards of performance later than 16
months after the plan submission
deadline. The EPA expects the
additional time of 4 months provided in
the proposed amendments, compared to
the requirement in subpart B, provides
a reasonable time period for owners or
operators of designated facilities to
initiate actions associated with the
increments of progress, thus ensuring a
successful implementation of the
increments of progress. Any specific
requirements associated with
increments of progress would be
included in the EG, as these are
dependent on the source type, pollutant,
and control strategy addressed.
The EPA is also proposing
amendments to subpart Ba to enhance
requirements for reasonable notice and
opportunity for public participation. In
particular, the EPA is proposing to
require that states, as part of the state
plan development or revision process or
if invoking RULOF provisions,
undertake outreach and meaningful
engagement with a broad range of
pertinent stakeholders. Pertinent
stakeholders include communities most
affected by and vulnerable to the
impacts of the plan or plan revision (see
section III.C of this preamble).
Overall, the EPA expects these
amendments will benefit the states in
the development of approvable state
plans. The EPA expects that the
proposed requirements associated with
meaningful engagement with pertinent
stakeholders and RULOF would
potentially increase the amount of
information the states can use in
designing standards, which may
increase both the level of resources
states will need to employ in the
development of an approvable plan, as
well as the resulting health and welfare
benefits of the standards. At the same
time, there are benefits of engaging with
stakeholders and receiving pertinent
information as a state plan is being
developed. Such engagement may
improve the record for the state’s plan
and reduce the amount of comments
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received when the state plan is
proposed to the public, which would
reduce the amount of effort employed
after proposal to address issues raised
by the public and stakeholders.
There is a lot of variation and
uncertainty in determining the
magnitude of impacts, both to states and
the public, resulting from amendments
associated with meaningful engagement
in any particular EG. The impacts of
conducting meaningful engagement will
be highly dependent on the number and
location of designated facilities
addressed by an EG, as well as on the
type of health or environmental impacts
of the associated emissions. If
stakeholder and public involvement
required by the proposed amendments
does not generate a large number of
specific and unique comments, data, or
other considerations, then the level of
effort states will employ to review them
will be lower in comparison to when
meaningful engagement comments are
voluminous. Also, to the extent that
states already employ significant
engagement with pertinent stakeholders,
the proposed meaningful engagement
amendments would not result in
additional costs, while other states that
do not have engagement procedures
already in place may be required to
increase their level of effort to engage
with pertinent stakeholders. The burden
and benefits of meaningful engagement
for the pertinent stakeholders will also
be highly dependent on the EG and
associated variables such as, but not
limited to, the geographical distribution
of the facilities and communities
impacted, available modes of
participation for those areas, the
pollutants addressed, and the range of
options available to the state and
facilities for meeting the EG standards.
The burden and benefits to pertinent
stakeholders may be difficult to
quantify, but overall, their engagement
will be voluntary and is anticipated to
result in feedback that may improve the
resulting health and welfare benefits of
the standards as perceived and
experienced, particularly by those in
communities most affected by and
vulnerable to the impacts of the plan.
The EPA is proposing revisions to the
RULOF provision in subpart Ba. The
amendments included in this proposed
action are intended to provide clarity
and consistency for states and the EPA
in considering RULOF when applying
standards of performance to individual
sources, while still fulfilling the
statutory purpose of CAA section 111(d)
(see section III.E of this preamble).
The magnitude of impacts, both to
states and the public, resulting from
amendments associated with the
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proposed RULOF amendments, will
vary depending on the particular EG to
which the proposed provisions would
apply. If a state does not invoke RULOF
in their state plan, then the proposed
amendments will not result in
additional costs. If a state does invoke
RULOF in their state plan, then the
proposed amendments could result in
an increased level of effort to develop
standards of performance for certain
sources. As such, the EPA expects the
RULOF proposed amendments will
potentially increase the level of
resources states will need to employ in
the development of an approvable plan.
However, because the proposed
amendments clarify what the EPA
considers to be a satisfactory plan, the
amendments would reduce the
uncertainty of states and designated
facilities in the development of such
standards. This in turn could result in
a decrease in the amount of time that a
state that wished to invoke RULOF
would need, relative to a situation
where the requirements were less
defined, by avoiding significant back
and forth with EPA and the sources in
the state during state plan development.
Overall, the EPA expects the RULOF
amendments will benefit the states in
the development of approvable state
plans and in the resulting benefits to
public health and welfare.
Finally, the EPA expects proposed
amendments for electronic submittal
and for the availability of optional
regulatory mechanisms will improve
flexibility and efficiency in the call for
and submission, review, approval, and
implementation of state plans, and thus
will overall result in benefits to the
states, EPA, designated facilities, and
public health and welfare. In addition,
the EPA expects the proposed
amendments for electronic submittal
will increase the ease and efficiency of
data submittal and data accessibility
and benefit the states and EPA.
Electronic submittal will also improve
the Agency’s efficiency and
effectiveness in the receipt and review
of state plans.
While specific analysis of cost and
benefit impacts will be addressed
through individual EGs and associated
notice and comment rulemaking, we
request comments throughout this
preamble more generally on the
potential impacts associated with the
amendments to subpart Ba being
proposed in this action.
B. Paperwork Reduction Act (PRA)
This action does not impose an
information collection burden under the
Paperwork Reduction Act. The
requirements in subpart Ba do not
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themselves require any reporting and
recordkeeping activities, and no
Information Collection Request (ICR)
was submitted in connection with the
original promulgation of the Ba subpart
or the amendments we are proposing at
this time. Any recordkeeping and
reporting requirements are imposed
only through the incorporation of
specific elements of the Ba in the
individual Emission Guidelines, which
have their own ICRs.
C. Regulatory Flexibility Act (RFA)
I certify that this action will not have
a significant economic impact on a
substantial number of small entities.
This proposed rule will not impose any
requirements on small entities.
Specifically, this action addresses
processes related to state plans for
implementation of EGs established
under CAA section 111(d).
D. Unfunded Mandates Reform Act
(UMRA)
This action does not contain an
unfunded mandate of $100 million or
more as described in UMRA, 2 U.S.C.
1531–1538, and does not significantly or
uniquely affect small governments. This
proposed action does not contain a
Federal mandate that may result in
expenditures of $100 million or more
for state, local, and tribal governments,
in the aggregate or the private sector in
any 1 year.
This proposed action is also not
subject to the requirements of section
203 of UMRA because, as described in
2 U.S.C. 1531–38, it contains no
regulatory requirements that might
significantly or uniquely affect small
governments. This action imposes no
enforceable duty on any local, or tribal
governments or the private sector.
However, this action imposes
enforceable duties on states. This action
does not meaningfully require
additional mandates on states beyond
what is already required of them and
will not impose a burden in excess of
$100 million.
E. 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. The EPA believes,
however, that this action may be of
significant interest to state governments.
Subpart Ba requirements apply to
states in the development and submittal
of state plans pursuant to emission
guidelines promulgated under CAA
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section 111(d) after July 8, 2019, to the
extent that an EG does not supersede the
requirements of subpart Ba. This action
proposes amendments to certain
requirements for development,
submission, and approval processes of
state plans under CAA section 111(d). In
particular, the proposed amendments
associated to state plan submission
deadlines, RULOF provisions,
meaningful engagement, and regulatory
mechanisms may be of significant
interest to state governments. In section
IV.A. of this preamble, the EPA
describes the potential impacts of the
implementation of the amendments to
subpart Ba being proposed in this
action. Overall, the EPA expects these
amendments will benefit the states in
the development of approvable state
plans.
The EPA notes that notice and
comment procedures required for the
promulgation of individual EGs will
provide opportunity for states to address
issues related to federalism based on
specific application of subpart Ba
requirements to that particular EG.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications as specified in Executive
Order 13175. It would not impose
substantial direct compliance costs on
tribal governments that have designated
facilities located in their area of Indian
country. Tribes are not required to
develop plans to implement the
guidelines under CAA section 111(d) for
designated facilities. This action also
will not have substantial direct costs or
impacts 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 the action.
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
The EPA interprets Executive Order
13045 as applying only to those
regulatory actions that concern
environmental health or safety risks that
the EPA has reason to believe may
disproportionately affect children, per
the definition of ‘‘covered regulatory
action’’ in section 2–202 of the
Executive Order. This action is not
subject to Executive Order 13045
because it does not concern an
environmental health risk or safety risk.
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H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
engagement as described in section III.C
and section III.E.8 of this action.
This action is not a ‘‘significant
energy action’’ because it will not have
a significant adverse effect on the
supply, distribution or use of energy.
Specifically, this action addresses the
submission and adoption of state plans
for implementation of EGs established
under CAA section 111(d).
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).
The EPA believes that this action will
advance protection for these
communities by specifying
requirements for balanced stakeholder
outreach and meaningful public
Pursuant to CAA section 307(d)(1)(V),
the Administrator determines that this
action is subject to the provisions of
CAA section 307(d). Section
307(d)(1)(V) of the CAA provides that
the provisions of CAA section 307(d)
apply to ‘‘such other actions as the
Administrator may determine.’’
I. National Technology Transfer and
Advancement Act (NTTAA)
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This rulemaking does not involve
technical standards.
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K. Determination Under Section CAA
307(d)
Michael S. Regan,
Administrator.
[FR Doc. 2022–27557 Filed 12–22–22; 8:45 am]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 87, Number 246 (Friday, December 23, 2022)]
[Proposed Rules]
[Pages 79176-79212]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2022-27557]
[[Page 79175]]
Vol. 87
Friday,
No. 246
December 23, 2022
Part III
Environmental Protection Agency
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40 CFR Part 60
Adoption and Submittal of State Plans for Designated Facilities:
Implementing Regulations Under Clean Air Act Section 111(d); Proposed
Rule
Federal Register / Vol. 87 , No. 246 / Friday, December 23, 2022 /
Proposed Rules
[[Page 79176]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 60
[EPA-HQ-OAR-2021-0527; FRL-8606-02-OAR]
RIN 2060-AV48
Adoption and Submittal of State Plans for Designated Facilities:
Implementing Regulations Under Clean Air Act Section 111(d)
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: This action proposes amendments to the implementing
regulations that govern the processes and timelines for state and
Federal plans that implement emission guidelines under Clean Air Act
(CAA) section 111(d). The proposed amendments include revisions to the
timing requirements for state plan submittal, the Environmental
Protection Agency (EPA)'s action on state plan submissions, the EPA's
promulgation of a Federal plan, and for when states must establish
increments of progress. These proposed amendments address the vacatur
of certain timing requirements by the United States Court of Appeals
for the District of Columbia Circuit (D.C. Circuit) in American Lung
Association. v. EPA. The EPA is also proposing to add regulatory
mechanisms to improve flexibility and efficiency in the submission,
review, approval, revision, and implementation of state plans. This
action further proposes new requirements for meaningful engagement with
pertinent stakeholders as part of state plan development, including,
but not limited to, industry, small businesses, and communities most
affected by and vulnerable to the impacts of the plan. This action
additionally proposes clarifying requirements for states' consideration
of `remaining useful life and other factors' (RULOF) in applying a
standard of performance. This action proposes to amend the definition
of standard of performance and provide clarification associated with
CAA section 111(d) compliance flexibilities, including trading or
averaging. Finally, this action proposes requirements for the
electronic submission of state plans and several other clarifications
and minor revisions.
DATES:
Comments. Comments must be received on or before February 27, 2023.
Public hearing: The EPA will hold a virtual public hearing on
January 24, 2023. See SUPPLEMENTARY INFORMATION for additional
information on the hearing.
ADDRESSES: You may send comments, identified by Docket ID No. EPA-HQ-
OAR-2021-0527, by any of the following methods:
Federal eRulemaking Portal: https://www.regulations.gov/
(our preferred method). Follow the online instructions for submitting
comments.
Email: [email protected]. Include Docket ID No. EPA-
HQ-OAR-2021-0527 in the subject line of the message.
Fax: (202) 566-9744. Attention Docket ID No. EPA-HQ-OAR-
2021-0527.
Mail: U.S. Environmental Protection Agency, EPA Docket
Center, Docket ID No. EPA-HQ-OAR-2021-0527, Mail Code 28221T, 1200
Pennsylvania Avenue NW, Washington, DC 20460.
Hand/Courier Delivery: EPA Docket Center, WJC West
Building, Room 3334, 1301 Constitution Avenue NW, Washington, DC 20004.
The Docket Center's hours of operation are 8:30 a.m.-4:30 p.m., Monday-
Friday (except Federal holidays).
Instructions: All submissions received must include the Docket ID
No. for this rulemaking. Comments received may be posted without change
to https://www.regulations.gov/, including any personal information
provided. For detailed instructions on sending comments and additional
information on the rulemaking process, see the SUPPLEMENTARY
INFORMATION section of this document.
FOR FURTHER INFORMATION CONTACT: For questions about this proposed
action, contact Dr. Michelle Bergin, Sector Policies and Programs
Division (Mail Code D205-01), Office of Air Quality Planning and
Standards, U.S. Environmental Protection Agency, Research Triangle
Park, North Carolina 27711; telephone number: (919) 541-2627; fax
number: (919) 541-4991; and email address: [email protected].
SUPPLEMENTARY INFORMATION:
Participation in virtual public hearing. The public hearing will be
held via virtual platform on January 24, 2023, and will convene at 11
a.m. Eastern Time (ET) and conclude at 7 p.m. ET. If the EPA receives a
high volume of registrations for the public hearing, we may continue
the public hearing on January 25, 2023. On each hearing day, the EPA
may close a session 15 minutes after the last pre-registered speaker
has testified if there are no additional speakers. The EPA will
announce any further details at https://www.epa.gov/stationary-sources-air-pollution/adoption-and-submittal-state-plans-designated-facilities-40-cfr.
Upon publication of this document in the Federal Register, the EPA
will begin pre-registering speakers for the hearing. The EPA will
accept registrations on an individual basis. To register to speak at
the virtual hearing, please use the online registration form available
at https://www.epa.gov/stationary-sources-air-pollution/adoption-and-submittal-state-plans-designated-facilities-40-cfr or contact the
public hearing team at (888) 372-8699 or by email at
[email protected]. The last day to pre-register to speak at the
hearing will be January 19, 2023. Prior to the hearing, the EPA will
post a general agenda that will list pre-registered speakers in
approximate order at: https://www.epa.gov/stationary-sources-air-pollution/adoption-and-submittal-state-plans-designated-facilities-40-cfr.
The EPA will make every effort to follow the schedule as closely as
possible on the day of the hearing; however, please plan for the
hearings to run either ahead of schedule or behind schedule.
Each commenter will have 4 minutes to provide oral testimony. The
EPA encourages commenters to submit a copy of their oral testimony as
written comments to the rulemaking docket.
The EPA may ask clarifying questions during the oral presentations
but will not respond to the presentations at that time. Written
statements and supporting information submitted during the comment
period will be considered with the same weight as oral testimony and
supporting information presented at the public hearing.
The EPA does not intend to publish a document in the Federal
Register announcing updates. While the EPA expects the hearing to go
forward as described in this section, please monitor https://www.epa.gov/stationary-sources-air-pollution/adoption-and-submittal-state-plans-designated-facilities-40-cfr for any updates to the
information described in this document, including information about the
public hearing, or contact the public hearing team at (888) 372-8699 or
by email at [email protected].
If you require the services of a translator or a special
accommodation such as audio description, please pre-register for the
hearing with the public hearing team and describe your needs by January
9, 2023. The EPA may not be able to arrange accommodations without
advanced notice.
Docket. The EPA has established a docket for this rulemaking under
Docket ID No. EPA-HQ-OAR-2021-0527. All
[[Page 79177]]
documents in the docket are listed in the Regulations.gov index.
Although listed in the index, some information is not publicly
available, e.g., Confidential Business Information (CBI) 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. Publicly available
docket materials are available either electronically in Regulations.gov
or in hard copy at the EPA Docket Center, Room 3334, WJC West Building,
1301 Constitution Avenue NW, Washington, DC. The Public Reading Room is
open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding
legal holidays. The telephone number for the Public Reading Room is
(202) 566-1744, and the telephone number for the EPA Docket Center is
(202) 566-1742.
Instructions. Direct your comments to Docket ID No. EPA-HQ-OAR-
2021-0527. The EPA's policy is that all comments received will be
included in the public docket without change and may be made available
online at https://www.regulations.gov, including any personal
information provided, unless the comment includes information claimed
to be CBI or other information whose disclosure is restricted by
statute. Do not submit electronically through https://www.regulations.gov/ any information that you consider to be CBI or
other information whose disclosure is restricted by statute. See
Submitting CBI for instructions for submitting this type of
information.
The EPA may publish any comment received to its public docket.
Multimedia submissions (audio, video, etc.) must be accompanied by a
written comment. The written comment is considered the official comment
and should include discussion of all points you wish to make. The EPA
will generally not consider comments or comment contents located
outside of the primary submission (i.e., on the Web, cloud, or other
file sharing system). For additional submission methods, the full EPA
public comment policy, information about CBI or multimedia submissions,
and general guidance on making effective comments, please visit https://www.epa.gov/dockets/commenting-epa-dockets.
The https://www.regulations.gov/ website allows you to submit your
comment anonymously, which means the EPA will not know your identity or
contact information unless you provide it in the body of your comment.
If you send an email comment directly to the EPA without going through
https://www.regulations.gov/, your email address will be automatically
captured and included as part of the comment that is placed in the
public docket and made available on the internet. If you submit an
electronic comment, the EPA recommends that you include your name and
other contact information in the body of your comment and with any
digital storage media you submit. If the EPA cannot read your comment
due to technical difficulties and cannot contact you for clarification,
the EPA may not be able to consider your comment. Electronic files
should not include special characters or any form of encryption and be
free of any defects or viruses. For additional information about the
EPA's public docket, visit the EPA Docket Center homepage at https://www.epa.gov/dockets.
Throughout this proposal, the EPA is soliciting comment on numerous
aspects of the proposed rulemaking. The EPA has indexed each explicit
comment solicitation with an alpha-numeric identifier (e.g., ``C-1'',
``C-2'', ``C-3'', . . .) to provide a framework for effective and
efficient provision of comments. The EPA asks that commenters include
the corresponding identifier when providing comments relevant to that
solicitation in either a heading, or within the text of each comment
(e.g., ``In response to solicitation of comment C-1, . . .'') to make
clear which comment solicitation is being addressed. The identifiers
are helpful to the Agency for purposes of organizing its responses, but
do not necessarily comprise an exhaustive index of issues on which the
EPA is soliciting comment and which the public may address in their
comments. The EPA is soliciting comment on the issues described in this
proposal.
Submitting CBI. Do not submit information containing CBI to the EPA
through https://www.regulations.gov/. Clearly mark the part or all of
the information that you claim to be CBI. For CBI information on any
digital storage media that you mail to the EPA, mark the outside of the
digital storage media as CBI, note the docket ID, and then identify
electronically within the digital storage media the specific
information that is claimed as CBI. In addition to one complete version
of the comments that includes information claimed as CBI, you must
submit a copy of the comments that does not contain the information
claimed as CBI directly to the public docket through the procedures
outlined in Instructions section of this document. If you submit any
digital storage media that does not contain CBI, mark the outside of
the digital storage media clearly that it does not contain CBI and note
the docket ID. Information not marked as CBI will be included in the
public docket and the EPA's electronic public docket without prior
notice. Information marked as CBI will not be disclosed except in
accordance with procedures set forth in 40 CFR part 2.
Our preferred method to receive CBI is for it to be transmitted
electronically using email attachments, File Transfer Protocol (FTP),
or other online file sharing services (e.g., Dropbox, OneDrive, Google
Drive). Electronic submissions must be transmitted directly to the
OAQPS CBI Office using the email address, [email protected], and should
include clear CBI markings and note the docket ID, as described above.
If assistance is needed with submitting large electronic files that
exceed the file size limit for email attachments, and if you do not
have your own file sharing service, please email [email protected] to
request a file transfer link. If sending CBI information through the
postal service, please send it to the following address: OAQPS Document
Control Officer (C404-02), OAQPS, U.S. Environmental Protection Agency,
Research Triangle Park, North Carolina 27711, Attention Docket ID No.
EPA-HQ-OAR-2021-0527. The mailed CBI material should be double wrapped
and clearly marked. Any CBI markings should not show through the outer
envelope.
Preamble acronyms and abbreviations. We use multiple acronyms and
terms in this preamble. While this list may not be exhaustive, to ease
the reading of this preamble and for reference purposes, the EPA
defines the following terms and acronyms here:
ACE Affordable Clean Energy Rule
ALA American Lung Association
BSER Best System of Emission Reduction
CAA Clean Air Act
CBI confidential business information
CDC Centers for Disease Control and Prevention
CDX Central Data Exchange
CFR Code of Federal Regulations
EG Emission Guideline
EGU electric generating unit
EPA Environmental Protection Agency
FIP Federal Implementation Plan
ICR Information Collection Request
NAAQS National Ambient Air Quality Standards
OAQPS Office of Air Quality Planning and Standards
OMB Office of Management and Budget
PRA Paperwork Reduction Act
PM2.5 fine particulate matter
RFA Regulatory Flexibility Act
RIN Regulatory Information Number
RULOF remaining useful life and other factors
SIP State Implementation Plan
SPeCS State Planning Electronic Collaboration System
[[Page 79178]]
SSM startup, shutdown, and malfunctions
TAR Tribal Authority Rule
TIP Tribal Implementation Plan
UMRA Unfunded Mandates Reform Act
U.S.C. United States Code
Organization of this document. The information in this preamble is
organized as follows:
I. General Information
A. Does this action apply to me?
B. Where can I get a copy of this document and other related
information?
II. Background
A. What is the statutory authority for this action?
B. What is the background for this action?
III. What actions are we proposing?
A. Revised Implementing Timelines
B. Federal Plan Authority and Timeline Upon Failure To Submit a
Plan
C. Requirement for Outreach and Meaningful Engagement
D. Regulatory Mechanisms for State Plan Implementation
E. Remaining Useful Life and Other Factors (RULOF) Provisions
F. Provision for Electronic Submission of State Plans
G. Other Proposed Modifications and Clarifications
IV. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
B. Paperwork Reduction Act (PRA)
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act (UMRA)
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
H. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
I. National Technology Transfer and Advancement Act (NTTAA)
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
K. Determination Under Section CAA 307(d)
I. General Information
A. Does this action apply to me?
This action applies to states in the development and submittal of
state plans pursuant to CAA section 111(d), and to the EPA in
promulgating a Federal plan pursuant to CAA section 111(d). After the
EPA promulgates a final emission guideline (EG), each state that has
one or more designated facilities must develop, adopt, and submit to
the EPA, a state plan under CAA section 111(d). The term ``designated
facility'' means ``any existing facility . . . which emits a designated
pollutant and which would be subject to a standard of performance for
that pollutant if the existing facility were an affected facility.''
See 40 CFR 60.21a(b). If a state fails to submit a plan or the EPA
determines that a state plan is not satisfactory, the EPA has the
authority to establish a Federal CAA section 111(d) plan in such
instances.
Under the Tribal Authority Rule (TAR), eligible tribes may seek
approval to implement a plan under CAA section 111(d) in a manner
similar to a state. See 40 CFR part 49, subpart A. Tribes may, but are
not required to, seek approval for treatment in a manner similar to a
state for purposes of developing a Tribal Implementation Plan (TIP)
implementing an EG. If a tribe obtains approval and submits a TIP, the
EPA will use similar timelines and criteria and will follow similar
procedures as those for state plans. Tribes that choose to develop
plans will have the same flexibilities available to states in this
process. The TAR authorizes tribes to submit CAA programs; however, it
does not require tribes to develop CAA programs. Tribes may implement
those programs, or even portions of programs, that are most relevant to
the air quality needs of tribes. If a tribe does not seek and obtain
the authority from the EPA to establish a TIP, the EPA has the
authority to establish a Federal CAA section 111(d) plan for designated
facilities that are located in areas of Indian country. A Federal plan
would apply to all designated facilities located in the areas of Indian
country covered by the Federal plan unless and until the EPA approves a
TIP applicable to those facilities.
B. Where can I get a copy of this document and other related
information?
In addition to being available in the docket, an electronic copy of
this action is available on the internet. Following signature by the
EPA Administrator, the EPA will post a copy of this proposed action at
https://www.epa.gov/stationary-sources-air-pollution/adoption-and-submittal-state-plans-designated-facilities-40-cfr. Following
publication in the Federal Register, the EPA will post the Federal
Register version of the proposal and key technical documents at this
same website.
A memorandum showing the rule edits that would be necessary to
incorporate the changes to 40 CFR part 60 subpart Ba proposed in this
action is available in the docket (Docket ID No. EPA-HQ-OAR-2021-0527).
Following signature by the EPA Administrator, the EPA also will post a
copy of this document to https://www.epa.gov/stationary-sources-air-pollution/adoption-and-submittal-state-plans-designated-facilities-40-cfr.
II. Background
A. What is the statutory authority for this action?
The statutory authority for this action is provided by sections 301
and 111 of the CAA (42 U.S.C. 7411 and 7601). Section 301 of the CAA
contains general provisions for the administration of the CAA. As
described further in the next section, CAA section 111 requires the EPA
to establish emission standards for certain stationary sources that, in
the Administrator's judgment, ``cause[ ], or contribute[ ]
significantly to, air pollution which may reasonably be anticipated to
endanger public health or welfare.'' CAA section 111(b) provides the
EPA's authority to regulate new and modified sources, while CAA section
111(d) directs the EPA to ``prescribe regulations which shall establish
a procedure'' for states to establish standards for existing sources of
certain air pollutants to which a standard of performance would apply
if such existing source were a new source. The EPA addresses its
obligation under CAA section 111(d) to establish a procedure for states
to submit plans both through its promulgation of the general
implementing regulations addressed by this action as well as through
promulgation of EGs for specific source categories.
B. What is the background for this action?
Clean Air Act section 111(d) governs the establishment of standards
of performance for existing stationary sources. CAA section 111(d)
directs the EPA to ``prescribe regulations which shall establish a
procedure similar to that provided by [CAA section 110]'' for states to
submit state plans to establish standards of performance for existing
sources of certain air pollutants to which a standard of performance
would apply if such an existing source were a new source under CAA
section 111(b). Therefore, an existing source can only be regulated
under CAA section 111(d) if it belongs to a source category that is
regulated under CAA section 111(b). The EPA's implementing regulations
use the term ``designated facility'' to identify those existing
sources. See 40 CFR 60.21a(b).
CAA section 111(b)(1)(A) requires that a source category be
included on the list for regulation if, ``in [the EPA
[[Page 79179]]
Administrator's] judgment it causes, or contributes significantly to,
air pollution which may reasonably be anticipated to endanger public
health or welfare.'' Once a source category is listed, CAA section
111(b)(1)(B) requires that the EPA propose and then promulgate
``standards of performance'' for new sources in such source category.
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 non-air quality health and
environmental impact and energy requirements) the Administrator
determines has been adequately demonstrated.'' This provision requires
the EPA to determine both the best system of emission reduction (BSER)
for the regulated source category and the degree of emission limitation
achievable through application of the BSER. The EPA must then, under
CAA section 111(b)(1)(B), promulgate standards of performance for new
sources that reflect that level of stringency.
Once the EPA promulgates standards of performance for new sources
within a particular source category, the EPA is required, in certain
circumstances, to regulate emissions from designated (existing)
facilities in that same source category.\1\ Under CAA section 111(d),
the Agency has, to date, issued EGs regulating five pollutants from six
source categories that remain in effect (i.e., sulfuric acid plants
(acid mist), phosphate fertilizer plants (fluorides), primary aluminum
plants (fluorides), kraft pulp plants (total reduced sulfur), municipal
solid waste landfills (landfill gases)), and fossil-fuel fired electric
generating units (carbon dioxide). See ``Phosphate Fertilizer Plants;
Final Guideline Document Availability,'' 42 FR 12022 (March 1, 1977);
``Standards of Performance for New Stationary Sources; Emission
Guideline for Sulfuric Acid Mist,'' 42 FR 55796 (October 18, 1977);
``Kraft Pulp Mills, Notice of Availability of Final Guideline
Document,'' 44 FR 29828 (May 22, 1979); ``Primary Aluminum Plants;
Availability of Final Guideline Document,'' 45 FR 26294 (April 17,
1980); ``Emission Guidelines and Compliance Times for Municipal Solid
Waste Landfills,'' 81 FR 59276 (August 29, 2016); ``Repeal of the Clean
Power Plan; Emission Guidelines for Greenhouse Gas Emissions From
Existing Electric Utility Generating Units; Revisions to Emission
Guidelines Implementing Regulations,'' 84 FR 32520 (July 8, 2019)
(Affordable Clean Energy (ACE) Rule).2 3 On November 15,
2021, the EPA proposed EGs to regulate greenhouse gas emissions (in the
form of methane limitations) from sources in the oil and natural gas
industry. 86 FR 63110. In addition, the Agency has regulated additional
pollutants for solid waste incineration units under CAA section 129 in
accordance with CAA section 111(d).\4\
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\1\ In accordance with CAA section 111(d), states are required
to submit plans pursuant to these regulations to establish standards
of performance for existing sources for any air pollutant: (1) the
emission of which is subject to a Federal New Source Performance
Standard; and (2) which is neither a pollutant regulated under CAA
section 108(a) (i.e., criteria air pollutants such as ground-level
ozone and particulate matter, and their precursors, like volatile
organic compound) or a hazardous air pollutant regulated [from the
same source category] under CAA section 112. See also definition of
``designated pollutant'' in 40 CFR 60.21a(a).
\2\ The EPA has also issued several EGs that have subsequently
been repealed or vacated by the courts. The EPA regulated mercury
from coal-fired electric power plants in a 2005 rule that was
vacated by the D.C. Circuit, ``Standards of Performance for New and
Existing Stationary Sources: Electric Utility Steam Generating
Units; Final Rule,'' 70 FR 28606 (May 18, 2005) (Clean Air Mercury
Rule), vacated by New Jersey v. EPA, 517 F.3d 574 (D.C. Cir. 2008).
The EPA also issued CAA section 111(d) EGs regulating GHG emissions
from fossil fuel-fired electric power plants in a 2015 rule ``Carbon
Pollution Emission Guidelines for Existing Stationary Sources:
Electric Utility Generating Units; Final Rule,'' 80 FR 64662
(October 23, 2015) (Clean Power Plan). The EPA subsequently repealed
and replaced the 2015 rule with the ACE Rule.
\3\ The ACE Rule was initially vacated by Am. Lung Ass'n v. EPA,
985 F.3d 914 (D.C. Cir. 2021). The Supreme Court subsequently
reversed and remanded the D.C. Circuit's opinion, West Virginia v.
EPA, 142 S. Ct. 2587 (June 30, 2022). On October 27, 2022, the D.C.
Circuit amended its judgement and recalled the partial mandate
vacating the ACE Rule, effectively reinstating ACE. Order, ALA v.
EPA, No. 19-1140, ECF No. 1970895.
\4\ CAA Section 129 directs the EPA Administrator to develop
regulations under CAA section 111 limiting emissions of nine air
pollutants from four categories of solid waste incineration units.
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The mechanism for regulating designated facilities under CAA
section 111(d) differs from the mechanism for regulating new facilities
under CAA section 111(b). Pursuant CAA section 111(b), the EPA
promulgates standards of performance that are directly applicable to
new, modified, and reconstructed facilities in a specified source
category. In contrast, CAA section 111(d) operates together with CAA
section 111(a)(1) to collectively establish and define roles and
responsibilities for both the EPA and the states in the regulation of
designated facilities. Under the regulatory framework for designated
facilities, states are authorized to establish standards of
performance. However, such standards of performance must reflect the
degree of emission limitation achievable through the application of the
BSER \5\ that the EPA has determined for the designated facilities in
the source category. As with standards of performance under CAA section
111(b), the requirement for the EPA to determine the BSER derives from
the definition of ``standard of performance'' under CAA section
111(a)(1). Further, CAA section 111(d)(1) requires the EPA's
regulations to permit states, in applying a standard of performance to
particular sources, to take into account the source's remaining useful
life and other factors, a process addressed in more detail in section
III.E of this preamble.
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\5\ In this proposal, the EPA is also referring to ``the degree
of emission limitation achievable through application of the BSER''
as the presumptive level of stringency.
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The EPA addresses its obligation under CAA section 111(d) to
establish a procedure for states to submit plans both through its
promulgation of general implementing regulations for section 111(d) as
well as through promulgation of EGs for specific source categories.
While CAA section 111(d)(1) authorizes states to develop state plans
that establish standards of performance and provides states with
certain discretion in determining the appropriate standards, CAA
section 111(d)(2) provides the EPA a specific oversight role with
respect to such state plans. This latter provision authorizes the EPA
to prescribe a Federal plan for a state ``in cases where the state
fails to submit a satisfactory plan.'' The states must therefore submit
their plans to the EPA, and the EPA must evaluate each state plan to
determine whether each plan is ``satisfactory.'' If a state fails to
submit a plan or the EPA determines that a state plan is not
satisfactory, CAA section 111(d)(2) gives the EPA the ``same
authority'' to prescribe a Federal plan in such instances as it has to
promulgate a Federal Implementation Plan (FIP) under CAA section
110(c).
In 1975, the EPA issued the first general implementing regulations
to prescribe the process for the adoption and submittal of state plans
for designated facilities under CAA section 111(d) (codified at 40 CFR
part 60, subpart B (subpart B)). 40 FR 53340 (November 17, 1975).
Responding to the direction to ``establish a procedure similar to that
provided by'' CAA section 110, in promulgating subpart B the EPA
aligned the timing requirements for state and Federal plans under CAA
section 111(d) with the then-applicable timeframes for State
[[Page 79180]]
Implementation Plans (SIPs) and FIPs prescribed in CAA section 110, as
established by the 1970 CAA Amendments. The implementing regulations
were not significantly revised after their original promulgation in
1975 \6\ until 2019, when the EPA promulgated a new set of implementing
regulations codified at 40 CFR part 60, subpart Ba. 84 FR 32520 (July
8, 2019) (subpart Ba).
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\6\ In 2012, the EPA revised several provisions of subpart B,
mainly to include allowance systems as a form of an emission
standard. 77 FR 9303 (February 16, 2012).
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In promulgating subpart Ba in 2019, the EPA intended to update and
modernize the implementing regulations to align the procedures for CAA
section 111(d) state and Federal plans with CAA amendments made after
subpart B was first promulgated in 1975. Notably, subpart B did not
align either with CAA section 111(d) as amended by Congress in 1977 or
with the timelines in CAA section 110 as amended by Congress in 1990.
The EPA therefore considered it appropriate to update the implementing
regulations for CAA section 111(d) to mirror changes to CAA section
110, given that section 111(d)(1) of the CAA directs the EPA to
``prescribe regulations which shall establish a procedure similar to
that provided by section 110'' of the CAA for states to submit plans to
the EPA. In promulgating subpart Ba, the EPA directly aligned the
timing requirements for CAA section 111(d) state and Federal plans (40
CFR 60.23a(a)(1) and 60.27a(c), respectively) with the timing
requirements for SIPs and FIPs under CAA section 110 (see CAA section
110(a)(1) and 110(c)(1), respectively).
In promulgating subpart Ba, the EPA also added the definition of
``standard of performance'' (40 CFR 60.21a(f)) (defined under subpart B
as ``emission standard'' (40 CFR 60.21(f))) and the remaining useful
life provision (40 CFR 60.24a(e)) (referred under subpart B as the
variance provision (40 CFR 60.24(d))). The EPA further added required
minimum administrative and technical criteria for inclusion by state
plans (40 CFR 60.27a(g)). Applying these criteria, the EPA determines
whether a state plan or portion of a plan submitted is complete
(referred to as a completeness review). Once a state plan or portion of
a plan is determined to be complete, the EPA will approve or disapprove
the plan or portions of the plan. For details on the EPA's rationale
for the promulgation of these provisions see 84 FR 32520 (July 8,
2019).
Subpart Ba is applicable to any final EG published or ongoing after
July 8, 2019. However, in this action, the EPA is proposing to amend
subpart Ba to be applicable only to any final EG published after July
8, 2019 (see section III.G.2.i of this preamble). This includes, if
finalized, the proposed EGs to regulate greenhouse gas emissions from
sources in the oil and natural gas industry, to the extent the final EG
does not contain EG-specific requirements superseding subpart Ba. 86 FR
63110, November 15, 2021. Subpart B (pre-2019) continues to apply to
EGs promulgated prior to July 8, 2019, and to EGs issued pursuant to
CAA section 129.
In January 2021, the D.C. Circuit vacated several provisions of
subpart Ba, all of which relate to timelines for state plans and
Federal plans. Am. Lung Ass'n v. EPA, 985 F.3d 914, 991. (D.C. Cir.
2021) (ALA).\7\ In this vacatur, the court identified several flaws in
the EPA's rationale for extending CAA section 111(d) state and Federal
plan timelines. First, the court found that the EPA erred in adopting
the timelines for SIPs and FIPs in CAA section 110 without meaningfully
addressing the differences in the scale of effort required for
development and evaluation of CAA section 110 SIPs, as compared with
the scale of effort needed for CAA section 111(d) state plans. Id. at
992-93. The court also concluded that in promulgating the timelines in
subpart Ba, the EPA failed to justify why the shorter deadlines under
subpart B were unworkable. Id. at 993. Further, the court held that the
EPA was required to consider the effect of its subpart Ba timelines on
public health and welfare, consistent with the statutory purpose of CAA
section 111(d). In the court's view, the EPA's ``complete failure to
say anything at all about the public health and welfare implications of
the extended timeframes'' meant that the EPA failed to consider an
important aspect of the problem. Id. at 992 (citing Motor Vehicle Mfrs.
Ass'n of U.S., Inc. v. State Farm Mut. Auto. Ins. Co. 463 U.S. 29, 43
(1983)).
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\7\ The Supreme Court subsequently reversed and remanded the
D.C. Circuit's opinion. West Virginia v. EPA, 142 S.Ct. 2587 (June
30, 2022). However, no Petitioner sought certiorari on, and the West
Virginia decision did not implicate, the D.C. Circuit's vacatur of
portions of subpart Ba. See Amended Judgment, ALA v. EPA, No. 19-
1140 (D.C. Cir. October 27, 2022), ECF No. 1970898 (ordering that
petitions for review challenging the timing portion of implementing
regulations be granted).
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Based on these reasons, the court vacated the timeline for state
plan submissions after publication of a final EG (40 CFR 60.23a(a)(1)),
the EPA's deadline for taking action on state plan submissions (40 CFR
60.27a(b)), the EPA's deadline for promulgating a Federal plan (40 CFR
60.27a(c)), and the timeline associated with requirements for
increments of progress (40 CFR 60.24a(d)). Because of the vacatur,
subpart Ba currently does not provide generally applicable timelines
for state plan submissions, the deadline for the EPA's promulgation of
a Federal plan, and the timeline associated with requirements for
increments of progress. The EPA notes that while it is proposing
generally applicable timelines for the implementing regulations, a
particular EG may include its own specific timelines. 40 CFR
60.20a(a)(1).
III. What actions are we proposing?
The EPA is proposing several revisions to subpart Ba both to
address the vacatur of the timing provisions by the D.C. Circuit in
ALA, and to further improve the state and Federal plan development and
implementation process. In response to the ALA decision, this action
proposes timeframes for (1) state plan submittal, (2) the EPA's action
on state plan submissions, (3) the EPA's promulgation of a Federal
plan, and (4) requirements to establish increments of progress (see
section III.A of this preamble). This action further proposes to revise
the timeframe for the EPA's determination of completeness on a state
plan submission. Additionally, the EPA is proposing to revise the
conditions under which the EPA must promulgate a Federal plan in
instances where a state has not submitted a complete plan (see section
III.B of this preamble).
The EPA is also proposing to enhance requirements for reasonable
notice and opportunity for public participation in subpart Ba to
require that states, as part of the state plan development or revision
process, undertake outreach and meaningful engagement with a broad
range of pertinent stakeholders. Pertinent stakeholders include
communities most affected by and vulnerable to the impacts of the plan
or plan revision (see section III.C of this preamble). Increased
vulnerability may be attributable, among other reasons, to both an
accumulation of negative and lack of positive environmental, health,
economic, or social conditions within these populations or communities.
To improve flexibility and efficiency in the submission, review,
approval, and implementation of state plans, the EPA is proposing to
include the following regulatory mechanisms in subpart Ba, all of which
currently exist under CAA section 110: (1) partial
[[Page 79181]]
approval/disapproval, (2) conditional approval, (3) allowance for
parallel processing, (4) a mechanism for the EPA to call for plan
revisions, and (5) an error correction mechanism (see section III.D).
The EPA is also proposing revisions to properly implement the
remaining useful life and other factors (RULOF) provision of the
statute. These revisions are intended to provide clarity and
consistency for states and the EPA in considering RULOF when applying
standards of performance to individual sources, while still fulfilling
the statutory purpose of CAA section 111(d) (see sections III.E of this
preamble). The EPA is also proposing to require electronic submissions
of state plans (see section III.F of this preamble).
Finally, this action proposes clarifying amendments to the subpart
Ba definition of standard of performance and proposes to amend the
Agency's interpretation of CAA section 111(d) with respect to
permissible compliance (see section III.G of this preamble). In
particular, the EPA is proposing to determine that, under appropriate
circumstances, the EPA may approve state plans that authorize sources
to meet their emission limits in the aggregate, such as through
standards that permit compliance via trading or averaging. In doing so,
the EPA is also proposing to conclude that CAA section 111 does not
limit the BSER to controls that can be applied at and to the source.
The EPA is also proposing several additional minor clarifications or
revisions as described in section III.G of this preamble.
The EPA recognizes that, under certain circumstances, some
provisions of the implementing regulations may not fit the needs of a
specific EG. Therefore, the implementing regulations provide that each
EG may include specific implementing provisions in addition to or that
supersede the requirements of subpart Ba. 40 CFR 60.20a(a)(1). The EPA
will address unusual circumstances or facts that are not accommodated
by the general provisions of subpart Ba through a specific EG as the
time and processes needed for development and adoption of state plans
to implement the EG may be affected by unusual characteristics of a
source category. An example of an EG where the EPA is proposing to
supersede certain requirements of subpart Ba to address the specific
facts and circumstances of the source category (including to diverge
from some of the general requirements proposed in this action) is the
proposed EGs to regulate greenhouse gas emissions (in the form of
methane limitations) from sources in the oil and natural gas
industry.\8\
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\8\ For example, see supplemental notice of proposed rulemaking
titled ``Standards of Performance for New, Reconstructed, and
Modified Sources and Emissions Guidelines for Existing Sources: Oil
and Natural Gas Sector Climate Review,'' where, due to the size and
variety of emission sources in the oil and gas sector, the EPA has
proposed to permit states 18 months to submit state plans rather
than the general 15 months proposed here.
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The EPA notes that the remaining provisions in subpart Ba were not
affected by the ALA decision and remain legally effective. This
includes 40 CFR 60.20a(a), which makes subpart Ba applicable to any
final EG published after July 8, 2019. 40 CFR 60.20a(a). Therefore, the
revisions to subpart Ba proposed in this action, if finalized, would
apply to any EG published after July 8, 2019. The EPA is not soliciting
comment on this action as it applies to any specific EG or source
category. The EPA is only soliciting comment on the proposed changes to
subpart Ba as specifically described in this preamble. The EPA is not
reopening any other provisions of subpart Ba not addressed by these
proposed changes. The EPA will only consider comments that pertain to
the topics discussed in this action.
A. Revised Implementing Timelines
As described in section II.A. of this preamble above, the subpart
Ba timing requirements were vacated by the D.C. Circuit in the ALA
decision. These vacated timing requirements are: the timeline for state
plan submissions, the timeline for the EPA to act on a state plan, the
timeline for the EPA to promulgate a Federal plan, and the timeline
that dictates when state plans must include increments of progress.
These timelines are all critical to ensuring that the emission
reductions anticipated by the EPA in an EG become federally enforceable
measures and are timely implemented by the designated facilities. The
EPA is proposing revised timelines for these key aspects of
implementation that both appropriately accommodate the process required
by states and the EPA to develop and evaluate plans to effectuate the
EG and are consistent with the objective of CAA section 111(d) to
ensure that designated facilities control emissions of pollutants that
the EPA has determined may be reasonably anticipated to endanger public
health or welfare. These timelines will be applicable to any final EG
published after July 8, 2019, including those currently proposed to
regulate greenhouse gas emissions (in the form of methane limitations)
from sources in the oil and natural gas industry, to the extent the
final EG does not contain EG-specific requirements superseding subpart
Ba. 86 FR 63110, November 15, 2021.
As described in greater detail above in section II of this
preamble, the D.C. Circuit's vacatur of the extended timelines in
subpart Ba was based both on the EPA's failure to substantiate the
necessity for the additional time at each step of the administrative
process, and the EPA's failure to address how those extended
implementation timelines would impact public health and welfare.
Accordingly, the EPA has evaluated these factors and is proposing
timelines, as described in the following sections, based on the minimum
administrative time reasonably necessary for each step in the
implementation process, thus minimizing impacts on public health and
welfare while accommodating the time needed for states to develop an
effective plan. This approach addresses both aspects of the ALA
decision because the EPA and states will take no longer than necessary
to develop and adopt plans that impose requirements consistent with the
overall objectives of CAA section 111(d).
The EPA is proposing the following timelines to replace those
vacated in ALA, as discussed in further detail in this preamble: 15
months for state plan submissions after publication of a final EG; 12
months for the EPA to take final action on a state plan after
submission; 12 months for the EPA to promulgate a Federal plan either
after the state plan deadline if a state has failed to submit a
complete plan, or after the EPA's disapproval of a state plan
submission; and, requiring state plans to include increments of
progress if the plan requires final compliance with standards of
performance later than 16 months after the plan submission deadline. A
summary of the timelines is shown in Table 1.
[[Page 79182]]
Table 1--Proposed Subpart Ba Timelines Compared With Those Vacated From Subpart Ba and With Those From Subpart B
----------------------------------------------------------------------------------------------------------------
2022 Subpart Ba Subpart Ba (2019)
Process step proposal vacated timelines Subpart B (1975)
----------------------------------------------------------------------------------------------------------------
State Plan submittal after effective 15 months.............. 36 months.............. 9 months.
date of EG.
State Plan completeness determination 2 months after State 6 months after State N/A.
Plan submission. Plan submission.
State Plan evaluation................ 12 months after 12 months after 4 months after State
completeness. completeness. Plan submittal
deadline.
EPA Federal Plan promulgation........ 12 months after failure 24 months after finding 6 months after State
to submit or of failure to submit Plan submittal
disapproval. or disapproval. deadline.
Requirements for Increments of If compliance is >16 If compliance is >24 If compliance is >12
Progress after submittal deadline. months. months. months.
----------------------------------------------------------------------------------------------------------------
The EPA acknowledges these deadlines are not identical to those for
SIPs under CAA section 110. This is consistent with the requirement of
CAA section 111(d) that the EPA to promulgate a procedure ``similar''
to that of CAA section 110, rather than an identical procedure. This is
also consistent with the ALA decision, which requires the EPA to
``engage meaningfully with the different scale'' of CAA section 111(d)
and 110 plans. Am. Lung Ass'n v. EPA, 985 F.3d 914, 993 (D.C. Cir.
2021). Accordingly, the EPA evaluated each step of the implementation
process to independently determine the appropriate duration of time to
accomplish the given step as part of the overall process, and the
timelines proposed in these implementing regulations represent what the
EPA has determined will be necessary for the implementation of most
EGs. An EG for a typical source category or pollutant, for which the
proposed timelines would be appropriate, might include: an inventory of
designated facilities; a well-defined BSER and presumptive level of
stringency so that states need to do little analytical work to
establish standards of performance; an EPA-provided model rule; and
state plan requirements that do not significantly deviate from these
general implementing regulations.
The EPA recognizes that there may be EGs for pollutants or source
categories that require exceptions or accommodations to these general
requirements. Examples of circumstances that may require an exception
could include EGs that require states to perform extensive engineering
and/or economic analyses for their plan; EGs with an exceptional need
to expedite implementation (e.g., immediate impact for health and
welfare impacts); EGs that apply to an extraordinary number of
designated facilities; or EGs that are novel and/or unusually complex.
For situations like these, 40 CFR 60.20a(a)(1) provides that an EG may
supersede any aspect of the implementing regulations, including the
implementation timelines. It is within the EPA's discretion to
determine whether a proposed change in implementation time may be
justified within an individual EG based on these or other appropriate
factors. For EGs that supersede implementation timelines, the EPA is
proposing to require that the EPA both provide a justification for the
differing timelines and address how the change in timeline will impact
health and welfare. The EPA is not in this action seeking comment on
whether to supersede the presumptive subpart Ba timelines for any
particular EG.
1. State Plan Submission Timelines
This section discusses the EPA's proposal for the duration of time
states will have to submit plans to the EPA following the publication
of a final EG. Under CAA section 111(d), it is first the EPA's
responsibility to establish a BSER and a presumptive level of
stringency via a promulgated EG. It is then each state's obligation to
submit a plan to the EPA which establishes standards of performance for
each designated facility. The EPA is proposing to require that each
state adopt and submit to the Administrator, within 15 months after
publication of a final EG, a plan for the control of the designated
pollutant(s) to which the EG applies.
The implementing regulations promulgated under subpart B currently
provide that states have 9 months to submit a state plan after
publication of a final EG. 40 CFR 60.23(a)(1). In 2019, the EPA
promulgated subpart Ba and provided 3 years for states to submit plans,
consistent with the timelines provided for submission of SIPs pursuant
to CAA section 110(a)(1). This 3-year timeframe was vacated in the ALA
decision, and thus currently there is no applicable deadline for state
plan submissions required under EGs subject to subpart Ba. In
evaluating the appropriate timeline for plan submittal to replace the
vacated provision, the EPA reviewed steps that states need to carry out
to develop, adopt, and submit a state plan to the EPA, and its history
in implementing EGs under the timing provisions of subpart B. The EPA
further evaluated statutory deadlines, contents, and processes for
relatively comparable state plans under CAA section 129, and attainment
planning SIPs pursuant CAA sections 189(a)(2)(B) and 189(b)(2)) for the
2012 National Ambient Air Quality Standards (NAAQS) for fine
particulate matter (PM2.5). 78 FR 3085 (January 15, 2013).
In developing a CAA section 111(d) state plan, a state must
consider multiple components in meeting applicable requirements.
Subpart Ba specifies the elements that must be included in a state plan
submission (see 40 CFR 60.24a, 60.25a, 60.26a) and certain processes
that a state plan must undergo in adopting and submitting a plan (see
40 CFR 60.23a). In addition to the requirements of these implementing
regulations, there are also state-specific processes applicable to the
development and adoption of a state plan. In particular, the component
that the EPA expects to take the most time and have the most
variability from state to state is the administrative process (e.g.,
through legislative processes, regulation, or permits) that establishes
standards of performance. State rulemaking usually involves several
phases, including providing notice that the agency is considering
adopting the rule; taking public comment; and approving or adopting the
final rule. The final process required to formally adopt a rule is
different in many states.\9\
[[Page 79183]]
Considering this variability, 15 months should adequately accommodate
the differences in state processes necessary for the development of a
state plan that meets applicable requirements. The EPA evaluated data
from previously implemented EGs, and the statutory deadlines and data
from analogous programs (i.e., CAA sections 129 and 189), as described
below, to help inform this proposed 15-month timeline. The EPA solicits
comment on whether the proposed 15-month timeline adequately
accommodates state-level administrative processes in developing and
adopting plans without substantially or unnecessarily delaying emission
reductions that are protective of public health or welfare (Comment A1-
1).
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\9\ In many states, the agency must submit its rule to a
particular independent commission or the legislature for review and
approval before the rule is finally adopted. Generally, adopted
rules are filed with a state entity, such as the Secretary of State,
and eventually published in a register and placed into the state's
administrative code. State law establishes when an adopted rule is
effective.
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As previously described, subpart B provides 9 months for states to
submit plans after publication of a final EG. The EPA's review of
state's timeliness for submitting CAA section 111(d) plans under the 9-
month timeline indicates that most states either did not submit plans
or submitted plans that were substantially late.\10\ We note that the
plans submitted under subpart B were not subject to the additional
requirements the EPA is proposing for meaningful engagement and
consideration of RULOF, respectively described in sections III.C and
III.E of this preamble. For these reasons, the EPA finds that 9 months
is not a suitable amount of time for most states to adequately develop
a plan for an EG.
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\10\ The EPA reviewed the information available in 40 CFR part
62. The supporting information reviewed is available at Docket ID
No. EPA-HQ-OAR-2021-0527. Part 62 codifies the Administrator's
approval and disapproval of state plans for the control of
pollutants and facilities under CAA section 111(d), and under CAA
section 129 as applicable, and the Administrator's promulgation of
such plans or portions of plans thereof.
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To help inform what is an appropriate proposal for the state plan
submission deadline, the EPA also reviewed CAA section 129's statutory
deadline and requirements for state plans, and the timeliness and
responsiveness of states under CAA section 129 EGs. CAA section 129
references CAA section 111(d) in many instances, creating considerable
overlap in the functionality of the programs. Notably, existing solid
waste incineration units are subject to the requirements of both CAA
sections 129 and 111(d). CAA section 129(b)(1). The processes for CAA
sections 111(d) and 129 are very similar in that states are required to
submit plans to implement and enforce the EPA's EGs. However, there are
some key distinctions between the two programs, most notably that CAA
section 129(b)(2) specifies that state plans be submitted no later than
1 year from the promulgation of a corresponding EG, whereas the statute
does not specify a particular timeline for state plan submissions under
CAA section 111(d) and is instead governed by the EPA's implementing
regulations (i.e., subparts B and Ba). Moreover, CAA section 129 plans
are required by statute to be at least as protective as the EPA's EGs.
However, CAA section 111(d) permits states to take into account
remaining useful life and other factors, which suggests that the
development of a CAA section 111(d) plan could involve more complicated
analyses than a CAA section 129 plan (see section III.E for more
information on RULOF provisions). The contrast between the CAA section
129 plans and CAA section 111(d) plans suggests that in determining the
timeframe for CAA section 111(d) plan submissions the EPA should
provide for a longer timeframe than the 1-year timeframe the statute
provides under CAA section 129.
The EPA found that a considerable number of states have not made
required state plan submissions in response to a CAA section 129 EG. In
instances where states submitted CAA section 129 plans, a significant
number of states submitted plans between 14 to 17 months after the
promulgated EG.\11\ This suggests that states will typically need more
than 1 year to develop a state plan to implement an EG, particularly
for a program that permits more source-specific analysis than under CAA
section 129 as CAA section 111(d) does.
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\11\ The EPA reviewed the information available in 40 CFR part
62. The supporting information reviewed is available at Docket ID
No. EPA-HQ-OAR-2021-0527. Part 62 codifies the Administrator's
approval and disapproval of state plans for the control of
pollutants and facilities under CAA section 111(d), and under CAA
section 129 as applicable.
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In the 2019 promulgation of subpart Ba, the EPA mirrored CAA
section 110 by giving states 3 years to submit plans. As previously
described, the court partly faulted the EPA for adopting the CAA
section 110 timelines without accounting for the differences in scale
and scope between CAA section 110 and 111(d) plans. The EPA has now
more closely evaluated the statutory deadlines and requirements in the
CAA section 110 implementation context to determine what is feasible
for a CAA section 111(d) state plan submission timeline. The EPA
specifically focused on statutory SIP submission deadline and
requirements in the context of attainment plans for the 2012
PM2.5 NAAQS under CAA section 189. CAA section 189(a)(2)(B)
requires states to submit attainment planning SIPs within 18 months
after an area is designated nonattainment. The 2012 PM2.5
NAAQS attainment plans were, in most cases, more complicated for states
to develop when compared to a typical plan under CAA sections 111(d).
For example, attainment plans require states to determine how to
control a variety of sources, based on extensive modeling and analyses,
in order to bring a nonattainment area into attainment of the NAAQS by
a specified attainment date. Under CAA section 111(d), it is clear
which designated facilities must be subject to a state plan, and the
standards of performance for these sources must reflect the level of
stringency determined by the EG unless a state chooses to account for
RULOF. As further described in section III.E of this preamble,
accounting for RULOF is expected to be a limited, rather than broadly
used, exception. The difference in complexity between the CAA section
189 plan requirements and the CAA section 111(d) plan requirements
suggests that a timeline shorter than 18 months is more appropriate for
development of CAA 111(d) state plans submissions.
Thus, based on the EPA's evaluation of states' responsiveness to
previous CAA section 111(d) EGs, the contrast between the development
of CAA section 111(d) plans and CAA section 129 plans, and the relative
difference in complexity between attainment plan requirements under CAA
section 189 and CAA section 111(d) state plan requirements, the EPA is
proposing to require that state plans under CAA section 111(d) be due
15 months after publication of a final EG. This proposed timeframe is
substantially shorter than the 3 years deadline vacated by the D.C.
Circuit; however, the timeline should provide states adequate time to
adopt and submit approvable plans without extending the timing such
that significant adverse impacts to health and welfare are likely to
occur from the foregone emission reductions during the state planning
process. Allowing states sufficient time to develop feasible
implementation plans for their designated facilities that adequately
address public health and environmental objectives also ultimately
helps ensure more timely implementation of an EG, and therefore
achievement in actual emission reductions, than would an unattainable
deadline that may result in the failure of states to submit plans and
requiring the development and implementation a of Federal plan. The EPA
is soliciting comment on the proposed state plan submission timeline
and the analysis
[[Page 79184]]
supporting the EPA's proposed determination regarding the amount of
time reasonably necessary for plan development and submission. The EPA
is also soliciting comment on whether the EPA should consider any other
factors in setting this timeline (Comment A1-2).
The EPA recognizes that the court, in ALA, faulted the Agency for
failing to consider the potential impacts to public health and welfare
associated with extending planning deadlines. The EPA does not
interpret the court's direction to require a quantitative measure of
impact, but rather consideration of the importance of the public health
and welfare goals when determining appropriate deadlines for
implementation of regulations under CAA section 111(d). Because 15
months is the generally expeditious period of time in which the EPA
finds that most states can create and submit a plan per the EPA's
corresponding emission guidelines that is both comprehensive and
legally sound, it follows that the EPA has appropriately considered the
potential impacts to public health and welfare associated with this
extension of time by providing no more time than the states reasonably
need to ensure a plan is comprehensive and timely. To the extent the
EPA considers deviating from these expeditious timeframes in
promulgating an EG in the future, the EPA will consider the public
health and welfare impacts associated with the change, consistent with
the court's direction in ALA, particularly where the EPA is providing
additional time for state plan development.
While the EPA is proposing and soliciting comment on all components
of the implementation timelines proposed in this action, the EPA is
especially interested in comments regarding the proposed state plan
submission timeline. The EPA acknowledges that there are a number of
individual state-specific factors that can affect the amount of time
required for the development and submission of state plans. The EPA is
therefore soliciting specific comments on details of state plan
development and adoption processes and how those should inform a state
plan submission deadline, including whether there are reasons why the
EPA should consider either a longer or a shorter timeframe (Comment A1-
3).
As discussed in section III.C of this preamble below, the EPA is
proposing to revise subpart Ba to include a requirement for states to
undertake outreach and meaningful engagement with pertinent
stakeholders as part of the state plan development process. The EPA
solicits comment on how much, if any, time this additional engagement
will take in the state plan development process (Comment A1-4). The EPA
recognizes that the time needed to conduct meaningful engagement will
be highly dependent on the number and location of designated facilities
addressed by an EG, as well as on the type of health or environmental
impacts of the associated emissions. If stakeholder and public
involvement required by the proposed amendments does not generate a
large number of specific and unique comments, data, or other
considerations, then the level of effort states will employ to review
them will be lower in comparison to when meaningful engagement comments
are voluminous. Also, to the extent that states already employ
significant engagement with pertinent stakeholders, the proposed
meaningful engagement amendments would not result in additional costs,
while other states that do not have engagement procedures already in
place may be required to increase their level of effort to engage with
pertinent stakeholders.
In section III.E of this preamble, the EPA is also proposing
revisions to the RULOF provision. These proposed revisions would
clarify the procedures for considering RULOF by establishing a robust
analytical framework that would require a state to provide a sufficient
justification when applying a standard of performance that is less
stringent than the EPA's presumptive level of stringency, thereby
allowing the EPA to readily determine if the state's plan is
satisfactory and therefore approvable. The proposed state plan
submission timeline of 15 months should adequately provide time for
states to conduct the analyses required by this provision; however, the
EPA is soliciting comment on whether states will need additional time
in the plan development to account for instances where RULOF is
considered. The EPA is specifically requesting comment on how much
additional time might be required for this consideration and how that
additional time fits within the entire process of state plan
development (Comment A1-5).
The proposed state plan submission timeline should be generally
achievable by states. The EPA notes it is obligated to promulgate a
Federal plan for states that have not submitted a plan by the
submission deadline. Once the obligation to promulgate a Federal plan
is triggered, it can only be tolled by the EPA's approval of a state
plan. If a Federal plan is promulgated, a state may still submit a plan
to replace the Federal plan. A Federal plan under CAA section 111(d) is
a means to ensure timely implementation of EGs, and a state may choose
to accept a Federal plan for their sources rather than submit a state
plan. While the EPA encourages states to timely submit plans for EGs,
there are no sanctions associated with failing to timely submit an
approvable plan or with the implementation of a Federal plan.\12\
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\12\ CAA section 179 provides that sanctions should be applied
in states that fail to submit approvable SIPs for certain specified
requirements for NAAQS implementation. The EPA has not promulgated
any similar sanctions provisions governing the submission of state
plans pursuant to section 111(d).
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2. Timeline for the EPA To Determine Completeness of State Plans
Once a state plan has been submitted to the EPA, the EPA reviews
the plan for ``completeness'' to determine whether the plan includes
certain elements necessary to ensure that the EPA can substantively
evaluate the plan. The EPA determines completeness by comparing the
state's submission against the administrative and technical criteria
specified in subpart Ba to see if the submission contains the elements
specified therein (see 40 CFR 60.27a(g) for completeness criteria). In
the 2019 promulgation of subpart Ba, the timeline provided for the EPA
to determine the completeness of a state plan mirrored the language in
CAA section 110(k)(1)(B): ``Within 60 days of the Administrator's
receipt of a plan or plan revision, but no later than 6 months after
the date, if any, by which a State is required to submit the plan or
revision, the Administrator shall determine whether the minimum
criteria [for completeness] have been met.''
After a state plan is complete through either an affirmative
determination or by operation of law, the EPA will act on the state
plan submission through notice-and-comment rulemaking. The proposed
timeline for the EPA to act on a state plan submission can be found in
section III.A.3 of this preamble below.
If a state plan submission does not contain the elements required
by the completeness criteria, the EPA would find that the state has
failed to submit a complete plan and notify the state through a letter.
The determination of incompleteness treats the state as if the state
has made no submission at all. The determination that a submission is
incomplete and that the state has failed to submit a plan is
ministerial in nature and requires no exercise of discretion or
judgment on the Agency's part.
As part of the EPA's overall effort to set implementation timelines
under
[[Page 79185]]
CAA section 111(d) that are as expeditious as possible, the EPA is
proposing to revise the timing element of the completeness review in
subpart Ba. In light of the ministerial nature of the completeness
determination, the EPA proposes to provide a maximum of 60 days from
receipt of the state plan submission for the EPA to make a
determination of completeness. The EPA is additionally proposing to
provide that any state plan or plan revision submitted to the EPA that
has not received a completeness determination within 60 days of
receipt, shall on that date be deemed, by operation of law, to meet the
completeness criteria, which will trigger the EPA's obligation to take
substantive action on the state plan. Sixty days provides an
expeditious timeframe for the EPA to evaluate state plans for
completeness and to notify the states of the determination. Because the
EPA may be required to evaluate up to 50 state plans during this
period, in addition to plans submitted by territories, tribes and local
governments, the EPA does not find that this timeframe could reasonably
be shortened any further. The EPA is soliciting comment on the
appropriateness of providing a 60-day timeline for the EPA to conclude
its completeness review (Comment A2-1).
The EPA notes that, because the EPA's finding of a plan as
incomplete puts a state in the legal status of not having submitted a
plan at all, the status and potential delinquency of a state's plan is
evaluated against the state plan submission deadline. If the EPA
determines that a plan is incomplete and this occurs at some point
after the state plan submission deadline, the EPA treats the state as
if the state has made no submission at all and thus the EPA's authority
to provide a Federal plan is triggered. If a state submits a plan prior
to the state plan submission deadline and the EPA also makes a
determination that the plan is incomplete prior to the state plan
submission deadline, the EPA will treat the state as if the state has
made no submission at all, but this determination does not yet trigger
further action by the EPA. Instead, because the state still has an
opportunity to submit a complete plan before the state plan submission
deadline, the EPA's authority to promulgate a Federal plan is only
triggered if the state fails to timely submit a new plan to replace the
incomplete plan by the state plan deadline.
3. Timeline for the EPA's Action on State Plans
After a state plan has been determined to be complete or is deemed
complete by operation of law, the EPA must evaluate and determine
whether the plan or plan revision is approvable, in part or in whole
(see section III.D.1 of this preamble for discussion on proposed
partial plan approvals). In order to determine whether it is
appropriate to approve or disapprove a state plan, CAA section 111(d)
provides that the EPA must evaluate whether the plan is
``satisfactory,'' that is, whether the components of the plan meet all
the requirements of the statute, these implementing regulations, and
the corresponding EG, through a proposed notice-and-comment rulemaking.
After the EPA reviews comments on the proposed action, the EPA will
finalize its action to approve or disapprove the plan. If the EPA
approves a state plan, the standards of performance and other
components of that state plan become federally enforceable. If the
state plan is disapproved, in part or in whole, the EPA is obligated to
promulgate a Federal plan for designated facilities within that state
(see section III.A.4 of this preamble below for the EPA's timeline to
publish a Federal plan).
Subpart B requires the EPA to take action on applicable state plans
(e.g., approve or disapprove) within 4 months after the date required
for submission. 40 CFR 60.27(b). In the development of subpart Ba, the
EPA contended that 4 months was an inadequate time to review and take
action on state plans and therefore instead provided a deadline of 12
months for final action on a state plan (mirroring the maximum time
permitted under CAA section 110(k)(1)(2) for the EPA's action on
complete SIPs). 84 FR 32520, July 8, 2019. In the ALA decision, the
D.C. Circuit vacated this revised timeline in subpart Ba on the basis
that the EPA did not adequately justify the extended timeframes and did
not consider the public health and welfare impacts of extending the
implementation times. As is discussed below, the EPA has now closely
evaluated the process, steps, and timeframes for the EPA to
substantively review and act upon each state plan submission through a
public notice-and-comment rulemaking process. After considering the
time anticipated to be necessary for generally expeditious EPA action
on state plans, the EPA is again proposing to require that it must take
final action on a state plan or plan revision submission within 12
months after a plan is determined to be complete or becomes complete by
operation of law.\13\
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\13\ The deadlines for the EPA action under subpart Ba would
apply to any state plan submission regardless of when it is
submitted.
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The first step of the EPA acting on a plan is that once a state
plan submittal has been deemed ``complete'' under 40 CFR 60.27a(g), an
intra-agency workgroup reviews the plan components to determine whether
they conform to the applicable regulatory requirements. The workgroup
may require a broad range of expertise in legal, technical, and policy
areas, potentially including attorneys, engineers, scientists,
economists, air monitoring experts, health and welfare analysts, and/or
policy analysts from across a variety of EPA programs. After review and
coordination, the workgroup then develops recommendations for approval
or disapproval of each plan component and presents them to Agency
decision-makers for review. Once the Agency completes its internal
decision-making process, the workgroup proceeds to prepare a written
notice of proposed rulemaking. The notice of proposed rulemaking
contains the EPA's legal, policy, and technical bases for its proposed
action on a state plan submission, which must be thoroughly developed
and explained in writing to provide clear and concise information and
reasoning to support the public in understanding the Agency's decision
and the justification for that decision, and so that the public may
provide informed comments on the proposal. The EPA may further develop
technical support documents as record support for the proposal. The
draft proposed rulemaking and any record support then undergo a multi-
layered review process across EPA offices and levels of management
before being processed for signature. The process to evaluate the state
plan, draft a proposed action on a CAA section 111(d) state plan, and
get the proposed action edited, reviewed, and signed typically requires
a minimum of between 6 to 8 months to complete. The signed notice of
proposed rulemaking is then submitted for publication in the Federal
Register, which may require several weeks processing prior to
publication.
The publication of the proposed rulemaking triggers the start of a
public comment period of at least 30 days with possible extension if
requested. Because of the types of sources and pollutants regulated
under CAA section 111(d), the EPA reasonably anticipates that many of
its proposed actions on state plans will garner significant public
interest from individuals, industry, states, and
[[Page 79186]]
environmental and public health advocates. After completion of the
comment period, the EPA then reviews all comments and determines
whether, based on any comment, it should alter its proposed action or
further augment the legal, policy, and technical rationales supporting
that action. Comments received on a proposed action may include
technical information that was not available to the EPA at the time of
proposal. In the event technical data are received as part of comments
on the proposed action, the EPA would then be required to review the
new data and evaluate whether and how it should affect the EPA's
proposed conclusions regarding the state plan. If a substantive comment
is raised that merits reconsideration of the EPA's proposed action, the
EPA may determine that it is necessary to revise and repropose its
action on the state plan or it may go to the state for more information
to help the Agency determine how to proceed.
Once this review of comments is complete, the workgroup drafts and
presents updated recommendations for action for internal review and
consideration by Agency decision-makers. Once the Agency completes its
internal decision-making process, the workgroup then drafts a notice of
final rulemaking on the plan submission, which includes responses to
comments, any necessary record support, and may also include final
regulatory text. The draft final action is then reviewed by senior
management and other interested EPA offices within the Agency prior to
signature of the final rulemaking approving or disapproving, in whole
or in part, a state plan. It is reasonable to permit at least 4 to 7
months for evaluation of the comments received, any necessary technical
analysis, decision-making, and drafting and review of the final action.
The duration of each step in this deliberative process varies. The
amount of time the EPA needs to review a state plan submission and the
time it needs to finalize a notice of proposed rulemaking, depends in
part on the plan's complexity and the nature of the technical, policy,
and legal issues that it implicates. For example, a state plan
submission that invokes RULOF for several designated facilities is more
complex and time consuming to review than a plan that simply
establishes standards of performance reflecting the presumptive level
of stringency for all sources. Similarly, the amount of time needed to
respond to comments and issue a final rulemaking depends in part on the
number and type of comments received on the EPA's proposed rulemaking.
Additionally, the EPA reasonably anticipates that it will be required
to review multiple plan submissions at a given time, and these phases
of review for a given plan are impacted by the EPA's review of other
state plan submissions, as the EPA will need to assure its review
across multiple plans and regional offices is consistent from a legal,
technical, and policy perspective.
The EPA finds 12 months is a reasonably expeditious timeframe to
accommodate the EPA to act on a state plan or plan revision submission
and the considerations described above, while ensuring that an EG is
expeditiously implemented. The process and steps described above
highlight the fact that it would be unreasonable, if not impossible, to
accomplish all of the steps in a legally and technically sound manner
within a 4-month timeframe as required under subpart B. Particularly,
the EPA's proposed action has to be open for public comment for at
least 30 days, therefore the 4-month timeline provided in subpart B
only gives the EPA 3 months to do the substantive work of both the
proposed and final actions, including evaluating the state plan
submission, drafting preamble notices, responding to comments, and
developing record support at both the proposed and final action stages.
A 12-month timeframe after a plan is determined to be complete more
reasonably accommodates the process and steps described above.\14\
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\14\ While the EPA would have the discretion to act on a state's
submission more quickly than 12 months where specific circumstances
allow (e.g., where there are no public comments on the proposed
action), the EPA does not believe that it would be reasonably
possible to act significantly more quickly than 12 months in most
cases.
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The EPA recognizes that the court in ALA faulted the Agency for
failing to consider the potential impacts to public health and welfare
associated with extending planning deadlines. The EPA does not
interpret the court's direction to require a quantitative measure of
impact, but rather consideration of the importance of the public health
and welfare goals of CAA section 111(d) when determining appropriate
deadlines. Because 12 months is an adequate period of time in which the
EPA can both expeditiously act on a plan submission and ensure that its
action is technically and legally sound, it follows that the EPA has
appropriately considered the potential impacts to public health and
welfare associated with this extension of time by providing no more
time than the EPA reasonably needs to ensure a plan submission contains
appropriate and protective emission reduction measures. If the EPA does
not have adequate time to evaluate a state plan submission, its ability
to ensure the plan contains appropriate measures to satisfactorily
implement and enforce the standards necessary to comply with the EG may
be compromised, which would in turn compromise the EPA's ability to
ensure that the public health and welfare objectives of the EG are
satisfied.
The EPA is soliciting comment regarding its rationale for proposing
a 12-month timeframe for the EPA's action on a complete state plan or
plan revision submission, including whether there are reasons that the
EPA should consider either a longer or a shorter timeframe (Comment A3-
1). The EPA notes that this timeframe for the EPA's action on complete
state plan submission would apply to any final EG regulating greenhouse
gas emissions from sources in the oil and natural gas industry. 86 FR
63110, November 15, 2021.
4. Timeline for the EPA To Promulgate a Federal Plan
CAA section 111(d)(2) provides that the EPA has the same authority
to prescribe a Federal plan for a state that fails to submit a
satisfactory plan as it does for promulgating a FIP under CAA section
110(c). Accordingly, the EPA's obligation to promulgate a Federal plan
is triggered in three situations: where a state does not submit a plan
by the plan submission deadline; where the EPA determines a portion or
all of a state plan submission did not meet the completeness criteria
and the time period for state plan submission has elapsed and,
therefore, the state is treated as having not submitted a required
plan; and where the EPA disapproves a state's plan. 40 CFR 20.27a(c).
In the first two instances of triggering a Federal plan, the EPA is
proposing to require that its timeline to promulgate a Federal plan for
those states would begin the day after the state plan is due.\15\ In
the third instance, the
[[Page 79187]]
EPA is proposing to require that its timeline to promulgate a Federal
plan would begin at its disapproval of the state's plan.
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\15\ The EPA has discretion to address its obligation to
promulgate a Federal plan in a variety of ways for states that do
not have an approved state plan. For example the EPA may initially
promulgate a single Federal plan that applies to all appropriate
states and then update that Federal plan as necessary to accommodate
the inclusion of other states that trigger the need for a Federal
plan in the future (e.g., a Federal plan that applies to states that
fail to submit a plan can be updated to include applicability for
states that later have a plan disapproved); or the EPA may
promulgate Federal plans each time its authority to do so has been
triggered (e.g., the EPA will promulgate a Federal plan for all
states that fail to submit a plan and another Federal plan for all
states that have their plan disapproved).
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The original implementing regulations in subpart B provided the EPA
with 6 months to promulgate a Federal plan once its obligation to do so
was triggered. 40 CFR 60.27(d). When the EPA promulgated subpart Ba in
2019, it concluded that this amount of time was insufficient and
consequently extended the time for the EPA to promulgate a Federal plan
to 24 months, mirroring the timeframe permitted for promulgation of a
FIP under CAA section 110. 84 FR 32520, July 8, 2019. In the ALA
decision, the D.C. Circuit vacated this revised timeline in subpart Ba
on the basis that the EPA did not adequately justify the extended
timeframe and did not consider the health and welfare impacts of
extending the implementation timeframe.
In this action, the EPA reevaluated the process, steps, and
timeframes for the EPA to promulgate a Federal plan through a public
notice-and-comment rulemaking process.\16\ Based on this assessment as
presented below, the EPA is proposing to require that it promulgate a
Federal plan within 12 months after either the date required for
submission of a state plan (for states that fail to submit a complete
plan) or the date the EPA disapproves a state's plan. The EPA is also
proposing a change to the trigger for the EPA's obligation and timeline
to provide a Federal plan for states that do not submit a timely plan
and that discussion is found in section III.B of this preamble.
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\16\ The EPA reviewed the information available in 40 CFR part
62 associated with the promulgation of Federal Plans under CAA
section 111(d). The supporting information reviewed is available at
Docket ID No. EPA-HQ-OAR-2021-0527. Under the provisions of CAA
section 111 and subpart B, the EPA promulgated Federal plans for
municipal solid waste landfills EG 40 CFR part 60 subpart Cc
(Federal plan codified at 40 CFR part 62 subpart GGG) and municipal
solid waste landfills EG 40 CFR part 60 subpart Cf (Federal plan
codified at 40 CFR part 62 subpart OOO).
The EPA also reviewed information available in 40 CFR part 62
associated with the promulgation of Federal Plans under CAA 129. The
supporting information reviewed is available at Docket ID No. EPA-
HQ-OAR-2021-0527. Under the provisions of CAA sections 111 and 129
and subpart B, the EPA has promulgated Federal plans for large
municipal waste combustors EG 40 CFR part 60 subpart Cb (Federal
plan codified at 40 CFR part 62 subpart FFF); small municipal waste
combustors EG 40 CFR part 60 subpart BBBB (Federal plan codified at
40 CFR part 62 subpart JJJ); hospital, medical, and infectious waste
incinerators EG 40 CFR part 60 subpart Ce (Federal plan codified at
40 CFR part 62 subpart HHH); commercial and industrial solid waste
incinerators EG 40 CFR part 60 subpart DDDD (Federal plan codified
at 40 CFR part 62 subpart III) and sewage sludge incinerators EG 40
CFR part 60 subpart MMMM (Federal plan codified at 40 CFR part 62
subpart LLL).
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A Federal plan must meet the requirements of CAA section 111(d) and
therefore contain the same components as a state plan, namely standards
of performance for designated facilities and measures that provide for
the implementation and enforcement of such standards. CAA section
111(d)(2)(B) also explicitly requires the EPA to consider RULOF in
promulgating a standard of performance under a Federal plan.
Additionally, Federal plans containing standards of performance are
subject to the procedural requirements of CAA section 307(d), such as
the requirements for proposed rulemaking and opportunity for public
hearing. CAA section 307(d)(1)(C). 40 CFR 60.27a implements these
various statutory requirements and contains general regulatory
requirements for the EPA's promulgation of a Federal plan. To meet
these applicable requirements, the process, and steps for the EPA to
promulgate a Federal plan is described in the following paragraphs.
Once the EPA's obligation to promulgate a Federal plan is
triggered, the EPA establishes an intra-agency workgroup to develop the
rulemaking action to address that obligation. The workgroup first
develops recommendations for the components of the Federal plan to be
proposed, and on legal, policy, and technical rationales that support
the recommendations. These components are identified in subpart Ba as
well as in the corresponding EG and are generally the same as those
required for a state plan. One of these fundamental components is the
determination of standards of performance for designated facilities.
Based on the requirements of CAA sections 111(d) and 111(a)(1), these
standards must generally reflect the presumptive level of stringency
the EPA determines as part of the EG. Depending on the form of the
presumptive level of stringency given in a particular EG, the EPA may
need to do additional work to calculate standards of performance that
reflect this level of stringency. For example, an EG may provide the
presumptive level of stringency as numerical emission rates, which a
Federal plan could adopt as the requisite standards of performance.
However, if an EG provides the presumptive level of stringency in a
form other than numerical standards, the EPA may need to calculate
appropriate standards of performance in the context of a Federal plan.
Further, CAA section 111(d)(2) requires the EPA to consider RULOF for
sources in the source category in setting standards of performance as
part of a Federal plan which requires the EPA, at least, to identify
and evaluate the remaining useful lives, among other appropriate
factors, and accordingly establish corresponding standards of
performance. The development of a Federal plan may also necessitate a
determination of appropriate testing, monitoring, reporting, and
recordkeeping requirements to implement the standard if the EG does not
provide presumptive requirements to address those aspects of
implementation. Further, the EPA will need to consider associated
compliance times for designated facilities in circumstances where they
are not provided by an EG, or in cases where a standard of performance
is adjusted to account for RULOF. There may also be situations where
increments of progress are warranted, and the EPA will correspondingly
need to identify and determine the appropriate increments of progress.
The development of a Federal plan with these components will also
include the element of meaningful engagement, as being proposed in this
action and further described in section III.C of this preamble.
Once the recommendations for each component are developed, the
workgroup presents them to Agency decision-makers for review. After the
Agency completes its internal decision-making process, the workgroup
proceeds to prepare a written notice of proposed rulemaking. The
proposal must include the following elements, as required by CAA
section 307(d)(3): the factual data on which the proposed rulemaking is
based; the methodology used in obtaining the data and in analyzing the
data; and the major legal interpretations and policy considerations
underlying the proposed rulemaking. These elements must be thoroughly
developed and explained in the proposal to meaningfully provide the
public adequate information to comment on the proposal. The EPA may
further develop a technical support document as record support for the
proposal.
The draft proposed rulemaking and any record support are then
reviewed by the relevant EPA offices and processed for signature. The
signed notice of proposed rulemaking is then submitted for publication
in the Federal Register. To develop the proposed Federal plan
rulemaking, establish unique standards for RULOF, allow review of
materials by senior management, go through an interagency review
process and have the package signed typically requires a
[[Page 79188]]
minimum of between six to 9 months to complete.
As previously noted, the EPA's promulgation of a Federal plan is
subject to the requirements of CAA section 307(d), which includes
providing the public with an opportunity to provide an oral
presentation at a public hearing. CAA section 307(d)(5). The Federal
Register Act requires the EPA to provide sufficient notice of a public
hearing, which (in the absence of a different time specifically
prescribed by the relevant Act of Congress) is satisfied if the EPA
provides at least 15 days' notice. 44 U.S.C. 1508. Section 307(d)(5) of
the CAA further provides that the EPA must keep the record for the
proposed action open for public comment for 30 days after any public
hearing for the submission of rebuttal and supplemental information.
Because the EPA reasonably expects to provide notice of the required
public hearing at the time its proposed action is published in the
Federal Register, in order to allow for both a 15-day notice of the
public hearing and a subsequent 30-day comment period on the open
record, the EPA should allow for at least 45 days for public comment on
the notice of proposed action.
As with state plans, because of the types of sources and pollutants
regulated under CAA section 111(d), the EPA reasonably anticipates that
many of its proposed actions on a Federal plan will garner significant
public interest from individuals, industry, states, and environmental
and public health advocates. After completion of the comment period,
the EPA then reviews all comments and determines whether, based on any
comment, it should alter any components of the proposed Federal plan,
or further augment the legal, policy, and technical rationales
supporting that proposed action. Additionally, in the EPA's experience,
comments may include technical information that was not in front of the
Agency at the time of proposal. In the event technical data are
received as part of comments on the proposed action, the EPA would then
be required to review the new data and evaluate whether and how it
should affect the EPA's proposed Federal plan. If a substantive comment
is raised that merits reconsideration of any component in the proposed
Federal plan, the EPA would need to repropose the plan.
Once this review of comments is complete, the workgroup drafts and
presents updated recommendations for internal review and decision
making. Once the Agency completes its internal decision-making process,
the workgroup then drafts a notice of final rulemaking, which includes
responses to comments and any necessary record support, and final
regulatory text as the Federal plan directly regulates certain
designated facilities. The draft final action is then reviewed by
relevant offices within the Agency prior to signature of the final rule
promulgating the Federal plan. The EPA typically anticipates that the
process of reviewing comments received, making corresponding changes to
the rulemaking, and promulgating the final Federal plan to be between 4
and 8 months.
The duration of each step in this deliberative process varies. The
amount of time the EPA needs to develop, propose, and finalize a
Federal plan depends in part of the plan's complexity and the nature of
the technical, policy, and legal issues that it implicates. For
example, some states needing a Federal plan may have thousands, if not
hundreds of thousands, of designated facilities that the EPA will need
to establish standards of performance and implementation measures for,
while other Federal plans may be significantly smaller in scale.
Similarly, the amount of time needed to respond to comments and issue a
final rule depends in part on the number and type of comments received
on the EPA's proposed rulemaking. Additionally, the EPA reasonably
anticipates that it may need to promulgate a Federal plan for multiple
states at a given time, which can amplify the amount of time and work
needed.
The EPA has determined that 12 months reasonably accommodates the
amount of time that the EPA needs to undertake the process, steps, and
the considerations described above, while ensuring that an EG is
expeditiously implemented. The process and steps described above that
must be taken in promulgating a Federal plan highlight the fact that it
would be unreasonable, if not an impossibility, to accomplish all of
the steps in a legally and technically sound manner within a 6-month
timeframe as required under subpart B.\17\
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\17\ While the EPA would have the discretion to promulgate a
Federal plan more quickly than 12 months where specific
circumstances allow (e.g., where there are no public comments on the
proposed action), the EPA does not believe that would be reasonably
possible to act significantly more quickly than 12 months in most
cases.
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As with the EPA's proposal for its timeline to act on state plan
submissions, 12 months is generally the period of time in which the EPA
can both expeditiously act on a plan submission and ensure it is
technically and legally sound. Therefore, this extension of time
considers potential impacts to public health and welfare by giving the
EPA a reasonably expeditious timeframe to promulgate a Federal plan
that contains appropriate and protective emission reduction measures.
This is especially true in the context of a Federal plan, where there
is otherwise no state plan in place that is adequately protective of
public health and welfare. If the EPA does not have adequate time to
promulgate a Federal plan, its ability to ensure the plan contains
appropriate measures to satisfactorily implement and enforce the
standards necessary to comply with the EG may be compromised, which
would in turn compromise the EPA's ability to ensure that the public
health and welfare objectives of the EG are satisfied.
The EPA is soliciting comment regarding its rationale for proposing
a 12-month timeframe for the EPA's promulgation of a Federal plan,
including whether there are reasons why the EPA should consider either
a longer or a shorter timeframe (Comment A4-1). The EPA notes that this
timeframe for the EPA's promulgation of a Federal plan would apply to
any final EG regulating greenhouse gas emissions from sources in the
oil and natural gas industry. 86 FR 63110, November 15, 2021.
The EPA notes that a state may submit a plan to replace a Federal
plan, even after the state plan submission deadline. However, once the
EPA's authority and obligation to promulgate a Federal plan has been
triggered, the act of a state submitting a plan alone does not abrogate
the EPA's authority or obligatory timeline to promulgate a Federal
plan. Only an approved state plan can supplant an already promulgated
Federal plan or abrogate the EPA's responsibility to timely promulgate
a Federal plan. Where a state submits a late plan, that may have the
practical effect of concurrent timelines for promulgation of the
Federal plan and the EPA's action on that late state plan; the EPA is
not obligated to act on a late state plan prior to promulgating a
Federal plan (40 CFR 60.27a(d)).
5. Timeline for Increments of Progress
As part of the EPA's statutory responsibility to determine the BSER
and related presumptive level of stringency, the EPA also determines in
an EG ``the time within which compliance with standards of performance
can be achieved.'' 40 CFR 60.22a(b)(5). As previously described, while
it is the states' responsibility to provide standards of performance,
those
[[Page 79189]]
standards of performance must reflect the presumptive level of
stringency, unless a state chooses to account for RULOF for a
particular source. Accordingly, states also have an obligation to
include the corresponding compliance schedules as part of their state
plans.\18\ Specifically the standards and compliance schedules ``shall
be no less stringent than the corresponding emission guideline'' (40
CFR 60.24a(c)) unless the RULOF provision is invoked (see section III.E
of this preamble for discussion of proposed revisions to this
provision). These compliance schedules are an integral component to
realizing the emission reductions required by an EG to address the
health and welfare impacts from a relevant source category and
pollutant. The sooner that the standards are implemented, the more
quickly the public health and welfare benefits of those reductions can
be achieved.
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\18\ ``Each plan shall include standards of performance and
compliance schedules.'' 40 CFR 60.24a(a).
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In the 1975 subpart B implementing regulations for CAA section
111(d), the EPA required that any compliance schedule extending more
than 12 months from the date required for submittal of the plan must
include legally enforceable increments of progress to achieve
compliance for each designated facility or category of facilities. 40
CFR 60.24(e). In the 2019 promulgation of subpart Ba, the EPA modified
this requirement to apply to any compliance schedule extending more
than 24 months from the state plan submittal deadline to align with the
extended timeline for state plan submissions. As discussed previously,
the D.C. Circuit vacated the extended implementation timelines in
subpart Ba, including the timeline for increments of progress.\19\
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\19\ Petitioners did not challenge, and the court did not
vacate, the substantive requirement for increments of progress.
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Both subparts B and Ba require that standards of performance are
implemented in a timely manner through provisions that require legally
enforceable increments of progress if the compliance schedule extends
beyond a specific time frame.\20\ In the definition of ``increments of
progress'', the EPA provides requirements for legally enforceable
increments of progress that states must include as a part of the
standard of performance for a given designated facility.\21\ The use of
increments of progress will vary from EG to EG based on the source
category and type of regulation. There are also situations that may
lead the EPA to limit or prohibit the use of increments of progress in
a particular EG based on the nature of the BSER and presumptive
standards, for example if the overall implementation timeline for a
particular EG is relatively short. The EPA may alternatively provide
presumptive increments of progress for a specific EG. The EPA will
address these circumstances as appropriate in a specific EG, if the
general requirements for increments of progress of subpart Ba need to
be superseded.
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\20\ Subpart Ba at 40 CFR 60.24a(a) and 60.24a(d), and subpart B
at 40 CFR 60.24(a) and 60.24(e)(1).
\21\ 40 CFR 60.21a(h) defines ``increments of progress'' and
requires states to include the following steps: (1) Submittal of a
final control plan for the designated facility to the appropriate
air pollution control agency; (2) Awarding of contracts for emission
control systems or for process modifications, or issuance of orders
for the purchase of component parts to accomplish emission control
or process modification; (3) Initiation of on-site construction or
installation of emission control equipment or process change; (4)
Completion of on-site construction or installation of emission
control equipment or process change; and (5) Final compliance.
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Because increments of progress are important to expeditiously
addressing public health and welfare, the EPA is proposing to generally
require that any compliance schedule extending more than 16 months from
the date required for submittal of a state plan must include legally
enforceable increments of progress to achieve compliance for each
designated facility or category of facilities. This proposed time
period accounts for the 60-day completeness review following a state
plan submittal and the 12-month period for the state plan review
proposed in this action, and further provides a 2-month buffer for the
case of a state plan approval by the EPA (approval occurring 14 months
after the plan submission deadline) before increments of progress are
required. While this time period of 16 months is longer than the 12
months previously provided under subpart B, it is significantly shorter
than the 24 months vacated from subpart Ba. Additionally, the time
between a state plan approval and the initiation of requirements for
increments of progress is less than both the 8 months previously
provided by subpart B and less than the 6-month buffer provided by the
vacated subpart Ba timeline. Providing a 2-month buffer after approval
of plans but before the increments of progress are required allows for
the owner or operators of designated facilities reasonable time to
initiate actions associated with the increments of progress before
these are required.
This proposed timeline for increments of progress will ensure
standards of performance are implemented as expeditiously as possible
so that the intended emission reductions are achieved, and the public
health and welfare are protected. The EPA solicits comment on the
proposed requirement that CAA 111(d) plans include increments of
progress for any compliance schedule extending more than 16 months from
the state plan submission deadline, and whether a different timeline
for increments of progress should be considered. If another timeline is
considered, the EPA requests specific comments on why this other
timeline is more appropriate than 16 months (Comment A5-1).
B. Federal Plan Authority and Timeline Upon Failure To Submit a Plan
In subpart Ba, the EPA incorporated language from CAA sections
110(c)(1)(A) and 110(k)(1)(B) addressing the circumstances which
trigger the EPA's authority for promulgating a Federal plan.
Specifically, the EPA adopted language at 40 CFR 60.27a(c)(1), which
requires the EPA to promulgate a Federal plan after it finds that a
state fails to submit a required plan or plan revision or finds that
the plan or plan revision does not satisfy the completeness criteria
under 40 CFR 60.27a(g). The EPA is currently required, under 40 CFR
60.27a(g), to determine whether completeness criteria have been met no
later than 6 months after the date by which a state is required to
submit a plan. These current provisions under subpart Ba taken together
mean that, no later than 6 months after the state plan submission
deadline has passed, the EPA must make a determination (often referred
to as a ``finding of failure to submit'') as to whether any states have
failed to submit a plan that meets the completeness criteria, and such
finding is what triggers the EPA's obligation and timeline to
promulgate a Federal plan.\22\
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\22\ Note that this procedure does not address circumstances
when the EPA promulgates a Federal plan for states whose plan is
disapproved. In these circumstances, the EPA's disapproval itself is
the conclusion that the state plan submission was unsatisfactory and
triggers the EPA's obligation and timeline to promulgate a Federal
plan.
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The EPA acknowledges that in the CAA section 110 context, it has
not always timely met its obligation to issue a finding of failure to
submit, which further delays the timing for when the EPA promulgates a
FIP to achieve the necessary emission reductions. Accordingly, the EPA
finds that there is an opportunity to streamline the process in the CAA
section 111(d) context to ensure that the emission reductions
anticipated by the promulgation of the EG are realized in a timely way
through
[[Page 79190]]
the promulgation of any necessary Federal plan. Rather than requiring
the EPA to affirmatively issue a finding of failure to submit before
the EPA's obligation to issue a Federal plan is triggered, the EPA is
proposing that the EPA's timeline for issuing a Federal plan for any
state that has not submitted a complete plan will be triggered by the
state plan submission deadline, consistent with the requirements under
subpart B. In this proposed change for subpart Ba, the EPA's obligation
and timeline to promulgate a Federal plan starts the day after state
plans are due. Accordingly, based on the proposed timeline described in
section III.A.4 of this preamble above, the EPA is proposing that the
EPA will have 12 months from the state plan deadline to promulgate a
Federal plan for states that do not submit a plan. Note, the EPA is
also proposing 12 months to promulgate a Federal plan for states whose
plans are disapproved, but in those instances the EPA's obligation and
timeline to provide a Federal plan is based on its disapproval of a
state plan.
As part of this proposal to trigger the timeline for the EPA to
promulgate a Federal plan based on the state plan submission date
instead of from when the EPA makes a finding of failure to submit, the
EPA considered the value and role of such finding. A finding of failure
to submit was intended to serve three purposes under subpart Ba,
consistent with its purpose under CAA section 110: to notify the public
of the status of state plan submissions (i.e., providing transparency
to the process); to notify states that the EPA has not received a plan;
and to formally start the clock for the EPA to promulgate a Federal
plan. While these concepts are generally an important part of the
overall Federal plan development and implementation process, the EPA
finds that in the CAA section 111(d) context there is minimal value in
coupling the notification aspects of a finding of failure with the
initiation of the clock for the EPA to promulgate a Federal plan. These
aspects are not inextricably linked to one another in that nothing
necessitates a finding of failure to submit as the vehicle that
triggers the timeline for the EPA to promulgate a Federal plan. By
decoupling the timeline from the finding of failure to submit, the
timeline to provide a Federal plan by the EPA can be triggered without
the interim step and potential lag associated with a finding of failure
to submit. By removing this interim process for promulgating a Federal
plan, the EPA will be required to promulgate the Federal plan more
expeditiously, and, in turn, overall implementation of the
corresponding EG will be timelier. This proposal is also consistent
with the spirit of the ALA decision, where the D.C. Circuit emphasized
the need for implementation timelines that consider potential impacts
on public health and welfare. By expeditiously and efficiently
promulgating a Federal plan and by removing an interim step of a
finding of failure, the EPA is further addressing the potential impacts
of implementation times on health and welfare.
The EPA notes that its proposal does not affect the EPA's
obligation under CAA section 110(c) to promulgate a FIP within 2 years
of making a finding that a state has failed to submit a complete SIP.
In the case of the CAA section 110, the obligation for the EPA to first
make a finding of failure to submit is derived from the statute,
whereas nothing in CAA section 111(d) obligates the EPA to make such a
finding before promulgating a Federal plan. CAA section 111(d)(1)
directs the EPA to promulgate a process ``similar'' to that of CAA
section 110, rather than a process that is identical. Therefore, the
fact that a finding of failure to submit serves as the legal predicate
for the EPA's obligation to issue a FIP under CAA section 110 does not
mean that the EPA is also required to treat such a finding as a legal
predicate for a Federal plan under CAA section 111(d). While a finding
of failure to submit has value in notifying states and the public of
the status of plans, the EPA does not find that it is integral to the
timing of promulgating a Federal plan for states that do not submit
plans. The EPA is therefore proposing to retain the requirement to make
a finding of failure to submit, though this finding will no longer be
considered the event that triggers the timeline for the EPA's issuance
of a Federal plan. The EPA will make this finding by publishing a
notice in the Federal Register anytime between the deadline for state
plan submissions and the EPA's promulgation of a Federal plan. The EPA
is soliciting comment on its proposal to link the authority and
timeline for a Federal plan to the state plan deadline rather than to a
finding of failure to submit (Comment B-1).
This proposed change is consistent with the requirements that
applied to the EPA's issuance of CAA section 111(d) plans under subpart
B before subpart Ba was issued in 2019. In subpart B (i.e., the
previously applicable implementing regulations for CAA section 111(d)
EGs and currently applicable implementing regulations for CAA section
129 EGs), the EPA's obligation to promulgate a Federal plan is
triggered by the state plan deadline. The EPA is proposing to revise 40
CFR 60.27a(c)(1) to adopt similar language from subpart B under 40 CFR
60.27(d). The EPA is seeking comment on its proposal to link the
authority and timeline for a Federal plan to the state plan deadline
particularly based on experiences with the application of subpart B's
Federal plan authority to CAA section 129 implementation and other
Federal plans issued under CAA section 111(d) where the authority and
timeline for a Federal plan are based on the state plan deadline
(Comment B-2).
C. Requirement for Outreach and Meaningful Engagement
The fundamental purpose of CAA section 111 is to reduce emissions
from certain stationary sources that cause or significantly contribute
to air pollution which may reasonably be anticipated to endanger public
health or welfare. Therefore, a key consideration in the state's
development of a state plan, in any significant plan revision,\23\ and
in the EPA's development of a Federal plan pursuant to an EG
promulgated under CAA section 111(d) is the potential impact of the
proposed plan requirements on public health and welfare. A robust and
meaningful public participation process during plan development is
critical to ensuring that the full range of these impacts are
understood and considered.
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\23\ Significant state plan revision includes, but is not
limited to, any revision to standards of performance or to measures
that provide for the implementation or enforcement of such
standards.
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States often rely primarily on public hearings as the foundation of
their public engagement in their state plan development process because
a public hearing is explicitly required pursuant to the applicable
regulations. The existing provisions in subpart Ba (40 CFR 60.23a(c)
through (f)) detail the public participation requirements associated
with the development of a state plan. Per these implementing
regulations, states must provide certain notice of, and conduct one or
more public hearings on, their state plan before such plan is adopted
and submitted to the EPA for review and action.\24\ However, robust and
meaningful public involvement in the development of a plan should
sometimes go beyond the minimum requirement to hold a public hearing
depending on who is most affected by and vulnerable to the impacts
being addressed by the plan. The CAA section 111(d) program addresses
existing
[[Page 79191]]
facilities; however, communities may not have had a voice when the
source was originally constructed, or previous outreach may have
focused largely on engaging the sources and the industry itself.
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\24\ States may cancel a public hearing if no request for one is
received during the required notification period. 40 CFR 60.23a(e).
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In this action, the EPA is proposing to strengthen the public
participation provisions in subpart Ba by requiring meaningful
engagement with pertinent stakeholders in the state's development of a
state plan, in any significant plan revision, and in the EPA's
development of a Federal plan pursuant to an EG promulgated under CAA
section 111(d). In particular, the EPA is proposing to add the
requirement for meaningful engagement with pertinent stakeholders into
40 CFR 60.23a(i) and 60.27a(f) and to define meaningful engagement and
pertinent stakeholders in 40 CFR 60.21a.
The EPA is proposing to define meaningful engagement as it applies
to this subpart as ``. . . timely engagement with pertinent stakeholder
representation in the plan development or plan revision process. Such
engagement must not be disproportionate in favor of certain
stakeholders. It must include the development of public participation
strategies to overcome linguistic, cultural, institutional, geographic,
and other barriers to participation to assure pertinent stakeholder
representation, recognizing that diverse constituencies may be present
within any particular stakeholder community. It must include early
outreach, sharing information, and soliciting input on the state
plan.'' The EPA is proposing to define that pertinent stakeholders ``.
. . include, but are not limited to, industry, small businesses, and
communities most affected by and vulnerable to the impacts of the plan
or plan revision.''
In particular, pertinent stakeholders include those who are most
affected by and vulnerable to the health or environmental impacts of
pollution from the designated facilities addressed by the plan or plan
revision. Increased vulnerability of communities may be attributable
to, among other reasons, both an accumulation of negative and lack of
positive environmental, health, economic, or social conditions within
these populations or communities. Examples of such communities have
historically included, but are not limited to, communities of color
(often referred to as ``minority'' communities), low-income
communities, Tribal and indigenous populations, and communities in the
United States that potentially experience disproportionate health or
environmental harms and risks as a result of greater vulnerability to
environmental hazards. Sensitive populations (e.g., infants and
children, pregnant women, the elderly, individuals with disabilities
exacerbated by environmental hazards) may also be most affected by and
vulnerable to the impacts of the plan or plan revision depending on the
pollutants or other factors addressed by an EG. An example of greater
vulnerability to environmental hazards more generally is populations
lacking the resources and representation to combat the effects of
climate change, which could include populations exposed to greater
drought or flooding, or damaged crops, food, and water supplies.
Tribal communities or communities in neighboring states may also be
impacted by a state plan and, if so, should be identified as pertinent
stakeholders. In addition, to the extent a designated facility would
qualify for a less stringent standard through consideration of RULOF as
described in section III.E.8 of this preamble, the state, must identify
and engage with the communities most affected by and vulnerable to the
health and environmental impacts from the designated facility
considered in a state plan for RULOF provisions. The EPA expects that
the inclusion of the definitions of meaningful engagement and pertinent
stakeholders in subpart Ba provide the States specificity around the
meaningful engagement requirement while allowing for flexibility in the
implementation of such requirements.
The requirement for meaningful engagement will ensure that states
share relevant information with and solicit input from pertinent
stakeholders at critical junctures during plan development, which helps
ensure that a plan is adequately addressing the potential impacts to
public health and welfare that are the core concern of CAA section 111.
Meaningful engagement can provide valuable information regarding health
and welfare impacts experienced by the public (e.g., reoccurring
respiratory illness, missed work or school days due to illness
associated with pollution, and other impacts) and allow regulatory
authorities to explore additional options to improve public health and
welfare. Because the CAA section 111(d) program is designed to address
widely varying types of air pollutants that may have very different
types of impacts, from highly localized to regional or global, ensuring
fair and balanced participation among a broad set of pertinent
stakeholders is critical. Early engagement is especially important for
those stakeholders directly impacted by a particular state plan. In
particular, the processes for meaningful engagement must allow for fair
and balanced participation and must allow communities most affected by
and vulnerable to the impacts of a plan an opportunity to be informed
of and weigh in on that plan.
The EPA's authority for proposing to strengthen the public
participation provisions by requiring meaningful engagement is provided
by the authority of both CAA sections 111(d) and 301(a)(1). Under CAA
section 111(d), one of the EPA's obligations is to promulgate a process
``similar'' to that of CAA section 110 under which states submit plans
that implement emission reductions consistent with the BSER. CAA
section 110(a)(1) requires states to adopt and submit SIPs after
``reasonable notice and public hearings.'' The Act does not define what
constitutes ``reasonable notice and public hearings'' under CAA section
110, and therefore the EPA may reasonably interpret this requirement in
promulgating a process under which states submit state plans.
Subpart Ba currently includes certain requirements for notice and
public hearing under 40 CFR 60.23a(c) through (f). The notice
requirements include prominent advertisement to the public of the date,
time, and place of the public hearing, 30 days prior to the date of
such hearing, and the advertisement requirement may be satisfied
through the internet. Id. at (d). A state may choose to cancel a public
hearing if no request for one is received during the required
notification period.
The EPA recognizes that a fundamental purpose of the Act's notice
and public hearing requirements is for all affected members of the
public, and not just a particular subset, to participate in pollution
control planning processes that impact their health and welfare.\25\
Accordingly, in order for a meaningful opportunity for the public to
participate in hearings over CAA section 111(d) state plans, the notice
of such hearings must be reasonably adequate in its ability to reach
affected members of the public. Many states provide for notification of
public engagement through the internet, however there cannot be a
presumption that such notification is adequate in reaching all those
who are impacted by a CAA section 111(d) state plan and would
[[Page 79192]]
benefit the most from participating in a public hearing. For example,
data shows that as many as 30 million Americans do not have access to
broadband infrastructure that delivers even minimally sufficient
speeds, and that 25 percent of adults ages 65 and older report never
going online.\26\ Examples of prominent advertisement for a public
hearing, in addition to notice through the internet, may include notice
through newspapers, libraries, schools, hospitals, travel centers,
community centers, places of worship, gas stations, convenience stores,
casinos, smoke shops, Tribal Assistance for Needy Families offices,
Indian Health Services, clinics, and/or other community health and
social services as appropriate for the emission guideline addressed.
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\25\ Consistent with this principle of providing reasonable
notice under the CAA, under programs other than CAA section 111(d),
the EPA similarly requires states to provide specific notice to an
area affected by a particular proposed action. See, e.g., 40 CFR
51.161(b)(1) requiring specific notice for an area affected by a
state or local agency's analysis of the effect on air quality in the
context of the New Source Review program; 40 CFR 51.102(d)(2), (4),
and (5) requiring specific notice for an area affected by a CAA
section 110 SIP submission.
\26\ FACT SHEET: Biden-Harris Administration Mobilizes Resources
to Connect Tribal Nations to Reliable, High-Speed internet (December
22, 2021). https://www.whitehouse.gov/briefing-room/statements-releases/2021/12/22/fact-sheet-biden-harris-administration-mobilizes-resources-to-connect-tribal-nations-to-reliable-high-speed-internet/; 7 percent of Americans don't use the internet. Who
are they? Pew Research Center (April 2, 2021), https://www.pewresearch.org/fact-tank/2021/04/02/7-of-americans-dont-use-the-internet-who-are-they/.
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Given the public health and welfare objectives of CAA section
111(d) in regulating specific existing sources, it is reasonable to
require meaningful engagement as part of the state plan development
public participation process in order to further these objectives.
Additionally, CAA section 301(a)(1) provides that the EPA is authorized
to prescribe such regulations ``as are necessary to carry out [its]
functions under [the CAA].'' The proposed meaningful engagement
requirement would effectuate the EPA's function under CAA section
111(d) in prescribing a process under which states submit plans to
implement the statutory directives of this section. Therefore, the EPA
is proposing additional meaningful engagement requirements in subpart
Ba to ensure that pertinent stakeholders have reasonable notice of
relevant information and the opportunity to participate in the state
plan development throughout the process.
During the state plan process, the EPA expects states to identify
the pertinent stakeholders, utilizing additional guidance that will be
provided by applicable EG. In particular, the EG will provide
information on impacts of designated pollutant emissions that EPA
expects will assist the states in the identification of their pertinent
stakeholders. As part of efforts to ensure meaningful engagement,
states will share information and solicit input on plan development and
on any accompanying assessments. This engagement will help ensure that
plans achieve the appropriate level of emission reductions, that
communities most affected by and vulnerable to the health and
environmental impacts from the designated facilities share in the
benefits of the state plan, and that these communities are protected
from being adversely impacted by the plan. In addition, the EPA
recognizes that emissions from the designated facilities could cross
state and/or Tribal borders, and therefore may affect communities in
neighboring states or Tribal lands. The EPA is soliciting comment on
the proposed definitions of pertinent stakeholders and of meaningful
engagement (Comment C-1) and on the proposed meaningful engagement
requirement (Comment C-2). The EPA is also soliciting comment on how
meaningful engagement should apply to pertinent stakeholders inside and
outside of the borders of the state that is developing a state plan,
for example if a state should coordinate with the neighboring state
and/or Tribes for outreach or directly contact the affected communities
(Comment C-3).
To ensure that a robust and meaningful public engagement process
occurs as the states develop their CAA section 111(d) plans, the EPA is
also proposing to amend the requirements in 40 CFR 60.27a(g) to include
as part of the completeness criteria the requirements for states to
demonstrate in their plan submittal how they provided meaningful
engagement with the pertinent stakeholders. The state would be required
to provide, in their plan submittal, evidence of meaningful engagement,
including a list of the pertinent stakeholders, a summary of engagement
conducted, and a summary of the stakeholder input provided. The EPA
would evaluate the states' demonstrations regarding meaningful public
engagement as part of its completeness evaluation of a state plan
submittal. If a state plan submission does not meet the required
elements for notice and opportunity for public participation, including
requirements for meaningful engagement, this may be grounds for the EPA
to find the submission incomplete or to disapprove the plan. The EPA is
soliciting comment on the proposed inclusion of meaningful engagement
in completeness criteria for state plan submission, (Comment C-4), as
well as requesting examples or models of meaningful engagement
performed by states, including best practices and challenges (Comment
C-5).
The EPA further notes that the implementing regulations allow a
state to request the approval of different state procedures for public
participation pursuant 40 CFR 60.23a(h). The EPA proposes to require
that such alternate state procedures do not supersede the meaningful
engagement requirements, so that a state would still be required to
comply with the meaningful participation requirements even if they
apply for a different procedure than the other public notice and
hearing requirements under 40 CFR 60.23a. The EPA is also proposing
under 40 CFR 60.23a(i)(1) that states may apply for, and the EPA may
approve, alternate meaningful engagement procedures if, in the
judgement of the Administrator, the procedures, although different from
the requirements of this subpart, in fact provide for adequate notice
to and meaningful participation of the public. The EPA is soliciting
comment on the distinction between request for approval of alternate
state procedures to meet public notice and hearing requirements from
those to meet meaningful engagement, and comment on the consideration
of request for approval of alternate meaningful engagement procedures
(Comment C-6).
D. Regulatory Mechanisms for State Plan Implementation
CAA section 111(d)(1) requires the EPA to promulgate regulations
that establish a procedure ``similar'' to that provided by CAA section
110 for each state to ``submit to [the EPA] a state plan which . . .
establishes standards of performance . . . and . . . provides for the
implementation and enforcement of such standards.'' The EPA reasonably
interprets this provision, particularly the ``similar'' clause, as
referring to all the procedural provisions provided in CAA section 110
which serve the same purposes of providing useful flexibilities for
states' and EPA's actions that help ensure emission reductions are
appropriately and timely implemented.
The EPA is proposing to incorporate five regulatory mechanisms as
amendments to the implementing regulations under 40 CFR part 60,
subpart Ba, governing the processes under which states submit plans and
the EPA acts on those plans. The regulatory mechanisms that are being
proposed in this action include: (1) partial approval and disapproval
of state plans by the EPA; (2) conditional approval of state plans by
the EPA; (3) parallel processing of plans by the EPA and states; (4) a
mechanism for a state plan call by the EPA of previously approved state
plan revisions; and (5) an error correction mechanism for the EPA to
revise its
[[Page 79193]]
prior action on a state plan.\27\ These mechanisms update the
implementing regulations to better align with the flexible procedural
tools that Congress added into section 110 of the CAA in the 1990
Amendments. The EPA is proposing to adopt and incorporate the
mechanisms into subpart Ba as the EPA has interpreted and applied them
in the context of CAA section 110.
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\27\ These regulatory mechanisms were proposed to be added to
subpart B in 2015 and largely received support from states, the
public, and stakeholders, but were never finalized. 80 FR 64965
(October 23, 2015).
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The interpretation that CAA section 111(d)(1) authorizes the EPA to
adopt procedures ``similar'' to those under CAA section 110 for the
overall state plan process, and not just the initial plan submission
process, is strengthened by the provisions in CAA section 111(d)(2),
which provide that the EPA has the ``same'' authority to enforce state
plan requirements as it does for SIPs under CAA sections 113 and 114,
and to promulgate a Federal plan for a state that has failed to submit
a satisfactory plan, as under CAA section 110(c). This is because, read
together, CAA section 111(d)(1) and (2) provide the set of essential
procedural requirements for state and Federal plans that generally
reflect the essential procedural requirements for SIPs and FIPs in
section 110.\28\ In that context, it is reasonable to read CAA section
111(d)(1) as authorizing the EPA to promulgate procedures for section
111(d) that are comparable to CAA section 110 procedures for the
overall state plan process, which is associated with those
requirements.
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\28\ Compare CAA section 111(d)(1) (requiring states to submit
state plans that include specified types of measures that, in turn,
meet minimum EPA requirements) and section 111(d)(2) (indicating
that the EPA must review and approve or disapprove state plans,
requiring the EPA to promulgate a Federal plan if the state does not
submit a satisfactory plan, authorizing the EPA to enforce state
plan measures) with section 110(a)(1)-(2) (requiring states to
submit SIPs that include specified types of measures that in turn
meet minimum EPA requirements), section 110(k) (requiring the EPA to
review and approve or disapprove SIPs), section 110(c) (requiring
the EPA to promulgate a FIP if the state does not submit a plan or
the EPA disapproves the state plan) and 113(a)(1) (authorizing the
EPA to enforce SIP measures).
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The availability of these five regulatory mechanisms would
streamline the state plan review and approval process, accommodate
variable state processes, facilitate cooperative federalism, further
protect public health and welfare, and generally enhance the
implementation of the CAA section 111(d) program. Together, these
mechanisms provide greater flexibility, reduce processing time, and
have proven to be very useful tools for the review and processing of
CAA section 110 SIPs. The EPA is seeking comment from all stakeholders
on the incorporation of these five proposed mechanisms into subpart Ba
(Comment D-1).
1. Partial Approval and Disapproval
The EPA is proposing a provision similar to that under CAA section
110(k)(3) for the EPA to partially approve and partially disapprove
severable portions of a state plan submitted under CAA section 111(d).
Under CAA section 110(k)(3), ``[i]f a portion of the plan revision
meets all the applicable requirements of this chapter, the
Administrator may approve the plan revision in part and disapprove the
plan revision in part. The plan revision shall not be treated as
meeting the requirements of this chapter until the Administrator
approves the entire plan revision as complying with the applicable
requirements of this chapter.'' Subpart Ba currently authorizes the EPA
to ``approve or disapprove [the state] plan or revision or each portion
thereof.'' (40 CFR 60.27a(b)). The EPA proposes to revise this
provision so that it is similar to CAA section 110(k)(3), providing
clarity on the EPA's authority to partially approve plans and the
circumstances under which it may be used.
Pursuant to this proposal, the EPA may partially approve or
partially disapprove a state plan when portions of the plan are
approvable, but a discrete, severable portion is not. In such cases,
the purposes of a CAA section 111(d) EG would be better served by
allowing the state to move forward with implementing those portions of
the plan that are approvable, rather than to disapprove the full plan.
This mechanism is consistent with the ALA decision's emphasis on
ensuring timely mitigation of harms to public health and welfare, as
problematic parts of a state plan submission would not stall the
implementation of emission reductions at designated facilities for
which a portion of a plan could be approved, thus efficiently reducing
the time from EG promulgation to implementation of emission reductions
at those facilities.
As proposed, the portion of a state plan that the EPA may partially
approve must be ``severable.'' A portion is severable when: (1) the
approvable portion of the plan does not depend on or affect the portion
of the plan that cannot be approved, and (2) approving a portion of the
plan without approving the remainder does not alter the approved
portion of a state plan in any way that renders it more stringent than
the state's intent. See Bethlehem Steel v. Gorsuch, 742 F.2d 1028, 1034
(7th Cir. 1984). The EPA's proposed decision to partially approve and
partially disapprove a plan must go through notice and comment
rulemaking. As a result, the public will have an opportunity to submit
comment on the appropriateness and legal application of this mechanism
on a particular state plan submission. A partial disapproval of a plan
submission would have the same legal effect as a full disapproval for
purposes of the EPA's authority under CAA section 111(d)(2)(A) to
promulgate, for the partially disapproved portion of the plan, a
Federal plan for the state. See section III.A.4 of this preamble for
proposed timelines for promulgation of a Federal plan. If the EPA does
promulgate a Federal plan for a partially disapproved portion, the
state may, at any time, submit a revised plan to replace that portion.
If the state does so, and the EPA approves the revised plan, then the
EPA would withdraw the Federal plan for that state.
This partial approval/disapproval mechanism also enables states to
submit, and authorizes the EPA to approve or disapprove, state plans
that are partial in nature and to address only certain elements of a
broader program. For example, with this mechanism, states would be able
to submit partial plans intended to replace discrete portions of a
Federal plan, where appropriate. As proposed, partial submittals must
meet all completeness criteria.
The EPA is soliciting comment on the reasonableness and
appropriateness of this proposed partial approval/disapproval mechanism
as described in this section (Comment D1-1).
2. Conditional Approval
The EPA is proposing a mechanism analogous to the authority under
CAA section 110(k)(4) to grant the EPA the ability to conditionally
approve a state plan under CAA section 111(d). Under CAA section
110(k)(4), ``[t]he Administrator may approve a plan revision based on a
commitment of the State to adopt specific enforceable measures by a
date certain, but not later than 1 year after the date of approval of
the plan revision. Any such conditional approval shall be treated as a
disapproval if the State fails to comply with such commitment.'' This
provision authorizes the EPA to conditionally approve a plan submission
that substantially meets the requirements of an EG but that requires
some additional, specified revisions to be fully
[[Page 79194]]
approvable. For the EPA to conditionally approve a submission, the
state Governor or their designee must commit to adopt and submit
specific enforceable provisions to remedy the stipulated plan
deficiency. The provisions required to be submitted by the state
pursuant to a conditional approval would be treated as an obligation to
submit a plan revision and be subject to the same processes and
timeframes for the EPA action as other plan revisions (e.g.,
completeness determination, approval and/or disapproval). The EPA
proposes that the state be required to commit to adopt and submit the
necessary revisions to the EPA no later than 1 year from the effective
date of the conditional approval.
As proposed, if the state fails to meet its commitment to submit
the measures within 1 year, the conditional approval automatically
converts to a disapproval. If a conditionally approved state plan
converts to a disapproval due to either the failure of the state to
submit the required measures or if the EPA finds the submitted measures
to be unsatisfactory, such disapproval would be grounds for
implementation of a Federal plan under CAA section 111(d)(2)(A). The
EPA will publish a notice in the Federal Register and, if appropriate,
on the public website established for the EG notifying the public that
the conditional approval is converted to a disapproval. As described in
section III.A.4 of this preamble, the EPA will promulgate a Federal
plan within 12 months of state's failure to submit the required
measures or the EPA's disapproval of measures submitted to address the
conditional approval.
Incorporating this mechanism under the implementing regulations for
CAA section 111(d) would have the benefit of allowing a state with a
substantially complete and approvable program to begin implementing it,
while also promptly making specific changes that ensure it fully meets
the requirements of CAA section 111(d) and of the applicable EGs.
The EPA solicits comment on this proposed mechanism, including the
timeframe for state adoption and submission of revisions to address the
deficiencies that serve as the basis for the conditional approval
(Comment D2-1), and the process and timing for promulgating a Federal
plan if approvable revisions are not submitted (Comment D2-2).
3. Parallel Processing
The EPA is proposing to include a mechanism similar to that for
SIPs under 40 CFR part 51 appendix V, section 2.3.1., for parallel
processing a plan that does not meet all of the administrative
completeness criteria under 40 CFR 60.27a(g)(2). This streamlined
process allows the EPA to propose approval of such a plan in parallel
with the state completing its process to fully adopt the plan in
accordance with the required administrative completeness criteria, and
then allows the EPA to finalize approval once those criteria have been
fully satisfied.
In order to parallel process a plan, the EPA proposes to require
that the state must meet the following requirements. The state must
submit the proposed plan with a letter requesting the EPA propose
approval through parallel processing in lieu of the letter required
under 40 CFR 60.27a(g)(2)(i). Further, a state would be temporarily
exempt from the administrative completeness criteria as defined by 40
CFR 60.27a(g)(2) regarding legal adoption of the plan (40 CFR
60.27a(g)(2)(ii) and (v)) and from public participation criteria (40
CFR 60.27a(g)(2)(vi), (vii), and (viii)), including the meaningful
engagement criteria proposed in this action (see III.C of this preamble
above, proposed at 40 CFR 60.27a(g)(2)(ix)), as appropriate. However,
as with parallel processing for SIPs under 40 CFR part 51 appendix V,
the EPA proposes to require that, in lieu of these administrative
criteria, the state must include a schedule for final adoption or
issuance of the plan and a copy of the proposed/draft regulation or the
document indicating the proposed changes to be made, where applicable.
Note that a proposed plan submitted for parallel processing must still
meet all the criteria for technical completeness as defined by 40 CFR
60.27a(g)(3) and meet all other administrative completeness criteria as
defined by 40 CFR 60.27a(g)(2). If these conditions are met, the
submitted plan may be considered for purposes of the EPA's initial plan
evaluation and proposed rulemaking action.
The exceptions to the administrative criteria described above only
apply to the EPA's proposed action. If the EPA has proposed approval
through parallel processing, the state must still submit a fully
adopted and final plan that meets all of the completeness criteria
under 40 CFR 60.27a(g) before the EPA can finalize its approval,
including the requirements for legal adoption and public engagement. If
the state finalizes and submits to the EPA a plan that includes changes
from the plan the EPA has proposed for approval under parallel
processing, the EPA will evaluate those changes for significance. If
any such changes are found by the EPA to be significant (e.g., changes
to the stringency or applicability of a particular standard of
performance), then the state submittal would be treated as an initial
submission and the EPA would be required to re-propose its action on
the final plan and to provide an opportunity for public comment.
Note further that once the state plan submission deadline passes,
the EPA retains the authority to initiate development of a Federal plan
at any time for a state that has not submitted a complete plan, even if
a state has requested parallel processing and the EPA has proposed an
action. The EPA intends to continue working collaboratively with states
who are in the process of adopting and submitting state plans but notes
that states must remain mindful of regulatory deadlines for CAA section
111(d) plan submissions even when seeking to use the parallel
processing mechanism.
The EPA is requesting comment on the reasonableness of its proposal
to add a parallel processing mechanism to subpart Ba (Comment D3-1),
including the conditions under which a state may request parallel
processing (Comment D3-2) and the conditions under which the EPA may
allow for parallel processing (Comment D3-3).
4. State Plan Call
Under CAA section 110(k)(5), the EPA may call for a revision of a
state plan ``[w]henever the Administrator finds that the . . . plan . .
. is substantially inadequate to . . . comply with any requirement of
[the Act].'' The EPA is proposing to add a mechanism analogous to this
``SIP call'' provision to subpart Ba under CAA section 111(d) which
would authorize the EPA to find that a previously approved state plan
does not meet the applicable requirements of the CAA or of the relevant
EG and to call for a plan revision. This mechanism is a useful tool for
ensuring that state plans continue to meet the requirements of the EGs
and of the CAA over time. This is particularly important because EGs
that achieve emission reductions from specific source categories may be
implemented over many years.
The proposed state plan call mechanism would permit EPA to require
a state to submit a revised state plan whenever it finds an approved
CAA section 111(d) plan is ``substantially inadequate'' to comply with
applicable requirements of the statute, the implementing regulations,
and/or the applicable EG. The EPA finds that a plan call would be
generally appropriate under two circumstances.
[[Page 79195]]
The first is when legal or technical conditions arise after the EPA's
approval of a state plan that undermines the basis for the approval.
Under these conditions, the approved plan could be considered
substantially inadequate and require revision to align with current
conditions. For example, a court decision subsequent to the approval of
a plan may render that plan substantially inadequate to meet applicable
requirements resulting from the change in law.\29\ Additionally, the
EPA may determine that technical conditions, such as design
assumptions, about control measures that were the basis for a state
plan approval later prove to be inaccurate, meaning that the plan would
be substantially inadequate to achieve the emission reductions required
by the EG and therefore the plan should be revised.\30\ In response to
a state plan call under such legal or technical circumstances, a state
would be required to submit a plan revision so that the state plan is
substantially adequate to meet applicable requirements, such as by
updating a provision affected by a court decision or by revising
control measures to achieve the required emission reductions.
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\29\ An example of this circumstance in the context of CAA
section 110 is the 2015 ``SSM SIP Call'', which required states to
correct previously approved SIP provisions based on subsequent court
decisions regarding startup, shutdown, and malfunctions (SSM)
operations. 80 FR 33840, June 12, 2015.
\30\ For example, the 1998 ``NOX SIP call'' required
states to submit SIP revisions addressing NOX emissions
found, after SIP approvals, to significantly impact the attainment
of air quality standards in other states due to atmospheric
transport. 63 FR 57356, October 27, 1998.
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The second circumstance under which the EPA could apply the state
plan call mechanism is when a state fails to adequately implement an
approved state plan. In this case, the approved state plan facially
meets all applicable requirements, but a failure in implementation
(e.g., due to changes in available funding, resources, or legal
authority at the state level) renders the plan substantially inadequate
to meet the requirements of the EG and CAA section 111(d). In this
circumstance, a state, in response to a plan call, would either be
required to submit a plan revision that aligns with the state's actual
implementation of the plan or to provide demonstration that the plan is
being adequately implemented as approved.
Under the proposed state plan call provision, consistent with the
SIP call process under CAA section 110(k)(5), after the EPA finds that
a state's approved section 111(d) plan is substantially inadequate to
comply with applicable requirements, the EPA shall publish notice of
its finding in the Federal Register. The plan call notice will identify
the plan inadequacies leading to the plan call and establish reasonable
deadlines for submission of plan revisions and/or for demonstration of
appropriate implementation of the approved plan.\31\
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\31\ If the EPA has promulgated a Federal plan to implement an
EG that does not contain the deficiency, a potential corrective
action could include a plan revision to adopt the Federal plan.
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The EPA is further proposing to require that any deadline it
establishes for the submission of a state plan revision shall not
exceed 12 months after the date of the call for plan revisions. The EPA
proposes to determine that, while this period is less than the time
allotted for the submission of a full state plan (proposed in III.A.1
of this preamble above as 15 months), it provides a reasonable
timeframe for public outreach and state processes while ensuring the
deficiency is expeditiously corrected to address any outstanding public
health and welfare concerns associated with a deficient plan,
consistent with the ALA decision. The deadline for submission of state
plan revisions to address the identified inadequacies will start when
notice of the action is published in the Federal Register.
Any failure of a state to submit necessary revisions by the date
set in the call for state plan revisions constitutes a failure to
submit a required plan submission. Therefore, pursuant to CAA section
111(d)(2)(A), the EPA would have the authority to promulgate a Federal
plan for the state within 12 months, as proposed in section III.A.4 of
this preamble, after the necessary revisions are due. If the state
fails to submit a plan revision, to make an adequate demonstration
within the prescribed time, or if the EPA disapproves a submission,
then the EPA will promulgate a Federal plan addressing the deficiency
for sources within that state.\32\
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\32\ If the EPA has promulgated a Federal plan to implement an
EG that does not contain the deficiency, the EPA could apply the
existing Federal plan to the state if appropriate.
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The EPA solicits comment on the proposed state plan call mechanism
as described in this section (Comment D4-1), including the
circumstances of use (Comment D4-2), the process of notification
(Comment D4-3), and the proposed maximum deadline for submission of
plan revisions (Comment D4-4).
5. Error Correction
Under CAA section 110(k)(6), the EPA may, on its own, revise its
prior action on a state plan under certain circumstances: ``[w]henever
the Administrator determines that the Administrator's action approving,
disapproving, or promulgating any plan or plan revision (or part
thereof) . . . was in error, the Administrator may in the same manner
as the approval, disapproval, or promulgation revise such action as
appropriate without requiring any further submission from the State.''
The EPA is proposing to add a mechanism analogous to this `error
correction' provision to subpart Ba under CAA section 111(d).
This error correction provision would authorize the EPA to revise
its prior action when the EPA determines its own action on the state
plan was in error. Specifically, this provision would allow the EPA to
revise its prior action in the same manner as used for the original
action (e.g., through rulemaking) without requiring any further
submissions from the state. In this manner, the proposed error
correction mechanism does away with unnecessary burdens on states to
respond to an error made by the EPA, such as submitting a plan revision
and the public participation related requirements under 40 CFR 60.23a
(e.g., providing notice and holding a public hearing).
CAA section 110(k)(6) is phrased broadly, and its legislative
history makes clear that it ``explicitly authorizes EPA on its own
motion to make a determination to correct any errors it may make in
taking any action, such as . . . approving or disapproving any plan.''
See House Report No. 101-490 at 220. The circumstances that may give
rise to an error that the EPA may correct with this mechanism depend on
the specific facts and plan at issue, and the use of the mechanism is
more appropriately justified on a case-by-case basis. The EPA has
previously used CAA section 110(k)(6) for correction of technical or
clerical errors,\33\ for removal of substantive provisions from an EPA-
approved state plan that did not relate to attainment of the NAAQS or
other CAA program,\34\ and when EPA, in error and without knowledge,
approved a SIP that did not meet applicable requirements at the time of
[[Page 79196]]
approval.\35\ These examples are not the only circumstances when the
EPA has used CAA section 110(k)(6) in the past and do not limit the EPA
for circumstances of error correction under section 111(d) in the
future.
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\33\ For example, see 74 FR 57051, November 3, 2009, for
correction of clerical and typographical errors in a portion of an
Arizona SIP.
\34\ For example, see 85 FR 73636, November 19, 2020, for
removal of an air pollution nuisance rule from an Ohio SIP and 86 FR
24505, May 7, 2021, for removal of asbestos requirements from a
Kentucky SIP.
\35\ For example, see 86 FR 23054, April 30, 2021, for error
correction with respect to Kentucky's ``good neighbor obligations''
and SIP disapproval.
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While the EPA maintains that this proposed error mechanism would be
available for acting on state plans when appropriate, the EPA expects
that it will work with states, as it has done previously in the SIP
context, to correct any deficiencies in their plans. The EPA is
soliciting comment on this error correction mechanism (Comment D5-1)
and the conditions under which it may be applied (Comment D5-2). The
EPA is seeking comment on these five proposed mechanisms from all
stakeholders.
E. Remaining Useful Life and Other Factors (RULOF) Provisions
The EPA is proposing revisions to 40 CFR 60.24a(e) in order to
provide clear requirements for the consideration of RULOF in state
plans that propose to set a less stringent standard for a particular
source.\36\ This provision currently allows states to consider RULOF to
apply a less stringent standard of performance for a designated
facility or class of facilities if they demonstrate one of the three
following circumstances: unreasonable cost of control resulting from
plant age, location, or basic process design; physical impossibility of
installing necessary control equipment; or other factors specific to
the facility (or class of facilities) that make application of a less
stringent standard or final compliance time significantly more
reasonable. The implementing regulations also specify that, absent such
a demonstration, the state's standards of performance must be ``no less
stringent than the corresponding'' EG. 40 CFR 60.24a(c). This proposal
would largely retain this provision, including the three circumstances
under which a less stringent standard of performance may be applied,
and provide further clarification of what a state must demonstrate in
order to invoke RULOF when submitting a state plan. Specifically, the
proposal would require the state to demonstrate that a particular
facility cannot reasonably achieve the degree of emission limitation
achievable through application of the BSER, based on one or more of the
three circumstances. The EPA is also proposing to clarify the third
circumstance by specifying that a state may apply a less stringent
standard if the state demonstrates, to the EPA's satisfaction, that
factors specific to the facility are fundamentally different than those
considered by the EPA in determining the BSER.
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\36\ The court's vacatur in ALA did not impact 40 CFR 60.24a(e).
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Section III.E.1 of this preamble describes the statutory and
regulatory background, and section III.E.2 of this preamble explains
the agency's rationale for its revisions. Sections III.E.3-8 of this
preamble describe further proposed additions to the RULOF provision in
cases where states seek to apply a standard that is less stringent than
the degree of emission limitation achievable through application of the
BSER. These proposed additions include requirements for the calculation
of a less stringent standard, contingency requirements in cases where
an operating condition is the basis for RULOF, and the consideration of
impacted communities. Finally, section III.E.9 of this preamble
describes proposed revisions to address cases where states seek to
apply a more stringent standard.
1. Statutory and Regulatory Background
Under CAA section 111(d), the EPA is required to promulgate
regulations under which states submit plans establishing standards of
performance for designated facilities. While states establish the
standards of performance, there is a fundamental obligation under CAA
section 111(d) that such standards reflect the degree of emission
limitation achievable through the application of the BSER, as
determined by the EPA. As previously described, this obligation derives
from the definition of ``standard of performance'' under CAA section
111(a)(1). The EPA identifies the degree of emission limitation
achievable through application of the BSER as part of its EG. 40 CFR
60.22a(b)(5). While standards of performance must generally reflect the
degree of emission limitation achievable through application of the
BSER, CAA section 111(d)(1) also requires that the EPA regulations
permit the states, in applying a standard of performance to a
particular designated facility, to take into account the designated
facility's RULOF.
The 1970 version of CAA section 111(d) made no reference to the
consideration of RULOF in the context of standards for existing
sources. In the 1975 regulations promulgating subpart B, however, the
EPA included a so-called variance provision. For health-based
pollutants, states could apply a standard of performance less stringent
than the EPA's EGs based on cost, physical impossibility, and other
factors specific to a designated facility that make the application of
a less stringent standard significantly more reasonable. 40 CFR
60.24(f). For welfare-based pollutants, states could apply a less
stringent standard by balancing the requirements of an EG ``against
other factors of public concern.'' 40 CFR 60.24(d). As part of the 1977
CAA amendments, Congress amended CAA section 111(d)(1) to require that
the EPA's regulations under this section ``shall permit the State in
applying a standard of performance to any particular source under a
plan submitted under this paragraph to take into consideration, among
other factors, the remaining useful life of the existing source to
which such standard applies.'' At the time, the EPA considered the
variance provision under subpart B to meet this requirement and did not
revise the provision subsequent to the 1977 CAA amendments until
promulgating new implementing regulations in 2019 under subpart Ba. As
part of the 2019 revisions, the EPA removed the health and welfare-
based pollutants distinction and collapsed the associated requirements
of the previous variance provision into a single, new RULOF provision.
40 CFR 60.24a(e).\37\
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\37\ Petitioners did not challenge, and the court in ALA did not
vacate, the new RULOF provision under 40 CFR 60.24a(e).
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2. Rationale for the Proposed Revisions
As previously described, the statute expressly requires the EPA to
permit states to consider RULOF for a particular designated facility
when applying a standard of performance to that facility. The
consideration of remaining useful life in particular can be an
important consideration, as the cost of control for a specific
designated facility that is expected to cease operations in the near
term could significantly vary from the average cost calculations done
as part of the BSER determination for the source category as a whole.
In such an instance, and in others as described throughout section
III.E of this preamble, a less stringent standard may be justifiable in
lieu of a standard of performance that reflects the presumptive level
of stringency. However, as currently written, the RULOF provision in
subpart Ba does not provide clear parameters for states on how and when
to apply a standard less stringent than the presumptive level of
stringency given in an EG to a particular source.
As written, the references to reasonableness in this provision are
potentially subject to widely differing interpretations and
inconsistent
[[Page 79197]]
application among states developing plans, and by the EPA in reviewing
them. Without a clear analytical framework for applying RULOF, the
current provision may be used by states to set less stringent standards
such that they could effectively undermine the overall presumptive
level of stringency envisioned by the EPA's BSER determination and
render it meaningless. Such a result is contrary to the overarching
purpose of CAA section 111(d), which is generally to require meaningful
emission reductions from designated facilities based on the BSER in
order to mitigate pollution which endangers public health or welfare.
Additionally, while states have discretion to consider RULOF under
CAA section 111(d), it is the EPA's responsibility to determine whether
a state plan is ``satisfactory,'' \38\ which includes evaluating
whether RULOF was appropriately considered. The relevant dictionary
meaning of ``satisfactory'' is ``fulfilling all demands or
requirements.'' The American College Dictionary (``ACD'') 1078 (C.L.
Barnhart, ed. 1970). In addition to the requirements of the applicable
emission guideline, state plans must be consistent with the underlying
statutory purpose of mitigating the air pollution emissions which
endanger public health or welfare. Thus, the most reasonable
interpretation of a ``satisfactory plan'' is a CAA section 111(d) plan
that meets the applicable conditions or requirements, which means that
the EPA must assess a state's application of RULOF to determine whether
it meets the regulatory requirements and whether the state employed
RULOF in a manner that supports the statutory purpose. That is, the EPA
must determine both whether the plan meets the requirements of the
particular emission guideline, as well as meets the requirements of the
implementing regulations that the EPA is directed to promulgate
pursuant to CAA section 111(d).\39\
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\38\ CAA section 111(d)(2)(A) authorizes the EPA to promulgate a
Federal plan for any state that ``fails to submit a satisfactory
plan'' establishing standards of performance under section
111(d)(1). Accordingly, the EPA interprets ``satisfactory'' as the
standard by which the EPA reviews state plan submissions.
\39\ Although there is no case law specifically on the standard
of review of a section 111(d)(1) state plan or the EPA's duty to
approve satisfactory plans, the EPA's action on a 111(d)(1) state
plan is structurally identical to the EPA's action on a SIP. Under
section 110(k)(3), EPA must approve a SIP that meets all
requirements of the Act. See Train v. NRDC, 421 U.S. 60 (1975)
(discussing the 1970 version of the Act); Virginia v. EPA, 108 F.3d
1397, 1408-10 (D.C. Cir. 1995) (discussing the 1970, 1977, and 1990
versions).
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The EPA's determination of whether each plan is ``satisfactory'',
including the application of RULOF, must be generally consistent from
one plan to another. If the states do not have clear parameters for how
to consider RULOF when applying a standard of performance to a
designated facility, then they face the risk of submitting plans that
the EPA may not be able to consistently approve as satisfactory. For
example, under the current broadly structured provision, two states
could consider RULOF for two identically situated designated facilities
and apply completely different standards of performance on the basis of
the same factors. In this example, it may be difficult for the EPA to
substantiate finding both plans satisfactory in a consistent manner,
and the states and sources risk uncertainty as to whether each of the
differing standards of performance would be approvable. Accordingly,
providing a clear analytical framework for the invocation of RULOF will
provide regulatory certainty for states and the regulated community as
they seek to craft satisfactory plans that EPA can ultimately approve.
Notably, CAA section 111(d) does not require states to consider
RULOF, but rather requires that the EPA's regulations ``permit'' states
to do so. In other words, the EPA must provide states with the ability
to account for RULOF, but states may instead choose to establish a
standard of performance that is the same as the presumptive level of
stringency set forth in the EGs. The optionality, rather than mandate,
for states to account for RULOF further supports the notion that this
provision is not intended to undermine the presumptive level of
stringency in an EG for the source category broadly. The EPA is not
aware of any CAA section 111(d) EGs under which an EPA-approved state
plan has previously considered RULOF to apply a standard of performance
that deviates from the presumptive level of stringency. Clarifying
parameters may better enable states to effectively use this provision
in developing their state plans without undermining the overall purpose
of CAA section 111 to mitigate pollution which endangers public health
or welfare.
For these reasons, the EPA is proposing to revise the RULOF
provision under subpart Ba, consistent with the statutory construct and
goals of CAA section 111(d), in order to provide states and sources
with clarity regarding the requirements that apply to the development
and approvability of state plans that consider RULOF when applying a
standard of performance to a particular designated facility. The
following describes the guiding principles for the EPA's proposed
revisions.
CAA section 111(a)(1) requires that the EPA determine the BSER is
``adequately demonstrated'' for the regulated source category. In
determining whether a given system of emission reduction qualifies as
BSER, CAA section 111(a)(1) requires that the EPA take into account
``the cost of achieving such reduction and any non-air quality health
and environmental impact and energy requirements.'' The EPA's proposed
revisions to clarify the RULOF provision do so by tethering the states'
RULOF demonstration to the statutory factors the EPA considered in the
BSER determination. This is appropriate under the statute because the
EPA will have demonstrated that the BSER identified in the EG is
``adequately demonstrated'' as achievable for sources broadly within
the source category. Therefore, RULOF is appropriately applied to
permit states to address instances where the application of the BSER
factors to a particular designated facility is fundamentally different
than the determinations made to support the BSER and presumptive level
of stringency in the EG. For example, the D.C. Circuit has stated that
to be ``adequately demonstrated,'' the system must be ``reasonably
reliable, reasonably efficient, and . . . reasonably expected to serve
the interests of pollution control without becoming exorbitantly costly
in an economic or environmental way.'' Essex Chem. Corp. v.
Ruckelshaus, 486 F.2d 427, 433 (D.C. Cir. 1973). The court has further
stated that the EPA may not adopt a standard in evaluating cost that
would be ``exorbitant,'' \40\ ``greater than the industry could bear
and survive,'' \41\ ``excessive,'' \42\ or ``unreasonable.'' \43\ These
formulations use reasonableness in light of the statutory factors as
the standard in evaluating cost, so that a control technology may be
considered the ``best system of emission reduction . . . adequately
demonstrated'' if its costs are reasonable (i.e., not exorbitant,
excessive, or greater than the industry can bear), but cannot be
considered the BSER if its costs are unreasonable. Similarly, in making
the BSER
[[Page 79198]]
determination, the EPA must evaluate whether a system of emission
reduction is ``adequately demonstrated'' for the source category based
on the physical possibility and technical feasibility of control. Under
this construct, it naturally follows that most designated facilities
within the source category should be able to implement the BSER at a
reasonable cost to achieve the presumptive level of stringency, and
that RULOF will be justifiable only for a subset of sources for which
implementing the BSER would impose unreasonable costs or not be
feasible due to unusual circumstances that are not applicable to the
broader source category that the EPA considered when determining the
BSER.\44\
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\40\ Lignite Energy Council v. EPA, 198 F.3d 930, 933 (D.C. Cir.
1999).
\41\ Portland Cement Ass'n v. EPA, 513 F.2d 506, 508 (D.C. Cir.
1975).
\42\ Sierra Club v. Costle, 657 F.2d 298, 343 (D.C. Cir. 1981).
\43\ Sierra Club v. Costle, 657 F.2d 298, 343 (D.C. Cir. 1981).
\44\ This construct is also supported by CAA section 111(d) use
of the term ``establishing'' in directing states to create and set
standards of performance. As previously described, ``standard of
performance'' is defined under CAA section 111(a)(1) as reflecting
the degree of emission limitation achievable through application of
the BSER, which sets the initial parameters for development of the
standards of performance by states. The statute does not provide
that states may account for RULOF in ``establishing'' standards of
performance in the first instance, but permits states to do so in
``applying'' such standards to a particular source.
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The proposed revisions to the regulatory RULOF provision, as
described in section III.E. 3-8 of this preamble, are also consistent
with how the EPA has approached RULOF in the implementing regulations
previously. Subparts B and Ba both currently contain the same three
circumstances for when states may account for RULOF, and reasonableness
in light of the statutory criteria is an element of all three
circumstances. Under those subparts as currently written, states may
consider RULOF if they can demonstrate unreasonable cost of control,
physical impossibility of control, or other factors that make
application of a less stringent standard ``significantly more
reasonable.'' 40 CFR 60.24(f) and 60.24a(e). The EPA's proposal retains
the first circumstance in whole and revises the second one to add
``technical infeasibility'' of installing a control as a situation
where application of consideration of RULOF may be appropriate. The
proposal further clarifies the third catch-all circumstance, which the
first two circumstances also fall under, by specifying that states may
consider RULOF to apply a less stringent standard if factors specific
to a facility are fundamentally different from the factors considered
in the determination of the BSER in an EG. The proposed clarification
of this third criteria provides parameters for states and the EPA in
developing and assessing state plans, as this criteria was previously
vague and potentially open-ended as to the circumstances under which
states could consider RULOF.
The ``fundamentally different'' standard, which undergirds all
three circumstances, is also consistent with other variance provisions
that courts have upheld for environmental statutes. For example, in
Weyerhaeuser Co. v. Costle, 590 F.2d 1011 (D.C. Cir. 1978), the court
considered a regulatory provision promulgated under the Clean Water Act
(CWA) that permitted owners to seek a variance from the EPA's national
effluent limitation guidelines under CWA sections 301(b)(1)(A) and
304(b)(1). The EPA's regulation permitted a variance where an
individual operator demonstrates a ``fundamental difference'' between a
CWA section 304(b)(1)(B) factor at its facility and the EPA's
regulatory findings about the factor ``on a national basis.'' Id. at
1039. The court upheld this standard as ensuring a meaningful
opportunity for an operator to seek dispensation from a limitation that
would demand more of the individual facility than of the industry
generally, but also noted that such a provision is not a license for
avoidance of the Act's strict pollution control requirements. Id. at
1035.
For the reasons described in this section, the EPA is proposing to
clarify the existing RULOF provision under 40 CFR 60.24a(e) by: (1)
revising the threshold requirements for consideration of RULOF; (2)
adding requirements for calculating a less stringent standard
accounting for RULOF; (3) adding requirements for consideration of
communities most affected by and vulnerable to the health and
environmental impacts from the designated facilities being addressed;
and (4) adding requirements for the types of information and evidence
the states must provide to support the invocation of RULOF in a state
plan. The EPA solicits comment on the proposed revisions described in
the following sections (Comment E2-1), including the use of the BSER
factors as a framework governing the invocation and application of the
RULOF provision (Comment E2-2). The EPA notes a specific EG may provide
additional requirements or supersede the requirements of the
implementing regulations. 40 CFR 60.20a(a)(1). This extends to any
requirements of the RULOF provision, as the EPA cannot necessarily
anticipate the appropriate and potentially unique implementation needs
for every future EG. The EPA solicits comment on the circumstances
under which it would be appropriate for an EG to provide additional
requirements or supersede the requirements of these proposed revisions
to the RULOF provision (Comment E2-3).
The EPA also solicits comment about whether, instead of
establishing firm requirements for the application of RULOF, the EPA
should instead consider establishing a framework, consistent with the
proposed requirements in the following discussion, pursuant to which
state plans would be considered presumptively approvable (Comment E2-
4). In this scenario, states would have certainty regarding what type
of demonstration the EPA would find satisfactory as they develop their
plans, but states could also submit an alternative RULOF demonstration
for the EPA's consideration. In the latter case, states would bear the
burden of proving to the EPA that they have proposed a satisfactory
alternative analysis and standard, considering all factors relevant to
addressing emissions from the source or sources at issue. The EPA also
solicits comment on what different approaches might be appropriate for
a state in applying RULOF to a particular source and that the EPA
should consider in determining whether to finalize the provisions
discussed below, either as requirements or as presumptions (Comment E2-
5).
Note that the EPA considers the proposed RULOF provisions to apply
in circumstances distinct from the flexible compliance mechanisms, such
as trading and averaging, discussed in section III.G.1 of this
preamble. In other words, these provisions would apply where a state
intends to depart from the presumptive standards in the EG and propose
a less stringent standard for a designated facility (or class of
facilities), and not where a state intends to comply by demonstrating
that a facility or group of facilities subject to a state program
would, in the aggregate, achieve equivalent or better reductions than
if the state instead imposed the presumptive standards required under
the EG at individual designated facilities.
3. Threshold Requirements for Considering Remaining Useful Life and
Other Factors
Under the existing RULOF provision in subpart Ba, 40 CFR 60.24a(e),
a state may only account for RULOF in applying a standard of
performance provided that it makes a demonstration based on one of
three criteria. These criteria are: (1) unreasonable cost of control
resulting from plant age,
[[Page 79199]]
location, or basic process design; (2) physical impossibility of
installing necessary control equipment; or (3) other factors specific
to the facility (or class of facilities) that make application of a
less stringent standard or final compliance time significantly more
reasonable. However, the existing version of this provision in subpart
Ba provides no further guidance on what constitutes reasonableness or
unreasonableness for these demonstrations. The EPA proposes to clarify
this provision by revising it to require that in order to account for
RULOF in applying a less stringent standard of performance to a
designated facility, a state must demonstrate that the designated
facility cannot reasonably apply the BSER to achieve the degree of
emission limitation determined by the EPA because it entails (1) an
unreasonable cost of control resulting from plant age, location, or
basic process design; (2) physical impossibility or technical
infeasibility of installing necessary control equipment; or (3) other
circumstances specific to the facility (or class of facilities) that
are fundamentally different from the information considered in the
determination of the BSER in the emission guidelines.\45\ The first
criterion remains the same as under the existing RULOF provision in 40
CFR 60.24a(e). For the second criterion, the EPA is proposing to add a
reference to technical infeasibility, as a similar yet distinct factor
from that of physical impossibility of control. Finally, the EPA is
proposing to revise the third criterion by referring to any
circumstances at a specific designated facility that are
``fundamentally different from the information [the EPA] considered in
the determination of the best system of emission reduction'', rather
than the current regulation, which applies to factors ``that make
application of a less stringent standard or final compliance time
significantly more reasonable.'' This revision to the third criterion
will ensure that application of RULOF is akin to the types of
circumstances anticipated by the first two criteria and consistent with
the statutory construct of CAA section 111(d), as further described
below, rather than based on subjective criteria that is untethered to
the statute and that could result in widely diverging and potentially
arbitrary application by states.
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\45\ States may also account for RULOF when applying standards
of performance to a class of designated facilities. For purposes of
administrative efficiency, a state may be able to calculate a
uniform standard of performance that accounts for RULOF using a
single set of demonstrations to meet the proposed requirements
described in this section if the group of sources has similar
characteristics.
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The EPA proposes to require that, in order to demonstrate that a
designated facility cannot reasonably meet the presumptive level of
stringency based on one of these three criteria, the state must show
that implementing the BSER is not reasonable for the designated
facility due to fundamental differences between the factors the EPA
considered in determining the BSER, such as cost and technical
feasibility of control, and circumstances at the designated facility.
Per the requirements of CAA section 111(a)(1), the EPA determines
the BSER by first identifying control methods that it considers to be
adequately demonstrated, and then determining which are the best
systems by evaluating (1) the cost of achieving such reduction, (2)
health and environmental impacts, (3) energy requirements, (4) the
amount of reductions, and (5) advancement of technology. So, for
example, if the EPA applied a specific dollar-per-ton threshold in
determining the BSER, the state would be required to show that the cost
of implementing the BSER in order to achieve the presumptive level of
stringency at a particular designated facility is unreasonably high
relative to the EPA's cost threshold applied in the EG. Or, by way of
further example, if the EPA were to determine that a specific back-end
control technology at a 95 percent reduction in emissions of a specific
pollutant is the BSER for a source category, a state could evaluate
whether it would be physically possible to install that control
technology at a designated facility given the size and physical
constraints needed to install it. If the state could show that the
cost-per-ton was significantly higher at a specific designated facility
or that a specific designated facility does not have adequate space to
reasonably accommodate the installation, that designated source may be
evaluated for a less stringent standard because of the consideration of
RULOF. Requiring states to hew to the same types of factors and
analyses considered in the EPA's BSER determination in making the
demonstration that the BSER is not reasonable to implement at a
particular designated facility is consistent with the statutory
construct that defines RULOF as a limited exception to the level of
stringency otherwise required by the BSER.
In examining the factors that the EPA considered in determining the
BSER and how they apply to a specific facility, states may not invoke
RULOF based on minor, non-fundamental differences. There could be
instances where a designated facility may not be able to comply with
the level of stringency required by the EG based on the precise metrics
of the BSER determination but is able to do so within a reasonable
margin. For example, if the EPA determined a BSER based on a cost-
effectiveness threshold of $500/ton, it would not be reasonable for a
state to apply the RULOF provision to propose a less stringent standard
for a designated facility that can meet the standard of performance at
a slightly higher cost, such as $525/ton. There might also be instances
where the EPA determines the BSER for a source category as a particular
technology, but a particular designated facility does not currently
have the capability to implement that technology, and it would be cost
prohibitive to gain that capability. However, if that designated
facility has the ability instead to reasonably install a different,
non-BSER technology to achieve the presumptive level of stringency, the
designated facility would not be eligible for a less stringent standard
that accounts for RULOF. The EPA notes the examples described here are
meant to be illustrative hypotheticals and are not determinative of
whether state plans that include similar scenarios would be approvable
under a specific EG.
The EPA acknowledges that what is considered reasonable in light of
the statutory factors is a fact-specific inquiry based on the source
category and pollutant that is being regulated pursuant to a particular
EG, and that the EPA cannot anticipate and address all circumstances
that may arise in these general implementing regulations. Thus, the EPA
may consider additional factors and establish additional requirements
governing the consideration of RULOF, including what deviations from
the presumptive standard may be considered reasonable, in a particular
EG.
The EPA solicits comment on the proposal to require states to
demonstrate, as a threshold matter when determining whether a state may
account for RULOF in order to set a less stringent standard, that the
designated facility cannot reasonably apply the BSER to achieve the
presumptive level of stringency determined by the EPA (Comment E3-1).
The EPA further solicits comment whether other considerations should
inform the circumstances under which the EPA should permit RULOF to be
used to set a less stringent standard for a particular source (Comment
E3-2).
[[Page 79200]]
4. Calculation of a Standard Which Accounts for Remaining Useful Life
and Other Factors
If a state has made the proposed demonstration that accounting for
RULOF is appropriate for a particular designated facility, the state
may then apply a less stringent standard. The current RULOF provision
in subpart Ba is silent as to how a less stringent standard should be
calculated, raising the potential for inconsistent application of this
provision across states and the potential for the imposition of a
standard less stringent than what would be reasonably achievable by a
designated facility. In order to fill this gap and ensure the integrity
of the CAA section 111(d) program, the EPA is proposing several
requirements that would apply for the calculation of a standard of
performance that accounts for RULOF. The proposed requirements
described in this section are designed to provide a framework for the
state's analysis in evaluating and identifying a less stringent
standard, and in doing so would prevent the application of a standard
that is less stringent than what is otherwise reasonably achievable by
a particular designated facility, while remaining general in order to
account for possible differences across source categories and
designated facilities that may be addressed by specific EGs.
The EPA is first proposing to require that the state determine and
include, as part of the plan submission, a source-specific BSER for the
designated facility. As described previously, the statute requires the
EPA to determine the BSER by considering control methods that it
considers to be adequately demonstrated, and then determining which are
the best systems by evaluating (1) the cost of achieving such
reduction, (2) health and environmental impacts, (3) energy
requirements, (4) the amount of reductions, and (5) advancement of
technology. To be consistent with this statutory construct, the EPA
proposes that in determining a less stringent BSER for a designated
facility, a state must also consider all these factors in applying
RULOF for that source.
Specifically, the state in its plan submission must identify all
control technologies available for the source and evaluate the BSER
factors for each technology, using the same metrics and evaluating them
in the same manner as the EPA did in developing the EG using the five
criteria noted above.\46\ For example, if the EPA evaluated capital
costs as part of its cost analysis in setting the BSER, the state must
do the same in evaluating a control technology for an individual
designated facility, rather than selecting a different cost metric. The
state must then calculate the emission reductions that applying the
source-specific BSER would achieve and select the standard which
reflects this degree of emission limitation. This standard must be in
the form or forms (e.g., numerical rate-based emission standard) as
required by the specific EG. The EPA notes there may be cases where a
state determines that a designated facility cannot reasonably implement
the BSER but can instead reasonably implement another control measure
to achieve the same level of stringency required by an EG. In such
cases, the standard of performance that reflects the source-specific
BSER would be the same level of stringency as the degree of emission
limitation achievable through application of the EPA's BSER.
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\46\ To the extent that a state seeks to apply RULOF to a class
of facilities that the state can demonstrate are similarly situated
in all meaningful ways, the EPA proposes to permit the state to
conduct an aggregate analysis of these factors for the entire class.
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The EPA solicits comment on these proposed requirements for the
calculation and form or forms of the less stringent standard that
accounts for remaining useful life and other factors (Comment E4-1).
The EPA believes that the five identified BSER factors generally
address all relevant information that states would reasonably consider
in evaluating the emission reductions reasonably achievable for a
designated facility. Moreover, the EPA considers that these factors
provide states with the discretion to weigh these factors in
determining the BSER and establishing a reasonable standard of
performance for the source. However, the EPA solicits comments on
whether there are additional factors, not already accounted for in the
BSER analysis, that the EPA should permit states to consider in
determining the less stringent standard for an individual source
(Comment E4-2). The EPA also solicits comments on whether we should
consider these factors to be part of a presumptively approvable
framework for applying a less stringent standard of performance, rather
than requirements, and, if so, what different approaches states might
use to evaluate and identify less stringent standards that the EPA
should consider to be satisfactory in evaluating state plans that apply
RULOF (Comment E4-3).
The EPA notes that CAA section 111(d) requires that state plans
include measures that provide for the implementation and enforcement of
a standard of performance. This requirement therefore applies to any
standard of performance established by a state that accounts for RULOF.
Such measures include monitoring, reporting, and recordkeeping
requirements, as required by 40 CFR 60.25a, as well as any additional
measures specified under an applicable EG. In particular, any standard
of performance that accounts for RULOF is also subject to the
requirement under subpart Ba that the state plan submission include a
demonstration that each standard is quantifiable, non-duplicative,
permanent, verifiable, and enforceable. 40 CFR 60.27a(g)(3)(vi). The
EPA is not proposing to modify these requirements, and therefore not
reopening them in this action.
5. Contingency Requirements
The EPA recognizes that a source's operations may change over time
in ways that cannot always be anticipated or foreseen by the EPA,
state, or designated facility. This is particularly true where a state
seeks to rely on a designated facility's operational conditions, such
as the source's remaining useful life or restricted capacity, as a
basis for setting a less stringent standard. If the designated facility
subsequently changes its operating conditions after the state applies a
less stringent standard of performance, there is potential for the
standard to not match what is reasonably achievable by a designated
facility, resulting in forgone emission reductions and undermining the
level of stringency set by an EG. For example, a state may seek to
invoke RULOF for an electric generating unit (EGU) on the basis that it
is running at lower utilization (and therefore less efficiently) than
is anticipated by the BSER and intends to do so for the duration of the
compliance period required by an EG. Under this scenario, the state may
be able to demonstrate that it is not reasonably cost-effective for the
designated facility to implement the BSER in order to achieve the
presumptive level of stringency, and the state could set a less
stringent standard of performance for this EGU. However, because
reduced utilization is not a physical constraint on the designated
facility's operations, it is possible that the source's utilization
could increase in the future without any other legal constraint.
The implementing regulations do not currently address this
potential scenario. To address this issue, the EPA is proposing to add
a contingency requirement to the RULOF provision
[[Page 79201]]
that would require a state to include in its state plan a condition
making a source's operating condition, such as remaining useful life or
restricted capacity, enforceable whenever the state seeks to rely on
that operating condition as the basis for a less stringent standard.
This requirement would not extend to instances where a state applies a
less stringent standard on the basis of an unalterable condition that
is not within the designated source's control, such as technical
infeasibility, space limitations, water access, or geologic
sequestration access. Rather, this requirement addresses operating
conditions such as operation times, operational frequency, process
temperature and/or pressure, fuel parameters, and other conditions that
are subject to the discretion and control of the designated facility.
As previously discussed, the state plan submission must also
include measures for the implementation and enforcement of a standard
that accounts for RULOF. For standards that are based on operating
conditions that a facility has discretion over and can control, the
operating condition and any other measure that provides for the
implementation and enforcement of the less stringent standard must be
included in the plan submission and as a component of the standard of
performance. For example, if a state applies a less stringent standard
for a designated facility on the basis of a lower capacity factor, the
plan submission must include an enforceable requirement for the source
to operate at or below that capacity factor, and include monitoring,
reporting, and recordkeeping requirements that will allow the state,
the EPA, and the public to ensure that the source is in fact operating
at that lower capacity. A specific EG may detail supplemental or
different requirements on implementing the proposed general requirement
that a state plan submission include both the operating condition that
is the basis for a less stringent standard, and measures to provide for
the implementation and enforcement of such standard.
The EPA notes there may be circumstances under which a designated
facility's operating conditions change permanently so that there may be
a potential violation of the contingency requirements approved as
federally enforceable components of the state plan. For example, a
designated facility that was previously running at lower capacity now
plans to run at a higher capacity full time, which conflicts with the
federally enforceable state plan requirement that the facility operate
at the lower capacity. To address this concern, a state may submit a
plan revision to reflect the change in operating conditions. Such a
plan revision must include a new standard of performance that accounts
for the change in operating conditions. The plan revision would need to
include a standard of performance that reflects the level of stringency
required by the EG and meet all applicable requirements, or if a less
stringent standard is still warranted for other reasons, the plan
revision would need to meet all of the applicable requirements for
considering RULOF. The new standard of performance would only become
effective upon the EPA's determination that the plan revision is
satisfactory.
The EPA requests comment on the proposed contingency requirements
to address the concern that a designated facility's operations may
change over time in ways that do not match the original rationale for a
less stringent standard (Comment E5-1).
6. Requirements Specific to Remaining Useful Life
Remaining useful life is the one ``factor'' that CAA section 111(d)
explicitly requires that the EPA permit states to consider in applying
a standard of performance. While the age of a fleet can be a
consideration of a BSER determination, it is a factor that can have
considerable variability and the annualized costs can change
considerably based on the applied technology at a particular designated
facility and the amortization period. When the EPA determines a BSER,
it considers cost and, in many instances, the EPA specifically
considers annualized costs associated with payment of the technology
associated with the BSER. The shorter that payback period is (i.e.,
shorter remaining useful life), the less cost-effective that BSER may
become. The current RULOF provision generally allows for a state to
account for remaining useful life to set a less stringent standard.
However, the provision does not provide guidance or parameters on when
and how a state may do so. Consistent with the principles described
previously in this section (section III.E), the EPA is proposing
certain requirements for when a state seeks to apply a less stringent
standard on grounds that a designated facility will retire in the near
future.
The EPA is proposing to require that in order to account for
remaining useful life in setting a less stringent standard for a
particular designated facility, the source's retirement date must be no
later than a date to be established by the EPA in an EG, or if the EPA
does not provide such a date in an EG, a date determined by the state
using the methodology and considerations provided by EPA in the EG.
More specifically, in order for a state to determine whether a retiring
source qualifies for a less stringent standard, the EPA is proposing to
require either that the Agency must identify in an EG an outermost
remaining useful life date that would provide the latest retirement
date that states can rely on for a designated facility or that the
Agency must provide the methodology and considerations to be applied by
states as part of their plans in determining whether a retiring source
qualifies for a less stringent standard.
The outermost retirement date or the methodology to establish such
date for a designated facility will be established based on the
technical record for the EG, and as with any requirement of an EG,
subject to notice-and-comment rulemaking through the EG proposal. By
identifying the outermost retirement date or methodology that states
may use to account for remaining useful life, the EPA is ensuring
consistency and appropriate implementation of an EG across designated
facilities and states. If the EPA did not identify an outermost
retirement date or specified methodology and conditions, then a state
plan could attempt to account for the remaining useful life for a
designated facility whose retirement date does not reasonably warrant a
less stringent standard, undermining the control objectives of the EG
and CAA section 111(d) itself. Based on these concerns, the EPA is
proposing that states may account for remaining useful life if the
retirement date is not further out than the outermost date identified
or determined through the methodology and conditions provided by the
EPA in the applicable EG.
If a designated facility's retirement date is within the period
identified by the EPA in an EG or by the state in its plan through the
methodology provided, then the state may account for the remaining
useful life of that source in applying a less stringent standard of
performance. As previously discussed, the EPA is proposing to require
that when an operational condition is used as the basis for applying a
less stringent standard, the state plan must include that condition as
a federally enforceable requirement. Accordingly, if a state applies a
less stringent standard by accounting for remaining useful life, the
EPA is proposing to require that the state plan must include the
retirement date for the designated facility as an enforceable
commitment and include measures that provide for the implementation and
enforcement of
[[Page 79202]]
such commitment. For example, the state could adopt a regulation or
enter into an agreed order requiring the designated facility to shut
down by a certain date, and that regulation or agreed order should then
be incorporated into the state plan. The state could also choose to
incorporate the shutdown date into a permit and incorporate that permit
into the state plan.
The EPA is further proposing to add an explicit requirement in the
implementing regulations that the state impose a standard that applies
to a designated facility until its retirement. This standard must
reflect a reasonably achievable source-specific BSER and be calculated
and supported by the demonstration described in section III.E.3 of this
preamble. The EPA recognizes that, in some instances, a designated
facility may intend to retire imminently after the promulgation of an
EG, and in such cases it may not be reasonable to require any controls
based on the source's exceptionally short remaining useful life. In the
case of an imminently retiring source, the EPA is proposing that the
state apply a standard no less stringent than one that reflects the
designated facility's business as usual. This requirement equitably
accommodates practical considerations without impermissibly
exacerbating the impacts of the pollutant regulated under CAA section
111(d). The EPA generally expects that an ``imminent'' retirement is
one that is about to happen in the near term relative to the compliance
date in the EG. The EPA may also define what is considered to be the
timeframe for an imminent retirement for purposes of a specific EG,
with consideration to the time and costs associated with meeting
compliance obligations for a given BSER and associated standard of
performance. For example, if a BSER for a given EG is established to be
a back-end control device with a 90 percent reduction of the given
pollutant from the emission stream, there may be considerable time and
money to be invested in meeting that compliance obligation. The EPA may
define the timeframe that qualifies as an imminent retirement for this
situation to be in line with the time needed to install the control
device plus some additional marginal time that the EPA deems to fit
within the timeline of ``imminence'' given the specific nature and
analytics associated with the source category and BSER. This definition
of the timeframe for an imminent retirement would differ from an
example situation where the BSER is established to be operation and
maintenance techniques which may require minimal lead time and capital
costs. In this counter example, the EPA may define in the respective EG
a short timeframe for imminent retirements or may instead establish
that there is no such timeframe that qualifies for a business-as-usual
standard and that retiring sources must comply with an interim standard
that requires some appropriate level of control. If the EPA defines an
imminent timeframe in a specific EG a state may then apply a business
as usual standard to a retiring designated facility that is retiring
within such timeframe. The EPA intends to provide guidance as
appropriate in the context of a specific EG regarding the calculation
of a business as usual standard.
The EPA solicits comment on the proposed requirements specific to
the consideration of remaining useful life as described in this section
(Comment E6-1).
7. The EPA's Standard of Review of State Plans Invoking RULOF
Under CAA section 111(d)(2), the EPA has the obligation to
determine whether a state plan submission is ``satisfactory.'' This
obligation extends to all aspects of a state plan, including the
application of a less stringent standard of performance that accounts
for RULOF. The revisions to the RULOF provision under the implementing
regulations are intended to provide parameters not only for the
development of CAA section 111(d) state plans, but for the EPA to
evaluate for the approvability of such plans. The EPA is proposing the
following requirements to further bolster the RULOF provision and to
facilitate the EPA's review of a state plan to determine whether the
plan implementing the RULOF provision is ``satisfactory.'' As an
initial matter, the EPA proposes to explicitly require that the state
must carry the burden of making the demonstrations required under the
RULOF provision. States carry the primary responsibility to develop
plans that meet the requirements of CAA section 111(d) and therefore
have the obligation to justify any accounting for RULOF that they
invoke in support of standards less stringent than those provided by
the EG. While the EPA has discretion to supplement a state's
demonstration, the EPA may also find that a state plan's failure to
include a sufficient RULOF demonstration is a basis for concluding the
plan is not ``satisfactory'' and therefore disapprove the plan.
The EPA is further proposing that for the required demonstrations,
the state must use information that is applicable to and appropriate
for the specific designated facility, and the state must show how
information is applicable and appropriate. As RULOF is a source-
specific determination, it is appropriate to require that the
information used to justify a less stringent standard for a particular
designated facility be applicable to and appropriate for that source.
The EPA anticipates that in most circumstances, site-specific
information will be the most applicable and appropriate to use for
these demonstrations and proposes to require site-specific information
where available. In some instances, site-specific information may not
be available, and a state may instead be able to use general
information about a source category to evaluate a particular designated
facility. In such cases, the state plan submission must provide both
the general information and a clear assessment of how the information
is applicable to and appropriate for the designated facility. The use
of general information must also be appropriate and consistent with the
overall assessment and conclusions regarding consideration of RULOF for
the specific designated facility.
Finally, the EPA proposes to require that the information used for
a state's demonstrations under the new RULOF provisions must come from
reliable and adequately documented sources, such as EPA sources and
publications, permits, environmental consultants, control technology
vendors, and inspection reports. Requiring the use of such sources will
help ensure that an accounting of RULOF is premised on legitimate,
verifiable, and transparent information. The EPA notes that an EG may
also specify aspects of the demonstrations that require certification
from third-party industry experts, such as certified engineering firms.
The EPA solicits comment on the proposed list of information sources
(Comment E7-1) and whether other sources should be considered as
reliable and adequately documented sources of information for purposes
of the RULOF demonstration, including but not limited to reliable and
adequately documented sources of cost information (Comment E7-2).\47\
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\47\ The EPA acknowledges there may be reliable and adequately
documented sources of information other than those described in this
section. The EPA encourages states to consult with their Regional
Offices if there are questions about whether a particular source of
information would meet the applicable requirements.
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These requirements will aid both the EPA in evaluating whether
RULOF has been appropriately accounted for, and the public in
commenting on the EPA's proposed action on a state plan that
[[Page 79203]]
includes a less stringent standard on the basis of RULOF. The EPA
solicits comment on the proposed requirements described in this section
regarding the EPA's standard of review for state plans that invoke
consideration of RULOF (Comment E7-3).
8. Consideration of Impacted Communities
CAA section 111(d) does not specify what are the ``other factors''
that the EPA's regulations should permit for a state to consider in
applying a standard of performance. The EPA interprets this as
providing discretion for the EPA to identify the appropriate factors
and conditions under which the circumstance may be reasonably invoked
in establishing a standard less stringent than the EG. Additionally,
CAA section 111(d)(2)'s requirement that the EPA determine whether a
state plan is ``satisfactory'' applies to such plan's consideration of
RULOF in applying a standard of performance to a particular facility.
Accordingly, the EPA must determine whether a plan's consideration of
RULOF is consistent with section 111(d)'s overall health and welfare
objectives.
While the consideration of RULOF can be warranted to apply a less
stringent standard of performance to a particular facility, such
standards have the potential to result in disparate health and
environmental impacts to communities most affected by and vulnerable to
those impacts from the designated facilities being addressed by the
state plan. These communities could be put in the position of bearing
the brunt of the greater health or environmental impacts resulting from
that source implementing less stringent emission controls than would
otherwise have been required pursuant to the EG. The EPA considers that
a lack of attention to such potential outcomes would be antithetical to
the public health and welfare goals of CAA section 111(d) and the CAA
generally.
In order to address the potential exacerbation of health and
environmental impacts to these communities as a result of applying a
less stringent standard, the EPA is proposing to require states to
consider such impacts when applying the RULOF provision to establish
those standards. The EPA is proposing to require that, to the extent a
designated facility would qualify for a less stringent standard through
consideration of RULOF, the state, in calculating such standard, must
consider the potential health and environmental impacts and potential
benefits of control to communities most affected by and vulnerable to
the impacts from the designated facility considered in a state plan for
RULOF provisions. These communities will be identified by the state as
pertinent stakeholders under the proposed meaningful engagement
requirements described in section III.C of this preamble.
The EPA proposes to require that state plan submissions seeking to
invoke RULOF for a source must identify where and how a less stringent
standard impacts these communities. In evaluating a RULOF option for a
facility, states should describe the health and environmental impacts
anticipated from the application of RULOF for such communities, along
with any feedback the state received during meaningful engagement
regarding its draft state plan submission, including on any standards
of performance that consider RULOF. Additionally, to the extent there
is a range of options for reasonably controlling a source based on
RULOF, the EPA is proposing that in determining the appropriate
standard of performance, states should consider the health and
environmental impacts to the communities most affected by and
vulnerable to the impacts from the designated facility considered in a
state plan for RULOF provisions and provide in the state plan
submission a summary of the results that depicts potential impacts for
those communities for that range of reasonable control options.
This requirement to consider the health and environmental impacts
in any standards of performance taking into account RULOF is consistent
with the definition of ``standard of performance'' in CAA section
111(a)(1). This definition requires the EPA to take into account health
and environmental impacts in determining the BSER. As described in this
section, if a designated facility qualifies for a less stringent
standard based on RULOF, the EPA is proposing the state plan must
identify a source-specific BSER based on the same factors and metrics
the EPA considered in determining the BSER in the EG. Therefore, state
plans must consider health and environmental impacts in determining a
source-specific BSER informing a RULOF standard, just as the EPA is
statutorily required to take into account these factors in making its
BSER determination.
As an example, the state plan submission could include a
comparative analysis assessing potential controls on a designated
facility and the corresponding potential impacts on affected vulnerable
communities in controlling the source. If the comparative analysis
shows that a designated facility may be controlled at a certain cost
threshold higher than required under the EPA's proposed revisions to
the RULOF provision, and such control benefits a vulnerable community
that would otherwise be adversely impacted by a less stringent
standard, the state in accounting for RULOF could use that cost
threshold to apply a standard of performance. Given that the statute
provides states with the discretion, rather than mandate, to consider
RULOF in applying a standard of performance under CAA section 111(d),
it is reasonable for states to consider the potential health and
environmental impacts to communities most affected by and vulnerable to
the impacts from a particular designated facility in calculating the
level of stringency for such standard.\48\
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\48\ As previously described, CAA section 111(d) gives states
the discretion to consider RULOF for a particular source and are not
required to do so. States thus have the authority to choose to
impose a more stringent standard, including the presumptive
standard, than would be permissible under RULOF for other reasons,
e.g. based on consideration of communities other than identified
impacted communities.
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The EPA recognizes that the consideration of communities in the
standard setting process, such as what constitutes a benefit to a
vulnerable community and what is a reasonable level of control, is
highly dependent on the designated pollutant and source category
subject to an EG. For example, a comparative analysis for a localized
pollutant may be quantified and evaluated differently from the analysis
for a global pollutant. The EPA is therefore proposing general
requirements for the consideration of impacts to vulnerable
communities, and, where feasible, an EG will provide more specific
guidance or requirements on how to meet these provisions under the
implementing regulations.
Additionally, under CAA section 111(d)(2)(B), the EPA has the
authority to prescribe a Federal plan promulgating standards of
performance for designated facilities located in a state that fails to
submit a satisfactory plan. Consistent with the statute's mandate for
the EPA's regulations under CAA section 111(d) to permit states to
account for RULOF, this provision further directs that the EPA
``shall'' take into account RULOF in promulgating standards of
performance for a Federal plan. Therefore, because the statute uses the
same ``other factors'' phrasing in both CAA sections 111(d)(1)
governing state plans and 111(d)(2) governing Federal plans, the EPA
proposes to require that health and environmental impacts to vulnerable
communities be considered in both the
[[Page 79204]]
state and Federal plan contexts when accounting for RULOF.
The EPA solicits comment on the proposed requirements described in
this section for consideration of vulnerable communities in the context
of RULOF (Comment E8-1).
9. Authority To Apply More Stringent Standards as Part of the State
Plan
The current RULOF provision in subpart Ba under 40 CFR 60.24a(e)
governs instances where states seek to apply a less stringent standard
of performance to a particular designated facility. In promulgating
this provision, the EPA received comments contending that if states may
consider factors that justify less stringent standards, they must also
be permitted to consider factors that would justify greater stringency
than required by an EG, such as more expeditious compliance obligations
or the retirement of a source. EPA's Responses to Public Comments on
the EPA's Proposed Revisions to Emission Guideline Implementing
Regulations at 56 (Docket ID No. EPA-HQ-OAR-2017-0355-26740) (July 8,
2019). In response to these comments, the EPA explained that it
interpreted the statutory RULOF provision as intended to authorize only
standards of performance that are less stringent than the presumptive
level of stringency required by a particular EG. Id. at 57. The EPA has
reevaluated its prior interpretation and is now proposing to amend
subpart Ba to reflect its revised interpretation that the statute
authorizes the EPA to permit states to consider other factors that
justify application of a more stringent standard to a particular source
than required by an EG. See FCC v. Fox Television Stations, Inc., 556
U.S. 502 (2009). The EPA's rationale for its revised interpretation and
proposal is as follows.
First, allowing states to apply a more stringent standard as part
of their CAA section 111(d) plans is consistent with CAA section 116,
which generally authorizes states to include more stringent standards
of performance or requirements regarding control or abatement of air
pollution in their plans. The provisions at 40 CFR 60.24a(f) provide
that nothing in the implementing regulations shall be construed to
preclude states from adopting or enforcing a standard of performance or
compliance schedule that is more stringent than required by an EG. This
language is consistent with the anti-preemption requirements of CAA
section 116. CAA section 116 provides that nothing in the statute shall
preclude or deny the right of states to adopt or enforce ``any standard
or limitation respecting emissions of air pollutants.'' While CAA
section 116 clearly does not preclude a state from adopting or
enforcing a standard of performance more stringent than required under
CAA section 111(d), 40 CFR 60.24a(f) does not explicitly speak to
whether the EPA can approve a state plan that includes such standard of
performance. However, the EPA finds that CAA section 116, as
interpreted through the Supreme Court decision in Union Electric Co. v.
EPA, gives the EPA the authority to approve such state plan under CAA
section 111(d). 427 U.S. 246, 263-64 (1976). The EPA proposes to modify
this provision, clarifying that to the extent a state chooses to submit
a plan that includes standards of performance or compliance schedules
that are more stringent than the requirements of a final EG, states
have the authority to do so under this provision and CAA section 116.
Further, the EPA proposes to clarify that it has the obligation, and
therefore the authority, to review and approve such plans and render
the more stringent requirements federally enforceable if all applicable
requirements are met.
The EPA acknowledges that it previously took the position in the
ACE Rule that Union Electric does not control the question of whether
CAA section 111(d) state plans may be more stringent than Federal
requirements. The EPA took this position in the ACE Rule on the basis
that Union Electric on its face applies only to CAA section 110, and
that it is ``potentially salient'' that CAA section 111(d) is
predicated on specific technologies whereas CAA section 110 gives
states broad latitude in the measures used for attaining the NAAQS. 84
FR 32559-61. The EPA no longer takes this position. Upon further
evaluation, the EPA finds that, because of the structural similarities
between CAA sections 110 and 111(d), CAA section 116 as interpreted by
Union Electric requires the EPA to approve CAA section 111(d) state
plans that are more stringent than required by the EG. See FCC v. Fox
Television Stations, Inc., 556 U.S. 502 (2009).
The Court in Union Electric rejected a construction of CAA sections
110 and 116 that measures more stringent than those required to attain
the NAAQS cannot be approved into a federally enforceable SIP but can
be adopted and enforced only as a matter of state law. The Court found
that such an interpretation of CAA section 116 ``would not only require
the Administrator to expend considerable time and energy determining
whether a state plan was precisely tailored to meet the Federal
standards but would simultaneously require States desiring stricter
standards to enact and enforce two sets of emission standards, one
federally approved plan and one stricter state plan.'' 427 U.S. at 263-
64. The Court concluded there was no basis ``for visiting such wasteful
burdens upon the States and the Administrator.'' Id. Both CAA sections
111(d) and 110 are structurally similar in that both require EPA to
establish targets to meet the objectives of each respective section
(i.e. the level of stringency set by an EG under CAA section 111(d),
and attainment and maintenance of the NAAQS under CAA section 110) and
states must adopt and submit to the EPA plans which include
requirements to meet these targets. Specifically, the EPA establishes a
presumptive level of stringency in an EG, and state plans under CAA
section 111(d) must include standards of performance that generally
reflect this level of stringency. Because CAA section 116 applies to
``any standard or limitation'', this provision clearly applies to
standards of performance adopted under CAA section 111(d). Therefore,
the Court's rationale in Union Electric also applies to CAA section
111(d). Requiring states to enact and enforce two sets of standards of
performance, one that is a federally approved CAA section 111(d) plan
and one that is a stricter set of state requirements, runs directly
afoul of Union Electric's holding that there is no basis for
interpreting CAA section 116 in such manner.
Moreover, there is nothing in CAA section 111(d) that precludes
states from adopting, and EPA from approving, more stringent standards
of performance. As described previously, while standards of performance
must generally reflect the presumptive level of stringency identified
in an EG, CAA section 111(d) also requires the EPA to permit states to
``take into consideration, among other factors, the remaining useful
life'' in applying a standard of performance to a particular designated
facility. Aside from the explicit reference to remaining useful life,
the statute is silent as to what the ``other factors'' are that states
may consider in applying a standard of performance and whether such
factors can be used only to weaken the stringency of a standard of
performance for a particular designated facility. Therefore, the EPA
may reasonably interpret this ambiguity both as to what the ``other
factors'' are that states may use to apply a standard of performance to
a particular source, and how such consideration may affect the
stringency of such standard. Accordingly, the EPA
[[Page 79205]]
reasonably interprets this phrase as authorizing states to consider
other factors in exercising their discretion to apply a more stringent
standard to particular a source. This is a reasonable interpretation of
the statute because if Congress intended the RULOF provision to be used
only to allow states to apply less stringent standards, it would have
clearly specified that its intent or enumerated ``other factors'' that
are appropriate for relaxing the stringency of a standard. The
statute's explicit reference to remaining useful life shows that if
there were factors that Congress specifically wanted the EPA to allow
or disallow states to consider, it knew how to expressly make its
intent clear in the RULOF provision.
In addition to finding that the statute does not preclude the EPA's
reasonable interpretation of the statutory RULOF provision as described
above, the EPA has reevaluated the bases for its prior interpretation
that states may only consider RULOF to apply a less stringent standard
and determined those bases were flawed. In taking its prior
interpretation, the EPA noted that the new regulatory RULOF provision
under subpart Ba at 40 CFR 60.24a(e) was substantively similar to the
variance provision under subpart B, which authorizes the use of other
factors that ``make application of a less stringent standard or final
compliance time significantly more reasonable.'' 40 CFR 60.24(f)(3).
The EPA reasoned that because the variance provision under subpart B is
similar to and predated Congress's addition of the statutory RULOF
provision to CAA section 111(d) as part of the 1977 CAA Amendments,
``Congress effectively ratified the EPA's implementing regulations'
clear construct that remaining useful life and other factors are only
relevant in the context of setting less stringent standards.'' EPA's
Responses to Public Comments on the EPA's Proposed Revisions to
Emission Guideline Implementing Regulations at 57 (Docket ID# No. EPA-
HQ-OAR-2017-0355-26740) (July 8, 2019). The EPA has closely reexamined
the variance provision under subpart B and the RULOF provision under
CAA section 111(d) and does not find that these provisions support the
proposition that Congress clearly ratified the aspect of the variance
provision in subpart B allowing states to apply only less stringent
standards under certain circumstances. There are notable differences
between the subpart B variance provision and the CAA section 111(d)
RULOF provision that indicate Congress did not intend to incorporate
and ratify all aspects of the EPA's regulatory approach when amending
CAA section 111(d) in 1977. Particularly, for pollutants found to cause
or contribute to endangerment of public health, subpart B allows states
to apply a less stringent standard under certain circumstances unless
the EPA provides otherwise in a specific EG for a particular designated
facility or class of facilities. 40 CFR 60.24(c), (f). Subpart B places
no similar exception for states in authorizing them to seek a variance
for a standard addressing a pollutant for which the EPA has made a
welfare-based, but not public health-based, endangerment finding under
111(b)(1)(A). 40 CFR 60.24(d). By contrast, the statutory RULOF
provision does not make a similar distinction between public health and
welfare-based pollutants, which the EPA itself acknowledged in
promulgating the regulatory RULOF provision in subpart Ba. 84 FR 32570,
July 8, 2019. Therefore, the EPA cannot clearly ascertain whether the
statutory RULOF provision ratified the variance provision under subpart
B, given that certain key elements of the latter are not present in the
former. There is nothing in CAA section 111(d) or the legislative
history that suggests Congress enacted the statutory RULOF provision by
ratifying certain elements of the regulatory variance provision in
subpart B but not others.
Additionally, in taking its prior position that states may only
consider RULOF to apply a less stringent standard, the EPA asserted
that the legislative history of the 1977 CAA Amendments supported its
interpretation. The EPA highlighted the following statement in the
House conference report adopting the amendment to add the statutory
RULOF provision: ``The section also makes clear that standards adopted
for existing sources under section 111(d) of the Act are to be based on
available means of emission control (not necessarily technological) and
must, unless the State decides to be more stringent, take into account
the remaining useful life of the existing sources.'' H.R. Conf. Rep.
No. 94-1742, (Sep. 30, 1976), 1977 CAA Legis. Hist. at 88. Based on
this statement, the EPA found that the caveat that states have the
choice to not invoke the RULOF provision and instead ``be more
stringent'' suggests that considering RULOF is only intended to allow a
state to make a standard less stringent. The EPA now finds that its
prior reliance on this legislative history was flawed. The cited
statement only speaks to remaining useful life, which is a factor that
inherently suggests a less stringent standard, but it is completely
silent as to the ``other factors'' the statute references. Thus, there
is no indication that Congress intended to limit the ``other factors''
that states may apply in developing their plans only to permit less
stringent, and not more stringent standards. Rather, the cited
statement explicitly acknowledges that states may choose to ``be more
stringent'', which supports the EPA's interpretation of the statute to
permit states to consider other factors to set standards more stringent
than the degree of emission limitation achievable through application
of the BSER.
Interpreting the statutory RULOF provision as authorizing states to
apply a more stringent standard of performance to a particular source
is also consistent with the purpose and structure of CAA section
111(d). CAA section 111(d) clearly contemplates cooperative federalism,
where states bear the obligation to establish standards of performance.
Nothing under CAA section 111(d) suggests that the EPA has the
authority to preclude states from determining that it is appropriate to
regulate certain sources within their jurisdiction more strictly than
otherwise required by Federal requirements. To do so would be arbitrary
and capricious in light of the overarching purpose of CAA section
111(d), which is to require emission reductions from existing sources
for certain pollutants that endanger public health or welfare. It is
inconsistent with the purpose of CAA section 111(d) and the role it
confers upon states for the EPA to constrain them from further reducing
emissions that harm their citizens, and the EPA does not see a
reasonable basis for doing so.
Other factors states may wish to account for in applying a more
stringent standard than required under an EG include, but are not
limited to, early retirements, and availability of control technologies
that allow a source to achieve greater emission reductions. However,
the EPA cannot in the implementing regulations anticipate each and
every factor under which a state may seek to apply a more stringent
standard. Therefore, the EPA is proposing general requirements under
which states may use the RULOF provision to apply a more stringent
standard and may identify any further parameters in a specific EG. The
EPA is also proposing to require that states seeking to apply a more
stringent standard of performance based on other factors must
adequately demonstrate that the different standard is in fact more
stringent than the presumptive
[[Page 79206]]
level of stringency. Such standard of performance must meet all
applicable statutory and regulatory requirements, including that it is
adequately demonstrated,\49\ and the state plan must include measures
that provide for the implementation and enforcement of the standard as
with any standard of performance under CAA section 111(d).
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\49\ The EPA is not proposing to require the state to conduct a
source-specific BSER analysis for purposes of applying a more
stringent standard, as the EPA proposes to require for application
of a less stringent standard. So long as the standard will achieve
equivalent or better emission reductions than required by the EG,
the EPA believes it is appropriate to defer to the state's
discretion to, for example, choose to impose more costly controls on
an individual source.
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For the reasons described in this section, the EPA proposes to
revise the RULOF provision under subpart Ba to permit states to
consider factors which justify applying a standard of performance that
is more stringent than required under an EG. The EPA solicits comment
on its proposed interpretation of the statutory RULOF provision and
revision to the regulatory provision (Comment E9-1).
Moreover, the EPA proposes to clarify that under subpart Ba, per
the authority of CAA sections 111(d) and 116, states may include more
stringent standards of performance in their plans and that the EPA must
approve and render such standards as federally enforceable, so long as
the minimum requirements of the EG and subpart Ba are met.\50\ The EPA
solicits comment on its proposal as described in this section (Comment
E9-2).
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\50\ The EPA notes that its authority is constrained to
approving measures which comport with applicable statutory
requirements. For example, CAA section 111(d) only contemplates that
state plans would include requirements for designated facilities
regulated by a particular EG; therefore, the EPA concludes that
section 116 does not provide it with the authority to approve and
render federally enforceable measures on entities other than those
on designated facilities.
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F. Provision for Electronic Submission of State Plans
The provision at 40 CFR 60.23a(a)(1) currently requires state plan
submissions to be made in accordance with the provision in 40 CFR 60.4.
Pursuant to 40 CFR 60.4(a), all requests, reports, applications,
submittals, and other communications to the Administrator pursuant to
40 CFR part 60 shall be submitted in duplicate to the appropriate
regional office of the EPA. The provision in 40 CFR 60.4(a) then
proceeds to include a list of the corresponding addresses for each
regional office. In this action we are proposing to revise 40 CFR
60.23a(a)(1) to require electronic submission of state plans instead of
paper copies as according to 40 CFR 60.4. In particular, we are
proposing to add a sentence to 40 CFR 60.23a(a)(1) that reads as
follows: ``The submission of such plan shall be made in electronic
format according with Sec. 60.23a(a)(3) or as specified in an
applicable emission guideline.'' In 40 CFR 60.23a(a)(3), the EPA is
proposing the general requirements associated with the electronic
submittal of plans.
As previously described, CAA section 111(d) requires the EPA to
promulgate a ``procedure'' similar to that of CAA section 110 under
which states submit plans. The statute does not prescribe a specific
platform for plan submissions, and the EPA reasonably interprets the
procedure it must promulgate under the statute as allowing it to
require electronic submission. Requiring electronic submission is
reasonable for the following reasons. Providing for electronic
submittal of CAA section 111(d) state plans in subpart Ba in place of
paper submittals aligns with current trends in electronic data
management and as implemented in the individual EGs, will result in
less burden on the states. It is the EPA's experience that the
electronic submittal of information increases the ease and efficiency
of data submittal and data accessibility. The EPA's experience with the
electronic submittal process for SIPs under CAA section 110 has been
successful as all the states are now using the State Planning
Electronic Collaboration System (SPeCS). SPeCS is a user-friendly, web-
based system that enables state air agencies to officially submit SIPs
and associated information electronically for review and approval to
meet their CAA obligations related to attaining and maintaining the
NAAQS. SPeCS for SIPs is the EPA's preferred method for receiving such
SIPs submissions. The EPA has worked extensively with state air agency
representatives and partnered with E-Enterprise for the Environment and
the Environmental Council of the States to develop this integrated
electronic submission, review, and tracking system for SIPs. SPeCS can
be accessed by the states through the EPA's Central Data Exchange (CDX)
(https://cdx.epa.gov/). The CDX is the Agency's electronic reporting
site and performs functions for receiving acceptable data in various
formats. The CDX registration site supports the requirements and
procedures set forth under the EPA's Cross-Media Electronic Reporting
Regulation, 40 CFR part 3.
The EPA is proposing to include in 40 CFR 60.23a(a)(3) the general
requirements associated with the electronic submittal of a state plan
in subpart Ba. As proposed, 40 CFR 60.23a(a)(3) will require state plan
submission to the EPA be via the use of SPeCS or through an analogous
electronic reporting tool provided by the EPA for the submission of any
plan required by this subpart. The EPA is also proposing to include in
the new provision at 40 CFR 60.23a(a)(3) language to specify that
states are not to transmit confidential business information (CBI)
through SPeCS. Even though state plans submitted to the EPA for review
and approval pursuant to CAA section 111(d) through SPeCS are not to
contain CBI, this language will also address the submittal of CBI in
the event there is a need for such information to be submitted to the
EPA. Any other specific requirements associated with the electronic
submittal of a particular state plan will be provided within the
corresponding EG. The requirements for electronic submission of CAA
section 111(d) state plans in EGs will ensure that these Federal
records are created, retained, and maintained in electronic format.
Electronic submittal will also improve the Agency's efficiency and
effectiveness in the receipt and review of state plans. The electronic
submittal of state plans may also provide continuity in the event of a
disaster like the one our nation experienced with COVID-19. The EPA
requests comment on whether the EPA should provide for electronic
submittals of plans as an option instead of as a requirement (Comment
F-1). The EPA requests comment on whether a requirement for electronic
submissions of 111(d) state plans should be via SPeCS or whether
another electronic mechanism should be considered as appropriate for
CAA section 111(d) state plan submittals (Comment F-2).
G. Other Proposed Modifications and Clarifications
1. Standard of Performance and Compliance Flexibility
i. Definition of Standard of Performance
The EPA proposes to amend 40 CFR 60.21a(f) and 60.24a(b) to clarify
that the definition of ``Standard of performance'' allows for state
plans to include standards in the form of an allowable mass limit of
emissions. The current regulatory definition states that under CAA
section 111 the establishment of standards of performance is to reflect
the degree of emission limitation achievable through the application of
the BSER, as determined by the EPA. Per the definition in 40 CFR
60.21a(f), such a standard for emissions of air pollutants includes,
``but [is] not limited
[[Page 79207]]
to a legally enforceable regulation setting forth an allowable rate or
limit of emissions into the atmosphere, or prescribing a design,
equipment, work practice, or operational standard, or combination
thereof''. The term ``an allowable rate or limit of emissions'' was
intended to encompass standards of performance based on quantity, rate,
or concentration of emissions of air pollutants, consistent with the
definition of ``emission limitation'' and ``emission standard'' in CAA
section 302(k).\51\ To address any potential ambiguity about this term,
the EPA is proposing to amend this provision to clarify that the term
``an allowable rate or limit of emissions'' means ``an allowable rate,
quantity, or concentration of emissions'' of air pollutants. The EPA is
also proposing to amend the definition of standard of performance under
40 CFR 60.24a(b) to read ``. . . in the form of an allowable rate,
quantity, or concentration of emissions'' rather than ``. . . either be
based on allowable rate or limit of emission''. Moreover, the EPA
proposes to remove the phrase ``but not limited to'' from 40 CFR
60.21a(f) as unnecessary and potentially confusing verbiage that is
redundant of the word ``including,'' particularly where the definition
already identifies a wide breadth of potential standards that may be
included in a state plan.
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\51\ See 84 FR 32570, July 8, 2019 (explaining that the
definition of ``standard of performance'' at 40 CFR 60.24a(b) is
intended to permit either rate- or mass-based forms, depending on
the considerations specific to a particular emission guideline).
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ii. Compliance Flexibilities, Including Trading or Averaging
CAA section 111(d) and these implementing regulations authorize the
EPA to approve state plans establishing standards of performance that
meet the emission guidelines promulgated by the EPA, including plans
that authorize sources to meet their emission limits in the aggregate,
such as through standards that permit compliance via trading or
averaging. (The EPA herein refers to all these flexibilities as trading
or averaging.) In taking this position that CAA section 111(d) and
these implementing regulations authorize the EPA to approve state plans
that include trading or averaging, the EPA is reversing, after
reconsideration, the contrary interpretation of CAA section 111(d)
provided in the ACE Rule. As a related matter, the EPA is also
reversing the ACE Rule's interpretation that CAA section 111 limits the
best system of emission reduction (BSER) to controls that can be
applied at and to the source (commonly referred to as inside-the-
fenceline controls).
Provisions of Section 111. Under CAA section 111(d)(1), each state
is required to submit to the EPA ``a plan which . . . establishes
standards of performance for any existing source'' that emits certain
types of air pollutants, and which ``provides for the implementation
and enforcement of such standards of performance.'' Under CAA section
111(a)(1), a ``standard of performance'' is defined 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 . . . adequately demonstrated.'' Under CAA section
111(a)(6) and (a)(3), ``existing source'' is defined as a ``stationary
source,'' which, in turn, is defined, in relevant part, as ``any
building, structure, facility or installation. . . .''
Rulemaking and Caselaw. In the Clean Power Plan (CPP), the EPA
interpreted the term ``system'' in CAA section 111(a)(1) to be broad
and therefore to authorize the EPA to consider a wide range of measures
from which to select the BSER. 80 FR 64662, 64720 (October 23, 2015).
Similarly, the CPP took the position that states had broad flexibility
in choosing compliance measures for their state plans. See, e.g., 80 FR
64887, October 23, 2015. The CPP went on to determine that generation
shifting qualified as the BSER, 80 FR 64707, October 23, 2015, and that
states could include trading or averaging programs in their state plans
for compliance. 80 FR 64840, October 23, 2015.
The ACE Rule included the repeal of the CPP. It interpreted CAA
section 111 so that the type of ``system'' that the EPA may select as
the BSER is limited to a control measure that could be applied inside
the fenceline of each source to reduce emissions at each source. 84 FR
32523-24, July 8, 2019. Specifically, the ACE Rule argued that the
requirements in CAA section 111(d)(1), (a)(3), and (a)(6) that each
state establish a standard of performance ``for'' ``any existing
source,'' defined, in general, as any ``building . . . [or] facility,''
and the requirements in CAA section 111(a)(1) that the degree of
emission limitation must be ``achievable'' through the ``application''
of the BSER, by their terms, impose this limitation. The ACE Rule also
concluded that the compliance measures the states include in their
plans must ``correspond with the approach used to set the standard in
the first place,'' 84 FR 32556, July 8, 2019, and therefore must also
be limited to inside-the-fenceline measures that reduce the emissions
of each source. For these reasons, the ACE Rule invalidated the CPP's
generation-shifting system as the BSER, on grounds that it was an
outside-the-fenceline measure, and precluded states from allowing their
sources to trade or average to demonstrate compliance with their
emission standards. 84 FR 32556-57, July 8, 2019.
In 2021, the D.C. Circuit vacated the ACE Rule. American Lung Ass'n
v. EPA, 985 F.3d 914. The Court held, among other things, that CAA
section 111(d) does not limit the EPA, in determining the BSER, to
inside-the-fenceline measures. The Court explained that contrary to the
ACE Rule, the above-noted requirements in CAA section 111 that each
state establish a standard of performance ``for'' any existing
``building . . . [or] facility,'' mean that the state must establish
standards applicable to each regulated stationary source; and the
requirements that the degree of emission limitation must be achievable
through the ``application'' of the BSER could be read to mean that the
sources must be able to apply the system to reduce emissions across the
source category. None of these requirements, the Court further
explained, can be read to mandate that the BSER is limited to some
measure that each source can apply to its own facility to reduce its
own emissions in a specified amount. Id. at 944-51. The Court further
held that the ACE Rule's premise for viewing compliance measures as
limited to inside-the-fenceline, which is that BSER measures are so
limited, was invalid for the same reason. The Court indicated that
while requiring symmetry between the nature of the BSER and compliance
measures ``would be reasonable'' where necessary to preserve the
environmental outcomes a particular BSER was designed to achieve, a
universal restriction on compliance measures could not be sustained by
policy concerns that were not similarly universal. Id. at 957-58.
In 2022, the U.S. Supreme Court reversed the D.C. Circuit's vacatur
of the ACE Rule's embedded repeal of the Clean Power Plan. West
Virginia v. EPA, 142 S. Ct. 2587 (2022). The Supreme Court made clear
that CAA section 111 authorizes the EPA to determine the BSER and the
amount of emission limitation that state plans must achieve. Id. at
2601-02. However, the Supreme Court invalidated the CPP's generation-
shifting BSER under the major questions doctrine, explaining that the
term ``system'' does not provide the ``clear congressional
authorization,'' id. at 2614 (internal quotation marks omitted), needed
to support a BSER ``of such
[[Page 79208]]
magnitude and consequence.'' Id. at 2615-16. The Court declined to
address the D.C. Circuit's decision that the text of CAA section 111
did not limit the type of ``system'' the EPA could consider as the BSER
to inside-the-fenceline measures. See id. at 2615 (``We have no
occasion to decide whether the statutory phrase ``system of emission
reduction'' refers exclusively to measures that improve the pollution
performance of individual sources, such that all other actions are
ineligible to qualify as the BSER.'' (emphasis in original)). Nor did
the Court rule on the scope of the states' compliance flexibilities.
The EPA Interpretation. As noted above, the EPA has reconsidered
the ACE Rule's interpretation of the compliance flexibilities available
to States under CAA section 111 and now proposes to disagree that
averaging and trading are universally precluded. With respect to
compliance measures, the EPA proposes to agree with the D.C. Circuit's
reasoning in rejecting the ACE Rule's limitations on those measures.
American Lung Ass'n, 985 F.3d at 957-58. As noted above, CAA section
111(d)(1) provides, in relevant part, that states ``establish[ ],''
``implement[ ],'' and ``enforce[ ]'' ``standards of performance for any
existing source.'' CAA section 111(d) does not, by its terms, preclude
states from having flexibility in determining which measures will best
achieve compliance with the EPA's emission guidelines.
Such flexibility is consistent with the framework of cooperative
federalism that CAA section 111(d) establishes, which vests states with
substantial discretion. As the U.S. Supreme Court has explained, CAA
section 111(d) ``envisions extensive cooperation between Federal and
state authorities, generally permitting each State to take the first
cut at determining how best to achieve EPA emissions standards within
its domain.'' American Elec. Power Co. v. Connecticut, 564 U.S. 410,
428 (2011) (citations omitted). It should be noted that the flexibility
that CAA section 111(d) grants to states in adopting measures for their
state plans is by no means unfettered; rather, section 111(d)(2)
requires the EPA to review state plans to assure that they are
``satisfactory.''
For the reasons just noted, the EPA proposes to disagree with the
ACE Rule's conclusion that state plan compliance measures must always
correspond with the approach the EPA uses to set the BSER, where the
environmental outcomes of the emissions guidelines are not compromised
by a lack of alignment. Moreover, after reconsideration, the EPA also
proposes to reject the ACE Rule's interpretation that various
provisions in CAA section 111 limit the type of ``system'' that may
qualify as the BSER to inside-the-fenceline measures. 84 FR 32556, July
8, 2019. Thus, there could be no comparable inside-the-fenceline
statutory limitation on states' compliance flexibilities in developing
their state plans. The EPA proposes to agree with the part of the D.C.
Circuit's decision in American Lung Ass'n, 985 F.3d at 944-51, that
rejected the ACE Rule's inside-the-fenceline statutory interpretation.
The EPA recognizes, however, that while the U.S. Supreme Court in
West Virginia expressly declined to address this part of the D.C.
Circuit's decision, it did impose limits, through the application of
the major questions doctrine, on the type of ``system'' that may
qualify as the BSER. 142 S. Ct. at 2615-16. The EPA does not propose in
this action to address the scope of those limits. Thus, the EPA is not
proposing in this action to address whether it could include trading or
averaging as part of the BSER--nor, for that matter, is it proposing to
identify any particular control mechanism that could or could not be
part of the BSER--in light of those limits. Instead, the EPA may
address further those limits, and their implications for the legality
of particular systems of emission reduction and state compliance
measures, in future emission guidelines.
Under the EPA's proposed interpretation of CAA section 111, the
provision permits each state to adopt measures that allow its sources
to meet their emission limits in the aggregate, when the EPA
determines, in any particular emission guideline, that it is
appropriate to do so, given, inter alia, the pollutant, sources, and
standards of performance at issue. Thus, it is the EPA's proposed
position that CAA section 111(d) authorizes the EPA to approve state
plans, in particular emission guidelines, that achieve the requisite
emission limitation through the aggregate reductions from their
sources, including through trading or averaging, where appropriate for
a particular emission guideline and consistent with the intended
environmental outcomes of the guideline.
We also note that the EPA has authorized trading or averaging as
compliance methods in several emission guidelines. In 1995, the EPA
authorized emissions trading in emission guidelines for municipal waste
combustors. 60 FR 65387, 65402 (December 19, 1995); see 40 CFR
60.33b(d)(2) (``A State plan may establish a program to allow owners or
operators of municipal waste combustor plants to engage in trading of
nitrogen oxides emission credits.''). In 2005, the EPA authorized
allowance trading in the Clean Air Mercury Rule, 70 FR 28606, 28617
(May 18, 2005). This rule was vacated by the D.C. Circuit on other
grounds. New Jersey v. EPA, 517 F.3d 574 (D.C. Cir. 2008). Moreover,
alongside the 2005 Mercury Rule, the EPA amended the CAA section 111
implementing regulations subpart B to provide that a state's
``[e]mission standards [may] be based on an allowance system,'' 70 FR
28649, May 18, 2005 (promulgating 40 CFR 60.24(b)(1) (2005)),
provisions that by their terms contemplated trading and that remained
in place until rescinded by the ACE Rule. In addition, the 2015 CPP
also authorized trading or averaging as a compliance strategy. 80 FR
64662, 64840 (October 23, 2015). Thus, the EPA has long interpreted CAA
section 111(d) as permitting, in appropriate circumstances, flexible
mechanisms to comply with the EPA's emission guidelines, and the EPA
now proposes to return to this interpretation.
In addition, there is no provision in these implementing
regulations that precludes state plans from authorizing sources to
trade or average to demonstrate compliance with their standards. In
particular, the proposed revisions in the definition of ``standard of
performance'' in these regulations, described in section III.G.1.a of
this preamble, would not impose that limit. For example, states could
authorize their sources to comply with an ``allowable quantity . . . of
emissions'' by trading allowances or with an ``allowable rate . . . of
emissions'' by trading or averaging credits. It should be noted that in
promulgating particular emission guidelines, the EPA proposes that it
may preclude certain flexibilities, on the grounds, for example, that
for the particular source category or pollutant in question,
implementation of those flexibilities would undermine the amount of
emission reductions that the EPA designed the guidelines to achieve and
thus would not achieve equivalent emissions reductions.
2. Minor Amendments or Clarifications
The EPA is proposing the following minor amendments to the
regulatory text in subpart Ba to address the following editorial and
other minor clarifications.
i. The EPA is proposing to amend the applicability provision for
subpart Ba under 40 CFR 60.20a, to clarify that the provisions of
subpart Ba are applicable
[[Page 79209]]
to EGs published after July 8, 2019. The current language in this
provision states that subpart Ba also applies to EGs if implementation
of such guidelines is ongoing as of July 8, 2019. However, such EGs are
a null set,\52\ therefore the EPA is proposing to remove this text so
that it is clear that the provisions in subpart Ba only apply to final
EGs published after July 8, 2019. Emission guidelines issued prior to
July 8, 2019, are subject to the provisions of subpart B instead of
subpart Ba.
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\52\ The Municipal Solid Waste Landfills EG, which is currently
being implemented, has its own applicability provisions and is
subject to subpart B.
---------------------------------------------------------------------------
ii. The EPA proposes to amend 40 CFR 60.21a(e), 60.22a(c),
60.24a(c), and 60.24a(n)(1) and (2) by deleting subpart C from the
provisions because EGs can be codified in other subparts of this part
and not only in subpart C of this part.
iii. The EPA proposes to amend 40 CFR 60.27a(a) by replacing the
word ``shorten'' with ``amend''. The applicability provision at 40 CFR
60.20a(a)(1) states that ``each emission guideline may include specific
provisions in addition to or that supersede requirements of this
subpart.'' However, the provision in 40 CFR 60.27a(a) only provides for
the Administrator to ``shorten the period for submission of any plan or
plan revision or portion thereof''. To make these two provisions
consistent in light of the proposed timelines for plan submission
included in this action, the EPA is proposing to replace the word
``shorten'' with ``amend.''
iv. The EPA is also proposing an editorial amendment to 40 CFR part
60 subpart A at 60.1(a) to add a reference to subpart Ba. The
applicability provision in 40 CFR 60.1(a) states that ``Except as
provided in subparts B and C, the provisions of this part apply to the
owner or operator of any stationary source which contains an affected
facility, the construction or modification of which is commenced after
the date of publication in this part of any standard (or, if earlier,
the date of publication of any proposed standard) applicable to that
facility''. We are proposing to amend this provision to include
reference to subpart Ba in addition to subparts B and C.
The EPA solicits comment on the proposed clarifications as
described in section III.G.2 of this preamble. (Comment G2-1).
3. Submission of Emissions Data and Related Information
The EPA proposes to amend 40 CFR 60.25a(a) by deleting reference to
40 CFR part 60 appendix D because the system specified for information
submittal by the appendix is no longer in use. The proposed amendments
clarify that the applicable EG will specify the system for submission
of the inventory of designated facilities, including emission data for
the designated pollutants and any additional required information.
4. State Permit and Enforcement Authority
Questions have previously arisen as to whether states may establish
standards of performance and other plan requirements as part of state
permits and administrative orders. The EPA is not proposing a
regulatory amendment on this point but confirms that subpart Ba allows
for standards of performance and other state plan requirements to be
established as part of state permits and administrative orders, which
are then incorporated into the state plan. See 40 CFR 60.27a(g)(2)(ii).
However, the EPA notes that the permit or administrative order
alone may not be sufficient to meet the requirements of an EG or the
implementing regulations, including the completeness criteria under 40
CFR 60.27a(g). For instance, a plan submittal must include supporting
material demonstrating the state's legal authority to implement and
enforce each component of its plan, including the standards of
performance. Id. at 40 CFR 60.27a(g)(2)(iii). In addition, the specific
EGs may also require demonstrations that may not be satisfied by terms
of a permit or administrative order. To the extent that these and other
requirements are not met by the terms of the incorporated permits and
administrative orders, states will need to include materials in a state
plan submission demonstrating how the plan meets those requirements. If
a state does choose to use permits or administrative orders to
establish standards of performance, it needs to demonstrate that it has
the legal authority to do so. The implementing regulations do not
themselves provide any independent or additional authority to issue
permits and administrative orders under states' EPA approved title I
and title V permitting programs. The EPA solicits comment on these
proposed clarifications to state permit and enforcement authority
(Comment G4-1).
IV. Statutory and Executive Order Reviews
Additional information about these Statutory 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 a significant regulatory action that was submitted
to the Office of Management and Budget (OMB) for review because it may
raise novel legal or policy issues arising out of legal mandates, the
President's priorities or the principles set forth in the Executive
Order. Any changes made in response to OMB recommendations have been
documented in the docket.
This action proposes amendments to 40 CFR part 60, subpart Ba, the
general provisions that provide a framework for the development,
adoption, and submittal of state plans for implementation of CAA
section 111(d) EGs. The EGs provide for regulation of emissions of
designated pollutants from existing facilities within specific source
categories. The proposed amendments will only be applicable to EGs
promulgated after July 8, 2019, to the extent the EG does not supersede
the requirements of subpart Ba. The proposed amendments will not impact
legacy EGs subject to the requirements of 40 CFR part 60, subpart B.
The impacts of the amendments proposed here on the benefits and
costs of a potential EG subject to subpart Ba can vary greatly
depending on the source category, number and location of designated
facilities, and the designated pollutant and potential controls
addressed. Additionally, the EPA may propose to supersede these general
provisions in a particular EG, as needed and with appropriate
justification. Emission guidelines are subject to notice and comment
rulemaking, providing the opportunity for stakeholders, including the
public, to consider the impacts of implementing or superseding these
amendments during those rule making actions.
The EPA expects that the overall impacts of the implementation of
the amendments to subpart Ba being proposed in this action will improve
the implementation of EGs under CAA section 111(d). In particular, the
EPA expects that the timelines proposed in this action both
appropriately accommodate the process required by states and the EPA to
develop and evaluate plans to effectuate an EG and are consistent with
the objective of CAA section 111(d) to ensure that designated
facilities expeditiously control emissions of pollutants that the EPA
has determined may be reasonably anticipated to endanger public health
or welfare. The potential impacts of
[[Page 79210]]
amendments associated with timelines is addressed in more detail below.
As described in detail in section III.A.1 of this preamble, the EPA
is proposing 15 months for state plan submissions after publication of
a final EG. The EPA expects the additional time proposed for subpart Ba
compared with the 9 months provided in subpart B will better
accommodate the process required by states and the EPA to develop plans
to effectuate the applicable EG. Under the proposed state plan
submission timeframe, the costs of developing the plans may be spread
over 6 additional months. These additional 6 months also provide for
the time needed by states to meet the proposed requirements associated
with meaningful engagement and RULOF. As discussed in sections III.A.1
and III.A.3 of this preamble, the EPA does not interpret the ALA
court's direction to require a quantitative measure of impact, but
rather consideration of the importance of the public health and welfare
goals when determining appropriate deadlines for implementation of
regulations under CAA section 111(d). In proposing the state plan
submittal timeline, the EPA is allowing states sufficient time to
develop feasible implementation plans for their designated facilities
that adequately address public health and environmental objectives. By
allowing sufficient time for states to develop their state plans, the
EPA has considered the importance of the public health and welfare
goals as the proposed state planning process timing ultimately helps
ensure timelier implementation of an EG, and therefore achievement of
actual emission reductions, than would an unattainable deadline that
may result in the failure of states to submit plans and require the
development and implementation of a Federal plan. In addition, a
successful submittal of approvable state plans will avoid an attendant
expenditure of Federal resources associated with the development of a
Federal plan.
As described in detail in sections III.A.3 and III.A.4 of this
preamble, the EPA is proposing 12 months for the EPA to take final
action on a state plan after a submission is found to be complete and
12 months for the EPA to promulgate a Federal plan either after the
state plan deadline, if a state has failed to submit a complete plan,
or after the EPA's disapproval of a state plan submission. The EPA is
further proposing to streamline the timeframe for the EPA's
determination of completeness on a state plan submission from six
months to 60 days from receipt of the state plan submission (see
section III.A.2 of this preamble). As described in detail in section
III of this preamble, because these proposed timeframes provide for the
administrative time reasonably necessary for EPA to accomplish such
actions in an expeditious manner, the EPA expects these timeframes will
minimize the impacts on public health and welfare while ensuring that
an EG is expeditiously implemented.
As described in detail in section III.A.5 of this preamble, the EPA
is proposing to require that state plans include increments of progress
if the plan requires final compliance with standards of performance
later than 16 months after the plan submission deadline. The EPA
expects the additional time of 4 months provided in the proposed
amendments, compared to the requirement in subpart B, provides a
reasonable time period for owners or operators of designated facilities
to initiate actions associated with the increments of progress, thus
ensuring a successful implementation of the increments of progress. Any
specific requirements associated with increments of progress would be
included in the EG, as these are dependent on the source type,
pollutant, and control strategy addressed.
The EPA is also proposing amendments to subpart Ba to enhance
requirements for reasonable notice and opportunity for public
participation. In particular, the EPA is proposing to require that
states, as part of the state plan development or revision process or if
invoking RULOF provisions, undertake outreach and meaningful engagement
with a broad range of pertinent stakeholders. Pertinent stakeholders
include communities most affected by and vulnerable to the impacts of
the plan or plan revision (see section III.C of this preamble).
Overall, the EPA expects these amendments will benefit the states
in the development of approvable state plans. The EPA expects that the
proposed requirements associated with meaningful engagement with
pertinent stakeholders and RULOF would potentially increase the amount
of information the states can use in designing standards, which may
increase both the level of resources states will need to employ in the
development of an approvable plan, as well as the resulting health and
welfare benefits of the standards. At the same time, there are benefits
of engaging with stakeholders and receiving pertinent information as a
state plan is being developed. Such engagement may improve the record
for the state's plan and reduce the amount of comments received when
the state plan is proposed to the public, which would reduce the amount
of effort employed after proposal to address issues raised by the
public and stakeholders.
There is a lot of variation and uncertainty in determining the
magnitude of impacts, both to states and the public, resulting from
amendments associated with meaningful engagement in any particular EG.
The impacts of conducting meaningful engagement will be highly
dependent on the number and location of designated facilities addressed
by an EG, as well as on the type of health or environmental impacts of
the associated emissions. If stakeholder and public involvement
required by the proposed amendments does not generate a large number of
specific and unique comments, data, or other considerations, then the
level of effort states will employ to review them will be lower in
comparison to when meaningful engagement comments are voluminous. Also,
to the extent that states already employ significant engagement with
pertinent stakeholders, the proposed meaningful engagement amendments
would not result in additional costs, while other states that do not
have engagement procedures already in place may be required to increase
their level of effort to engage with pertinent stakeholders. The burden
and benefits of meaningful engagement for the pertinent stakeholders
will also be highly dependent on the EG and associated variables such
as, but not limited to, the geographical distribution of the facilities
and communities impacted, available modes of participation for those
areas, the pollutants addressed, and the range of options available to
the state and facilities for meeting the EG standards. The burden and
benefits to pertinent stakeholders may be difficult to quantify, but
overall, their engagement will be voluntary and is anticipated to
result in feedback that may improve the resulting health and welfare
benefits of the standards as perceived and experienced, particularly by
those in communities most affected by and vulnerable to the impacts of
the plan.
The EPA is proposing revisions to the RULOF provision in subpart
Ba. The amendments included in this proposed action are intended to
provide clarity and consistency for states and the EPA in considering
RULOF when applying standards of performance to individual sources,
while still fulfilling the statutory purpose of CAA section 111(d) (see
section III.E of this preamble).
The magnitude of impacts, both to states and the public, resulting
from amendments associated with the
[[Page 79211]]
proposed RULOF amendments, will vary depending on the particular EG to
which the proposed provisions would apply. If a state does not invoke
RULOF in their state plan, then the proposed amendments will not result
in additional costs. If a state does invoke RULOF in their state plan,
then the proposed amendments could result in an increased level of
effort to develop standards of performance for certain sources. As
such, the EPA expects the RULOF proposed amendments will potentially
increase the level of resources states will need to employ in the
development of an approvable plan. However, because the proposed
amendments clarify what the EPA considers to be a satisfactory plan,
the amendments would reduce the uncertainty of states and designated
facilities in the development of such standards. This in turn could
result in a decrease in the amount of time that a state that wished to
invoke RULOF would need, relative to a situation where the requirements
were less defined, by avoiding significant back and forth with EPA and
the sources in the state during state plan development. Overall, the
EPA expects the RULOF amendments will benefit the states in the
development of approvable state plans and in the resulting benefits to
public health and welfare.
Finally, the EPA expects proposed amendments for electronic
submittal and for the availability of optional regulatory mechanisms
will improve flexibility and efficiency in the call for and submission,
review, approval, and implementation of state plans, and thus will
overall result in benefits to the states, EPA, designated facilities,
and public health and welfare. In addition, the EPA expects the
proposed amendments for electronic submittal will increase the ease and
efficiency of data submittal and data accessibility and benefit the
states and EPA. Electronic submittal will also improve the Agency's
efficiency and effectiveness in the receipt and review of state plans.
While specific analysis of cost and benefit impacts will be
addressed through individual EGs and associated notice and comment
rulemaking, we request comments throughout this preamble more generally
on the potential impacts associated with the amendments to subpart Ba
being proposed in this action.
B. Paperwork Reduction Act (PRA)
This action does not impose an information collection burden under
the Paperwork Reduction Act. The requirements in subpart Ba do not
themselves require any reporting and recordkeeping activities, and no
Information Collection Request (ICR) was submitted in connection with
the original promulgation of the Ba subpart or the amendments we are
proposing at this time. Any recordkeeping and reporting requirements
are imposed only through the incorporation of specific elements of the
Ba in the individual Emission Guidelines, which have their own ICRs.
C. Regulatory Flexibility Act (RFA)
I certify that this action will not have a significant economic
impact on a substantial number of small entities. This proposed rule
will not impose any requirements on small entities. Specifically, this
action addresses processes related to state plans for implementation of
EGs established under CAA section 111(d).
D. Unfunded Mandates Reform Act (UMRA)
This action does not contain an unfunded mandate of $100 million or
more as described in UMRA, 2 U.S.C. 1531-1538, and does not
significantly or uniquely affect small governments. This proposed
action does not contain a Federal mandate that may result in
expenditures of $100 million or more for state, local, and tribal
governments, in the aggregate or the private sector in any 1 year.
This proposed action is also not subject to the requirements of
section 203 of UMRA because, as described in 2 U.S.C. 1531-38, it
contains no regulatory requirements that might significantly or
uniquely affect small governments. This action imposes no enforceable
duty on any local, or tribal governments or the private sector.
However, this action imposes enforceable duties on states. This action
does not meaningfully require additional mandates on states beyond what
is already required of them and will not impose a burden in excess of
$100 million.
E. 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. The EPA
believes, however, that this action may be of significant interest to
state governments.
Subpart Ba requirements apply to states in the development and
submittal of state plans pursuant to emission guidelines promulgated
under CAA section 111(d) after July 8, 2019, to the extent that an EG
does not supersede the requirements of subpart Ba. This action proposes
amendments to certain requirements for development, submission, and
approval processes of state plans under CAA section 111(d). In
particular, the proposed amendments associated to state plan submission
deadlines, RULOF provisions, meaningful engagement, and regulatory
mechanisms may be of significant interest to state governments. In
section IV.A. of this preamble, the EPA describes the potential impacts
of the implementation of the amendments to subpart Ba being proposed in
this action. Overall, the EPA expects these amendments will benefit the
states in the development of approvable state plans.
The EPA notes that notice and comment procedures required for the
promulgation of individual EGs will provide opportunity for states to
address issues related to federalism based on specific application of
subpart Ba requirements to that particular EG.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have tribal implications as specified in
Executive Order 13175. It would not impose substantial direct
compliance costs on tribal governments that have designated facilities
located in their area of Indian country. Tribes are not required to
develop plans to implement the guidelines under CAA section 111(d) for
designated facilities. This action also will not have substantial
direct costs or impacts 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 the action.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
The EPA interprets Executive Order 13045 as applying only to those
regulatory actions that concern environmental health or safety risks
that the EPA has reason to believe may disproportionately affect
children, per the definition of ``covered regulatory action'' in
section 2-202 of the Executive Order. This action is not subject to
Executive Order 13045 because it does not concern an environmental
health risk or safety risk.
[[Page 79212]]
H. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
This action is not a ``significant energy action'' because it will
not have a significant adverse effect on the supply, distribution or
use of energy. Specifically, this action addresses the submission and
adoption of state plans for implementation of EGs established under CAA
section 111(d).
I. National Technology Transfer and Advancement Act (NTTAA)
This rulemaking does not involve technical standards.
J. 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). The
EPA believes that this action will advance protection for these
communities by specifying requirements for balanced stakeholder
outreach and meaningful public engagement as described in section III.C
and section III.E.8 of this action.
K. Determination Under Section CAA 307(d)
Pursuant to CAA section 307(d)(1)(V), the Administrator determines
that this action is subject to the provisions of CAA section 307(d).
Section 307(d)(1)(V) of the CAA provides that the provisions of CAA
section 307(d) apply to ``such other actions as the Administrator may
determine.''
Michael S. Regan,
Administrator.
[FR Doc. 2022-27557 Filed 12-22-22; 8:45 am]
BILLING CODE 6560-50-P