Hazardous and Solid Waste Management System: Disposal of Coal Combustion Residuals From Electric Utilities; Legacy CCR Surface Impoundments, 38950-39122 [2024-09157]
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Federal Register / Vol. 89, No. 90 / Wednesday, May 8, 2024 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 9 and 257
[EPA–HQ–OLEM–2020–0107; FRL–7814–
04–OLEM]
RIN 2050–AH14
Hazardous and Solid Waste
Management System: Disposal of Coal
Combustion Residuals From Electric
Utilities; Legacy CCR Surface
Impoundments
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
On April 17, 2015, the
Environmental Protection Agency (EPA
or the Agency) promulgated national
minimum criteria for existing and new
coal combustion residuals (CCR)
landfills and existing and new CCR
surface impoundments. On August 21,
2018, the United States Court of
Appeals for the District of Columbia
Circuit vacated the exemption for
inactive surface impoundments at
inactive facilities (legacy CCR surface
impoundments) and remanded the issue
back to EPA to take further action
consistent with its opinion in Utility
Solid Waste Activities Group, et al. v.
EPA. This action responds to that order
and establishes regulatory requirements
for legacy CCR surface impoundments.
EPA is also establishing requirements
for CCR management units at active CCR
facilities and at inactive CCR facilities
with a legacy CCR surface
impoundment. Finally, EPA is making
several technical corrections to the
existing regulations, such as correcting
certain citations and harmonizing
definitions.
SUMMARY:
This final rule is effective on
November 4, 2024.
ADDRESSES: EPA has established a
docket for this action under Docket ID
No. EPA–HQ–OLEM–2020–0107. All
documents in the docket are listed on
the https://www.regulations.gov website.
Although listed in the index, some
information is not publicly available,
e.g., 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 form.
Publicly available docket materials are
available electronically through https://
www.regulations.gov.
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DATES:
FOR FURTHER INFORMATION CONTACT:
For
questions concerning this proposal,
contact Michelle Lloyd, Office of
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Resource Conservation and Recovery,
Materials Recovery and Waste
Management Division, Environmental
Protection Agency, 1200 Pennsylvania
Avenue NW, MC: 5304T, Washington,
DC 20460; telephone number: (202)
566–0560; email address:
Lloyd.Michelle@epa.gov, or Taylor Holt,
Office of Resource Conservation and
Recovery, Materials Recovery and Waste
Management Division, Environmental
Protection Agency, 1200 Pennsylvania
Avenue NW, MC: 5304T, Washington,
DC 20460; telephone number: (202)
566–1439; email address: Holt.Taylor@
epa.gov. For more information on this
rulemaking, please visit https://
www.epa.gov/coalash.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. General Information
A. Does this action apply to me?
B. What action is the Agency taking?
C. What is the Agency’s authority for
taking this action?
D. What are the incremental costs and
benefits of this action?
II. Background
A. 2015 CCR Rule
B. 2018 USWAG Decision
C. 2020 Part B Proposed Rule
D. 2020 Advance Notice of Proposed
Rulemaking
E. 2023 Proposed Rule and Comments
F. 2023 Notice of Data Availability
III. What is EPA finalizing?
A. Risks From Legacy CCR Surface
Impoundments and CCR Management
Units
1. Summary of May 2023 Proposal
2. 2023 Draft Risk Assessment
3. Response to Comments on the Proposal
and the NODA
4. 2024 Final Risk Assessment
B. Legacy CCR Surface Impoundment
Requirements
1. Definition of a ‘‘Legacy CCR Surface
Impoundment’’
2. Applicable Requirements for Legacy
CCR Surface Impoundments and
Compliance Deadlines
C. CCR Management Unit Requirements
1. Damage Cases
2. Applicability and Definitions Related to
CCR Management Units
3. Facility Evaluation for Identifying CCR
Management Units
4. Applicable Requirements for CCR
Management Units and Compliance
Deadlines
D. Closure of CCR Units by Removal of
CCR
1. Background
2. March 2020 Proposed Rule
3. What is EPA Finalizing Related to the
March 2020 Proposed Rule
E. Technical Corrections
IV. Effect on State CCR Permit Programs
V. The Projected Economic Impact of This
Action
A. Introduction
B. Affected Universe
C. Baseline Costs
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D. Costs and Benefits of the Final Rule
VI. Statutory and Executive Order Reviews
Regulatory Text
List of Acronyms
ACM Assessment of Corrective Measures
ANPRM Advance Notice of Proposed
Rulemaking
ARAR applicable or relevant and
appropriate requirements
ASD alternative source demonstration
CAA Clean Air Act
CBI Confidential Business Information
CBR closure by removal
CCR coal combustion residuals
CCRMU coal combustion residuals
management unit
CERCLA Comprehensive Environmental
Response, Compensation, and Liability
Act
CIP closure in place
CFR Code of Federal Regulations
COALQUAL U.S. Geological Survey coal
quality database
CWA Clean Water Act
DOE Department of Energy
EAP Emergency Action Plan
EIA Energy Information Administration
EIP Environmental Integrity Project
EJ environmental justice
ELG Effluent Limitation Guidelines
EPA Environmental Protection Agency
EPACMTP EPA Composite Model for
Leachate Migration with Transformation
Products
EPRI Electric Power Research Institute
FER Facility Evaluation Report
FERC Federal Energy Regulatory
Commission
FGD flue gas desulfurization
FR Federal Register
GWMCA groundwater monitoring and
corrective action
GWPS groundwater protection standard
HQ hazard quotient
HSWA Hazardous and Solid Waste
Amendments
ICR Information Collection Request
IRIS Integrated Risk Information System
LEAF Leaching Environmental Assessment
Framework
MCL maximum contaminant level
MDE Maryland Department of the
Environment
MNA monitored natural attenuation
MODFLOW–USG Modular ThreeDimension Finite-Difference GroundWater Flow Model
MSW Municipal Solid Waste
MW Megawatts
NAICS North American Industry
Classification System
NERC North American Electric Reliability
Corporation
NODA notice of data availability
NPDES National Pollution Discharge
Elimination System
NPL National Priorities List
NTTAA National Technology Transfer and
Advancement Act
OAFU Other Active Facilities
OLEM Office of Land and Emergency
Management
OMB Office of Management and Budget
OSHA Occupational Safety and Health
Administration
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P.E. Professional Engineer
PM particulate matter
PRA Paperwork Reduction Act
PRG preliminary remediation goal
PUC Public Utility Commission
QA/QC quality assurance/quality control
RCRA Resource Conservation and Recovery
Act
RIA Regulatory Impact Analysis
RME reasonable maximum exposure
RTO Regional Transmission Organizations
SMCL secondary maximum contaminant
level
SSI statistically significant increase
SSL statistically significant level
TDS total dissolved solids
TSCA Toxic Substances Control Act
TSDF Transportation Storage and Disposal
Facility
TVA Tennessee Valley Authority
UMRA Unfunded Mandates Reform Act
USGS U.S. Geological Survey
USWAG Utility Solid Waste Activities
Group
WIIN Water Infrastructure Improvements
for the Nation
WQC water quality criteria
I. General Information
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A. Does this action apply to me?
This rule applies to and may affect all
CCR generated by electric utilities and
independent power producers that fall
within the North American Industry
Classification System (NAICS) code
221112. The reference to NAICS code
221112 is not intended to be exhaustive,
but rather provides a guide for readers
regarding entities likely to be regulated
by this action. This discussion lists the
types of entities that EPA is now aware
could potentially be regulated by this
action. Other types of entities not
described here could also be regulated.
To determine whether your entity is
regulated by this action, you should
carefully examine the applicability
criteria found in 40 CFR 257.50 of title
40 of the Code of Federal Regulations.
If you have questions regarding the
applicability of this action to a
particular entity, consult the person
listed in the FOR FURTHER INFORMATION
CONTACT section.
B. What action is the Agency taking?
EPA is amending the regulations
governing the disposal of CCR in
landfills and surface impoundments,
codified in subpart D of part 257 of Title
40 of the Code of Federal Regulations
(CFR) (CCR regulations). Specifically,
the Agency is establishing regulatory
requirements for inactive CCR surface
impoundments at inactive utilities
(‘‘legacy CCR surface impoundment’’ or
‘‘legacy impoundment’’). This action is
being taken in response to the August
21, 2018, opinion by the U.S. Court of
Appeals for the District of Columbia
Circuit in Utility Solid Waste Activities
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Group v. EPA, 901 F.3d 414 (D.C. 2018)
(‘‘USWAG decision’’ or ‘‘USWAG’’) that
vacated and remanded the provision
exempting legacy impoundments from
the CCR regulations. This action
includes adding a definition for legacy
CCR surface impoundments and other
terms relevant to this rulemaking. It also
requires that legacy CCR surface
impoundments comply with certain
existing CCR regulations with tailored
compliance deadlines.
While this action is responsive to the
D.C. Circuit’s order, it is also driven by
the record, which clearly demonstrates
that regulating legacy CCR surface
impoundments will have significant
quantified and unquantified public
health and environmental benefits. As
EPA concluded in 2015, the risks posed
by unlined CCR surface impoundments
are substantial, and the risks from
legacy impoundments are at least as
significant. EPA’s 2014 Risk Assessment
concluded that the cancer risks from
unlined surface impoundments ranged
from 3 × 10¥4 for trivalent arsenic to 4
× 10¥5 for pentavalent arsenic. Noncancer risks from these same units also
significantly exceeded EPA’s level of
concern, with estimated Hazard
Quotients (HQ) of two for thallium,
three for lithium, four for molybdenum
and eight for trivalent arsenic. In
addition, as described in Unit III.A.1 of
this preamble, information obtained
since 2015 indicates that the risks for
legacy CCR surface impoundments are
likely to be greater than EPA originally
estimated. Finally, based on the
demographic composition and
environmental conditions of
communities within one and three miles
of legacy CCR surface impoundments,
this final rule will reduce existing
disproportionate and adverse effects on
economically vulnerable communities,
as well as those that currently face
environmental burdens. For example, in
Illinois the population living within one
mile of legacy CCR surface
impoundment sites is over three times
as likely compared to the State average
to have less than a high school
education (35.66% compared to
10.10%, see Regulatory Impact Analysis
(RIA) exhibit ES.14), and that
population already experiences higher
than average exposures to particulate
matter, ozone, diesel emissions, lifetime
air toxics cancer risks, and proximity to
traffic, Superfund sites, Risk
Management Plan sites, and hazardous
waste facilities (see RIA exhibit ES.15).
Consistent with the directive in section
4004(a) to ensure that the statutory
standard is met at all regulated sites,
including the most vulnerable, this final
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rule will help EPA further ensure that
the communities and ecosystems closest
to coal facilities are sufficiently
protected from harm from groundwater
contamination, surface water
contamination, fugitive dust, floods and
impoundment overflows, and threats to
wildlife.
EPA is also establishing requirements
to address the risks from currently
exempt solid waste management that
involves the direct placement of CCR on
the land. EPA is extending a subset of
the existing requirements in 40 CFR part
257, subpart D to CCR surface
impoundments and landfills that closed
prior to the effective date of the 2015
CCR Rule, inactive CCR landfills, and
other areas where CCR is managed
directly on the land. In this action, EPA
refers to these as CCR management
units, or CCRMU. The final rule
expands the CCRMU requirements to a
set of active facilities that were not
regulated by the 2015 CCR rule because
they had ceased disposing of CCR in
their on-site disposal units, and they did
not have an inactive surface
impoundment. Accordingly, this rule
applies to all CCRMU at active CCR
facilities and inactive facilities with a
legacy CCR surface impoundment.
EPA is also finalizing alternative
closure provisions to allow a facility to
complete the closure by removal in two
stages: first, by completing all removal
and decontamination procedures; and
second, by completing all groundwater
remediation in a separate post closure
care period.
Finally, EPA is making a number of
technical corrections to the existing
regulations, such as correcting certain
citations and harmonizing definitions.
EPA intends the provisions of the rule
to be severable. In the event that any
individual provision or part of the rule
is invalidated, EPA intends that this
would not render the entire rule invalid,
and that any individual provisions that
can continue to operate will be left in
place. For example, EPA intends that
the provisions governing each class of
facilities—legacy CCR inactive surface
impoundments, CCR management units,
other active facility units, and regulated
CCR landfills containing waste in
contact with groundwater—to be
independently severable from one
another as each set of requirements
operates independently from the other.
Likewise, the provisions regulating
existing units at active facilities,
including those units at non-fossil-fuelfired facilities generating energy, are
severable from the other substantive
requirements—each provision may
continue operating even if one of the
others is invalidated. EPA also intends
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that, within each set of provisions for
legacy CCR surface impoundments and
for CCR management units, the
substantive requirements be severable
from each other. For example, if any of
the closure requirements were to be set
aside (e.g., the requirement that CCRMU
initiate closure within 48 months of
publication), the groundwater
monitoring and corrective action
requirements can continue to fully and
effectively operate. These requirements
function independently from each other,
address environmental concerns
through different means, and are not
dependent on the others; they are
therefore severable from each other.
Lastly, as set forth below, EPA has
deferred the dates by when some units
in some circumstances must comply
with the substantive standards
governing legacy CCR surface
impoundments and CCR management
units. If any of the deferrals were to be
set aside, EPA intends that the
substantive standards would remain in
place because the rationale for and
effectiveness of each set of substantive
standards is not dependent on any of
the deferrals.
For the reader’s convenience, EPA has
provided a background description of
existing requirements in several places
throughout this preamble.
C. What is the Agency’s authority for
taking this action?
EPA is publishing this notice under
the authority of sections 1008(a),
2002(a), 3007, 4004, and 4005(a) and (d)
of the Solid Waste Disposal Act of 1970,
as amended by the Resource
Conservation and Recovery Act of 1976
(RCRA), as amended by the Hazardous
and Solid Waste Amendments of 1984
(HSWA) and the Water Infrastructure
Improvements for the Nation (WIIN) Act
of 2016, 42 U.S.C. 6907(a), 6912(a),
6927, 6944, 6945(a) and (d).
RCRA section 1008(a) authorizes EPA
to publish ‘‘suggested guidelines for
solid waste management.’’ 42 U.S.C.
6907(a). RCRA defines solid waste
management as ‘‘the systematic
administration of activities which
provide for the collection, source
separation, storage, transportation,
transfer, processing, treatment, and
disposal of solid waste.’’ 42 U.S.C.
6903(28).
Pursuant to section 1008(a)(3), the
guidelines are to include the minimum
criteria to be used by the States to define
the solid waste management practices
that constitute the open dumping of
solid waste or hazardous waste and are
prohibited as ‘‘open dumping’’ under
section 4005. Only those requirements
promulgated under the authority of
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section 1008(a)(3) are enforceable under
section 7002 of RCRA.
RCRA section 4004(a) generally
requires EPA to promulgate regulations
containing criteria distinguishing
‘‘sanitary landfills,’’ which may
continue to operate, from ‘‘open
dumps,’’ which are prohibited. 42
U.S.C. 6944(a); see id. 6903(14), (26);
6945(a). The statute directs that, ‘‘at a
minimum, the criteria are to ensure that
units are classified as sanitary landfills
only if there is no reasonable probability
of adverse effects on health or the
environment from disposal of solid
wastes at such facility.’’ 42 U.S.C.
6944(a).
RCRA section 4005(a), entitled
‘‘Closing or upgrading of existing open
dumps,’’ prohibits any solid waste
management practices or disposal of
solid waste that does not comply with
EPA regulations issued under RCRA
section 1008(a) and 4004(a). 42 U.S.C.
6945(a). See also 42 U.S.C. 6903(14)
(definition of ‘‘open dump’’). This
prohibition takes effect ‘‘upon
promulgation’’ of any rules issued under
section 1008(a)(3) and is enforceable
either through a citizen suit brought
pursuant to section 7002, or through an
EPA enforcement action brought
pursuant to section 4005(d)(4)(A). See
42 U.S.C. 6945(a), (d)(4)(A) (authorizing
EPA to use the authority under RCRA
section 3008(a) to enforce the open
dumping prohibition for CCR). RCRA
section 4005(a) also directs that open
dumps (i.e., facilities out of compliance
with EPA’s criteria), must be closed or
upgraded. See 42 U.S.C. 6945(a).
RCRA section 4005(d)(3) specifies that
the regulations in 40 CFR part 257,
subpart D ‘‘(or successor regulations
promulgated pursuant to sections
6907(a)(3) and 6944(a) of this title), shall
apply to each CCR unit’’ unless a permit
issued by an approved State or by EPA
is in effect. Similarly, section
4005(d)(6) 1 provides that:
a CCR unit shall be considered to be a
sanitary landfill for purposes of this chapter,
including subsection (a), only if the coal
combustion residuals unit is operating in
accordance with [a permit issued by EPA or
an approved State] or the applicable criteria
for coal combustion residuals units under
part 257 of title 40, Code of Federal
Regulations (or successor regulations
promulgated pursuant to sections 6907(a)(3)
and 6944(a) of this title).
1. Regulation of Solid Wastes Under
RCRA Subtitle D
Solid wastes that are neither a listed
nor characteristic hazardous waste are
subject to the requirements of RCRA
1 42
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subtitle D. Subtitle D of RCRA
establishes a framework for Federal,
State, and local government cooperation
in controlling the management of
nonhazardous solid waste. The Federal
role is to establish the overall regulatory
direction by providing minimum
nationwide standards that will protect
human health and the environment.
States may, but are not required to,
adopt these requirements into their
State programs.
Under RCRA section 4005(a), upon
promulgation of criteria under section
1008(a)(3), any solid waste management
practice or disposal of solid waste that
constitutes the ‘‘open dumping’’ of solid
waste is prohibited. The Federal
standards apply directly to the facility
(are self-implementing) and facilities are
directly responsible for ensuring that
their operations comply with these
requirements.
RCRA section 4005(d) establishes an
additional regulatory structure,
applicable exclusively to the solid waste
management of CCR, that builds on the
provisions in sections 1008(a)(3), 4004,
and 4005(a), without restricting the
scope of EPA’s authority under those
sections. See, 42 U.S.C. 6945 (d)(7).
Under 4005(d), States may seek EPA
approval of a State permitting program
under which individualized facility
permits would ‘‘operate in lieu of [EPA]
regulation of coal combustion residuals
units in the State.’’ 42 U.S.C.
6945(d)(1)(A). EPA is also directed to
‘‘implement a permit program,’’ which
would operate in absence of an
approved State program. 42 U.S.C.
6945(d)(2). However, the statute makes
clear that facilities must continue to
comply with the Federal regulations
until a permit issued by either EPA or
an approved State is in effect. 42 U.S.C.
6945(d)(3), (6).
RCRA sections 1008(a)(3) and 4004(a)
delegate broad authority to EPA to
establish regulations governing the
management of solid waste. Under
section 4004(a) EPA is charged with
establishing requirements to ensure that
facilities will be classified as sanitary
landfills and not an open dump ‘‘only
if there is no reasonable probability of
adverse effects on health or the
environment from the disposal of solid
waste’’ at the facility. Or in other words,
under section 4004(a) EPA is charged
with issuing regulations to address all
‘‘reasonable probabilities of adverse
effects’’ (i.e., all reasonably anticipated
risks) to health and the environment
from the disposal of solid waste. Section
1008(a)(3) expands EPA’s authority to
address the risks from any of the
activities identified as ‘‘solid waste
management’’ in RCRA section
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1004(28). Specifically, EPA is
authorized to establish requirements
applicable to ‘‘storage, transportation,
transfer, processing, treatment, and
disposal of solid waste.’’ (42 U.S.C.
6907(a), 6903(28)). Under RCRA, EPA
sets these requirements without taking
cost into account as a factor. See
USWAG et al. v. EPA, 901 F.3d at 448–
49 (citing RCRA section 4004(a)).
The statute is clear that EPA is
authorized to issue regulations to
address the current risks from previous
solid waste management activities. EPA
explained at length the basis for this
conclusion as part of the Agency’s
rationale for regulating inactive
impoundments. See, 80 FR 21344—
21347. See also USWAG, 901 F.3d at
440. Among other provisions, the
statutory definition of an ‘‘open dump’’
conclusively resolves the question.
RCRA defines an ‘‘open dump’’ as ‘‘any
facility or site where solid waste is
disposed of . . . .’’ 42 U.S.C. 6903(14).
As the D.C. Circuit explained,
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Importantly, while the ‘‘is’’ retains its
active present tense, the ‘‘disposal’’ takes the
form of a past participle (‘‘disposed’’). In this
way, the disposal itself can exist (it ‘‘is’’),
even if the act of disposal took place at some
prior time . . . . Properly translated then, an
open dump includes any facility (other than
a sanitary landfill or hazardous waste
disposal facility), where solid waste still ‘‘is
deposited,’’ ‘‘is dumped,’’ ‘‘is spilled,’’ ‘‘is
leaked,’’ or ‘‘is placed,’’ regardless of when
it might have originally been dropped off.
See 42 U.S.C. 6903(3), (14). In other words,
the waste in inactive impoundments ‘‘is
disposed of’’ at a site no longer receiving new
waste in just the same way that it ‘‘is
disposed of’’ at a site that is still operating.
901 F.3d at 440. See also In re
Consolidated Consol. Land Disposal
Regulation Litig., 938 F.2d 1386, 1389
(D.C. Cir. 1991) (EPA’s reading of the
term ‘‘disposal’’ in RCRA’s subtitle C, 42
U.S.C. 6924, to include ‘‘the continuing
presence of waste’’ was reasonable);
USWAG, 901 F.3d at 453–54
(Henderson, J., concurring) (same). By
the same logic, these provisions would
authorize EPA to regulate closed units
that continue to pose risks to health or
the environment, for example by
requiring the owners or operators of
such units to remediate any
contamination from these units, or to
take action to prevent such
contamination.
The 2016 amendments further
confirm EPA’s authority over these
activities. In section 4005, Congress
referenced the 2015 regulations in the
statute, and expressly stated that the
amendments in 4005(d) were not
intended to limit or restrict the
authority already provided under
sections 1008(a)(3) and 4004(a). See, 42
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U.S.C. 6945(d)(3), (6), (7). By
incorporating the rule into the statute
without modification, Congress has
affirmed the Agency’s authority to
impose the kind of requirements
established in part 257 (e.g., corrective
action to remediate groundwater
contamination). Moreover, Congress
made clear that EPA retains the
authority to modify or expand these
requirements as necessary to ensure that
the standard in section 4004(a) will
continue to be met. See, e.g., 42 U.S.C.
6945(d)(1)(A)(i), (3), (6) (referencing ‘‘or
successor regulations promulgated
pursuant to sections 6907(a)(3) and
6944(a) of this title’’).
EPA interprets the standard in section
4004(a) to apply equally to criteria
issued under sections 1008(a)(3) and
4004(a); namely that the criteria must
ensure that a facility is to be classified
as a sanitary landfill, and thus allowed
to continue to operate, ‘‘only if there is
no reasonable probability of adverse
effects on health or the environment’’
from either the disposal or other solid
waste management practices at the
facility. Thus, under the combined
authority conferred by sections
1008(a)(3) and 4004(a), a facility is an
‘‘open dump’’ if it engages in any
activity involving the management of
solid waste that does not meet the
standard in section 4004(a); or in other
words, any activity involved with the
management of solid waste that presents
a reasonable probability of causing
adverse effects on health or the
environment. EPA also interprets these
provisions to authorize the
establishment of criteria that define the
manner in which facilities upgrade or
close, consistent with the standard in
section 4004(a), to ensure there will be
no reasonable probability of adverse
effects on health or the environment.
D. What are the incremental costs and
benefits of this action?
As noted previously, EPA establishes
the requirements under RCRA sections
1008(a)(3) and 4004(a) without taking
cost into account. See, USWAG, 901
F.3d at 448–49. The following cost
estimates are presented in the RIA and
summarized in this preamble for
compliance with OMB Circular A–4,
E.O. 12866, and E.O. 14094. The
requirements in this rule do not rely on
these cost estimates.2
2 Although EPA did not consider costs in
developing this rule, if the Agency had considered
costs, the final rule would not have been different.
As discussed in greater detail later in this preamble
and in the RIA, the monetized benefits are based on
only a subset of adverse health effects from a single
constituent. EPA monetized the benefit from two
additional human health endpoints associated with
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The RIA estimates that the annualized
monetized costs of this action will be
approximately $214–$240 million per
year when discounting at 2%. Of this,
$123–$135 million is attributable to the
requirements for legacy CCR surface
impoundments, which are subject to the
D.C. Circuit’s order in USWAG, $79–$92
million is attributable to the
requirements for CCRMU, an additional
$8–$9 million is attributable to the
requirements for CCRMU at Other
Active Facilities (OAFUs) (a term used
in the RIA) that are discussed in Unit
III.C.2.e of the preamble, and $4 million
is attributable to requirements for
landfills. The costs of this final rule are
discussed further in the RIA and
include the costs of unit closure,
corrective action, fugitive dust controls,
structural integrity inspections, and
recordkeeping and reporting.
The RIA estimates that the annualized
monetized benefits attributable to this
action will be approximately $53–$80
million per year when discounting at
2%. Of this, $43–$57 million is
attributable to the requirements for
legacy CCR surface impoundments, $9–
$21 million is attributable to the
requirements for CCRMU, $1–$2 million
is attributable to the requirements for
CCRMU at ‘‘other active facilities,’’ or
OAFUs. Requirements for landfills
account for a de minimis amount of
benefits.
In addition to monetized benefits, the
RIA describes ten categories of nonmonetized benefits. These include
human health effects from lead
exposure such as ADHD, cardiovascular
mortality, and increased cancer risk.
They also include ecosystem benefits
from avoided exposure to the heavy
metals in CCR effluent. The RIA
describes several property-related
benefits including increased property
values near closed and remediated CCR
units, and option values for remediated
land. The RIA also contextualizes the
final rule within EPA’s broader efforts to
regulate air and surface water pollution
from coal fired power plants.
Further information on the economic
effects of this action can be found in
Unit V of this preamble.
that single constituent in a sensitivity analysis and
estimated an additional $19 million per year when
discounting at 2% from that single contaminant.
The RIA also describes a number of important
benefits that cannot currently be quantified or
monetized due to data limitations or limitations in
current methodologies. Based on these estimates
EPA believes that after considering all unquantified
and distributional effects, the public health and
welfare gains that will result from the proposed
alternative would justify the rule’s costs.
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II. Background
A. 2015 CCR Rule
On April 17, 2015, EPA finalized
national minimum criteria for the
disposal of CCR as solid waste under
Subtitle D of RCRA titled, ‘‘Hazardous
and Solid Waste Management System;
Disposal of Coal Combustion Residuals
from Electric Utilities’’ (80 FR 21302)
(2015 CCR Rule). The 2015 CCR Rule,
codified in 40 CFR part 257, subpart D,
established regulations for existing and
new CCR landfills, as well as existing
and new CCR surface impoundments
(including all lateral expansions of CCR
units). The criteria consist of location
restrictions, design and operating
criteria, groundwater monitoring and
corrective action requirements, closure
and post-closure care requirements,
recordkeeping, notification, and internet
posting requirements.
The 2015 CCR Rule also imposed
requirements on inactive surface
impoundments at active facilities. A
CCR surface impoundment is a natural
topographic depression, man-made
excavation, or diked area, which is
designed to hold an accumulation of
CCR and liquids, and the unit treats,
stores, or disposes of CCR. The 2015
CCR Rule defined an ‘‘inactive CCR
surface impoundment’’ as ‘‘a CCR
surface impoundment that no longer
receives CCR on or after October 19,
2015, and still contains both CCR and
liquids on or after October 19, 2015.’’ 40
CFR 257.53. The rule defined ‘‘active
facility or active electric utilities or
independent power producers’’ as ‘‘any
facility subject to the requirements of
this subpart that is in operation on
October 19, 2015. An electric utility or
independent power producer is in
operation if it is generating electricity
that is provided to electric power
transmission systems or to electric
power distribution systems on or after
October 19, 2015. An off-site disposal
facility is in operation if it is accepting
or managing CCR on or after October 19,
2015.’’ 40 CFR 257.53.
The 2015 CCR Rule did not impose
any requirements on inactive facilities.
EPA explained that this was consistent
with past decisions under RCRA subtitle
C. See, 80 FR 21344 (April 17, 2015).
EPA further raised concerns that it
would be difficult to identify the owners
or other parties responsible for such
facilities, as well as concerns that the
present owner of the land on which an
inactive facility was located might have
no connection (other than present
ownership of the land) with the prior
disposal activities. Id. Consequently,
EPA exempted those units at
§ 257.50(e).
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B. 2018 USWAG Decision
The 2015 CCR Rule was challenged by
several parties, including coalitions of
regulated entities and environmental
organizations (‘‘Environmental
Petitioners’’). See USWAG et al. v. EPA,
901 F.3d 414 (D.C. Cir. 2018).
Environmental Petitioners raised two
challenges that are relevant to this final
rule. First, they challenged the
provision at § 257.101(a)(1) that allowed
existing, unlined surface impoundments
to continue to operate until they
exceeded the groundwater protection
standard. They contended that EPA
failed to show how continued operation
of unlined impoundments met RCRA’s
baseline requirement that any solid
waste disposal site pose ‘‘no reasonable
probability of adverse effects on health
or the environment.’’ 42 U.S.C. 6944(a).
Second, Environmental Petitioners
challenged the exemption at § 257.50(e)
for inactive surface impoundments at
inactive power plants (i.e., ‘‘legacy
ponds’’). Environmental Petitioners
argued that legacy ponds are at risk of
unmonitored leaks and catastrophic
structural failures.
On August 21, 2018, the U.S. Court of
Appeals for the D.C. Circuit upheld
most of the 2015 CCR Rule but decided
in favor of Environmental Petitioners on
these two claims. The Court held that
EPA acted ‘‘arbitrarily and capriciously
and contrary to RCRA’’ in failing to
require the closure of unlined surface
impoundments 3 and in exempting
inactive surface impoundments at
inactive power plants from regulation.
The Court vacated these provisions and
remanded the matter back to the Agency
for further action consistent with its
opinion.
In overturning the exemption for
legacy ponds, the Court evaluated the
evidence in the rulemaking record and
reached specific conclusions about the
risks that legacy ponds pose based on
the record for the 2015 CCR Rule. The
Court pointed to evidence that legacy
ponds are most likely to be unlined and
unmonitored and that such units have
been shown to be more likely to leak
than units at utilities still in operation.
901 F.3d at 432. The Court also
determined that legacy ponds:
. . . pose the same substantial threats to
human health and the environment as the
riskiest Coal Residuals disposal methods,
compounded by diminished preventative and
remediation oversight due to the absence of
an onsite owner and daily monitoring. See 80
FR at 21343 through 21344 (finding that the
3 After the Court’s ruling, the closure of unlined
CCR surface impoundments was addressed in a
separate regulatory action that was published on
August 28, 2020 (85 FR 53516).
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greatest disposal risks are ‘‘primarily driven
by the older existing units, which are
generally unlined’’). Notably, this very Rule
was prompted by a catastrophic legacy pond
failure that resulted in a ‘‘massive’’ spill of
39,000 tons of coal ash and 27 million
gallons of wastewater into North Carolina’s
Dan River. . . .
[T]here is no gainsaying the dangers that
unregulated legacy ponds present. The EPA
itself acknowledges the vital importance of
regulating inactive impoundments at active
facilities. That is because, if not properly
closed, those impoundments will
‘‘significant[ly]’’ threaten ‘‘human health and
the environment through catastrophic
failure’’ for many years to come. 75 FR at
35,177; see also 80 FR at 21,344 n. 40.
The risks posed by legacy ponds are at
least as substantial as inactive
impoundments at active facilities. See 80 FR
at 21,343–21, 344 (finding ‘‘no [ ]
measurabl[e] differen[ce]’’ in risk of
catastrophic events between active and
inactive impoundments). And the threat is
very real. Legacy ponds caused multiple
human and environmental disasters in the
years leading up to the Rule’s promulgation.
See 75 FR at 35,147 (proposed rule discusses
multiple serious incidents). For example, a
pipe break at a legacy pond at the Widows
Creek plant in Alabama caused 6.1 million
gallons of toxic slurry to deluge local
waterways. Id. Another legacy pond in
Gambrills, Maryland caused the heavy metal
contamination of local drinking water. Id.
And the preamble to the Rule itself
specifically points to the catastrophic spill at
the Dan River legacy pond in North Carolina.
80 FR at 21,393–21,394.
Id. at 432–433. Relying on this evidence,
the Court concluded there was no
logical basis for distinguishing between
the inactive impoundments at active
facilities that were regulated and the
legacy impoundments that were exempt.
Id. at 434. Consequently, the Court
vacated the provision of the 2015 CCR
Rule (§ 257.50(e)) that specifically
exempted inactive impoundments at
inactive facilities from regulation and
remanded the matter back to EPA for
further action consistent with its
opinion. Notwithstanding the vacatur of
§ 257.50(e), until EPA amended the
regulations to effectuate the Court’s
order, facilities were not legally obliged
to take any action to comply with the
Federal CCR regulations. This is
because, as originally drafted, legacy
CCR surface impoundments did not fall
within the scope of the rule, as defined
in § 257.50. The specific provision in
§ 257.50(e) exempting legacy
impoundments merely identified the
units that were not covered by
§ 257.50(b). Because the vacatur of
§ 257.50(e) did not amend § 257.50(b),
legacy impoundments remained
exempt.
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C. 2020 Part B Proposed Rule
In the March 3, 2020 proposed rule,
Hazardous and Solid Waste
Management System: Disposal of CCR;
A Holistic Approach to Closure Part B:
Alternate Demonstration for Unlined
Surface Impoundments; Implementation
of Closure (85 FR 12456), EPA proposed
revisions to the 2015 CCR Rule,
including: procedures to allow facilities
to request approval to use an alternate
liner for CCR surface impoundments;
two alternative proposed options to
allow the use of CCR during unit
closure; an additional closure option for
CCR units being closed by removal of
CCR; and requirements for annual
closure progress reports. On November
12, 2020, EPA finalized the procedures
to allow facilities to request approval to
use an alternate liner for CCR surface
impoundments. 85 FR 72506. In this
final rule, the Agency is taking final
action on the proposed closure option
for units being closed by removal of
CCR, which action is discussed in Unit
III.D of this preamble. EPA is still
considering provisions from the
proposed rule that are not addressed in
this rule and may be addressed in a
subsequent action.
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D. 2020 Advance Notice of Proposed
Rulemaking
On October 14, 2020, EPA published
an Advance Notice of Proposed
Rulemaking (ANPRM) (85 FR 65015). In
that action, EPA requested information
related to legacy CCR surface
impoundments to inform a future
rulemaking. The Agency requested
input on its regulatory authority, input
on a potential definition of a legacy CCR
surface impoundment and specific
information on the types of inactive
surface impoundments at inactive
facilities that might be considered
legacy CCR surface impoundments.
Specifically, EPA requested information
on how many of these units exist, the
current status of these units (e.g.,
capped, dry, closed according to State
requirements, still holding water), and
the names, locations, and closure dates
of former power plants that may have
these units. Finally, the Agency took
comment on which CCR regulations
should apply to legacy CCR surface
impoundments and on suggestions for
compliance deadlines.
During the 60-day public comment
period, the Agency received over 15,000
comments from environmental groups,
four States, one Tribe, individual
utilities, and industry trade
associations. The topics raised in
comments included a potential
definition of a legacy CCR surface
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impoundment, EPA’s regulatory
authority, the scope and applicability of
the legacy impoundment rule, and
regulatory requirements to propose.
Moreover, the comments generally
agreed that EPA must prescribe
timeframes for coming into compliance
with the regulations and they
recommended timeframes that are
shorter than compliance timeframes in
the 2015 CCR Rule.
As noted in the ANPRM, EPA took
comment on whether, in light of the
Court’s opinion in USWAG, the Agency
could reconsider whether it has the
authority to regulate inactive
impoundments under RCRA subtitle D.
85 FR 65017–65018 (October 14, 2020).
The general consensus from
commenters on the ANPRM was that,
because the Court resolved the question
based on the plain meaning of the
statute, EPA does not have the
discretion to reinterpret its authority. In
addition, no commenter identified a
factual basis for not regulating legacy
CCR surface impoundments that
addressed the Court’s concern about the
risks these units pose. Id. at 65018.
Consequently, EPA is not revisiting the
question of whether it may regulate
inactive or legacy CCR surface
impoundments.
E. 2023 Proposed Rule and Comments
On May 18, 2023, EPA proposed
revisions to the CCR regulations (88 FR
31982) (‘‘the proposed rule’’ or ‘‘2023
proposed rule’’). These revisions
included establishing regulations
specifying that legacy CCR surface
impoundments are subject to 40 CFR
part 257, subpart D and specifying that
owners or operators of legacy CCR
surface impoundments comply with all
the appropriate requirements applicable
to inactive CCR surface impoundments
at active facilities. In addition, EPA
proposed to establish requirements to
address the risks from currently exempt
solid waste management that involves
the direct placement of CCR on the land.
EPA proposed to extend a subset of the
existing requirements in part 257,
subpart D to CCRMU, which was
proposed to include CCR surface
impoundments and landfills that closed
prior to the effective date of the 2015
CCR Rule, inactive CCR landfills, and
other areas where CCR is managed
directly on the land. This proposal
would apply to all active CCR facilities
and all inactive facilities with legacy
CCR surface impoundments. Lastly,
EPA proposed to make several technical
corrections to the CCR regulations.
These are: (1) To clarify the definitions
of ‘‘feasible’’ and ‘‘technically feasible’’;
(2) To correct the CFR reference in the
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definition of wetlands at § 257.61(a); (3)
To correct a reference in the
groundwater monitoring scope section;
(4) To standardize the references to CCR
websites throughout the CCR
regulations; and (5) EPA requested
comment on extending the period for
document retention and posting.
The Agency received over 33,500
comments on the proposed rule, with
over 600 unique comments.
Commenters included individual
electric utilities and independent power
producers, national trade associations,
State agencies, public interest and
environmental groups, private citizens,
and entities involved with the beneficial
use of CCR. All public comments
submitted in response to the proposal
can be found in the docket for this
action. Most commenters focused on the
scope of the proposed rule, definitions,
compliance deadlines, and EPA’s
statutory authority to regulate CCRMU.
Most commenters also requested that
EPA adopt additional requirements to
address the risks from CCR units. EPA’s
responses to the comments on the
proposed rule are addressed either in
this preamble or in a response to
comment document available in the
docket to this final rule.
EPA conducted two public hearings
on the proposed rule. EPA held an inperson public hearing in Chicago,
Illinois on June 28, 2023. At this hearing
there were 87 speakers and a total of 150
registered attendees. EPA also held a
virtual public hearing on July 12, 2023,
using an internet-based software
platform. The platform allowed the
public hearing participants to provide
oral testimony using a microphone and
speakers connected to their computers
or using a phone. It provided the ability
for any person to listen to the public
hearing via their computer. At the
virtual hearing, there were 93 speakers
and a total of 353 registered attendees.
Testimony at both public hearings
focused generally on EPA’s proposed
amendments, and on the following
topics: whether to further expand
regulation to all CCR, regardless if it was
onsite of a regulated facility; whether to
regulate structural fill and other
beneficial uses; enforcement of the CCR
regulations; requests for more
engagement with communities; and
requests for EPA to amend other
regulations to strengthen corrective
action and limit the use of alternative
source demonstrations (ASD). Finally,
some commenters discussed sitespecific concerns of facilities near their
homes, or health effects witnessed in
communities close to CCR sites, and
general concerns about the health and
environmental risks from CCR.
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Transcripts for both public hearings are
included in the docket for this action.
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F. 2023 Notice of Data Availability
On November 14, 2023, EPA
published a notice of data availability
(NODA), to solicit comments on
additional information and statistics
developed in response to comments on
the Agency’s May 18, 2023 proposed
rule. 88 FR 77941. Some of the
information contains data or analysis
obtained directly from comments
submitted during the May 18, 2023
proposed rule’s comment period, which
might aid in the formulation of the final
rule. EPA also solicited comments on a
supplemental risk assessment EPA
conducted in response to comments
raised on the proposed rule. This risk
assessment builds on the findings of the
previous Human and Ecological Risk
Assessment of Coal Combustion
Residuals (2014 Risk Assessment) 4 and
better quantifies the specific risks that
may result from placement of CCR in
legacy CCR surface impoundments and
CCRMU. EPA requested comment on all
aspects of the assessment including the
validity and propriety of relying on the
new information, data, and analyses
contained in the updated risk
assessment to inform the final rule.
EPA also sought further information
on legacy CCR surface impoundments
and CCRMU, including information on
the location, presence, condition,
history, and risk associated with any of
the potential legacy CCR surface
impoundments or any of the potential
CCRMU within the docket. EPA also
requested any information regarding the
presence of water, distance to surface
water bodies, proximity to floodplains,
unit size, CCR volume, depth to
groundwater, date of CCR placement,
closure status, any corrective action
associated with the unit, and any
groundwater monitoring data. EPA also
requested comment on the accuracy of
the information that was submitted
regarding potential legacy CCR surface
impoundments or potential CCRMU.
Furthermore, EPA sought similar
information on any other potential
legacy CCR surface impoundments or
potential CCRMU of which EPA may
not be aware or for which we may have
incomplete information.
EPA accepted public comment on the
NODA until December 11, 2023. The
Agency received over 70 comments on
the NODA. Commenters included
individual electric utilities and
4 U.S. EPA. 2014. ‘‘Human and Ecological Risk
Assessment of Coal Combustion Residuals.’’ RIN
2050–AE81. Office of Solid Waste and Emergency
Response. Washington, DC. December.
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independent power producers, national
trade associations, State agencies, public
interest and environmental groups,
private citizens, and entities involved
with the beneficial use of CCR. All
public comments submitted in response
to the NODA can be found in the docket
for this action. The majority of
commenters focused on the
supplemental risk assessment; some
focused on the request for additional
information on the universe of legacy
CCR surface impoundments and
CCRMU. EPA’s responses to comments
received on the NODA are addressed
either in an updated risk assessment
(the 2024 Risk Assessment), this
preamble, or in the response to
comment document available in the
docket to this final rule.
III. What final action is the Agency
taking?
In response to the USWAG decision,
EPA is finalizing a provision at
§ 257.50(e), specifying that legacy CCR
surface impoundments are subject to 40
CFR part 257, subpart D. EPA is also
requiring owners or operators of legacy
CCR surface impoundments to comply
with the following existing
requirements in the CCR regulations:
installation of a permanent marker,
history of construction, hazard potential
classification, structural stability and
factors of safety assessments, emergency
action plan (EAP), air criteria,
inspections, groundwater monitoring
and corrective action, closure and postclosure care, recordkeeping, and
notification and CCR website
requirements. EPA further is
establishing new compliance deadlines
for these newly applicable regulatory
requirements to ensure the owners or
operators of these units have time to
come into compliance.
In addition to the revisions EPA
proposed to address the USWAG
decision, EPA is establishing
requirements to address the risks from
currently exempt solid waste
management that involves the direct
placement of CCR on the land. EPA is
extending a subset of the existing
requirements in 40 CFR part 257,
subpart D to CCRMU, which are CCR
surface impoundments and landfills
that closed prior to the effective date of
the 2015 CCR Rule, inactive CCR
landfills, and other areas where CCR is
managed directly on the land. These
additional requirements apply to all
active CCR facilities, all inactive
facilities with legacy CCR surface
impoundments subject to this final rule,
and those active facilities (i.e., facilities
producing electricity for the grid as of
October 19, 2015) that ceased placing
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CCR in onsite CCR units prior to the
effective date of the 2015 CCR Rule.
EPA is also finalizing alternative
closure provisions to allow a facility to
complete the closure by removal in two
stages: first, by completing all removal
and decontamination procedures; and
second, by completing all groundwater
remediation in a separate post closure
care period.
Lastly, EPA is finalizing several
technical corrections to the CCR
regulations. These are: (1) to clarify the
definitions of ‘‘feasible’’ and
‘‘technically feasible’’; (2) to correct the
CFR reference in the definition of
wetlands at § 257.61(a); (3) to correct a
reference in the groundwater monitoring
scope section; (4) to standardize the
references to CCR websites throughout
the CCR regulations; and (5) to extend
the period for document retention and
posting.
A. Risks From Legacy CCR Surface
Impoundments and CCR Management
Units
1. Summary of May 2023 Proposal
The proposal largely relied on the
model results from the 2014 Risk
Assessment, as EPA considered the
results were equally applicable to legacy
CCR surface impoundments and
CCRMU.5 This determination was based
on the fact that many of these
unregulated units are similarly
constructed, manage the same types of
ash, and are frequently located either at
the same or nearby facilities as their
regulated counterparts. In particular,
some unregulated units are known to be
located directly adjacent to or beneath
currently regulated units.
The 2014 Risk Assessment concluded
that the management practices that EPA
believed were generally in use in 2014
at surface impoundments and landfills
were likely to pose risks to human
health through groundwater exposure
within the range that EPA typically
considers warrants regulation. For
highly exposed individuals, the cancer
risks from arsenic due to the operation
of surface impoundments were as high
as 2 × 10¥4, while noncancer risks were
as high as an HQ of 5 for arsenic, 2 for
lithium, and 2 for molybdenum. Cancer
risks associated with the operation of
landfills were estimated to be as high as
5 × 10¥6 from the ingestion of arseniccontaminated drinking water. In 2015,
EPA relied on this risk assessment to
support the regulation of both active
CCR units and inactive CCR surface
5 U.S. EPA. 2014. ‘‘Human and Ecological Risk
Assessment of Coal Combustion Residuals.’’ RIN
2050–AE81. Office of Solid Waste and Emergency
Response. Washington, DC. December.
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impoundments at active facilities. The
2014 Risk Assessment reported risks for
the units that were anticipated to be
subject to the 2015 CCR Rule and
therefore drew no conclusions about the
older units excluded from the scope of
that rule. Nevertheless, information
available in the record supports the
conclusion that these older units can
pose risks at least as high as reported in
the 2014 Risk Assessment.
EPA further proposed to find that the
risks associated with legacy
impoundments and CCRMU may be
even higher than EPA modeled on a
national scale in the 2014 Risk
Assessment for active units. First, the
proposal explained that these units have
been present onsite for longer and had
more time to leak. In addition, EPA
explained that there are several
management practices that have the
potential to result in higher leakage, but
that were previously modeled either less
frequently for active units—based on a
belief that the practices had declined
over time—or not at all—due to data
constraints on a national scale. These
include: (1) The greater prevalence of
unlined units; (2) The greater likelihood
of co-management of CCR with coal
refuse and other wastes in surface
impoundments, making the overall
waste pH far more acidic and (3) The
potential for the units to be constructed
below the water table or to have become
inundated with groundwater after
construction. The proposal estimated
that the solid waste management
practices associated with legacy
impoundments and CCRMU could pose
lifetime cancer risks from arsenic as
high as 2 × 10¥5 to 1 × 10¥3 (i.e., 2 to
100 cases of cancer for every 100,000
individuals exposed), and non-cancer
risks for cobalt as high as an HQ of 13,
mercury up to an HQ of 13, lithium up
to an HQ of 3, molybdenum up to an HQ
of 4, and thallium up to an HQ of 2,
depending on the specific management
practice. Finally, EPA explained that
each of these practices individually can
pose greater risks than those previously
modeled for the currently regulated
universe of CCR units, and a
combination of these practices could
push risks even higher.
2. 2023 Draft Risk Assessment
A number of commenters claimed that
the 2014 Risk Assessment did not
adequately capture various factors
associated with legacy CCR surface
impoundments and CCRMU that the
commenters believed will result in
significantly different risks than those
posed by currently regulated units. In
response to these comments, EPA
conducted a supplemental risk
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assessment to determine the potential
for some of these factors to affect
national risks. This risk assessment built
on the findings of the 2014 Risk
Assessment and better quantified the
specific risks that may result from
placement of CCR in legacy CCR surface
impoundments and CCRMU.
The 2023 draft supplemental
assessment consisted of: (1) Additional
modeling of inactive and closed CCR
landfills and surface impoundments
that was actually conducted in 2014
using the same methodology and data.
These results were ultimately not
included in the original 2014 Risk
Assessment because the units were not
regulated under the final 2015 rule, and
(2) Some further model runs relying on
some updated data. In addition, EPA
modeled the placement of CCR in
smaller quantities than would typically
be found in a CCR surface
impoundments or landfill (i.e., smaller
CCRMU placements or CCRMU fills) to
determine the potential for these smaller
CCRMU placements to contaminate
groundwater. Through this modeling,
EPA identified potential for these fills to
contaminate onsite groundwater. Model
results indicated potential for
exceedance of groundwater protection
standards (GWPS) at the fill boundary
under both high-end and moderate
conditions. These results also showed
potential for substantial spread of the
resulting groundwater plume. Under
high-end conditions, these plumes are
large and persistent enough to sustain
exposures for over a century or more at
average risks of 2 × 10¥5 or higher.
Finally, EPA assessed the potential for
exposure to radiation from CCR
remaining in the soil (subsurface). EPA
found the amount of radon emitted by
CCR is not distinguishable from
background soil and so did not retain
this pathway for further consideration.
EPA also found greater potential for risk
from gamma radiation as CCR comes to
be located closer to the ground surface
due to a reduction in shielding. An
additional sensitivity analysis identified
potential for further risk if CCR becomes
mixed with surface soil. Accumulation
of CCR can result in elevated cancer risk
from incidental ingestion of arsenic and
radium, in addition to direct exposure
to gamma radiation from radium. For
high-end waste concentrations, an eight
percent mixture of CCR in surface soil
was found to result in risk on the order
of 1 × 10¥4.
The 2023 draft risk assessment was
made available for public comment as
part of a NODA released on November
14, 2023.
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3. Response to Comments on the
Proposal and the NODA
The following subsection provides a
summary of comments received on
either the proposed rule or NODA that
are germane to the risk record for legacy
impoundments and CCRMU. EPA
considered these comments as it worked
to finalize the supplemental risk
assessment (‘‘2024 Risk Assessment’’).
The Agency also received a number of
general comments, which were either
editorial in nature or expressed general
support or disapproval for the risk
assessment methodology, data, or
results. However, these comments did
not provide any specific technical
recommendations or data that could
otherwise be used to update the risk
assessment. These general comments
did not provide EPA with a basis to alter
or otherwise re-evaluate the risk
assessment in response.
a. Comments Related to Applicability of
2014 Risk Assessment
Comment: Several commenters
generally affirmed the Agency’s risk
basis for regulating historical and
inactive disposal units. However, other
commenters argued the Agency’s risk
record is inadequate to support
regulation of certain legacy
impoundments or any CCRMU. Others
contended that because the 2014 Risk
Assessment supported regulation of
active landfills and surface
impoundments, it is not appropriate to
apply that record to disposal units that
previously ceased receipt of waste. In
particular, commenters pointed to the
current lack of ponded water and/or the
presence of a cap and vegetative cover
that would reduce infiltration through
certain units. Some commenters noted
that State programs may include
requirements for unit design,
monitoring, and closure that ensure a
cover is present. Commenters stated
these factors must be accounted for
through an updated risk assessment.
EPA Response: Claims that the results
of the 2014 Risk Assessment are
applicable only to active units represent
a fundamental misunderstanding of
scope of the 2014 Risk Assessment. EPA
did not only model units during
operation. Instead, the risk assessment
modeled the specific stage of the unit
lifecycle anticipated to contribute the
most to long-term risk. For surface
impoundments this was during
operation, but for landfills it was after
closure. EPA modeled the leakage that
occurred over this one lifecycle stage
and tracked the subsequent migration
through groundwater over time. The
risks to downgradient receptors
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resulting from the modeled leakage were
used to represent risk over the entire
unit lifecycle. Consideration of a single
lifecycle stage was necessary because of
model constraints and the high
computational burden of tracking
shifting configurations for every single
unit.
Both landfills and surface
impoundments progress through similar
lifecycle stages from construction to
closure. Thus, the fact that some
historical and inactive units may no
longer contain ponded water or may
have installed a soil cover only places
these units in a different stage of that
lifecycle. That does not differentiate the
long-term risks of those units from those
previously modeled. In particular,
existing groundwater contamination
does not vanish once a unit ceases
operation. As one State commenter
noted, ‘‘[g]roundwater contamination is
an important aspect to legacy
impoundment closure and should not
be overlooked simply because the
impoundment does not contain liquid
or CCR at the date of the final rule.’’
By contrast, the 2014 Risk Assessment
only modeled landfills after closure; in
other words, EPA assumed that no
leakage occurred prior to closure, while
the landfill was operating. EPA only
modeled landfills after closure because
based on the assumption that this stage
of the landfill lifecycle would have the
greatest contribution to long-term risk
for offsite receptors because the unit
would be filled to capacity and the post
closure stage represented the greater
period of time over which leakage can
occur. EPA modeled unlined units with
a soil cap and vegetative cover
equivalent to the surrounding native
soils and found risks from arsenic as
high as 2 × 10¥5 for receptors up to a
mile away. Even assuming some
landfills have been closed in a manner
more consistent with the existing CCR
regulations (i.e., with some kind of
composite cover system), this is
unlikely to change the overall
conclusions of the risk assessment. This
is because, regardless of the cover that
is ultimately installed, higher leakage
can occur throughout the active life of
the unit when the landfill face is open
and able to intercept more precipitation.
This conclusion is reinforced by the fact
that facility monitoring reports
document that around 20% of currently
active landfills have triggered corrective
action. Additionally, EPA has seen no
evidence to suggest that the closure of
older units has been consistently more
protective than EPA modeled in 2014.
As discussed in Unit III.B.2.g.iii(a) of
the preamble, as part of developing the
2015 CCR Rule, EPA reviewed State
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statutes and regulations, with a more
detailed focus on the 16 States
responsible for approximately 74% of
the CCR generated in 2009. See 80 FR
21324. The Agency’s review of State
programs prior to 2015 found that
oversight of these wastes and the overall
protectiveness of particular programs
varied widely. For example, EPA
estimated that in 2015, approximately
20% of the net disposable CCR was
entirely exempt from State regulatory
oversight. Similarly, a 2006 joint
Department of Energy (DOE) and EPA
study reported that only 19% (three out
of 19) of the surveyed surface
impoundment permits included
requirements addressing GWPS (i.e.,
contaminant concentrations that cannot
be exceeded) or closure/post-closure
care. Furthermore, some of the
photographs and descriptions of these
older units provided by commenters
indicate extensive growth of trees and
other woody vegetation that can
compromise the integrity of any cap
present and increase the rate of
infiltration into the unit. For these
reasons, the 2014 Risk Assessment is
equally representative of the national
risks from historical and inactive
landfills.
The 2014 Risk Assessment modeled
all surface impoundments during the
active stage of their lifecycle. This was
based on the presumption that the
highest rates of leakage would occur
while wastewater is ponded above the
ash, because this water creates a large
and sustained hydraulic head that
serves to drive leachate into the
subsurface. Although the current
configuration of historical and legacy
impoundments may vary, all these units
previously held ponded water during
the active stage of their lifecycle. And,
in the case of legacy impoundments,
ponded water may still be present. As
a result, the current configuration of the
unit is immaterial to the releases that
occurred during operation. For this
reason, the modeling approach relied
upon in the 2014 Risk Assessment is
equally applicable to historical and
legacy impoundments.
The 2014 Risk Assessment also
accurately represents the potential risks
that remains for units that were closed
consistent with the 2015 CCR Rule. If
the cover system is not adequately
maintained after closure, degradation
over time from human or animal
activity, natural settling, freeze-thaw
cycles, flooding and other extreme
weather events, and other factors can
result in greater leakage from the unit
than designed. In some cases,
groundwater monitoring may provide
the only clear evidence the cap is not
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performing as designed. Thus, the 2014
Risk Assessment accurately describes
the risks that can result if these units are
not adequately maintained and
monitored in line with regulatory
requirements.
Comment: Multiple commenters
argued that historical and inactive
disposal units will generally have a
smaller footprint than those modeled in
the 2014 Risk Assessment. For example,
some commenters noted the average
sizes of landfills and surface
impoundments modeled in the 2014
Risk Assessment were around 120 acres
and 50 acres, respectively, while the
estimated average sizes of CCRMU and
legacy impoundments in the proposed
rule were both closer to 30 acres. Others
cited to the sizes of individual units that
at their facilities to contend that these
units are much smaller than average.
These commenters contended that a
smaller footprint would result in a
lower mass loading of groundwater and
lower associated risk.
EPA Response: EPA disagrees that the
referenced data indicate that older
disposal units are significantly smaller
in size than the units EPA modeled in
2014. The 2014 Risk Assessment relied
on data submitted by facilities in the
EPA Surveys to estimate an average
active landfill size of around 120 acres
from over 310 landfills and an average
active impoundment size of around 50
acres from over 735 impoundments. The
RIA summary referenced by
commenters relies only on data that
could be independently verified by data
from posted facility reports and recent
public comments. From the final list of
195 CCRMU and 194 legacy
impoundments, EPA identified data for
only one landfill with a size of 90 acres
and 47 historical or legacy
impoundments with an average size of
44 acres. Thus, when CCRMU are
separately grouped as landfills and
impoundments, the differences in size
are not as substantial as indicated by
commenters.
EPA also disagrees that any
differences that do exist would result in
substantially lower risks than
previously modeled. As part of the 2014
Risk Assessment, EPA modeled 122
landfills and 163 impoundments that
were excluded from the reported risk
results because these units were
determined to not be subject to that rule.
These excluded units represent some
combination of legacy impoundments,
inactive landfills, and historical
disposal units. The average sizes of
these previously excluded units are 77
acres for the landfills and 28 acres for
the impoundments. These sizes are
approximately half the size of the units
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identified in the 2014 Risk Assessment
or more recent data collection efforts.
However, as discussed in Section 3 of
the 2024 Risk Assessment, the risks
associated with these older units are
substantially the same as those for
currently regulated units. Therefore,
there is no evidence that these
differences in size have a meaningful
impact on national risks, or that the
results of the 2014 Risk Assessment are
nor equally applicable to legacy
impoundments and CCRMU. While
there may be individual disposal units
at these sites that are smaller than
average, the model results summarized
in the 2024 Risk Assessment model
include landfills as small as 2 acres and
impoundments as small as 0.01 acres.
Therefore, there is no indication based
on the data provided that the overall
distribution of unit sizes has not been
adequately reflected in the national
model.
Finally, EPA notes that individual
unit size is not necessarily a reliable
metric to draw conclusions about the
overall risk from CCR disposal at
electric utilities. The 2014 Risk
Assessment modeled the risks from each
landfill and impoundment separately
because it was difficult to confirm the
relative locations and orientations of
different units with data from the EPA
Surveys. However, the Agency is now
aware of many sites where multiple
units, both landfills and impoundments,
are located immediately adjacent to one
another. As a result, there is potential
the 2014 Risk Assessment
underestimated site risk to some degree
by not evaluating the combined leakage
over the full contributing area of these
adjacent disposal units.
Comment: One commenter stated the
2014 Risk Assessment did not
specifically characterize the risks from
impoundments that do not contain fly
ash. This commenter argued that
historical and legacy impoundments are
more likely to only contain bottom ash
or boiler slag, as the process of
capturing fly ash was not common prior
to the 1970s. Therefore, this commenter
concluded that the 2014 Risk
Assessment does not adequately
characterize the risks for these older
units.
EPA Response: EPA disagrees that the
2014 Risk Assessment does not address
the risks associated with these
impoundments. The risk assessment
incorporated porewater data from
impoundments that contained only
bottom ash, but EPA did not separately
break out risks for this subset of units
because the amount of data available
was inconsistent across the set of
modeled constituents. However,
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available porewater data show the
potential for certain constituents, such
as molybdenum, to leach from bottom
ash at levels as high as from fly ash.
Additionally, available monitoring
reports for currently regulated units
posted on facility websites document
that these units have a similar potential
to contaminate groundwater as units
containing other types of CCR. Of the
units designated as managing bottom
ash, 32% of surface impoundments and
38% of landfills have triggered
corrective action. Of the units
designated as managing slag, 38% of
surface impoundments have triggered
corrective action. No landfills were
identified as dedicated to slag. For
comparison, 48% of remaining surface
impoundments and 21% of remaining
landfills have triggered corrective
action. Therefore, there is no indication
that these types of units are overall less
likely to result in groundwater
contamination.
Comment: One commenter claimed
that a nationwide assessment should not
be used to make determinations about
the risks at individual sites or to support
national requirements. This commenter
stated that, unlike individual damage
cases, the Agency’s groundwater model
does not adequately represent the
specific conditions at each individual
unit. However, this commenter
provided no data to support their broad
claims. One other commenter pointed to
data they had identified to contend that
the model does not reflect the specific
environmental conditions at their
facility.
EPA Response: The modeling
conducted for both the 2014 and 2024
Risk Assessments utilized a
probabilistic, site-based approach that
combined site-specific data with more
regional and national data sources. The
model incorporated data about the
specific location, dimensions, and liner
status of individual disposal units
where available. The aim of this
approach is not to assign an exact risk
to each individual unit, but to provide
an overall accurate picture of the
potential risks posed by these types of
units on a national scale. Indeed, many
of the findings from the 2014 Risk
Assessment were supported by available
damage cases. The commenters did not
articulate why they believe the risks
associated with individual units fall far
outside the broader distribution of
modeled units. But as acknowledged by
the one commenter who did submit
data, there is overlap between the range
of conditions modeled and those they
identified as present at their particular
facility. EPA does acknowledge that
there are some site conditions that the
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2014 and 2024 Risk Assessments were
not able to adequately model, such as
waste below the water table. However,
this is why the Agency separately relied
on damage cases to identify additional
constituents of potential concern for
groundwater monitoring.
Comment: One commenter stated that
EPA should not rely on the findings of
the Environmental Integrity Project’s
report, ‘‘Poisonous Coverup: The
Widespread Failure of the Power
Industry to Clean Up Coal Ash Dumps’’
without independently validating the
quality of analyses conducted for each
site.
EPA Response: EPA recognizes that
the method used in the cited report to
identify potential exceedances of GWPS
is not the same as the regulatory
standard for triggering corrective action.
For this and other reasons, the Agency
does not rely on the report as a primary
basis for the current rulemaking or to
draw any conclusions about the
monitoring status of any individual
unit. Instead, EPA previously referenced
the report as a supplementary source of
information that further supports the
findings of the 2014 Risk Assessment.
Specifically, the fact that the
constituents identified as risk drivers in
the 2014 Risk Assessment are the same
ones detected most frequently above
GWPS indicates that the fate and
transport modeling conducted by EPA
was able to correctly identify the
constituents most likely to be released
and migrate at environmentally
significant concentrations. While high
background concentrations may be
present at some of these sites, many
have already triggered corrective action
and the Agency believes that number
will increase as more facilities come
into compliance with the rule
requirements. Because this report does
not form a basis for the rule, it is not
discussed further in the preamble to the
rule or the 2024 Risk Assessment
outside of responses to other comments
that cite to the same or similar reports.
b. Comments Related to Draft 2023
Supplemental Risk Assessment
Conceptual Model
Comment: Multiple commenters
broadly argued that the draft 2023 risk
assessment relied on data and
assumptions that represent maximum
values or otherwise reflect worst-case
scenarios that could never occur, and
therefore do not represent a ‘‘reasonable
probability’’ of adverse impacts and so
is not an appropriate basis for regulatory
action.
EPA Response: EPA disagrees that the
design of the risk assessment is
inappropriately conservative. Consistent
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with EPA’s long-standing practice under
RCRA (as well as other agency
programs), an individual with
reasonable maximum exposure (RME)
provides the principal basis for
evaluating potential human health risks.
An RME scenario is intended to be
conservative, while remaining within
the range of possible high-end
exposures.6 Specifically, ‘‘high end’’ has
been defined as the part of the exposure
distribution that falls above the 90th
percentile, but below the 99.9th
percentile.7 Reliance on this type of
scenario is intended to protect sensitive
populations. Selection of the data and
assumptions incorporated in the 2024
Risk Assessment is in line with this
objective. Further critiques about the
potential for the specific data and
assumptions to overestimate risk are
addressed in subsequent responses.
Comment: Multiple commenters
argued that it was inappropriate for EPA
to consider future onsite residential
exposures as a basis for evaluating the
potential risks associated with onsite
CCR disposal. One commenter claimed
that the estimates of existing
populations living near these facilities
used in the 2024 Risk Assessment was
both overestimated and inconsistent
with estimates from the Agency’s RIA.
One commenter acknowledged that
older units tend to be located closer to
population centers. However, others
argued that this proximity to existing
populations or water bodies would not
make them overall more likely to
become residential in the future. One
commenter stated that EPA should have
surveyed the intended land use for
facilities or otherwise directly assessed
the likelihood of residential land use.
EPA Response: EPA disagrees that
consideration of a population within a
five-mile radius overstates the
likelihood of residential development.
Five miles away from a population
center is a small distance for residential
development to expand, even in the
near future. Nevertheless, the Agency
has updated the population estimates in
the 2024 Risk Assessment to more
closely align with reporting in the RIA
and to include both one- and three-mile
radii. EPA also disagrees that
consideration of a future residential
land use scenario is inappropriate or
unrealistic. The substantial populations
6 U.S. EPA. 1989. ‘‘Risk Assessment Guidance for
Superfund Volume I—Part A, Human Health
Evaluation Manual.’’ EPA/540/1–89/002. Prepared
by the Office of Emergency and Remedial Response,
Washington, DC. December.
7 U.S. EPA. 2004. ‘‘An Examination of EPA Risk
Assessment Principles and Practices.’’ EPA/100/B–
04/00. Prepared by the Office of the Science
Advisor. Washington, DC. March.
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already living near many facilities and
the generally higher property value of
land near water bodies are two
indicators of the potential for land to be
attractive for future residential land use.
Facilities do not dictate the ultimate use
of a property after the land has been
sold for redevelopment. These types of
facilities can include considerable tracts
of land beyond that dedicated to waste
disposal that may be considered for a
range of different uses. EPA is currently
aware of 22 examples in which former
electric utilities have been proposed for
residential development, 19 of which
are known to have burned coal.8 Thus,
there is evidence of community interest
in residential land use at these types of
facilities.
Although future residential use is
considered as the RME scenario in the
2024 Risk Assessment, that does not
mean it is the only scenario EPA
considered or on which this final rule
is based. Depending on their location,
leakage of Appendix IV constituents
from individual CCRMU fill may
migrate off-site at levels of concern. In
addition, even if the constituents from
a single CCRMU do not migrate off-site,
the modeling conducted in 2024
confirms that smaller CCRMU fills can
meaningfully contribute to groundwater
contamination across a facility.
Concentrations from a single CCRMU
can combine with contamination from
other CCRMU, currently regulated CCR
units, or legacy CCR surface
impoundments that are also present on
the same site. Although EPA did not
model the aggregate or cumulative risk
associated with these potential sources
of co-located contamination, at a
minimum, EPA expects that the
presence of multiple sources of
potential contamination at the same
facility would increase the likelihood of
a contaminant plume that could migrate
off-site at levels of concern.
Nor is residential use the only
scenario where exposures present
concern. One commenter described
donating property to a local government
for recreational uses. Several other
commenters described redeveloping
sites as nature preserves. Even under
these non-residential land uses, the is a
reasonable potential for exposure (and
consequently risk) to human and
ecological receptors if the ash is
subsequently disturbed. For example, as
discussed in Section 6 the 2024 Risk
Assessment, concentrations of certain
contaminants may also pose risk to
8 Memorandum to the Docket: Compilation of
News Articles on Future Land Uses for Electric
Utilities.
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wildlife if ash becomes intermingled
with surface soil.
Comment: Commenters asserted that
consideration of residential land use is
inconsistent with various EPA guidance
documents 9 10 11 and Agency cleanup
programs. These commenters argued
such guidance instructs EPA to assume
that facilities surrounded by operating
industrial facilities will remain
industrial unless there is clear evidence
otherwise. These commenters further
argued that guidance instructs EPA to
account for institutional controls, such
as State or local zoning laws, that would
make residential development or
resulting exposures at individual sites
unlikely. Some commenters cited to
specific State requirements they assert
would prevent residential land use or
prohibit future use of site groundwater
as a source of drinking water. Others
claimed that due diligence reviews
would be adequate to identify and
address any remaining sources of
contamination before exposures could
occur.
EPA Response: EPA disagrees that
consideration of future residential land
use at these facilities is inconsistent
with applicable guidance and cleanup
programs. First, the risk assessment was
conducted to establish minimum
national criteria rather than to clean up
an individual site. To determine
whether the section 4004(a) standard
will be met at all sites nationwide, as
the statute requires, the Agency needs to
evaluate the risks associated with full
range of reasonable scenarios. As
discussed in the previous response,
there are numerous examples in the
record of instances in which these kinds
of sites have been redeveloped for
residential use.
Moreover, as the commenters have
acknowledged, the Comprehensive
Environmental Response,
Compensation, and Liability Act
(CERCLA) and other cleanup programs
only address contamination that has
already occurred. In contrast, national
standards for waste management
developed under RCRA section 4004(a)
are to prevent environmental releases
9 U.S. EPA. 1989. ‘‘Risk Assessment Guidance for
Superfund Volume I Human Health Evaluation
Manual (Part A).’’ EPA/540/1–89/002. Prepared by
the Office of Emergency and Remedial Response,
Washington, DC. December.
10 U.S. EPA. 1991. ‘‘Risk Assessment Guidance for
Superfund Volume I Human Health Evaluation
Manual (Part B, Development of Risk-based
Preliminary Remediation Goals).’’ Publication
9285.7–01B. Prepared by the Office of Emergency
and Remedial Response, Washington, DC.
December.
11 U.S. EPA. 1995. ‘‘Land Use in the CERCLA
Remedy Selection Process.’’ OSWER Directive No.
9355.7–04. Prepared by the Office of Solid Waste
and Emergency Response. Washington, DC. May.
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before they occur. See, USWAG, 901
F.3d at 429–431. As EPA has previously
explained, groundwater contamination
is a concern, even if the aquifer is not
currently used as a source of drinking
water. Sources of drinking water are
finite, and future users’ interests must
also be protected. See, 44 FR 53445–
53448.
EPA further disagrees that the risk
assessment failed to appropriately
account for existing State and local
requirements for institutional controls
that would limit residential exposure.
The purpose of a baseline risk
assessment is to provide ‘‘. . . an
analysis of the potential adverse health
effects (current or future) caused by
hazardous substance releases from a site
in the absence of any actions to control
or mitigate these releases (i.e., under an
assumption of no action).’’ 12 Thus, the
intent of the risk assessment is to
characterize the harm that could result
if institutional and other controls are
not implemented. This provides a
consistent basis to understand the risks
to be controlled and define appropriate
national requirements such as a national
requirement for deed restrictions at all
sites at which CCRMU fills will remain
in place. The Agency did not assume
that all facilities will ultimately be used
for residential purposes as a
consequence of these factors in
developing this final rule.
Furthermore, as several commenters
have acknowledged, facilities have not
historically been required to identify
smaller placements of ash as a form of
disposal and consequently have not
maintained reliable records of where
such placements are located. Indeed,
most commenters have acknowledged
that they are currently unable to identify
all CCRMU at their existing facilities.
These commenters do not explain how
due diligence assessments would
reliably identify such placements in the
absence of such records, as such
assessments typically rely on available
site records to guide further
investigation. Nor do commenters
explain how existing State programs
would reliably identify such placements
or otherwise prevent exposures, when
the facilities themselves cannot identify
the presence of the ash on-site. This is
reinforced by EPA’s review of State
programs, which found that the specific
requirements, level of oversight over
these wastes, and the overall
protectiveness of individual programs
varied widely among States. See, 80 FR
12 U.S. EPA. 1989. ‘‘Risk Assessment Guidance for
Superfund Volume I Human Health Evaluation
Manual (Part A).’’ EPA/540/1–89/002. Prepared by
the Office of Emergency and Remedial Response,
Washington, DC. December.
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21324. As a result, EPA currently lacks
a record to conclude that currently
unidentified CCRMU fills located across
a facility would be subject to the same
institutional controls that are required
for the disposal units the commenters
reference. Given the current absence of
national requirements, and that
commenters have generally
acknowledged that they have not
reliably kept records of the existence of
CCRMU, it is appropriate to evaluate the
risks that can reasonably arise in the
absence of institutional controls.
Comment: One commenter argued
that EPA had already considered the
practice of disposal below the water
table because it had been discussed in
previous risk assessments. Another
commenter asserted the Agency’s
conceptual model assumed all legacy
impoundments were in contact with the
water table. Another commenter stated
that EPA cannot use information about
active units to make assumptions about
which historical and inactive units at
the same sites are in contact with the
water table, due to differences in unit
construction and location. By contrast, a
number of other commenters agreed that
because EPA cannot model the effects of
waste below the water table, EPA had
previously underestimated the risks
associated with CCR units. Other
commenters argued the conceptual
model for surface impoundments did
not adequately distinguish between the
types of water that may be present in an
impoundment. These commenters
asserted that any residual water
remaining after the unit has been
initially drained would not exert the
same hydraulic head within the unit
that would drive leachate into the
subsurface during unit operation, and so
leakage would more closely resemble a
landfill.
EPA Response: The conceptual
models for landfills and surface
impoundments in the 2014 and 2024
Risk Assessments did not evaluate
contact with groundwater. Although
these assessments both acknowledged
that this could occur, the scenario could
not be incorporated into groundwater
fate and transport modeling as a result
of data and model constraints. Because
the 2014 and 2024 Risk Assessments did
not directly model the effects of
disposal below the water table, neither
assessment incorporates any
assumptions about the prevalence of
this practice in the conceptual model.
EPA has acknowledged that its inability
to reliably model the effects of this
practice means that its risk estimates on
a national scale underestimate the risks
associated with higher rates of leaching
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and/or formation of strongly reducing
conditions.
EPA acknowledges the rates of
leakage from surface impoundments
will generally decrease after ponded
wastewater has been allowed to drain,
reducing the overall hydraulic head
across the unit. As such, discussion in
the 2024 Risk Assessment has been
updated to clarify the distinction
between water ponded above the ash
and porewater within an impoundment.
However, any free liquids that remain
within the unit can still result in higher
leakage than would occur if the unit
were fully dewatered. And the amount
of ‘‘residual water remaining’’ can
sometimes be substantial; in some cases,
closed impoundments remain saturated
by 20–54 feet of groundwater. See, e.g.,
88 FR 31982–319873, 55236.
In addition, regardless of the current
configuration of an impoundment, it is
appropriate for the conceptual models
in the 2024 Risk Assessment to consider
the stage of the unit lifecycle anticipated
to contribute the most to long-term risk.
For surface impoundments, this is when
the units are in operation due to the
presence of wastewater ponded above
the ash. Subsequent draining of the unit
does nothing to remediate any adverse
impacts that occurred during operation.
Furthermore, to the extent that
impoundments leak at rates more
similar to landfills after ponded
wastewater has been drained, EPA notes
the 2014 Risk Assessment previously
modeled the risks from dry management
in landfills and found the potential for
unacceptable risk from these units.
Therefore, continued leakage from
drained units still has the potential to
sustain releases.
Comment: One commenter affirmed
that ‘‘EPA is likely correct in its
observations and assumptions that
CCRMU fills ‘will remain in place when
ownership of the property changes,’ and
that, ‘in the absence of land use
restrictions, there is no guarantee [that]
engineering controls will remain in
place when the property is
redeveloped.’ ’’ However, multiple
commenters argued the conceptual
model for CCRMU fills does not
adequately account for the full diversity
of CCRMU that may be present onsite.
Various commenters stated that a
conceptual model for fills does not
adequately address specific types of
placements, such as use in the
construction or closure of CCR disposal
units, storage in waste piles,
construction of roadways and railroads,
or spreading on roadways for snow and
ice control. Another asserted that
reliance on the similar conceptual
models in the 2014 Risk Assessment to
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evaluate the disposal units and CCRMU
fills is inappropriate because the
CCRMU fills will tend to be smaller
than the disposal units modeled in
2014.
EPA Response: EPA disagrees that the
conceptual model for CCRMU fills does
not adequately address the
configurations of these units. The
majority of the units described by
commenters have a concentrated
footprint, such as placement beneath a
parking lot. Some of the specific
alternate examples raised by
commenters are either already regulated
under the existing regulations (e.g.,
waste piles) or are outside the scope of
the current rulemaking. For others, there
is little to no information available
about the manner or frequency of such
placements that could be used to
characterize the units. Therefore, these
types of placements are not considered
as part of the conceptual model for
CCRMU fills in the 2024 Risk
Assessment.
The commenters do not explain how
placement of CCR in a landfill or
impoundment in service of construction
or closure of that unit would be
substantially different than the disposal
scenarios previously modeled and
found to pose risk. Finally, EPA has
proposed and is finalizing the definition
of CCRMU to exclude CCR used in
roadbed and associated embankments.
There is little data that could be used
to develop a conceptual model for
diffuse placements, which may occur on
a periodic basis. Nor do commenters
provide any data on the manner or
frequency of such placements. As a
result, the 2024 Risk Assessment did not
model these types of placements. This
represents a source of uncertainty in the
assessment. However, EPA notes that
even small placements of CCR can
contribute to broader leakage and have
the potential to leak Appendix III
constituents and influence nearby
groundwater monitoring. Therefore, it is
still necessary to identify where these
types of onsite placements have
occurred.
EPA also disagrees that applying a
similar conceptual model for CCR
landfills and CCRMU fills is
inappropriate. Specifically, the
conceptual model does not make any
upfront assumptions regarding the sizes
of these fills. As described in Section 4
of the 2024 Risk Assessment, EPA
considered a range of potential sizes for
these fills that were smaller than
landfills reported in the EPA Surveys.
Comment: One commenter stated that
it is inappropriate for the 2024 Risk
Assessment to rely on similar data
sources as the 2014 Risk Assessment to
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characterize environmental parameters,
claiming these data are outdated.
Another argued that the conceptual
model does not adequately account for
the presence of alternative liners, such
as thick natural clay beneath the units.
EPA Response: First, EPA notes that
the 2024 Risk Assessment does
incorporate more recent weather data
available from the most recent version
of the Hydrologic Evaluation of Landfill
Performance Model, updated in 2020.
As explained in the 2014 Risk
Assessment, EPA found the remaining
data sources provide the most recent
and representative data to characterize
environmental conditions on a national
basis. Commenters provide no
explanation why these data should be
considered outdated. For example, why
the soil type present at a site would
have changed substantially since 2014.
EPA notes that to the extent that there
is natural clay soil present in the
vicinity of a facility, that would already
be reflected through the environmental
data.
c. Comments Related to Supplemental
Risk Assessment Groundwater Model
Comment: Some commenters asserted
that modeled leachate concentrations
are unrealistically high. One commenter
specifically argued that the LEAF data is
unable to accurately reflect field
leaching concentrations, citing two EPRI
reports comparing LEAF and field
leachate data both collected from the
same units.13 14 They separately
compared the leachate concentrations
modeled in the risk assessment to field
samples collected from around a
number of different landfills. Based on
this comparison, the commenter
asserted that the high-end
concentrations modeled in the risk
assessment were substantially higher
than measured in the field and so
unrepresentative of actual leaching
behavior. For these reasons, this
commenter concluded that porewater
data provide better representation of
leaching in the field and so EPA should
rely on that type of data to model
leakage from CCRMU fills.
EPA Reponse: EPA disagrees that
leachate concentrations modeled in the
2024 Risk Assessment are
unrealistically high. EPA has previously
demonstrated that the LEAF laboratory
leaching tests are ‘‘effective for
13 EPRI. 2020. ‘‘Leaching, Geotechnical, and
Hydrologic Characterization of Coal Combustion
Products from a Closed Coal Ash Impoundment.’’
Palo Alto, CA. June.
14 EPRI. 2021. ‘‘Leaching, Geotechnical, and
Hydrologic Characterization of Coal Combustion
Products from an Active Coal Ash Management
Unit.’’ Palo Alto, CA. February.
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estimating the field leaching behavior
for a wide range of materials under both
disposal and use conditions.’’ 15 The
two studies cited by commenters do not
contradict these findings. Indeed, one of
the cited reports concludes that LEAF
Method 1313 measurements tended to
only underestimate porewater
concentrations of lithium and
molybdenum and did not consistently
overestimate or underestimate
porewater concentrations of arsenic and
thallium. These conclusions are
consistent with previous Agency
findings that LEAF Method 1313
measurements (1) can underestimate
leakage of highly soluble constituents,
such as lithium and molybdenum, if not
adjusted to properly account for the
sample liquid to solid ratio and (2) can
over or underestimate leakage of redox
sensitive contaminants, such as arsenic,
if not further adjusted with geochemical
speciation modeling. In response to
these findings, the Agency has
established general recommendations
for how to address these issues.16
Modeling of highly soluble constituents
in both the 2014 and 2024 Risk
Assessment are consistent with these
recommendations. Sufficient data are
not yet available on the prevalence or
magnitude of reducing conditions to
allow EPA to adequately model the
effects of these conditions on leaching
behavior at a national scale. However,
given that the 2024 Risk Assessment
identified potential for extensive
groundwater contamination with overall
risks as high as 1 × 10¥4 for the less
mobile pentavalent speciation of
arsenic, this uncertainty is unlikely to
affect the conclusions of the risk
assessment.
EPA also disagrees that the field data
presented by commenters demonstrates
that the modeled concentrations are
unrealistic. As a general matter, these
commenters did not make available the
underlying data for the graphs presented
or the reports from which the graphs
were drawn. Therefore, it is not possible
to fully evaluate these graphs, as EPA
cannot determine how and where these
data were collected, how many
individual samples are represented, and
how the data were compiled. Based on
15 U.S. EPA. 2014. ‘‘Leaching Test Relationships,
Laboratory-to-Field Comparisons and
Recommendations for Leaching Evaluation using
the Leaching Environmental Assessment
Framework.’’ EPA 600/R–14/061. EPA Office of
Research and Development. Research Triangle Park,
NC. October.
16 U.S. EPA. 2019. ‘‘Leaching Environmental
Assessment Framework (LEAF) How-To Guide:
Understanding the LEAF Approach and How and
When to Use It.’’ SW–846 Update VII. Prepared by
the EPA Office of Land and Emergency
Management. Washington, DC. May.
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the limited description provided, it
appears that the graphs summarize data
on the average leachate concentrations
collected from around different
landfills. Thus, the cited median values
would represent a median of the average
measurements from each landfill. This
type of summary does not provide a
meaningful understanding of the
leaching potential of CCR. For example,
landfills can contain mixtures of
different CCR types and other wastes,
which may result in variable leaching
profiles over the footprint of the unit.
An average of measured leachate
concentrations can mask regions of
higher leaching potential over many
acres. This potential for variable
leaching is one reason why groundwater
monitoring wells are required to be
spaced along the entire downgradient
boundary of these units. In contrast,
CCRMU fills are smaller in size and
more likely to be constructed with a
single source of ash. Additionally, there
is no indication of how long the waste
has been present in these landfills prior
to sampling. More soluble constituents
can become depleted over time. For
example, Modular Three-Dimension
Finite-Difference Ground-Water Flow
Model (MODFLOW) runs conducted for
the 2024 Risk Assessment showed that
molybdenum can deplete from the ash
anywhere from several years to a few
decades after leaching first began. Thus,
these graphs could understate the full
leaching potential of CCR.
Commenters also mischaracterize the
results of the probabilistic analysis. The
90th percentile of all model inputs for
leachate concentration is not the same
as the 90th percentile of modeled risks.
There are a number of other model
parameters that will influence
contaminant release and subsurface
transport. As a result, the model runs
with the highest initial leachate
concentrations are not always the same
as those with the highest downgradient
concentrations. EPA reviewed a subset
of model runs around the 90th
percentile risk result reported in the
2024 Risk Assessment, representing 1%
of all model runs at 1,000 feet from the
waste boundary. This review found the
median leachate concentration
representative of these runs was closer
to 0.31 mg/L for arsenic and 35 mg/L for
molybdenum. There are multiple
samples in the record of porewater or
leaching tests with concentrations of the
same order-of magnitude or higher than
these concentrations. Therefore, EPA
concludes that the methods used to
generate model inputs do not result in
unrealistically high leachate
concentrations.
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EPA maintains that LEAF leachate
provides the most realistic estimate of
long-term leaching potential from CCR
placed in fills. There is little field
leachate data for dry-managed CCR
available in the record, as it can be
difficult to collect representative
samples from landfills. Additionally,
field samples would reflect the specific
waste mixtures and chemistry of these
disposal units. Instead, LEAF provides
data on the leaching behavior of
individual CCR under a range of
relevant environmental conditions. EPA
did consider using impoundment
porewater data to supplement the data
on leaching of lithium because of the
lack of LEAF data for this contaminant,
and because lithium is a highly soluble,
monovalent ion expected to be less
influenced by specific impoundment
chemistry. However, this constituent
was not modeled in the 2024 Risk
Assessment due to other data
limitations. The uncertainties associated
with exclusion of lithium are discussed
in Section 6 of the 2024 Risk
Assessment.
Comment: One commenter asserted
that the distribution of leachate pH
values used to represent CCRMU fills is
unrepresentative. In particular, the
commenter took issue with the
prevalence at which acidic conditions
were modeled within CCR fills. This
commenter pointed to field data
collected from CCR landfills to assert
that leachate from fills would rarely be
acidic.
EPA Response: EPA disagrees that the
modeled leachate pH is
unrepresentative of conditions at
smaller CCRMU fills. Modeled leachate
pH is based on the natural pH (or ‘‘own
pH’’) of the ash sample measured with
LEAF. Thus, these data represent the
properties of real ash samples. Landfills
can contain a mixture of different CCR
types and other related waste streams
and so it is reasonable that the average
pH of larger landfills may differ from
that of individual CCR. At the same
time, regions of individual landfills can
be more acidic than average, which can
be masked by consideration of only
average values. The potential for such
variations is part of the reason that
placement of monitoring wells is
required across the full downgradient
boundary of these landfills. Smaller
CCRMU fills are more likely to be
constructed with a single ash type and
so it is most appropriate to consider the
pH of individual ash samples, rather
than broader landfill conditions. The
uncertainties associated with the
modeling of pH are discussed in Section
6 of the 2024 Risk Assessment.
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Comment: One commenter stated that
use of a five-mile radius to draw
environmental data for purposes of
groundwater modeling is not adequately
justified and inconsistent with both the
2014 Risk Assessment and Draft 2023
RIA.
EPA Reponse: EPA has reviewed and
updated the sampling radius for
environmental and population data.
Based on this review, EPA established
the sampling radius for environmental
data at two kilometers (1.2 miles). This
is consistent with the methodology
applied in the 2014 Risk Assessment,
which the Agency previously found
adequately represented the
environmental conditions near units for
which a more precise location at the
facility property could not be
determined. EPA established the
sampling radii for population data to be
consistent with the rationale outlined in
the 2024 RIA.
Comment: Multiple commenters
criticized the Agency’s use of soil-water
partitioning coefficients (i.e., Kd values)
to model contaminant sorption in the
subsurface. These commenters argued
that use of individual Kd values was
inappropriate and unable to reflect the
variability of subsurface transport
conditions. They also stated that the Kd
values used in the risk assessment for
arsenic were biased low and likely to
underestimate retention on soil. These
commenters cited field measurements
collected at various locations to assert
that actual values for arsenic are likely
to be higher. One commenter cited an
alternative set of Kd values they had
calculated to contend that actual values
for arsenic would be orders-ofmagnitude different than used in the
risk assessment.
EPA Response: These commenters are
incorrect; EPA did not rely only on
individual Kd values for the risk
assessment. As part of the 2014 Risk
Assessment, EPA previously developed
sorption isotherms for each modeled
constituent, which represent the
distribution of individual Kd values
calculated and reflect the range of
anticipated subsurface conditions and
specific CCR waste characteristics. Each
individual model run in the EPA
Composite Model for Leachate
Migration with Transformation Products
(EPACMTP) samples from that
distribution based on the key factors for
that run (e.g., leachate concentration,
pH, ionic strength). No individual
model run will precisely represent
conditions at a particular site. Instead,
the model runs collectively capture the
variability of conditions that can occur
across sites. Thus, EPA relies on the
model runs in aggregate to draw
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conclusions about the potential for risk
nationwide.
EPA also disagrees that the specific
Kd values used in MODFLOW are
unrepresentative. The limited number of
MODFLOW runs are intended to further
characterize the subset of high-end
scenarios modeled in EPACMTP. Thus,
it is entirely reasonable that these model
runs are those more likely to reflect
scenarios where pentavalent arsenic is
more mobile in the environment.
The field data shared by commenters
for specific CERCLA sites or agricultural
fields are not representative of
conditions at CCR disposal units. As
previously noted, the calculated
sorption isotherms reflect the properties
of CCR leachate, which can be vastly
different from precipitation infiltrating
through soil. In particular, both the high
ionic strength and variable pH of this
leachate are expected to result in
different sorption behavior. EPA is also
unable to fully review the Kd values
calculated by commenters or compare
them with Agency values because the
commenters provided insufficient
information regarding whether and how
specific key environmental factors were
considered. Nevertheless, EPA notes
that the range of values presented by
commenters falls within the full
distribution of Kd values developed for
arsenic in 2014. The full distribution of
values is summarized in Appendix H of
the 2014 Risk Assessment, and is the
full range of values EPA sampled from
to model groundwater transport in the
2024 Risk Assessment.
Comment: One commenter stated that
any CCR material placed beneath the
soil would become naturally compacted.
Another commenter asserted that the
pozzolanic nature of some ash would
result in far lower hydraulic
conductivity than EPA modeled.
EPA Response: In the absence of
periodic inspections and a wellmaintained cap, there is no guarantee
that any ash placed in the ground will
remain undisturbed by human or animal
activity, natural settling or freeze-thaw
cycles, flooding and other extreme
weather events, or other unforeseen
factors. Given that such disturbances
can result in increased permeability, it
was not possible to develop a fixed
probabilistic distribution of
conductivities. Instead, EPA modeled
conductivity based on the dominant soil
megatexture as described in Appendix B
of the 2014 Risk Assessment. As such,
the model assumes the ash has been
subjected to a similar degree of
compaction as the surrounding soil.
EPA acknowledges that some fly ash is
pozzolanic in nature. Yet, the
commenter provided no information
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that would indicate how common it is
for this type of ash, which can be
marketed for use in concrete, to be
placed in CCRMU fills. EPA is also not
aware of any information that could be
used to represent the long-term
conductivity of this ash when left in the
field and exposed to the elements.
Comment: One commenter contended
that EPA had not adequately
demonstrated that consideration of more
recent weather data drawn from the
latest version of the Hydrologic
Evaluation of Landfill Performance
model would result in consistently
higher infiltration rates than previously
modeled in 2014 for CCR landfills.
EPA Response: The 2023 Draft Risk
Assessment proposed that the higher
rates of infiltration modeled for certain
soil types with the new HELP data
indicates the potential for higher
leaching and risk to groundwater than
previously modeled in 2014. However,
because EPA found that the model
results from the 2014 Risk Assessment
are sufficient to support the current
rulemaking, the Agency did not conduct
the additional modeling that would be
necessary to refine this draft analysis.
As a result, EPA does not rely on this
particular analysis to support the final
rule and so it is not included in the 2024
Risk Assessment.
Comment: Several commenters stated
that consideration of a limited subset of
contaminants for groundwater modeling
would result in an underestimation of
risk. These commenters further assert
that EPA further underestimated risk by
not accounting for the effects of
cumulative exposure to multiple
contaminants.
EPA Response: EPA disagrees that the
selection of constituents for
groundwater modeling resulted in lower
risks than would have otherwise been
identified. The constituents selected for
groundwater modeling were those found
to be risk drivers for unlined surface
impoundments in the 2014 Risk
Assessment, as these are considered the
most likely to also result in the greatest
risks for unlined landfills and
comparable management units. EPA
notes that some of the additional
constituents raised by commenters had
been previously identified as risk
drivers only for specific CCR types, such
as flue gas desulfurization (FGD) wastes,
which are considered far less likely to
be used in CCRMU fills. The
commenters presented no new
information that could alter the
previous model results and so there is
no expectation that inclusion of these
additional constituents would identify
risks higher than those already modeled
for the relevant CCR types. Some other
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additional constituents raised by
commenters lack health benchmarks
within the Office of Land and
Emergency Management (OLEM)
hierarchy and so could not be
quantitatively evaluated. See, 85 FR
72526. Uncertainties associated with the
selection constituents for modeling is
further discussed in Section 6 of the
2024 Risk Assessment.
Comment: Several commenters argued
that a modeling horizon of up to 10,000
years was unrealistic. These
commenters stated that such a long time
frame is not consistent with identifying
a reasonable probability of adverse
effects because there is no reliable way
to predict whether any receptors will
exist that far in the future.
EPA Response: EPA ran the
groundwater model until either the
observed groundwater concentration at
the receptor point reached a peak and
then fell below a model-specified
minimum concentration (1 × 10¥16 mg/
L), or the model had been run for a time
period of 10,000 years. This is the same
modeling horizon applied in the 2014
Risk Assessment. The text in the 2024
Risk Assessment has been updated to
make it clear that the selection of a
maximum 10,000-year time horizon
does not mean that it typically took that
long for contamination be identified or
that all model simulations continue for
the full 10,000 years. EPA also notes
that the time to first exceedance of
selected risk criteria is typically
considerably less than the time to the
greatest exceedance.
EPA acknowledges that future
groundwater use patterns may shift over
time as the number and location of
receptors changes, and that it is
unknown whether or how future shifts
in receptor locations and other surface
conditions might affect risk. However,
EPA notes that all the contaminants
associated with CCR are inorganic and
so will remain present in the
environment over the full modeling
horizon. As such, a longer modeling
horizon can provide useful information
about the potential duration of
groundwater contamination in the
absence of regulation. EPA found that
contaminant plumes modeled in
MODFLOW did not fully dissipate for
around 2,300 years for arsenic V and
100 years for molybdenum.
Comment: Multiple commenters
argued that EPA was inconsistent with
the 2014 Risk Assessment and
overestimated risks for CCRMU fills by
not evaluating the interception of
groundwater by surface water.
EPA Response: EPA did not explicitly
evaluate interception by surface water
on groundwater fate and transport in the
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2024 Risk Assessment. As
acknowledged by commenters
elsewhere, facilities have generally not
maintained reliable records about the
location or construction of all CCRMU
fills. As a result, it is not possible for
EPA to develop a representative,
probabilistic distribution of the distance
from these fills to downgradient water
bodies or offsite receptors. However,
given the diversity of reasons for such
placements listed by commenters, there
are few limitations as to where these
fills might be located onsite. As a result,
there is greater potential for these fills
to be located further away from water
bodies than disposal units, allowing for
further contaminant spread prior to any
interception. Therefore, the 2024 Risk
Assessment evaluated the potential
magnitude and extent of onsite
groundwater contamination that could
occur in the absence of interception. It
is considered unlikely that further
quantitative evaluation of interception
would affect the conclusions of the 2024
Risk Assessment. The reductions in
modeled risks attributed interception in
the 2014 Risk Assessment were
predominantly for median risks.
However, the 2014 Risk Assessment still
identified high-end risks to offsite
receptors, and it was these risks that
formed the basis for the 2015 CCR Rule.
Thus, it is similarly unlikely that
quantitative evaluation of surface water
interception would affect the high-end
risks reported in the 2024 Risk
Assessment, especially because the
current assessment considers onsite
groundwater quality prior to discharge
to a water body. Furthermore, as
discussed in the 2024 Risk Assessment
and in response to comments elsewhere,
the fact that a contaminant plume that
has migrated off-site is intercepted by
surface water does not mean that there
is no potential for risk or no need for
further action to address the presence of
groundwater contamination onsite.
Comment: Some commenters
requested clarification on the
prevalence of different types of liners
modeled for the landfills and surface
impoundments previously excluded
from the 2014 Risk Assessment. Citing
to data relied upon in the 2014 Risk
Assessment, one commenter asserted
that a majority of modeled landfills had
some form of liner and that national
regulations should be based on the risks
for all units, rather than those that are
unlined.
EPA Response: The handling of liner
status for these units was described in
Section 5 of the 2014 Risk Assessment.
Of the units evaluated in the 2014 Risk
Assessment, approximately 42% of
landfills and 65% of surface
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impoundments were modeled as having
no engineered liner system. Of the
previously excluded units summarized
in the 2024 Risk Assessment,
approximately 71% of landfills and
57% of surface impoundments were
modeled as having no engineered liner
system. EPA has updated the discussion
of this issue in the 2024 Risk
Assessment to better distinguish the
specific liner status modeled for these
different units. Differences in the
national risks reported in 2014 and 2024
are largely attributed to the relative
prevalence of engineered liners modeled
for each. Modeled risks in both
assessments are nearly the same for the
subset of units with no engineered liner.
Far from being an isolated practice, a
substantial fraction of the currently
operating landfills across the country
have no engineered liner. Although the
2014 Risk Assessment did model a
majority of landfills as having some
form of engineered liner, data that has
become available since then indicates a
greater proportion of operating units
lack an engineered liner than EPA
previously understood. Furthermore,
the 2014 Risk Assessment modeled the
performance of both clay and composite
liners based on the assumption of good
construction practices. However, it has
become clear since then that some liner
systems do not perform as modeled. For
example, facility reporting shows that
around 10% of composite and alternatelined units have already entered into
corrective action. Therefore, it is
considered likely that national risks for
both landfills and surface
impoundments (including the inactive
landfills and legacy impoundments
subject to this final rule) are more
similar to those unlined units than
previously modeled.
Nevertheless, the 2014 and 2024 Risk
Assessments, which provided much of
the basis for this final rule, modeled the
risks associated with both lined and
unlined units. Under RCRA sections
1008(a)(3) and 4004(a), EPA establishes
national criteria; because the criteria are
national in scope EPA must evaluate the
full range of conditions. In addition,
EPA must establish requirements that
will achieve the statutory standard at all
sties subject to the criteria—including
those that pose the greatest risk. Under
these provisions, the criteria may
authorize a CCR unit to continue
operating ‘‘only if there is no reasonable
probability of adverse effects on health
and the environment from the disposal
[or other solid waste management] of
solid waste at such facility.’’ 42 U.S.C.
6903(a)(3), 6944(a). Given the
requirement that the standard be met at
each facility covered by the regulation,
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it is not particularly surprising that the
final requirements are driven by the
higher end risks associated with unlined
units—especially as the overwhelming
majority of legacy impoundments and
CCRMU are expected to lack the
composite liner that would largely
mitigate the risks of CCR units. But that
does not mean that the national
regulations are not based on the risks for
all units.
Comment: One commenter argued
that modeled groundwater
concentrations and associated risk
downgradient of smaller CCRMU fills
are unrealistic because they are higher
than previously modeled for landfills
and surface impoundments. Other
commenters contended that modeled
groundwater concentrations were
unrealistic, citing comparisons to
monitoring data for all regulated units
in a report by the Environmental
Integrity Project (EIP) 17 or for some
smaller subset of units. These
commenters calculated summary
statistics from concentrations reported
for site groundwater monitoring wells to
assert that modeled concentrations were
an order of magnitude higher or more
than the concentrations that have
occurred in the field.
EPA Response: The 2014 Risk
Assessment modeled risks from landfills
and surface impoundments to receptors
located up to a mile away from these
units. The 2024 Risk Assessment
modeled the magnitude and extent of
contamination extending from smaller
CCRMU fills, including the likelihood of
exceedance of GWPS at the waste
boundary of the unit. It is entirely
reasonable that concentrations and risk
closer to the waste boundary are higher
than EPA modeled in 2015 up to a mile
away from a unit.
EPA disagrees that the modeled
groundwater concentrations are
contradicted by available monitoring
data. First and foremost, EPA modeled
the long-term potential for groundwater
contamination that may occur in the
absence of regulatory action. Thus,
monitoring data from units of variable
age and operational status do not
represent a one-to-one comparison.
Second, field monitoring data can
diverge from model results as a result of
improper well installation. As just one
example, EPA is aware of multiple
instances where monitoring wells are
located far from the waste boundary, in
some cases, hundreds of feet away. See,
for example, 88 FR 55239. Third, EPA
used EPACMTP to model
17 EIP. 2022. ‘‘Poisonous Coverup: The
Widespread Failure of the Power Industry to Clean
Up Coal Ash Dumps.’’
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concentrations along the centerline of
the plume and to provide a best estimate
of contaminant transport potential to
inform further modeling with
MODFLOW. Even if all wells in a
network were properly installed and
spaced, there is no guarantee that any
individual well will intersect with the
exact point of highest concentration;
some wells may not intersect with the
plume at all. Finally, the 90th percentile
concentration modeled is not intended
to correspond precisely to a 90th
percentile of well concentrations.
Instead, it reflects an RME scenario that
is conservative, while remaining within
the range of possible high-end
exposures. The EIP dataset cited by
commenters do show multiple instances
of well concentrations at individual
landfills of the same order of magnitude
as modeled in the 2024 Risk Assessment
or even higher. Further, in the case of
arsenic, modeled GWPS exceedances
between 26 and 19 for arsenic III and V
are of a similar magnitude as the
exceedance of 16 estimated by one
commenter based on the EIP report.
Therefore, EPA maintains that the
magnitude of modeled groundwater
concentrations is realistic.
Comment: Some commenters claimed
that EPA had not justified modeling
groundwater concentrations at fixed
distances along the centerline of the
plume or within the upper five feet of
the aquifer and had not demonstrated
how this approach compares with the
2014 Risk Assessment, which modeled
concentrations within the top 30 feet of
the aquifer.
EPA Response: The goal of modeling
with EPACMTP was to identify the
potential magnitude of GWPS
exceedances at the waste boundary and
potential for contaminant spread to
support further modeling with
MODFLOW. For both goals, a sampling
along the centerline of the plume and to
a depth of five feet was determined to
be most relevant portion of the aquifer
for consideration for the reasons
documented in the 2024 Risk
Assessment. Because different scenarios
were modeled in the two risk
assessments, a comparison with the
results of 2014 Risk Assessment is not
relevant here.
Comment: EPA received several
comments regarding a graph from the
2023 Draft Risk Assessment, which
summarized modeled risks from the
2014 Risk Assessment for unlined
landfills as a function of unit size.
Commenters stated that it demonstrated
that risks consistently decline below a
certain acreage and that smaller units do
not warrant regulation because they
pose less risk. One commenter stated
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that the underlying model runs for the
2014 Risk Assessment were not made
available alongside the graph and so its
validity could not be confirmed.
EPA Response: One purpose of the
referenced graph was to demonstrate
that risks remain above levels of
concern over a broad range of unit sizes
modeled in the 2014 Risk Assessment.
However, upon further review, EPA has
determined that the graph incorrectly
summarized model results for receptors
of all age cohorts into one figure. This
has the potential to bias the plotted risks
low. However, filtering the model runs
for only (1) unlined landfills, (2) where
drinking wells are located closer than
surface water bodies, and (3) where an
adult was exposed results in a relatively
small number of model runs. EPA is
concerned that this number of runs is
not sufficient to reflect national
variability or support broader
conclusions about risk. As such, EPA
does not rely on this line of evidence to
support the final rule and so it is not
included in the 2024 Risk Assessment.
EPA cautions the data presented in
the graph was for landfills and so use of
this graph to draw conclusions about
the risks from surface impoundments is
not appropriate. EPA further cautions
that it is not appropriate to use the
referenced graph to identify a specific
unit size below which landfill risks are
not possible. The graph summarized the
results of the 2014 Risk Assessment,
which modeled risks to offsite receptors
up to a mile away from the waste
boundary. The risks identified based on
these receptors provided a robust basis
for the 2015 CCR Rule. Yet, this does
not mean these are the only relevant
risks. EPA’s longstanding and consistent
policy (across numerous regulatory
programs) has been that groundwater
contamination is a significant concern
that merits regulatory action in its own
right, whether or not the aquifer is
currently used as a source of drinking
water. The 2024 Risk Assessment
identifies the potential for CCRMU fills
to contaminate groundwater above
levels of concern. Where CCR landfills
and surface impoundments are located
at the same sites even more extensive
contamination can occur as a result of
their larger size. As such, these disposal
units warrant regulation to protect
groundwater resources, regardless of
their size.
Comment: One commenter questioned
why MODFLOW—Unstructured Grid
(USG) was used to model groundwater
transport, stating that MODFLOW 6 is
more commonly used. This commenter
also inquired why the model was not
run in steady-state mode. They further
argued that insufficient information had
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been provided to allow for evaluation of
the design of MODFLOW model runs.
Finally, the commenter identified a
potential discrepancy in the reported
model inputs for EPACMTP and
MODFLOW.
EPA Response: MODFLOW–USG was
selected for its ability to: (1) Simulate
flow and transport in both the
unsaturated and saturated zones
without the need for additional
modeling packages and (2) Simulate
groundwater flow and transport
sequentially without the need for
reading cell by cell flow and transport.
Steady state simulations were not used
because they do not provide a time
series representation of plume
evolution. EPA has reviewed the model
documentation to ensure that this and
other relevant information raised by
commenters was made clear in the 2024
Risk Assessment. However, EPA notes
that this and much of the other specific
information raised by commenters was
previously described in the 2023 Draft
Risk Assessment. EPA did not
incorporate the full output files for all
MODFLOW model runs because the file
size would become prohibitively large
to manage. The level of documentation
of model inputs and outputs is
consistent with that provided for
EPACMTP. The identified discrepancy
between EPACMTP and MODFLOW
inputs were the result of a typo, which
has been corrected.
Comment: One commenter stated that
EPA had not provided sufficient
evidence to support its conclusion that
the location of legacy facilities that were
not modeled in 2014 could result in
somewhat higher risks for this subset of
units compared to those previously
modeled units.
EPA Response: EPA previously found
that the locations of legacy facilities
were clustered in the eastern half of the
country. As a result, the rates of
precipitation at these facilities will tend
to be higher than modeled for the nation
as a whole. Higher precipitation can
result in greater vertical infiltration and
subsequent leakage down to
groundwater. The Agency has not
conducted further sensitivity analyses to
support this contention, as this
argument is not central to the findings
of either the risk assessment or the
rulemaking. Instead, discussion in the
2024 Risk Assessment has been updated
to clarify that the primary finding is that
there is no indication based on
geography that these additional units
would be exposed to substantially
different environmental conditions than
EPA modeled in 2014.
Comment: Multiple industry
commenters argued that modeled
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arsenic risks do not warrant regulation
because the associated concentrations
often fall below the current maximum
contaminant limit (MCL). One
commenter noted that 70 percent of
runs identified peak arsenic
concentrations below the MCL at the
unit boundary. In contrast,
environmental advocacy groups stated
that cancer risks within the OLEM risk
range can occur at even lower levels.
Another asserted it was inappropriate
for EPA to identify risk based on
modeled concentrations above GWPS
because corrective action requires ‘‘a
statistically significant level exceeding
the groundwater protection standard.’’
EPA Response: First, EPA notes that
arsenic is only one of the contaminants
modeled. Molybdenum was found to be
above the associated GWPS on a more
frequent basis. Indeed, EPA identified
exceedances for this contaminant at
both the 90th and 50th percentile
results. EPA disagrees that risks
identified below MCLs do not pose a
concern. MCLs are not purely risk-based
and can incorporate other
considerations, such as the technical
feasibility of reliably achieving even
lower levels. As environmental
commenters have pointed out, the
arsenic MCL in particular represents a
concentration that can fall outside the
OLEM risk range. As such, these
standards should be understood as
values that corrective action must
achieve and not levels that never
warrant concern. Indeed, EPA
established GWPS at the unit boundary
with the intent to limit downgradient
transport of contamination above this
level and prevent the same magnitude of
risk identified in the risk assessment.
EPA also disagrees that a statistically
significant increase above GWPS is an
appropriate standard for risk modeling.
It is not clear, nor do commenters
articulate, how such a statistical
analysis would be conducted as part of
the model. Thus, EPA believes this
comment represents a general
misunderstanding of both groundwater
monitoring programs and probabilistic
analysis. Statistical analysis is used in
groundwater monitoring programs
because factors, such as natural
fluctuations in groundwater and
uncertainty from sampling or laboratory
analysis procedures, can introduce
variability into the broader dataset. In
this context, statistical analysis allows
evaluation of the broader data and
identification of an exceedance of
GWPS with a specified level of
certainty. However, numerical models
are not subject to the same constraints.
A model tracks the fate and transport of
all contaminant mass from the point of
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release to the point of exposure.
Therefore, no additional steps required
to confirm that an identified exceedance
of GWPS resulted from leakage from the
modeled unit.
Comment: Several commenters stated
that the toxicity value used for arsenic
underestimated risks from groundwater,
citing draft values they assert would
increase modeled arsenic risks by an
order of magnitude or more.
EPA Response: The Agency’s current
risk estimates are based on the same
cancer slope factor of 1.5 mg/kg/d¥1 for
arsenic in EPA’s Integrated Risk
Information System (IRIS). EPA is
currently in the process of reviewing
this slope factor and has released a draft
toxicological review, which, if finalized
without revision, would increase the
individual risk estimates for arsenic by
a factor of approximately 35. See, 88 FR
71360. However, the Agency has not yet
finalized this updated IRIS
reassessment, and EPA cannot base a
final decision on a draft IRIS value that
is subject to revision. Nor did EPA
receive any other information during the
development of this final rule that
would help to resolve this uncertainty.
The current IRIS values thus represent
the best data available to the Agency
until the IRIS reassessment is complete.
d. Comments Related to Supplemental
Risk Assessment Soil Model
Comment: One commenter contended
that radionuclides and nonradionuclides have different health
endpoints and so it is not appropriate to
treat the resulting risks as additive.
EPA Response: EPA disagrees that it
is inappropriate to consider the
cumulative risk from chemical and
radiological contaminants. EPA policy
is to treat the risk resulting from
exposure to multiple carcinogens as
additive.18 Agency policy is also to
evaluate the risks from exposure to
radionuclides in the same manner as
chemical contaminants.19 Therefore, it
is appropriate to evaluate the
cumulative cancer risk from chemical
and radiation contaminants. However,
EPA notes that considering chemical
and radiological risks separately would
not alter the overall conclusions of the
analysis, as each have demonstrated
potential to individually result in risk
exceeding EPA’s levels of concern.
18 U.S. EPA. 1989. ‘‘Risk Assessment Guidance for
Superfund Volume I Human Health Evaluation
Manual (Part A).’’ EPA/540/1–89/002. Prepared by
the Office of Emergency and Remedial Response,
Washington, DC. December.
19 U.S. EPA. 2014. ‘‘Radiation Risk Assessment at
CERCLA Sites: Q&A.’’ OSWER 9285.6–20. Prepared
by the Office of Land and Emergency Response.
Washington, DC. June.
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Uncertainties associated with umulative
risk is further discussed in Section 6 of
the 2024 Risk Assessment.
Comment: EPA received comments
that argued the U.S. Geological Survey
coal quality (COALQUAL) database
does not adequately account for several
factors that may affect bulk content of
the resulting ash, such as: CCR type,
regional variability, coal rank, mining
practices, coal preparation prior to
combustion, and the presence of
unburnt carbon remaining after
combustion. Another commenter stated
that because the risk assessment
addresses historical disposal of CCR,
sampling of the COALQUAL database
should be updated to reflect production
over time, rather than current
production. Finally, one commenter
argued that differences identified
between activity calculated from
COALQUAL data and measured
elsewhere in the literature demonstrates
that handling of COALQUAL data is
likely to overestimate concentrations in
the ash.
EPA Response: The Agency
acknowledges that the bulk contaminant
content of specific CCR samples can be
influenced by a range of factors, such as
the manner in which a coal sample is
prepared and combusted. As detailed in
Section 6 of the 2024 Risk Assessment,
EPA considered the information
provided by commenters on the
potential for mining practices, residual
unburnt carbon, and coal washing to
affect estimated ash concentrations and
concluded these factors are likely to
have a minimal or inconsistent effect on
overall distribution of concentrations.
EPA did determine that concentrations
of some contaminants are sensitive to
differences in region and coal rank and
so reviewed the Energy Information
Administration (EIA) coal production
reports referenced by commenters when
updating the weighting of available
samples.
For purposes of modeling
groundwater exposure, EPA did not use
the COALQUAL database to estimate
the leachable content of CCR in the 2024
Risk Assessment. Previous reviews of
EPACMTP summarized in the 2014 Risk
Assessment did not identify leachable
content as among the sensitive model
parameters. Even at lower bulk
concentrations, there is often sufficient
soluble mass present to support
sustained leaching. Instead, EPA
represented leachable content using
available LEAF data in a manner
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consistent with the 2014 Risk
Assessment and Agency guidance.20
For purposes of modeling soil
exposure, EPA retained use of the
COALQUAL database in the 2024 Risk
Assessment to calculate the bulk
content of thorium and uranium of CCR.
In this instance, use of COALQUAL
provides information about the relative
levels of each contaminant, which
allowed for a more refined estimate of
cumulative exposure that provides a
more direct comparison with relevant
benchmarks. As discussed in Section 6
of the 2024 Risk Assessment, EPA also
considered available EIA data when
updating the calculation of bulk content
for these two contaminants and found
that concentrations of both are less
sensitive than other contaminants to
regional geography. Therefore, further
efforts to refine these calculations are
considered unlikely to result in changes
that would affect the overall
conclusions of the evaluation.
The bulk contaminant content
calculated from COALQUAL represents
a mixture of fly ash and either bottom
ash or boiler slag, collectively referred
to in the 2024 Risk Assessment as the
‘‘whole ash.’’ Because fly ash is
generated in the greatest volumes during
coal combustion, the calculated bulk
content primarily reflects this type of
CCR. However, other available data
sources indicate that the activity of fly
ash and bottom ash are not substantially
different. EPA has seen no indication
that the activity of boiler slag would
differ markedly from that of bottom ash.
The whole ash does not include any
CCR generated by scrubber systems and
similar pollution control technologies.
However, these CCR types are not
considered relevant to the evaluation of
CCRMU fills. EPA further discusses the
uncertainties associated with these
different types of CCR in Section 6 of
the 2024 Risk Assessment.
Based on the comments received, EPA
reviewed the available data on
radioactivity drawn from the literature.
This review led to the removal of
several samples that were determined to
be duplicative and removed all the data
for one study because it was determined
to not be representative of the broader
ash generated at the facility. Altogether,
the data removed represent a small
fraction of the overall dataset. This
review also identified some inaccuracies
in how samples were described and
averaged to avoid biasing the overall
20 U.S. EPA. 2019. ‘‘Leaching Environmental
Assessment Framework (LEAF) How-To Guide:
Understanding the LEAF Approach and How and
When to Use It.’’ SW–846 Update VII. Prepared by
the EPA Office of Land and Emergency
Management. Washington, DC. May.
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dataset toward individual facilities that
reported a greater number of samples.
This had resulted in more samples being
averaged together than was intended.
The database presented as part of the
2024 Risk Assessment has been updated
along with a summary of these updates.
Following these corrections, the
updated summary statistics for thorium
align more closely with those calculated
with COALQUAL. Therefore, there is
general agreement between these two
datasets. It is inevitable there will be
some differences between datasets
developed through different
methodologies. In particular, any
individual study may not reflect the full
variability of coal produced over time.
However, the magnitude of differences
between activities drawn from
COALQUAL and the broader literature
are small on an absolute basis and
consequently would not affect the
overall conclusions of the risk
assessment. Therefore, EPA concludes
that COALQUAL can provide a
reasonable estimate of both median and
high-end ash activity.
Comment: One commenter critiqued
multiple individual model inputs used
in RESRAD as likely to overestimate
potential for radon exposure. They also
stated that the risk assessment should
consider an additional scenario with
RESRAD of CCR disposed at the ground
surface to provide a consistent frame of
reference to compare risk results
obtained from RESRAD and the
preliminary remediation goal (PRG)
calculator. Other commenters separately
commented that the assumed presence
of some soil cover is inappropriate,
referencing one CCRMU purported to
have been placed with the intent to
level out the ground surface and
without any additional soil cover.
EPA Response: EPA has not
established default parameters for
modeling of radon fate and transport.
Nor is there currently enough
information available on a national scale
to develop distributions that could be
sampled probabilistically. Instead, EPA
previously conducted a deterministic
analysis for radon exposure by
specifying high, moderate, and/or low
values for model inputs to capture the
range of potential exposure. EPA first
modeled risk with all inputs set to
moderate values to identify a baseline
risk more representative of the central
tendency. From this baseline, EPA
adjusted each individual input to lower
or higher values to better understand
which inputs exert the greatest
influence on modeled risks and support
development of an RME scenario.
However, EPA ultimately concluded
that the rate of radon emanation from
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CCR is not distinguishable from
background soil and so the Agency did
not develop this RME scenario or draw
final conclusions about risk from radon
exposure. For this same reason, EPA did
not retain the quantitative evaluation of
radon in the 2024 Risk Assessment.
Some CCRMU fills may currently be
uncovered, but EPA was not able to
confirm the status of the specific unit
identified by the commenter based on
the information provided. Nevertheless,
EPA maintains it is unlikely that future
residential construction would occur in
the absence of some initial soil cover. It
is generally anticipated residential
construction sites will cover any
exposed land with topsoil or turf to
support uniform lawn growth. However,
this does not guarantee this soil cover
will be adequately maintained by
residents into the future. As such, EPA
agrees it is appropriate to evaluate a
scenario of CCR without any soil cover
to provide a bounding estimate of
potential risk and a more direct link
between the primary and sensitivity
analyses. This updated scenario is
discussed in Section 6 of the 2024 Risk
Assessment.
Comment: Some commenters raised
concerns about the sensitivity analysis
conducted with the PRG calculator. One
commenter asserted that the PRG
calculator is intended for use with
contaminated soils and is inappropriate
for comparison against undiluted CCR.
This commenter further argued that the
sensitivity analysis conducted with the
PRG calculator is overly generic and did
not incorporate scenario-specific inputs,
such as the potential for greater soil
cover, shorter exposure duration, and
ability of radon to emanate from CCR.
Finally, this commenter stated that the
degree of mixing of soil with CCR would
not result in activities higher than either
background or applicable or relevant
and appropriate requirements (ARARs),
concluding that the evaluation of
radiation risk should consider
contributions from background soils
when presenting risk results. Another
commenter stated that the ARAR was
only exceeded around the 90th
percentile concentrations and that
regulation based on 90th percentile
concentrations is not appropriate.
EPA Response: EPA disagrees that the
PRG calculator is not applicable to the
modeled scenario of CCR intermixed
with soil. The commenters provide no
rationale for this assertion beyond the
fact that the PRG calculator nominally
identifies soil as an environmental
media of interest. This is reasonable as
it would quickly become overwhelming
to identify a comprehensive list of
sludges, sediments, and other soil-like
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materials that might be encountered at
cleanup sites. EPA notes that the
exposure assumptions incorporated into
the PRG calculator are equally relevant
for CCR intermixed with soil. CCR
consist of small particulates that can be
readily intermixed with the soil and
result in exposures through the exact
same routes, specifically incidental
ingestion and direct exposure to gamma
radiation.
EPA also disagrees that the analysis of
exposure to CCR mixed with soil is
overly simplistic. First, the presence of
additional cover soil is already
considered in the main analysis and is
not relevant to the types of exposures
explicitly considered in the sensitivity
analysis. Second, because EPA
concluded the rate of radon emanation
from CCR and soil were not
distinguishable, the sensitivity analysis
explicitly does not incorporate risk from
inhalation of radon gas. Only a
relatively small fraction of the radon
generated from fly and bottom ash is
expected to escape into the ambient air
and these losses can be counteracted by
upward migration from deeper ash.
Therefore, it is unlikely that further
consideration of radon emanation
would have substantial impacts on
exposures through incidental ingestion
or direct gamma exposure. Third, the
model parameters used to characterize
exposure to gamma radiation in the PRG
calculation are generally the same as in
RESRAD and other available models.
Finally, exposure factors selected for
use in the PRG calculator are consistent
with Agency policy for characterizing
an RME scenario and many of the
remaining parameters are based on
extensive modeling.21 22 23
EPA generally only considers
contributions from disposed wastes to
risk when conducting national risk
assessments under RCRA. Background
concentrations may contribute to risk
when present and can sometimes be
higher than concentrations modeled in
a risk assessment. Although constituent
concentrations in undisturbed
environmental media can be highly
variable, they are often relatively low in
concentration. As a result, consideration
of these concentrations would generally
21 Oak Ridge National Laboratory. 2014. ‘‘Area
Correction Factors for Contaminated Soil for Use in
Risk And Dose Assessment Models.’’ ORNL/TM–
2013/00. Oak Ridge, TN. September.
22 Oak Ridge National Laboratory. 2014. ‘‘Gamma
Shielding Factors for Soil Covered Contamination
for Use in Risk and Dose Assessment Models.’’
ORNL/TM–2013/00. Oak Ridge, TN. September.
23 Oak Ridge National Laboratory. 2020.
‘‘Bateman Equation Adaptation for Solving and
Integrating Peak Activity into EPA ELCR and Dose
Models.’’ ORNL/TM–2020/1780. Oak Ridge, TN.
September.
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have no impact on the overall
conclusions of a national risk
assessment. Therefore, consideration of
background concentrations is more
appropriate on a site-specific basis
when risk managers are determining the
need for and scope of corrective action.
EPA recognizes that a focus on
background is more common for
discussion of radioactivity, particularly
when providing context for the
associated risks to the broader public.
However, as one point of reference, EPA
has found that the median activities of
fly and bottom ashes already fall close
to the standard of 5 pCi/g radium226+228 above background soil, which
has been adopted as an ARAR for some
cleanups under Superfund and State
programs (i.e., around 4.3 pCi/g
higher).24 Additionally, EPA has found
that high-end radium-226+228 activity
in CCR has the potential to be nearly 10
pCi/g higher than typical background
soil. Thus, there is real potential for
mixing of CCR with soil to further
increase any risk already associated
with background.
Commenters are correct that mixing
small quantities of CCR with soil may
not result in a surface soil activity above
the ARAR. For high-end CCR activity,
this would require a roughly equal
mixture of soil and ash. However, risks
are still possible at activities below the
ARAR. The PRG calculator estimates
that an increase of only 1.13 pCi/g of the
thorium-232 decay chain or 1.45 pCi/g
of the uranium-238 decay chain in
surface soils could increase cancer risk
for residential receptors by 1 × 10¥4.
Such risks can result from relatively low
mixtures of CCR and soil, which are
possible if ash beneath the soil surface
is disturbed. As a result, EPA has
identified ARAR of 5 pCi/g above
background as equally applicable to
subsurface contamination that may be
disturbed in the future and concluded
‘‘it would not generally be appropriate
to allow backfilling with material with
concentration higher than 5 pCi/g.’’
Uncertainties associated with
background concentrations are further
discussed in Section 6 of the 2024 Risk
Assessment.
Comment: One industry commenter
presented an analysis they had
conducted comparing the
concentrations of certain inorganic
constituents in CCR to soil screening
levels. The commenter contended this
analysis demonstrated that ‘‘even daily
24 U.S. EPA. 1998. ‘‘Use of Soil Cleanup Criteria
in 40 CFR part 192 as Remediation Goals for
CERCLA Sites.’’ OSWER Directive 9200.4–25.
Office of Emergency and Remedial Response and
Office of Radiation and Indoor Air. Washington,
DC. February.
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38969
direct contact to trace elements in coal
ash would not pose a significant risk to
human health.’’
EPA Response: EPA did not evaluate
the potential soil risks for human health
associated with many of the
constituents considered in the cited
analysis. The Agency believes that any
risk from additional constituents would
be mitigated by the rule requirements
that address the risks identified for
radionuclides. However, EPA notes that
the cited analysis is not sufficient to
demonstrate a lack of risk for these
additional constituents on a national
scale. The ash concentrations reported
for some constituents are already near or
above the health benchmarks, indicating
some potential for risk. Further, the
reported ash concentrations are based
on samples from a limited number of
geographically constrained facilities. As
a result, the reported concentrations
may not reflect the broader variability of
potential concentrations from across the
region or country. In particular, EPA
notes there is evidence in the regulatory
record of arsenic concentrations
approaching an order of magnitude
higher than considered in this analysis.
Comment: Several commenters argued
that EPA underestimated risk by not
considering other potential exposure
pathways, specifically inhalation of
loose CCR.
EPA Response: EPA selected direct
exposure gamma radiation and
incidental ingestion of soil as the
pathways for evaluation because these
represent the most direct routes of
exposure to contamination in the soil.
EPA agrees that inhalation is another
pathway through which future receptors
could be exposed if CCR becomes
intermixed with surface soil.
Quantitative evaluation of this pathway
would require additional model inputs
that could further increase the
uncertainty of results on a national
scale, such as the degree of vegetative
cover and mean wind speed. However,
EPA notes the default PRGs for
inhalation of the uranium-238 decay
chain in secular equilibrium is nearly
three orders of magnitude higher than
for external exposure to gamma
radiation and two orders of magnitude
higher than for incidental ingestion of
soil. As a result, it is unlikely
consideration of this pathway would
substantially increase calculated risk.
Therefore, this pathway does not
represent a major source of uncertainty
in the evaluation. EPA acknowledges
that there may be other exposure
pathways that could occur if CCR is
mixed with surface soil. These are
further discussed in Section 6 of the
2024 Risk Assessment.
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e. Comments Related to Site Monitoring
Data
Comment: Some commenters stated
that, as part of any further risk
assessment efforts, EPA should
incorporate data that have been
collected as part of the monitoring
programs required by either the 2015
CCR Rule or prior State programs. Such
data might include site hydrogeology
from borings around the units and
groundwater quality sampled from
monitoring wells. These commenters
claimed these data are more recent and
more relevant to characterizing the
actual nature and extent of contaminant
release at individual sites.
EPA Response: There are multiple
reasons why it is neither practical nor
prudent to incorporate site-specific
monitoring data into national fate and
transport modeling. First, there are
documented concerns about the quality
and reliability of these data. For
example, EPA has identified significant
deficiencies in the monitoring networks
at each facility for which the Agency
has completed reviews under the Part A
(85 FR 53516, August 28, 2020) and Part
B (85 FR 72506, November 12, 2020)
Rules. It is unlikely such deficiencies
are isolated to this specific subset of
facilities. Monitoring wells that are
located too far apart, installed in the
wrong aquifer, or otherwise
inadequately installed would result in
data that are incomplete or
unrepresentative of relevant site
conditions. Thus, use of these data
would require thorough review prior to
use. Much of the site characterization
data are not required to be posted on
facility websites and so would take
substantial time to compile and review
for the over 1,000 individual landfills
and surface impoundments. Further, it
is highly unlikely that any identified
deficiencies could be remedied within a
reasonable timeframe.
Second, the hydrogeologic data that
have been collected in support of well
installation can provide an incomplete
or erroneous picture of site conditions
for the purpose of fate and transport
modeling. For example, at sites with
lower conductivity soils, EPA has
previously raised concerns that
collection of hydrogeologic data with a
focus on characterizing the predominant
soil type can underestimate the
prevalence of more localized deposits of
higher conductivity soil and other
discontinuities that can serve as
preferential flow pathways to
groundwater. See, 85 FR 72519.
Therefore, the current approach to
probabilistic characterization of soil and
aquifer characteristics using more local
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data sources is believed to provide the
most reliable means to capture the
potential variability of conditions across
different facilities and represent
contaminant fate and transport on a
national scale. Furthermore, EPA notes
that consideration of more site-specific
data would not be expected to change
the fact many units are known to be
constructed on relatively permeable
soils. As a result, further refinements on
the hydrogeology modeled at each
individual site is unlikely to alter
overall model results, which show
contaminants can escape from these
units and spread considerable distances
through groundwater.
Third, groundwater monitoring only
provides a snapshot in time of
groundwater concentrations at each well
location. It is not obvious, nor do
commenters articulate, how these data
would be applied to model long-term
unit leakage. Factors such as natural
fluctuations in background groundwater
concentrations make it difficult to
apportion measured concentrations
from individual sampling events into
the specific contributions from
background and unit leakage. That is
why groundwater monitoring programs
rely on statistical analysis of data across
numerous sampling events to make a
binary determination whether or not
contaminant concentrations
downgradient of a unit have increased
above background and GWPS. Even if it
were practical to utilize these
monitoring data, groundwater samples
do not provide broader information
about the progression of leakage over
time. Specifically, groundwater samples
do not provide information on the
magnitude of source leachate
concentrations, how long the unit has
been leaking, or any indication of the
potential magnitude and extent of
contamination in the future. EPA
modeling previously showed that the
magnitude and extent of a plume may
not peak until decades or centuries after
the unit first beings to leak. As a result,
incorporation of groundwater
monitoring samples into a model would
require a number of additional
assumptions about the site
characteristics and conditions that
could substantially increase the overall
uncertainty of model results.
Finally, EPA is not aware of similar
site-specific data available for the subset
of smaller CCRMU intended for
purposes other than disposal. As several
commenters have acknowledged,
facilities have not typically maintained
reliable records of the locations of all
these smaller units. Thus, any modeling
of these units must, by necessity, draw
on other datasets to characterize the
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potential for environmental release and
subsequent contaminant fate and
transport.
f. Comments Related to Additional Risk
Drivers
Comment: Multiple commenters
asserted that risks higher than those
modeled in the 2014 Risk Assessment
are unlikely for landfills. One
commenter stated that the previous risks
modeled for unlined landfills are ‘‘only
slightly above’’ the point of departure at
2 × 10¥5 and so, even if most CCRMU
landfills are unlined, it would not result
in risks higher than this value.
EPA Response: The national risks
reported in the 2014 Risk Assessment
were based on the understanding of
relative liner prevalence at the time of
that assessment. However, it has since
become clear that an even greater
proportion of regulated unit have no
engineered liner and there is no
evidence that CCRMU landfills are lined
to any greater degree. Additionally, EPA
notes that the 2014 Risk Assessment
modeled both clay-lined and compositelined units under the assumption of
good construction practices that
achieved the regulatory performance
standard. However, it has become clear
since then that some liner systems do
not achieve this standard. For example,
facility reporting shows that around
10% of regulated units with composite
or alternate liners have already entered
into corrective action. Therefore, even
for those units that do have some form
of engineered liner, there is potential for
national risks to be higher than
previously modeled. For all these
reasons, national risks for both currently
regulated and CCRMU landfills are only
expected to be more similar to those
previously modeled for unlined
landfills. Furthermore, EPA has
identified additional factors that have
the potential to result in even higher
risks than modeled, but that could not
be fully quantified as part of either the
2014 or 2024 Risk Assessment. These
include co-disposal with coal refuse and
disposal in contact with the water table.
The greater prevalence of unlined units
makes it even more likely these
additional factors will occur at unlined
units. The combination of these factors
has the potential to result in national
risks even higher than previously
modeled.
Comment: One commenter
acknowledged that the 2014 Risk
Assessment had demonstrated the
potential for co-disposal with coal
refuse to increase risk from surface
impoundments. However, multiple
others argued that the same assessment
shows that neither co-disposal with coal
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refuse nor extreme pH conditions
increase risks for landfills. Specifically,
commenters pointed to one sensitivity
analysis summarized in Table 5–6 of the
2014 Risk Assessment that concluded
modeled risks did not exceed the point
of departure for any subset of the
modeled pH conditions. One
commenter argued the Agency’s
conclusions are not based on actual
observations of CCR porewater and
groundwater quality at sites where coal
refuse is managed. This commenter
stated that not all units that accepted
coal refuse will contain enough to affect
the broader chemistry of the unit and
not all coal refuse will contain enough
pyrite to influence pH. This commenter
further argued that, where acidic
conditions and higher leachate
concentrations do occur, it will not
necessarily result in higher
downgradient groundwater
concentrations due to other site-specific
factors. To support this argument, the
commenter summarized findings from
multiple EPRI reports that analyzed
field samples from around several
landfills and surface impoundments
believed to have accepted coal refuse.
Response: These commenters
misrepresent the findings of the
referenced sensitivity analysis. This
analysis represents a parsing of
groundwater model runs conducted in
2014 as a function of leachate pH. This
analysis incorporates model results for a
substantial number of lined units,
which can mask the effects of leachate
pH due to the low overall leakage rates
from these units. As such, this
sensitivity analysis does not support
any conclusions about the impacts of
pH on risks from unlined units. Further,
very few model runs were conducted at
highly acidic pH; the sensitivity
analysis did not summarize any results
for a pH lower than around 4. Thus, this
analysis also does not support any
conclusions about the risks associated
with highly acidic conditions.
Available LEAF leachate data used to
model landfills show that many
constituents, including arsenic, can
leach at highest concentrations near one
or both extremes of the pH scale. The
effects of these higher concentrations
are reflected in the sensitivity analysis,
with higher risks observed around a
highly basic pH of 13. Therefore, this
sensitivity analysis is consistent with
the broader risk record and shows that
extreme pH conditions can result in
higher risk.
The commenters are also incorrect
that the risk record is not based on
observations of CCR porewater. EPA
relied on empirical measurements of
porewater to support modeling of
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surface impoundments in 2014, which
included samples co-disposed with coal
refuse. As acknowledged by some
commenters, these data supported
identification of higher risks from these
co-disposed wastes in impoundments.
Corresponding pH data are not available
for every porewater sample, but
available data do show the potential for
highly acidic pH around 1, roughly
equivalent to stomach acid. The cited
EPRI reports do not contradict the
finding that co-disposal can affect CCR
leaching behavior. As summarized by
the commenter, these reports found that
a third of units had impacts to unit pH
and porewater chemistry. Individual
units had potential or confirmed
impacts on groundwater quality,
causing at least one to trigger remedial
measures by the facility. EPA further
notes that these reports provide only a
snapshot in time of the environmental
impacts associated with disposal in this
subset of disposal units. As a result,
there remains potential for future
releases beyond the waste boundary if
these conditions persist.
Comment: Multiple commenters
asserted that waste disposed below the
water table would not result in higher
risks from surface impoundments than
previously modeled in the 2014 Risk
Assessment. These commenters
generally argued the hydraulic head
present in an operating impoundment
from ponded wastewater will result in
greater leakage than groundwater
flowing through a unit. One commenter
presented a hypothetical comparison of
the relative hydraulic flux from a unit
due to ponded water, infiltrating
precipitation, and contact with
groundwater to argue that the presence
of a ponded water would result in
higher leakage. Others pointed to
analyses from the 2014 Risk
Assessment, which compared leakage
from surface impoundments before and
after dewatering, to argue that risks from
impoundments remaining in
groundwater would be lower. Others
further argued that the lower hydraulic
conductivity of some ash would limit
flow through the impoundment and
cause groundwater to preferentially flow
around the unit.
Several commenters presented data
from groundwater monitoring
conducted at individual units to assert
that risks are more likely to result from
the hydraulic head in active
impoundments than the intersection of
waste with the water table. The
presented data depict concentrations of
boron, a highly soluble constituent that
one commenter noted was selected for
its ‘‘insensitivity to redox conditions.’’
These plots generally show
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38971
concentrations of boron to decrease over
time after the impoundments were taken
out of service, though that pattern was
not universal. Some commenters went
further, concluding that eliminating the
hydraulic head in the unit would allow
any prior groundwater contamination to
naturally attenuate. Conversely, other
commenters pointed to a documented
case study where groundwater
concentrations increased after ponded
water was drained to contend that
contact with the water table can result
in higher releases.25
EPA Response: A number of the
commenters misconstrue the findings of
the 2014 Risk Assessment, which did
not include any assessment of the
effects of CCR disposal within the water
table. EPA was unable to quantitatively
model the risks associated with this
management practice because there was
little data on how common the practice
was or the extent to which it would
affect groundwater chemistry. Instead,
these commenters are referring to a
comparison of the risks resulting from
surface impoundments during operation
and post-closure (i.e., after free liquids
had been eliminated consistent with
§ 257.102(d)(2)(i)) that was undertaken
to understand if only modeling these
units only during operation might
underestimate peak risks. EPA only
concluded that continued leakage after
elimination of free liquids and closure
would rarely result in higher peak risks.
Thus, this assessment did not consider
the effects of disposal below the water
table or draw any conclusions about the
risks associated with this practice.
When waste is managed above the
water table, any leakage out of the unit
must first infiltrate down through
unsaturated subsurface soils and then
mix with groundwater before it can flow
beyond the waste boundary. As a result,
downgradient groundwater
concentrations can end up substantially
lower than the original leachate
concentration. In contrast, when waste
is disposed below the water table, the
entire volume of groundwater in contact
with the CCR and all water infiltrating
from above would become undiluted
leachate. As the thickness of CCR below
the water table increases, the volume of
leachate generated can increase
substantially based on the sheer size of
these disposal units. There is no
evidence the properties of CCR would
reliably limit transport of this leachate
away from the unit. Rather, the
hydraulic gradient of the aquifer will
continue to drive continued flow
25 EPRI. 2001. ‘‘Evaluation and Modeling of Cap
Alternative at Three Unlined Coal Ash
Impoundments.’’
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through the unit. The hydraulic
conductivity of different CCR overlaps
with that of common aquifer materials.
Even in instances where the average
conductivity within a unit is lower than
the surrounding aquifer, these units
often contain different ash types and
other wastes. This can lead to
stratification within the unit that creates
regions of higher conductivity and
allows for greater flow. For all these
reasons, there is potential for sustained
leakage from units when waste is
disposed below the water table.
Whether or not the magnitude of this
continued leakage is greater than from
water ponded in an impoundment does
not address the potential for such
leakage to cause a release or sustain one
that began when water was still ponded
in the unit. Such comparisons also
ignore that the waste would also be in
contact with groundwater while the unit
operates, greatly increasing the
likelihood of groundwater mounding
around the impoundment and increased
contaminant transport in all directions.
It is not feasible to draw conclusions
based on the small and curated sample
of units presented by commenters.
Various factors can complicate any
interpretation of the presented graphs.
First, boron is a highly soluble
constituent that can washout at high
concentrations into small amounts of
water. Thus, the extent to which
decreases in concentration over
timeframes of a long as a decade or more
simply represent the depletion of this
highly soluble constituent from the ash
is unclear. Second, unit geometry may
not be uniform and consistently
intersect with the groundwater table,
resulting in more spatially isolated
releases that cause higher
concentrations in some wells and not
others. Third, at sites with intermittent
contact with groundwater, predefined
sampling dates may not align with
periods when contact with groundwater
occurs. Therefore, it is not possible to
draw meaningful conclusions, either at
these sites or more broadly, based on the
data provided. As pointed out by other
commenters, there are also examples
available where sustained contract with
groundwater after a unit is drained
resulted in increased groundwater
concentrations of other Appendix III
constituents.
The fact that downgradient
concentrations have decreased at some
impoundments after the unit was
drained despite ongoing contact with
groundwater does not prove such
reductions will be sustained or further
groundwater releases will not occur. As
one EPRI report concluded, ‘‘the
existence of saturated ash will greatly
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reduce the effectiveness of any cap
design when the facility is underlain by
geologic materials with high hydraulic
conductivity, because groundwater will
continue to leach ash constituents.’’ 26
Thus, removal of ash from groundwater
may be the only reliable means of
source control for these units.
Comment: Several commenters agreed
that use of porewater to represent
leakage from impoundments is
appropriate. However, these
commenters also raised concerns that
available porewater data collected
during the active life of an
impoundment may underestimate the
risks associated with legacy
impoundments because it may not
accurately reflect leachate
concentrations after the unit has ceased
operation. As one example, they cited
potential for reducing conditions to
form through prolonged contact
between waste and groundwater.
By contrast, one commenter asserted
that elevated arsenic concentrations
identified in the two journal articles
EPA referenced in the proposal are only
representative of that one site and that
the majority of available impoundment
porewater data have lower
concentrations than reported in those
articles.27 28 The commenter also noted
the data presented in the journal articles
were collected in support of an EPRI
report, which found these
concentrations had not translated to
exceedances of GWPS in downgradient
wells.29 Based on this finding, the
commenter concluded leachate
concentrations alone are not a reliable
indicator of which units will cause
groundwater contamination due to
variable site geochemistry and
hydrogeology.
EPA Response: EPA agrees that
porewater samples remain the best
available data to represent leakage from
operating surface impoundments. These
field samples provide empirical data on
leakage from various mixtures of CCR
26 EPRI. 2001. ‘‘Evaluation and Modeling of Cap
Alternative at Three Unlined Coal Ash
Impoundments.’’
27 Wang, X., A.C. Garrabrants, Z. Chen, H.A. van
der Sloot, K.G. Brown, Q. Qiu, R.C. Delapp, B.
Hensel, and D.S. Kosson. 2022. ‘‘The Influence of
Redox Conditions on Aqueous-Solid Partitioning of
Arsenic and Selenium in a Closed Coal Ash
Impoundment.’’ Journal of Hazardous Materials.
428:128255.
28 Wang, X., H.A. van der Sloot, K.G. Brown, A.C.
Garrabrants, Z. Chen, B. Hensel, and D.S. Kosson.
2022. ‘‘Application and Uncertainty of a
Geochemical Speciation Model for Predicting
Oxyanion Leaching from Coal Fly Ash under
Different Controlling Mechanisms.’’ Journal of
Hazardous Materials. 438:129518.
29 EPRI. 2020. ‘‘Leaching, Geotechnical, and
Hydrologic Characterization of Coal Combustion
Products from a Closed Coal Ash Impoundment.’’
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and other wastes managed under
consistently saturated conditions. EPA
also acknowledges there can be
uncertainties associated with field data
submitted to the Agency, which might
lead to an underestimation of
concentrations in the field. One
example is the potential for stronger
reducing conditions to form after a unit
has been closed as a result of less
oxygenated water infiltrating through
the unit. As acknowledged by
commenters, however, there is not
sufficient data to characterize the
magnitude or extent of such conditions
on a national basis. Therefore, the
impact of this uncertainty is not known.
EPA disagrees that the arsenic
concentrations identified in the
referenced studies should be considered
an isolated occurrence. These studies
clearly demonstrate that: (1) Sustained
contact with groundwater can result in
stronger reducing conditions than dry
management, (2) Reducing conditions
can cause higher leaching of arsenic,
and (3) LEAF methods can
underestimate actual leaching from CCR
under reducing conditions by as much
as an order of magnitude. Given that
disposal beneath the water table is a
more common practice than previously
understood, there exists the real
potential for higher leachate
concentrations in the field than
previously modeled, particularly at
landfills modeled with LEAF data.
EPA does agree that initial leachate
concentrations are not the sole
determining factor for contaminant fate
and transport. As discussed in response
to previous comments, this fact is
reflected in Agency modeling.
Individual model runs with the highest
leachate concentrations are not always
those with the highest risk. However,
factors that will tend to push the overall
distribution of leachate concentrations
higher will also tend to push modeled
nationwide risks higher because of the
greater likelihood that higher leachate
concentrations will occur at sites where
these concentrations can more readily
spread. Thus, the greater prevalence of
units in contact with groundwater has
the potential to result in higher risks on
a national scale than previously
modeled.
Finally, EPA notes that groundwater
monitoring only represents a snapshot
in time and does not necessarily provide
any indication of the potential for future
contamination. In the case of the
studied unit, it is not known whether
reducing conditions formed during or
after operation. As such, there remains
potential for future releases if the unit
remains in contact with groundwater
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and continues to leak such elevated
arsenic concentrations.
g. Comments Related to Complete
Exposure Pathways
Comment: Multiple commenters
asserted that EPA must demonstrate the
existence of a complete exposure
pathway to justify regulatory action,
which some defined as exposures that
have already occurred. Specifically,
commenters stated that ‘‘the presence of
groundwater contamination alone does
not constitute a risk’’ and ‘‘in many
cases no one is drinking the water or
contacting the CCR materials.’’ One
commenter presented a summary of
analyses that had been conducted across
27 sites, which concluded that
groundwater risks do not exist at most
sites because no drinking water wells
are currently present. Another
commenter asserted that the high-end
risks identified in the 2014 Risk
Assessment assumed that receptors
were exposed immediately
downgradient of the disposal units. This
commenter went on to state that
complete exposures would not occur at
the many sites adjacent to water bodies
because groundwater contamination
would be intercepted by surface water
first and that the 2014 Risk Assessment
found no risks warranting regulation for
surface water. Several other commenters
also claimed that groundwater quality
should be measured at the facility
boundary because that would be more
representative of a complete exposure
pathway.
EPA Response: Section 4004(a) of
RCRA requires EPA to establish
requirements that will ensure no
reasonable probability of adverse effects
both to human health and the
environment. See, 42 U.S.C. 6944(a).
EPA therefore disagrees that only the
presence of receptors within the impact
sphere of a contaminating facility merits
consideration. EPA’s longstanding and
consistent policy (across numerous
regulatory programs) has been that
groundwater contamination is a
significant concern that merits
regulatory action in its own right,
whether or not the aquifer is not
currently used as a source of drinking
water.
Once a potentially harmful
constituent has leached from a disposal
unit into groundwater, whether the
constituent ultimately causes further
damage by migrating into drinking
water wells does not diminish the
significance of the environmental
damage caused to the groundwater
under the site, even where it is only a
potential future source of drinking
water. As EPA explained in the
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38973
preamble to the original 1979 subtitle D
criteria, EPA is concerned with
groundwater contamination even if the
aquifer is not currently used as a source
of drinking water. Sources of drinking
water are finite, and future users’
interests must also be protected. See, 44
FR 53445–53448. (‘‘The Act and its
legislative history clearly reflect
Congressional intent that protection of
groundwater is to be a prime concern of
the criterion. . . . EPA believes that
solid waste activities should not be
allowed to contaminate underground
drinking water sources to exceed
established drinking water standards.
Future users of the aquifer will not be
protected unless such an approach is
taken.’’). See also, 80 FR 21453.
The commenters’ approach is also
inconsistent with Agency guidance,
which states that a ‘‘. . . pathway is
complete if there is (1) a source or
chemical release from a source, (2) an
exposure point where contact can occur,
and (3) an exposure route by which
contact can occur.’’ 30 The guidance
goes on to state that ‘‘. . . exposure
assessments are concerned with current
and future exposures.’’ Thus, a key
consideration in evaluating risk is the
potential for future exposure. If it were
necessary to wait for exposures to occur
as a prerequisite for action, an untold
number of receptors could be subject to
potential harm. Further, implementation
of corrective action is not instantaneous
and so this harm could persist for some
time after receptor exposures are first
identified. Commenters do not explain
how such delayed action could be
considered protective of human health
and the environment, and so meet
RCRA’s standard. See, USWAG, 901 F3d
at 429–431.
Commenters also misrepresent the
findings of the 2014 Risk Assessment
regarding surface water interception.
EPA modeled a distribution of distances
for both groundwater wells and surface
water bodies, accounting for
interception whenever a water body was
located closer than a well. Thus,
reported high-end risks do not include
any assumptions about the proximity of
receptors to the units. Even if direct
exposure to groundwater from use as a
drinking water source is considered
unlikely due to the potential for
interception by nearby surface water,
that does not justify no further action.
EPA did identify the potential risks
from individual disposal units to
ecological receptors present in these
water bodies and human receptors who
fish from those water bodies, as well as
associated damage cases, which is why
constituents, such as cadmium and
mercury, were added to the Appendix
IV list of constituents. Additionally,
surface water bodies are large and
highly interconnected systems that are
likely to have multiple electric utilities,
as well any number of other industrial
sources, located along their banks. If all
these facilities were allowed to freely
discharge to a water body solely because
no individual release posed risk, the
cumulative impacts can result in risk to
surface water resources and nearby
receptors. The 2015 CCR Rule addresses
the potential for such risk by specifying
corrective action must ‘‘remove from the
environment as much of the
contaminated material that was released
from the CCR unit as is feasible.’’ 40
CFR 257.97(b)(3). Thus, dilution of a
groundwater plume into surface water
could not be considered a presumptive
remedy. This requirement is consistent
with guidance for OLEM programs that
specify the need to prevent groundwater
contamination above GWPS from
contaminating other aquifers or
environmental media.31
EPA also disagrees that a point of
compliance at the facility boundary
would provide a better estimate of
actual risk than the waste boundary.
Again, the commenter disregards that
the contamination of the aquifer is an
adverse effect on the environment, not
simply a potential risk to subsequent
receptors. Consequently, the regulations
require facilities to address the
contamination at the first available
point, that is, when it first leaves the
unit. There are several additional
reasons that the waste boundary is the
appropriate point of compliance. First, a
point of compliance at the facility
boundary would result in greater
potential for current residences or water
bodies immediately adjacent to the
facility boundary to be exposed before
the presence of contamination can be
confirmed. Second, the facility
boundary may be a significant distance
away from the waste boundary, which
would allow contamination to increase
and spread for some time before
triggering corrective action. The further
contamination is allowed to increase
and spread, the more difficult it may
become to clean it up due to factors
such as complex contaminant chemistry
and site hydrogeology. This may render
30 U.S. EPA. 1989. ‘‘Risk Assessment Guidance for
Superfund Volume I: Human Health Evaluation
Manual (Part A).’’ EPA/540/1–89/002. Prepared by
the Office of Emergency and Remedial Response.
Washington, DC. December.
31 U.S. EPA. 2009. ‘‘Summary of Key Existing
EPA CERCLA Policies for Groundwater
Restoration.’’ OSWER Directive 9283.1–33.
Prepared by the Office of Solid Waste and
Emergency Response. Washington, DC. June.
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large volumes of groundwater unusable
for drinking water or other purposes.
Finally, EPA has previously
documented numerous instances where,
once the contaminant plume has
migrated off-site and impacted private
water wells, a utility has purchased
these properties, thereby rendering the
off-site contamination, ‘‘on-site,’’ further
delaying corrective action. See, 80 FR
21456. For all these reasons, EPA
considers the waste boundary to provide
the most consistent and protective basis
on which to establish evidence of a
release.
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4. 2024 Final Risk Assessment
EPA identified risks to groundwater
from active CCR landfills and surface
impoundments, as well as to inactive
CCR surface impoundments at active
utilities in the 2014 Risk Assessment,
which are now regulated under the 2015
CCR Rule. The results of EPA’s further
analyses in the final 2024 Supplemental
Risk Analysis confirm that the findings
on the risk from active units from the
2014 Risk Assessment are equally
applicable to units that ceased receipt of
waste prior to 2015 and either closed or
became inactive. This final rule
therefore relies upon the 2014 Risk
Assessment, the additional data and
analysis presented in the March 2023
proposal indicating that the legacy CCR
surface impoundments and CCRMU
would be expected to have risks even
higher than previously modeled, and
the 2024 Supplemental Risk
Assessment. Each of these is discussed
in turn below.
a. Summary of 2014 Risk Record
In the 2014 Risk Assessment EPA
conducted a national-scale, probabilistic
analysis that characterized potential
risks to human and ecological receptors
associated with leakage from CCR
surface impoundments and landfills in
operation at that time. A combination of
models was used to predict fate and
transport of contaminants through the
environment, receptor exposures, and
the resulting risks to human and
ecological receptors. The specific
exposure routes evaluated were: (1)
Human inhalation of particulate matter
blown from open management units, (2)
Human ingestion of crops and livestock
raised on nearby fields, (3) Human
ingestion of groundwater used as a
source of drinking water, (4) Human
ingestion of fish caught from freshwater
streams, and (5) Ecological contact with
and ingestion of surface water and
sediment. Site-specific data were used
where available, supplemented by
regional and national data to fill data
gaps, to capture the variability of waste
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management practices, environmental
conditions, and receptor behavior. EPA
reported risks for both highly exposed
individuals and more moderately
exposed individuals. Risks to highly
exposed individuals represent a
reasonable maximum estimate that
members of the general population
might be exposed to, which were
calculated as the 90th percentiles of all
probabilistic model results. Risks to
moderately exposed individuals
represent a more typical estimate that
members of the general population
might be exposed to, which were
calculated as the 50th percentiles of all
probabilistic model results.
Under RCRA, EPA typically relies on
a risk range to determine the point at
which regulation is appropriate. This
policy was first developed in the
context of determining whether to
regulate (or ‘‘list’’) wastes as hazardous
under subtitle C of RCRA. See 80 FR
21449; 59 FR 66075–66077, December
22, 1994. However, over the years EPA
has relied on this risk range more
broadly to determine whether regulation
is warranted under both subtitles C and
D of RCRA. See 75 FR 35193 (‘‘Although
the statutory standards under
subsections C and D differ, EPA has
historically interpreted both statutory
provisions to establish a comparable
level of protection, corresponding to an
acceptable risk level ranging between
1 × 10¥4 and 1 × 10¥6.’’).
Thus, to determine whether there is a
reasonable probability of adverse effects
on health or the environment from the
disposal or other solid waste
management of solid waste, EPA
typically uses as an initial cancer risk
‘‘level of concern’’ a calculated risk
level of 1 × 10¥5 (one in one hundred
thousand) or an HQ above 1.0 for any
noncarcinogenic risks. See, 80 FR
21,449. For example, wastestreams or
activities for which the calculated high
end individual cancer-risk level is 1 ×
10¥5 or higher generally are considered
candidates for regulation. Wastestreams
or activities with risks calculated to be
1 × 10¥4 (one in ten thousand) or higher
generally will be considered to pose a
reasonable probability of adverse effects
on health or the environment and
generally will be regulated.
Wastestreams or activities for which
these risks are calculated to be 1 × 10¥6
(one in one million) or lower, and lower
than 1.0 HQ or environmental risk
quotients for any noncarcinogens,
generally will be considered not to pose
a reasonable probability of adverse
effects on health or the environment,
and generally will not be regulated. Id.
EPA first evaluated national-scale
risks in the 2014 Risk Assessment,
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which provides a snapshot in time of
potential risks across the country. This
was accomplished by weighting risks
from individual management practices
in proportion to the anticipated
prevalence of those practices. Nationalscale risks provide important context as
to whether risks are a systemic issue
that warrant national regulations or are
limited in scope and better addressed
through more targeted actions. The
Agency’s evaluation found that the
management practices that EPA
believed were generally in use in 2014
at surface impoundments and landfills
were likely to pose risks to human
health through groundwater exposure
within the range that EPA typically
considers warrants regulation. For
highly exposed individuals, the cancer
risks from arsenic due to the operation
of surface impoundments were as high
as 2 × 10¥4, while noncancer risks were
as high as an HQ of 5 for arsenic, 2 for
lithium, and 2 for molybdenum. Cancer
risks associated with the operation of
landfills were estimated to be as high as
5 × 10¥6 from the ingestion of arseniccontaminated drinking water. In
contrast, all risks for moderately
exposed individuals fell below EPA’s
risk range. This was largely attributed to
the fact that many facilities are located
next to major water bodies and so
contaminant plumes were frequently
intercepted by these water bodies before
they could reach private wells.
EPA next evaluated the risks
associated with individual management
practices at surface impoundments and
landfills. This was accomplished by
filtering the national-scale model runs
to focus only on those that included the
practice of interest and using the filtered
set of runs to calculate risks associated
with that specific practice. These
individual risks provide important
context about the range of contaminants
and practices that could pose risk at
individual sites. The Agency’s
evaluation identified two specific
management practices that could lead to
risks higher than those identified in the
national risk estimates.
The first practice EPA evaluated was
the disposal of CCR in unlined and claylined units. Management in unlined
surface impoundments resulted in
cancer risks for arsenic up to 3 × 10¥4,
as well as noncancer risks for lithium
up to an HQ of 3, molybdenum up to an
HQ of 4, and thallium up to an HQ of
2. Management in unlined landfills
resulted in cancer risks for arsenic up to
2 × 10¥5. The larger increase in arsenic
risks identified for unlined landfills
above those for national-scale landfills
(2 × 10¥5 vs. 5 × 10¥6) compared to
unlined and national-scale
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impoundments (3 × 10¥4 vs. 2 × 10¥4)
is because a larger proportion of
landfills nationwide were initially
modeled as having a liner. Since
promulgation of the 2015 CCR Rule, it
has become clear that more units are
unlined than originally estimated. Thus,
it is anticipated that national-scale risks
for landfills would actually be closer to
those for unlined landfills (2 × 10¥5),
rather than the lower nation-wide
estimates reported in the 2014 Risk
Assessment.
Although clay-lined units tended to
have lower risks than unlined units,
they still had potential to result in risks
within the range that EPA considers for
regulation under RCRA. Management in
clay-lined impoundments with a liner
thickness of three feet resulted in cancer
risks for arsenic of up to 7 × 10¥6 and
noncancer risks for lithium up to an HQ
of 2, while management in similarly
unlined landfills resulted in cancer risks
for arsenic up to the 1 × 10¥5. The larger
increase in arsenic risks for unlined
impoundments above those for claylined impoundments (1 × 10¥5 vs. 7 ×
10¥6) compared to unlined and claylined landfills (2 × 10¥5 vs. 1 × 10¥5)
is because the layer of low conductivity
clay counteracts the hydraulic head in
impoundments that would otherwise
freely drive greater volumes of leachate
into the subsurface.32 In contrast,
leachate generation in both types of
landfills is limited far more by the rate
of precipitation. As a result, EPA further
considered how reducing the modeled
clay liner thickness of impoundments to
the minimum allowable standard of two
feet would affect arsenic risk and found
it would increase to as high as 2 × 10¥5.
The second practice evaluated was
the management of wastes with an
extreme pH. In particular, empirical
porewater data revealed that co-disposal
of CCR with other wastes in surface
impoundments had the potential to
result in a highly acidic pH, cancer risks
for arsenic up to 1 × 10¥3, and
noncancer risks for cobalt and mercury
up to an HQ of 13 and 5, respectively.
Laboratory leaching test data also
indicated that highly acidic and basic
CCR wastes have the potential to leach
similarly high arsenic concentrations,
up to an order of magnitude higher than
under more neutral conditions. Only a
small number of previous landfill model
runs considered acidic conditions based
on the information available about
conditions in active units; identified
risks for these units were driven by
32 The somewhat higher risks identified for claylined landfills compared to similarly lined
impoundments are likely related to site-specific
conditions, such as where in the country these units
are located.
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more basic conditions. Thus, to the
extent that conditions at either extreme
of the pH scale are more prevalent than
previously estimated, it is likely that
overall risks from disposal in both
surface impoundments and landfills
would be even higher than modeled.
EPA acknowledged in the 2014 Risk
Assessment that there were some
additional management practices that
could result in higher risk at individual
sites, but that could not be
quantitatively modeled with the data
available at the time. One specific
example provided was of CCR disposal
below the water table. EPA was unable
to quantitatively model the associated
risks as there was little data on how
common this practice was or the extent
to which it could affect groundwater
chemistry. Because EPA could not
quantitatively model these management
practices (and because the Agency had
no information to indicate that it was a
current, widespread management
practice), EPA noted only that, based on
its review of damage cases, the damage
from the placement of CCR in sand and
gravel pits was almost always associated
with CCR being placed in contact with
water, which indicated that the
placement of CCR in contact with water
can lead to higher risks than from dry
disposal. 80 FR 21352. EPA further
explained that ‘‘in this situation, the
sorption that occurs in the unsaturated
zone of the risk assessment model does
not occur in the field. This and other
site-specific risk factors could lead to
additional contamination beyond what
was modeled nationwide.’’ 2014 Risk
Assessment at pages 5–48. As a
consequence, EPA specifically included
sand and gravel pits that received CCR
in the definition of CCR landfills
covered by the regulations. 80 FR 21354.
The above model results from the
2014 Risk Assessment are equally
applicable to legacy CCR surface
impoundments and CCRMU. Many of
these unregulated units are similarly
constructed, manage the same types of
ash, and are frequently located either at
the same or nearby facilities as their
regulated counterparts. In particular,
some unregulated units are known to be
located directly adjacent to or beneath
currently regulated units. The fact that
some of these unregulated units no
longer contain water ponded above the
ash surface or have installed some form
of cover system does not meaningfully
distinguish the long-term risks of these
units from those previously modeled.
This is because all landfills and surface
impoundments progress through similar
lifecycle stages. Progression toward
closure does not remediate any releases
that occurred during operation of the
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unit. Furthermore, if a unit is not closed
with an effective cover system or
remains in contact with the
groundwater table, the higher rates of
leakage that can result could sustain
releases long after the unit has ceased
operation. It is expected that legacy
impoundments and CCRMU have been
present for longer than currently
operating units and so would have had
more time to leak. As a result, previous
and ongoing releases from these units
have the potential to be greater and to
have migrated further than those from
the currently regulated universe of
units.
The risks associated with legacy
impoundments and CCRMU may be
even higher than EPA modeled on a
national scale in the 2014 Risk
Assessment. The 2014 Risk Assessment
aimed to provide a static snapshot of
waste management practices at that time
based on the available data. As such, it
did not reflect the greater prevalence of
some practices at older closed and
inactive units based on the
understanding those practices had
declined over time. Nor did it reflect
some ongoing practices for which there
was not enough data to characterize
prevalence on a national scale. The
Agency is now aware of several
practices that are more common than
were modeled in 2014 and have the
potential to result in higher leakage.
However, because the 2014 Risk
Assessment identified baseline risks
that warrant regulation, the national risk
record does not depend on the greater
prevalence of these practices to justify
the need for regulation of closed and
inactive units. Instead, the potential for
even higher risk from these practices at
individual units, which are discussed
below, only reinforces the basis for
regulation.
First, a greater number of units lack
an adequate liner system than EPA
previously understood. For example, in
the 2014 Risk Assessment, EPA
estimated that 65% of impoundments
had no engineered liner (i.e., do not
meet the regulatory standard for either
a clay or composite liner) based on
surveys conducted by EPA between
2009 and 2010 (‘‘EPA Surveys’’).33 It has
since become clear that even fewer
impoundments are actually lined. EPA’s
review of available liner demonstration
documents posted on facilities’ CCR
websites indicates closer to 83% of
impoundments have no engineered
liner. Similar reporting is not available
33 U.S. EPA. 2014. ‘‘Human and Ecological Risk
Assessment of Coal Combustion Residuals.’’ RIN
2050–AE81. Office of Solid Waste and Emergency
Response. Washington, DC. December.
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on the liner prevalence for older units.
However, EPA is also not aware of any
evidence that these older units have
been lined at higher rates, particularly
those constructed prior to the
promulgation of minimum standards for
disposal in RCRA subtitle D landfills in
1991. See, 40 CFR part 257, subpart A
and part 258. Indeed, most coal-fired
utilities in the United States were
constructed before 1990.34 Even when
units do report having an engineered
liner, they may not perform as well as
previously modeled. The 2014 Risk
Assessment modeled both clay and
composite liners based on the
presumption both would achieve
regulatory performance standards. Yet,
facility reports show that around 10% of
landfills and surface impoundments
with a composite liner have already
entered into corrective action. Thus,
many units previously modeled as lined
are now believed to either have no
engineered liner or to perform more like
an unlined unit. For these reasons, EPA
anticipates that national risks for both
currently regulated units and those
newly covered under this rulemaking
will be closer to those previously
modeled for unlined units. For landfills,
this could increase national risks by up
to an order of magnitude, as high as 2
× 10¥5 for arsenic. That risk is twice the
level that EPA typically considers for
regulation and is the same level of risk
as those associated with the clay-lined
CCR surface impoundments that the
D.C. Circuit required to close.
Second, a greater number of older
units co-disposed CCR with the wastes
generated from coal preparation
activities, collectively referred to as
‘‘coal refuse.’’ These activities may have
included coal handling by conveyor
systems, coal washing for removing
mineral matter, and coal ‘‘sizing’’ to
reduce the average particle size of coal.
Co-disposal with coal refuse can have a
pronounced effect on the leaching
behavior of CCR because of the potential
for the refuse to make the overall waste
pH far more acidic. Available Leaching
Environmental Assessment Framework
(LEAF) leaching data considered in the
2014 Risk Assessment show that
multiple Appendix IV constituents are
most soluble under extreme pH
conditions and thus able to leak at
higher rates. EPA found modeled risks
are highest when CCR was disposed in
surface impoundments with coal refuse.
The modeled cancer risks for the co34 United States Energy Information
Administration. 2017. ‘‘Most Coal Plants in the
United States were Built Before 1990.’’ Accessed
online at: https://www.eia.gov/todayinenergy/detail.
php?id=30812.
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disposal of ash and coal refuse in
surface impoundments ranged between
1 × 10¥3 for trivalent arsenic to 4 × 10¥4
for pentavalent arsenic. Non-cancer
risks were similarly high, ranging
between and an HQ of 13 for cobalt and
HQ of 14 for pentavalent arsenic to 26
for trivalent arsenic, based on the
ingestion of contaminated drinking
water.
The practice of co-disposal with coal
refuse has declined over time. A survey
conducted by Electric Power Research
Institute (EPRI) in 1995 showed 34% of
unlined landfills and 68% of unlined
surface impoundments actively
managed CCR with coal refuse.35 In
contrast, EPA Surveys indicated that, by
2014 this management practice had
declined to around 5% of active units.
EPA’s 2014 national-scale modeling was
based on the 5% reported in the EPA
Surveys, and as a consequence, this
practice had minimal influence on the
overall nationwide risk estimates in the
2014 Risk Assessment. However, it is
clear from the EPRI data that
management of CCR with coal refuse
used to be far more common prior to
1995. Of the 283 disposal units that
were previously excluded from the 2014
Risk Assessment and that reported a
start year in the EPA Surveys, around
91% had already begun operation by
1995. Therefore, the risks associated
with these older disposal units are
likely to be higher than the national
scale risks reported in the 2014 Risk
Assessment.
Finally, it has become apparent since
promulgation of the 2015 CCR Rule that
the practice of disposing of CCR below
the water table is more common than
EPA previously understood. EPA was
aware of this practice in 2014 and raised
it as an uncertainty in the risk
assessment, but had little information
about the frequency of this practice.
EPA’s review of the location restriction
demonstrations posted on facilities’ CCR
websites found that approximately 31%
of active CCR surface impoundments
had waste below the water table. Similar
statistics are not currently available for
landfills, though it is clear from
previously identified damage cases that
this practice is not unique to
impoundments. Nor is EPA aware of
any evidence that would indicate older
units are less likely on the whole to
have been constructed within the water
table. EPA was unable to model the
effects of disposal in the water table in
2014 due to constraints on data
availability and modeling capabilities.
35 EPRI. 1997. ‘‘Coal Combustion By-Products and
Low-Volume Wastes Comanagement Survey.’’ Palo
Alto, CA. June.
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Disposal beneath the water table,
either continuously or intermittently,
will result in conditions that mirror
those previously found to drive risk
from active surface impoundments.
Specifically, saturation of disposed CCR
provides a larger reservoir of leachate
and the hydraulic gradient across the
aquifer maintains a hydraulic head that
serves to drive this leachate away from
the unit. The implications for landfills
are particularly significant, as the
potential for greater contaminant
transport from these units can result in
higher risks to groundwater than
previously modeled under dry
conditions. Further, because these
landfills leak directly to groundwater,
there is potential for these risks to
remain long after the unit has ceased
operation. This is equally true for
impoundments. Even if the hydraulic
head within the aquifer is not as great
as from ponded water, it can still
sustain higher rates of leakage than if
the unit were fully dewatered. As a
result, removal of the saturated ash may
be the only reliable means to control the
source of contamination.
Since promulgation of the 2015 CCR
Rule, EPA has identified evidence of
another way in which disposal below
the water table could result in greater
risk. This disposal practice has the
potential to alter groundwater chemistry
in ways that increase either the
solubility or mobility of some CCR
contaminants. This is due to the
residual, unburnt organic matter in CCR
serving as a carbon source (i.e.,
substrate, electron donor) for bacteria in
the soil. Bacteria preferentially use any
dissolved oxygen (O2) for oxidation of
organic matter (i.e., electron transfer
from the organic matter to oxygen)
because this yields the greatest energy
returns for the bacteria. With a sufficient
source of biodegradable organic matter,
bacterial consumption of oxygen can
outpace replenishment of dissolved
oxygen that occurs through diffusion
from the atmosphere and infiltration of
precipitation. Depletion of oxygen is
more likely to occur in saturated soils
because the constant presence of water
allows biological activity to proceed
unimpeded by periods of drying, the
relatively slow flow rate of groundwater
does not transport dissolved oxygen
from the upgradient side of the unit fast
enough to outpace consumption across
the footprint of the unit, and sustained
saturation of the soil limits oxygen
exchange with the atmosphere. In the
absence of oxygen, bacteria will instead
use nitrate, manganese, iron, sulfate,
and other compounds for reduction of
organic matter (i.e., electron transfer to
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organic matter from other compounds).
Such reducing conditions will not affect
all constituents equally, serving to
mobilize some and immobilize others.
However, reducing conditions can
mobilize arsenic, the primary source of
risks identified in the 2014 Risk
Assessment.
Research conducted since the 2014
Risk Assessment has better documented
the potential effects of disposal below
the water table on leakage from CCR
units. Studies published in 2022
examined, among other things, the
degree to which environmental
conditions can differ within the same
closed impoundment, both above and
below the water table.36 37 Specifically,
arsenic concentrations measured in the
water intermingled with CCR beneath
the water table were as high as 4,100
mg/L due to the presence of reducing
conditions and a near neutral pH of 8.
That concentration is substantially
higher than 20 mg/L, measured from the
same ash with LEAF Method 1313 at a
similar pH, or 780 mg/L, which is the
90th percentile of all impoundment
porewater measurements previously
compiled by EPA. This indicates that
the porewater and LEAF data relied on
the 2014 Risk Assessment may
significantly underestimate the
magnitude of leakage from CCR units
under reducing conditions.
The extent to which the porewater
data EPA used to model surface
impoundments in 2014 reflect strong
reducing conditions is not known, as
this information was not commonly
reported. Such conditions might occur
during operation as a result of sustained
saturation or might evolve after an
impoundment has been drained of
ponded water and capped, thereby
decreasing mixing of oxygen within the
unit. However, it is known that the
LEAF data used to model landfills does
not reflect reducing conditions. All
standardized leaching tests tend to
reflect oxidizing conditions due to
contact between the sample and the
atmosphere during sample collection
and laboratory analysis. As such, it has
since been recognized that further
analysis of leachate data with
36 Wang, X., A.C. Garrabrants, Z. Chen, H.A. van
der Sloot, K.G. Brown, Q. Qiu, R.C. Delapp, B.
Hensel, and D.S. Kosson. 2022. ‘‘The Influence of
Redox Conditions on Aqueous-Solid Partitioning of
Arsenic and Selenium in a Closed Coal Ash
Impoundment.’’ Journal of Hazardous Materials.
428:128255.
37 Wang, X, H.A. van der Sloot, K.G. Brown, A.C.
Garrabrants, Z. Chen, B. Hensel, and D.S. Kosson.
2022. ‘‘Application and Uncertainty of a
Geochemical Speciation Model for Predicting
Oxyanion Leaching from Coal Fly Ash under
Different Controlling Mechanisms.’’ Journal of
Hazardous Materials. 438:129518.
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geochemical speciation models may be
warranted when field conditions
diverge from those present in the
laboratory setting (e.g., reducing
conditions).38 Therefore, there is clear
potential for significantly higher
leachate concentrations than modeled if
a landfill is in contact with
groundwater.
b. 2024 Risk Assessment and Results
As noted above, a number of
commenters argued the 2014 Risk
Assessment does not adequately capture
various factors associated with legacy
impoundments and CCRMU that the
commenters believe will result in
significantly different risks than those
posed by currently regulated units. In
response, EPA prepared a supplemental
risk assessment to determine the
potential for some of these factors to
affect national risks (‘‘2023 Draft Risk
Assessment’’). EPA began by reviewing
available information about the
characteristics and locations of legacy
impoundments and CCRMU to
determine whether there was any
potential for the risks from these units
to be meaningfully different from
currently regulated units. This included
a review of groundwater model results
previously excluded from the 2014 Risk
Assessment because the units were
ultimately not covered by the 2015 CCR
Rule.
As part of this review, EPA grouped
legacy impoundments and CCRMU
disposal units into different categories
based on unit type: (1) Historical and
inactive landfills and (2) Historical and
legacy impoundments. The 2024 Risk
Assessment defines historical units as
those that have steps taken toward
closure, but that may or may not meet
all the requirements of § 257.102(d).
Additionally, EPA further considered
the influence of unit size on risk and
conducted additional modeling for the
subset of CCRMU that is smallest in
size, those used as fill or for similar
purposes (hereafter ‘‘CCRMU fills’’).
Because facilities have not historically
regarded such placement as disposal
units or necessarily maintained
associated records, EPA believes there is
potential for exposures different than
those previously considered for landfills
and surface impoundments.
Specifically, EPA evaluated the
potential for risk from onsite exposure
to contaminated groundwater or CCR
accumulations in the soil under a future
residential land use scenario.
38 U.S. EPA. 2019. ‘‘Leaching Environmental
Assessment Framework (LEAF) How-To Guide:
Understanding the LEAF Approach and How and
When to Use It.’’ Office of Land and Emergency
Management. Washington, DC. May.
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i. Problem Formulation
EPA first developed conceptual
models to illustrate a generalized layout
of legacy impoundments and CCRMU,
the different pathways through which
constituents may be released from CCR
and migrate through the environment,
and the risks to human health and the
environment that could result. The
conceptual models for landfills and
impoundments were the same as used
in the 2014 Risk Assessment/EPA
determined that a second model was
warranted for CCRMU because some
smaller placements have not historically
been regarded as disposal by facilities
and so have not been reliably tracked or
maintained over time. These smaller
placements may be disturbed after land
use changes, which can result in
additional release pathways. Therefore,
EPA prepared a second conceptual
model for smaller units (i.e., CCRMU
fills). These conceptual models provide
the basis for subsequent modeling
efforts.
When CCR are placed on the ground
for any purpose, they may leach metals
and other inorganic contaminants to
groundwater. Once mixed with
groundwater, contamination may
migrate downgradient to private wells
where it is ingested by receptors who
rely on groundwater as their primary
source of drinking water. But a receptor
does not need to be presently exposed
for there to be a reasonable probability
of adverse effects on health or the
environment. EPA evaluated this
exposure pathway in the 2014 Risk
Assessment and identified a set of
constituents most likely to pose risk to
offsite receptors living up to a mile
away. The 2024 assessment builds on
those model results and identifies
arsenic, lithium, molybdenum, and
thallium as constituents that warranted
further evaluation. These are the
constituents found in the 2014 Risk
Assessment to pose the greatest risk for
unlined surface impoundments and
have the greatest demonstrated potential
to spread and pose risk on a national
scale. These 2014 model results
therefore also provide a reasonable
screen to identify the most likely risk
drivers for receptors living even closer
to these types of units.
When CCR is placed in fills and left
unmonitored, the ash can be disturbed
in the future when land use changes. In
the absence of records of the presence
of CCR, and in the absence of inspection
and maintenance, any engineering
controls currently present that might
serve to limit exposure cannot
reasonably be assumed to remain in
place in perpetuity. For this reason, EPA
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considered the potential for additional
exposure pathways that could occur
under a future residential land use
scenario. The 2014 Risk Assessment did
not evaluate risks from direct placement
of CCR in the soil. However, EPA
previously identified radium as a
constituent of concern in the 2015 CCR
Rule and included two radioisotopes on
the Appendix IV list for groundwater
monitoring, radium-226 and radium228. These radioisotopes are part of
larger, naturally occurring decay chains
that begin with uranium-238 and
thorium-232, respectively. Even if some
form of cover remains over the ash,
future receptors who live on or around
a fill may be exposed to radiation
through direct exposure to gamma
radiation or inhalation of radon gas.
Therefore, EPA considered potential for
exposure to the full decay chains of
these radium isotopes as the primary
risk driver for this pathway.
ii. Disposal Unit Groundwater Risk
All disposal units pass through the
same lifecycle stages, ranging from
initial construction to final closure. As
a result, there is potential for historical
and inactive disposal units to result in
the same types of environmental
releases as currently regulated units
over the course of their lifecycle. The
fact some historical and inactive units
may have since drained ponded
wastewater or installed some form of
cover system does nothing to remediate
any prior releases. EPA conducted a
review of the available data on these
historical and inactive units to
understand whether the associated risks
would be expected to differ from those
previously modeled for regulated units.
The 2014 Risk Assessment modeled
risks for a total of 122 landfills and 163
impoundments that were ultimately
excluded from the final summary of
national risks because it was determined
that these units fell outside the scope of
the 2015 CCR Rule. These units were
excluded because they were anticipated
to cease receipt of waste prior to the
effective date of the rule. Therefore,
model results for these previously
excluded units directly address the
historical and inactive units subject to
the current rulemaking. EPA reviewed
model results for these previously
excluded units to better understand
whether the associated risks were any
different from those of currently
regulated units. For highly exposed
individuals, landfills were estimated to
pose cancer risks as high as 7 × 10¥6
from arsenic III, while surface
impoundments were estimated to pose
cancer risks as high as 8 × 10¥5 from
arsenic III and noncancer HQs as high
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as 2 for arsenic III, 2 for lithium, and 1
for molybdenum.
Differences between these risks and
those for currently regulated units are
attributed primarily to differences in the
prevalence of engineered liners modeled
for the two sets of units. The previously
excluded units were modeled as having
no engineered liner at 71% of landfills
and 57% of impoundments, compared
to 42% of landfills and 65% of
impoundments for currently regulated
units. For unlined units, the arsenic III
risk from previously excluded units was
1 × 10¥5 for landfills and 2 × 10¥4 for
surface impoundments, while
corresponding risk from regulated units
were 2 × 10¥5 for landfills and 3 × 10¥4
for surface impoundments. Since all of
this modeling was completed in 2014, it
has been discovered through facility
reporting that a greater percentage of
regulated units has no engineered liner
than EPA previously modeled. For
example, in the 2014 Risk Assessment,
EPA estimated that 65% of
impoundments had no engineered liner
based on the EPA Surveys.39 It has since
become clear that even fewer
impoundments are actually lined. EPA’s
review of available liner demonstration
documents posted on facilities’ CCR
websites indicates closer to 83% of have
no engineered liner. EPA has seen no
evidence that would indicate older
historical and inactive units would be
lined at any greater frequency. Thus,
EPA concludes that the national risks
for regulated and previously excluded
units will fall closer to those modeled
for unlined units.
EPA reviewed available data on
facility location to understand whether
environmental conditions (e.g.,
precipitation, soil type) at inactive and
active facilities could be substantially
different than previously modeled. Such
conditions can affect the rate of leakage
from a unit and subsequent transport of
that leachate through the subsurface.
This review found that around 80% of
the active and inactive facilities that
were not subject to the 2015 CCR Rule
had already been modeled as part of the
2014 Risk Assessment and so are
already reflected in the risk results for
those previously excluded units. The
remaining 20% of facilities are located
an average distance of 26 miles from the
nearest modeled facility. Therefore, EPA
concludes that the 2014 Risk
Assessment adequately captures the
effects of facility location on national
risk.
39 U.S. EPA. 2014. ‘‘Human and Ecological Risk
Assessment of Coal Combustion Residuals.’’ RIN
2050–AE81. Office of Solid Waste and Emergency
Response. Washington, DC. December.
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Commenters stated that the smaller
size of historical and inactive disposal
units would result in lower volumes of
leakage and could not sustain plumes of
the same magnitude as from larger
regulated units. EPA reviewed data from
the EPA Surveys to determine whether
the sizes of previously excluded units
are substantially different than EPA
modeled for currently regulated units.
This comparison indicates that
excluded units do tend to be somewhat
smaller. The average size modeled for
excluded units was 77 acres for landfills
and 28 acres for impoundments. The
average size modeled for regulated units
was 107 acres for landfills and 47 acres
for impoundments. Despite these
differences, there remains a great deal of
overlap in the range of sizes for both
sets of units. Further, as described
above, similar risks were identified for
both sets of units. Thus, there is no
indication that size differences of this
magnitude have any notable effect on
national risk. Nor is there any
information available about the units
not captured in the EPA Surveys that
would indicate these remaining units
are significantly smaller. Therefore, EPA
concludes that the 2014 Risk
Assessment adequately captures the
effects of unit size on national risk.
iii. CCRMU Fill Groundwater Risk
EPA conducted national-scale
modeling of CCRMU fills to understand
the potential groundwater risks that
could result from these smaller
placements of CCR. The exposure route
evaluated for was human ingestion of
groundwater used as a source of
drinking water. The evaluation
incorporated many of the same data
sources used in the 2014 Risk
Assessment to characterize the
variability of site conditions. Two
models were used to evaluate
contaminant fate and transport,
EPACMTP and MODFLOW–USG.
EPACMTP was run first at specified
distances along the centerline of the
plume to understand the potential for
releases to occur and spread further
downgradient. MODFLOW–USG was
then run for a subset of the conditions
to understand the broader magnitude
and extent of these plumes.
Groundwater concentrations modeled
with EPACMTP at the waste boundary
were first compared to respective GWPS
to understand the potential for fills to
impact groundwater quality to an extent
that would trigger corrective action at
regulated landfills. The 90th percentile
concentrations exceeded GWPS by
factors of 26 for arsenic III, 19 for
arsenic V, 156 for molybdenum, and 19
for thallium. The 50th percentile
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concentrations exceeded GWPS by a
factor of two for molybdenum. Based on
these results, EPA finds that CCRMU
fills can meaningfully contribute to
groundwater contamination across a
facility.
Groundwater concentrations modeled
with EPACMTP at 500 and 1,000 feet
away from the waste boundary were
used calculate risks to individual RME
receptors exposed to these
concentrations. The 90th percentile
concentration of each modeled
constituent exceeded at least one risk
benchmark at 1,000 feet. This indicates
potential for leakage from fills to spread
at environmentally significant
concentrations. However, because these
model runs represent concentrations at
a fixed location, they do not provide
broader information about the
magnitude and extent of the plume. As
a result, EPA does not rely primarily on
these results to draw direct conclusions
about overall risk. Instead, the Agency
retained a subset of these model runs for
both arsenic V and molybdenum from
around the 90th percentile
concentrations modeled at 1,000 ft. EPA
selected pentavalent arsenic because it
is the less mobile species and so
provides a reasonable bounding on the
high-end concentrations that can result
for this contaminant. These runs were
retained for further modeling with
MODFLOW–USG to characterize the
full magnitude and extent of each plume
over time.
The MODFLOW–USG runs were
designed with the same inputs as
corresponding EPAMCTP runs.
Altogether, these model runs reflect a
range of conditions that collectively
resulted in high-end groundwater
concentrations 1,000 feet from the fill.
These corresponding placements of CCR
range from around 3,500 to 70,000 tons
placed over areas between 0.15 to 2.0
acres. EPA calculated the midpoint
across these runs to define values
representative of the 90th percentile
model runs. For arsenic V, the model
identified a peak risk of 1 × 10¥4
averaged over 32 million gallons (Mgal)
of groundwater and a peak volume of
147 Mgal with an average risk of 7 ×
10¥5. The same leakage of arsenic V
would result in a peak GWPS
exceedance of three averaged over a
plume volume of 1.2 Mgal and a peak
plume volume of 8 Mgal with an
average exceedance of 2 times GWPS. It
would take around 2,300 years from the
time of first exceedance for the plume
to fully dissipate. For molybdenum, the
peak exceedance of both risk benchmark
and GWPS was 10 averaged over a
plume volume of 27 Mgal and a peak
plume volume of 80 Mgal with an
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average exceedance of 4 times GWPS. It
would take around 100 years from the
time of first exceedance for the plume
to fully dissipate. Plumes of these size
and duration could readily sustain
exposures for typical residential
receptors that are anticipated to use
around 80 gallons of water a day for all
indoor household needs, resulting in
less than 0.8 Mgal of use over 26 years
of exposure.
iv. CCRMU Fill Soil Risk
EPA modeled of CCRMU fills to
understand the potential risks that
could result from CCR present in the
soil. Exposure routes initially
considered for evaluation were human
inhalation of radon gas and direct
exposure to gamma radiation emitted
from the CCR. However, based on a
preliminary review of available data,
EPA determined that radon emanation
from CCR (i.e., fraction of radon able to
escape into the surrounding air) is
generally lower than from most soils.
Despite the higher overall activity of
CCR, the resulting radon emanation
from the ash is not distinguishable from
that of most surface soils. Therefore,
EPA did not retain exposure to radon for
further consideration.
Modeling of exposure to gamma
radiation was conducted with the EPA
PRG calculator. EPA evaluated the
potential for direct exposure to gamma
radiation from CCR under a soil cover
ranging in thickness from 60 to 20 cm
(2 to 0.66 feet). EPA compared the
combined activity of the uranium-238
and thorium-232 decay chains in the
CCR to the health benchmarks for each
cover thickness to calculate the risks
that could result from receptors living
on or near the fill. Both 90th and 50th
percentile activities have potential to
result in cancer risks at or above 1 ×
10¥5 with a cover of 40 cm. The 90th
percentile activity resulted in a cancer
risk of 1 × 10¥4 with a cover of 20 cm.
This indicated the potential for even
higher risk if the cover were to be
disturbed and the CCR brought to the
ground surface. However, evaluation of
this scenario would require additional
assumptions about the degree of mixing,
which could be a major source of
uncertainty on a national scale.
Therefore, EPA retained this scenario
for further consideration as part of a
separate sensitivity analysis.
v. Uncertainty and Sensitivity Analyses
EPA reviewed the models used, as
well as the data and assumptions input
into the models, to better understand
the potential sources of uncertainty
inherent in the model results. The
Agency qualitatively and, to the extent
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possible, quantitatively analyzed these
sources to understand the potential
effects each may have on modeled risks.
EPA also conducted further sensitivity
analyses to understand how the
modeled national risks vary in response
to changes in sensitive parameters and
to evaluate the potential for risks
through exposure pathways that could
not be fully modeled on a national scale.
The major source of uncertainty
identified for the groundwater model is
the potential for greater risk from
multiple units located in close
proximity. The EPA Surveys did not
provide information on the relative
location or orientation of different
landfills and impoundments at any
given facility and so the 2014 Risk
Assessment modeled risks from each
unit individually. However, the Agency
is now aware of many instances where
multiple units are located directly
adjacent to one another, resulting in a
larger total area over which leakage can
occur. This could result in greater
cumulative risk to offsite receptors than
predicted based on contributions from
each individual unit. Furthermore, there
is potential for legacy impoundments
and CCRMU (disposal units and fill) to
confound groundwater monitoring
programs when located upgradient of a
regulated unit. Ongoing leakage from
these unregulated units has the
potential to skew the characterization of
background groundwater quality. Under
these circumstances, any leakage from a
regulated unit would need to progress
even further and faster to be
distinguishable from that skewed
background. This could delay or
entirely prevent a regulated unit from
entering into corrective action, resulting
in risk to downgradient receptors.
EPA conducted a sensitivity analysis
to determine whether there is a unit size
below which adverse impacts to
groundwater quality are unlikely and
monitoring is not warranted. This
analysis found exceedances of GWPS
are possible for placements below 1,000
tons. Thus, such placements can
meaningfully contribute to groundwater
contamination at these facilities. It was
not possible to identify a limit much
lower than this tonnage because of the
few model runs conducted at smaller
amounts. Extrapolation beyond
available model runs could introduce a
great deal of uncertainty into any
specific limit identified. The extent to
which any identified limit could shift
higher or lower in response to further
modeling around these lowest tonnages
is not known. Therefore, the Agency
could not identify a lower limit based
on the current modeling.
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EPA conducted further sensitivity
analyses to better characterize the risks
to human health that may result from
mixing of CCR with the soil. There is
little data available to predict the
likelihood of different degrees of mixing
that could occur across the country.
Instead, EPA considered the
incremental contributions from CCR
through increased mixing with soil to
identify the point at which
accumulation would raise concern. This
analysis focused on radionuclides
previously identified as potential risk
drivers for soil, but also considered
contributions from arsenic that may
further contribute to cancer risk. The
exposure pathways considered were
incidental ingestion of the CCR and soil
mixture and direct exposure to gamma
radiation. For radionuclides, cancer
risks above 1 × 10¥4 are possible for
residential receptors at mixing of more
than 11% for 90th percentile activity
and 21% for 50th percentile activity.
For arsenic, cancer risks above 1 × 10¥4
are possible at mixing of more than 33%
for 90th percentile concentration, but
would not occur at any degree of mixing
for 50th percentile concentration. Both
radionuclides and arsenic also occur
naturally in soil; however, levels in CCR
can be markedly higher than typical
background levels. In particular, EPA
has identified the potential for CCR to
have a combined radium activity nearly
10 pCi/g above typical background soils.
This is greater than the ARAR that has
been applied at some cleanups for
surface and subsurface soils under
Superfund and State programs. As such,
consideration of the incremental
increase above background does not
alter the overall results of this analysis.
Therefore, EPA concludes that
accumulation of CCR within the soil
column can result in risks within the
range that EPA considers or regulation.
EPA separately considered the
potential for risk to ecological receptors
that may result from mixing of CCR with
the soil based on comments received
that a future use for these facilities
could be as a nature preserve. EPA
calculated the incremental contributions
from CCR as described above and
compared the resulting concentrations
to available ecological benchmarks. This
analysis focused on constituents for
which ecological soil screening levels
are available. This comparison indicates
that antimony, selenium, and vanadium
are most likely to drive risk and require
further evaluation at both high-end and
median ash concentrations. In some
cases, ecological benchmarks are lower
than typical background soil levels.
However, consideration of the
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incremental increase above background
does not alter overall results. Therefore,
the potential for risk from accumulation
of CCR within the soil column remains
even if future residential land use is not
anticipated.
vi. Final Conclusions
Based on the analyses summarized in
the current risk assessment, EPA
concludes that there is a reasonable
probability of adverse effects on health
and the environment due to leakage
from legacy CCR surface impoundments
and CCRMU. EPA’s assessment
estimates that the risks that leakage from
these units would adversely impact
groundwater quality and pose risk to
future receptors fall within the range
EPA typically considers warrants
regulation under section 4004(a) (i.e.,
cancer risks greater than 1 × 10¥5 and
non-cancer risks exceeding an HQ of 1).
Older historical and inactive disposal
units can pose risks to offsite receptors
substantially the same as previously
reported for currently regulated units.
Smaller CCRMU fills can pose risk to
onsite receptors and materially
contribute to broader groundwater
contamination across the facility.
Depending on the location of these fills,
they can also pose risk to offsite
receptors. The risks identified for
CCRMU fills are also believed to
provide a bounding estimate on the
risks posed by disposal units, as leakage
from these larger units would generally
be expected to result in more extensive
releases than modeled for fills. Risks to
human health from groundwater are
anticipated to be driven by ingestion of
arsenic, lithium, molybdenum, and/or
thallium. Health effects associated with
arsenic ingestion are an increase in the
risk of cancer in the skin, liver, bladder,
and lungs, as well as nausea, vomiting,
abnormal heart rhythm, and damage to
blood vessels. Health effects associated
with ingestion of lithium are
neurological and psychiatric effects,
decreased thyroid function, renal
effects, cardiovascular effects, skin
eruptions, and gastrointestinal effects
Health effects associated with
molybdenum ingestion are higher levels
of uric acid in the blood, gout-like
symptoms, and anemia. Health effects
associated with thallium ingestion are
hair loss, ocular effects, and behavioral
changes.
EPA also concludes the unmonitored
accumulation of CCR in surface and
subsurface soils has the potential to
result in risk to future human and
ecological receptors in the range OLEM
typically considers for regulation.
Potential human health risks are driven
by incidental ingestion of ash mixed
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with the soil and direct exposure to
gamma radiation from radium and its
associated decay chains. Health effects
attributed to radium exposure include
increased risk of several types of cancer,
particularly lung and bone cancer.
Potential ecological risks are driven by
exposure to antimony for mammals,
selenium for plants and mammals, and
vanadium for birds from ash mixed with
the soil. Health effects attributed to
these exposures are decreased
reproduction, growth, or survival. EPA
did not seek to identify a
comprehensive list of other
contaminants that might also contribute
to risk as part of the current assessment;
however, any further risk would be
equally addressed by controls put in
place to mitigate the identified soil
risks.
B. Legacy CCR Surface Impoundment
Requirements
The Agency is amending the CCR
regulations in 40 CFR part 257, subpart
D to require legacy CCR surface
impoundments to comply with the same
regulations that apply to inactive CCR
impoundments at active facilities,
except for the location restrictions (at
§§ 257.60–257.64) and liner design
criteria (at § 257.71). EPA is also
establishing new requirements to
address issues specific to legacy CCR
surface impoundments. Finally, EPA is
establishing new compliance deadlines
for legacy CCR surface impoundments.
1. Definition of a ‘‘Legacy CCR Surface
Impoundment’’
EPA is finalizing the proposed
definition of a ‘‘legacy CCR surface
impoundment’’ without revision. A
legacy CCR surface impoundment must
meet three criteria: (1) The unit meets
the definition of a CCR surface
impoundment; (2) The unit contains
both CCR and liquids on or after
October 19, 2015; and (3) The unit is
located at an inactive electric utility or
independent power producer. An
inactive impoundment must meet all
three criteria to be a legacy CCR surface
impoundment. This definition is
codified in § 257.53.
EPA estimates there are 194 legacy
CCR surface impoundments located at
85 facilities that will be subject to the
requirements of this final rule.40 This
estimate also takes into account the
information received in response to the
Agency’s lists of potential legacy CCR
surface impoundments published in the
dockets with the proposed rule and
40 An updated list of potential legacy CCR surface
impoundments can be found in the docket for this
action. See document titled ‘‘Universe of Legacy
CCR Surface Impoundments. April 2024.’’
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subsequent notice of data availability.
This estimate is an increase from the
127 legacy CCR surface impoundments
located at 59 facilities identified in the
proposed rule. 88 FR 32028.
The sections below briefly explain
what EPA proposed, summarize the
public comments received, and provide
the Agency’s responses.41 The Agency
addresses several aspects of the
definition in the following order: (1)
Date for determining applicability; (2)
The requirement to contain both CCR
and liquids; and (3) The requirement to
be located at an inactive facility.
a. Legacy CCR Surface Impoundment—
Date for Determining Applicability
EPA explained in the proposed rule
that the 2015 CCR Rule exempted
‘‘inactive surface impoundments at an
inactive facility’’ and codified
definitions of an ‘‘inactive CCR surface
impoundment’’ and an ‘‘active facility
or active electric utility.’’ The Agency
further stated that in developing a
definition of a ‘‘legacy CCR surface
impoundment’’ two separate
components need to be addressed: (1)
The definition of an ‘‘inactive CCR
surface impoundment’’; and (2) The
definition of an ‘‘inactive facility or
electric utility.’’ 88 FR 31989.
At proposal, the Agency relied on the
existing definitions of an ‘‘inactive CCR
surface impoundment’’ and ‘‘active
facility or active electric utilities or
independent power producers,’’ as well
as the 2018 USWAG decision to inform
the options discussed. Specifically, EPA
explained that both terms establish
applicability based in part on the
effective date of the 2015 CCR Rule—a
unit is an ‘‘inactive CCR surface
impoundment’’ if it does not receive
CCR on or after October 19, 2015, and
still contains both CCR and liquids on
or after October 19, 2015, and an ‘‘active
facility or active electric utilities or
independent power producers’’ is only
active if it was in operation on or after
October 19, 2015. 40 CFR 257.53.
The Agency proposed to define a
legacy CCR surface impoundment, in
part, as a surface impoundment that
contained both CCR and liquids on or
after October 19, 2015. EPA explained
in the proposed rule, that using October
19, 2015 as the date to determine
applicability was most consistent with
the USWAG decision; first because
legacy CCR surface impoundments
would be regulated the same as the
currently regulated inactive
impoundments at active facilities.
41 EPA’s responses to public comments can be
found either in this preamble or the Response to
Comments document available in the docket.
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Second, an October 19, 2015
applicability date would restore the
status quo, as intended by court’s
decision to vacate the exemption. EPA
also concluded that this was the most
protective option. 88 FR 31990–31991.
However, as an alternative, the Agency
also solicited comment on defining a
legacy impoundment as a unit that
contains both CCR and liquids on or
after the effective date of this final rule
in 2024. 88 FR 31991–92.42
Several commenters opposed the
proposed applicability date of October
19, 2015, stating that the only legally
defensible and workable approach is to
establish an applicability date based on
the effective date of this final rule. Some
of these commenters argued that an
applicability date of October 19, 2015,
would constitute a retroactive rule,
which they considered to be both legally
impermissible and unreasonable. These
commenters stated that establishing an
applicability date based on the effective
date of this final rule would honor the
bedrock administrative principle that
‘‘rules should apply prospectively
absent express statutory grant’’
consistent with Bowen v. Georgetown
Univ. Hosp., 488 U.S. 204, 208–09
(1988).
Other commenters stated that EPA
was overreading the USWAG decision
and inappropriately interpreting the
court’s decision. These commenters
stated that the court did not specify how
legacy impoundments should be
regulated, or the appropriate
applicability date and regulatory
controls that should apply to the units
but remanded those issues to EPA to
address through rulemaking. These
commenters further stated that the
court’s ruling was based on the
administrative record for the 2015 CCR
Rule, which they claimed is very
different than the current record for the
facilities that would be covered by the
proposal. According to these
commenters, the court was focused only
on those legacy impoundments for
which significant risks remained, which
they characterized as exclusively CCR
surface impoundments with a hydraulic
head. These commenters argue that, by
contrast, the proposal will also apply to
CCR surface impoundments for which
EPA has failed to demonstrate any
significant level of risk, which they
characterized as (1) CCR impoundments
that contain ‘‘any amount of water,’’ but
no hydraulic head; and (2) CCR
42 EPA also published an ANPRM on October 14,
2020 (85 FR 65015). The Agency solicited input on
a potential definition of a legacy CCR surface
impoundment in the ANPRM and addressed
comments to the ANPRM in the subsequent
proposal. 88 FR 31989–91.
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38981
impoundments that are in the process of
closing or have completed closure.
Several commenters similarly raised
concern that the proposal ignores that
there have been numerous changes
since the court issued its decision in
2018. For example, some commenters
stated that facilities have proactively
worked with their States to close these
impoundments and have invested
substantial resources to close these units
in compliance with existing regulatory
requirements and thus these units
should not be considered legacy
impoundments. According to these
commenters, the final rule should take
into account the significant closure and
corrective action work that has been
undertaken since the 2015 CCR Rule
was promulgated, rather than assuming
the landscape has not changed over
subsequent years.
In addition, a number of commenters
noted that the proposed definition
would capture numerous sites where
former legacy CCR surface
impoundments were closed by removal
under then-applicable State regulations
and where no CCR remains. These
commenters raised concern that EPA
lacks jurisdiction under RCRA to
impose requirements at a site once all
CCR has been removed. Many of these
commenters further asserted that EPA
should accept such closure as sufficient
to protect the environment and not seek
to impose an unnecessary set of
requirements. Finally, some
commenters explained that some of
these sites have subsequently been
restored and are now home to
established natural ecosystems, and
thus it would be counterproductive to
require them to be disturbed.
By contrast, a number of commenters
asserted that the record has not
significantly changed since the court
issued its opinion. These commenters
stated that all legacy impoundments,
including those that have been
dewatered or completed closure, pose
significant risks to human health and
the environment that warrant regulation
under RCRA. Citing the USWAG
decision and EPA’s findings from the
2015 CCR Rule and the proposal, these
commenters stated that the risks
associated with legacy impoundments
are greater than currently regulated
units because they are more likely than
regulated ponds to be unlined, more
likely not to have been designed by a
professional engineer, and more likely
to contain a mix of ash and coal refuse,
all of which increase the potential for
groundwater contamination. The
commenters further noted that harm
from contaminant releases from legacy
ponds worsens as time passes, citing the
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finding in EPA’s 2014 Risk Assessment
that peak contaminant releases from
CCR surface impoundments will not
occur until 70 years after waste
placement.
These commenters also estimated that
close to half a million people live
within 1 mile of the 417 active and
inactive coal-fired power plants in 44
States and Puerto Rico that have
reported coal ash units. Using the
Council on Environmental Quality’s
(CEQ) Climate and Economic Justice
Screening Tool (CEJST), the commentor
estimated that approximately half (213)
of the facilities are located within a mile
of a disadvantaged community, while
over 70% of the facilities (297 of 417)
are located near a community that has
higher-than-State average levels of lowincome populations or populations of
color. These commenters also estimated
that many of the communities living
nearby may experience cumulative
impacts from other threats. CEJST offers
data at the census tract-level on PM2.5
exposure, diesel particulate matter,
traffic proximity, abandoned mine land,
formerly used defense sites, hazardous
waste site proximity, Superfund site
proximity, underground storage tanks
and releases, wastewater discharge, and
Risk Management Plan site proximity.
According to the commentor, using
CEJST, more than half of the 417 power
plants with historic or active ash units
(214) are within one mile of a census
tract that experiences pollution from at
least two of these additional sources to
a degree higher than that of 75% of all
census tracts in the United States.
The commenters also discussed
several individual legacy
impoundments with longstanding
groundwater contamination, noting that
for several plants, due to lack of Federal
regulation and oversight, little or no
action has been taken to remediate
clearly documented contamination.
Among those they highlighted were:
• At the Muskingum River Power
Plant, where onsite groundwater has
exceeded the primary EPA MCLs for
barium and gross alpha as well as EPA
secondary MCLs (SMCLs) for iron,
sulfate, and Total Dissolved Solids.
According to the commenter no
remediation has occurred to date.
• At the retired Dynegy Vermilion
Power Station in Oakwood, Illinois, 70year-old unstable pits with more than 3
million tons of CCR are leaking CCR
constituents into Illinois’ only National
Scenic River. The pits run along the
river for a half-mile where kayaking and
other recreational activities are
common.
• At American Electric Power’s
retired Tanners Creek in Lawrenceburg,
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Indiana, leaking ash pits at the plant are
contaminating groundwater with high
levels of boron within 500 feet of public
drinking water wells and the Ohio
River.
• At Georgia Power’s retired Plant
Arkwright, the unlined abandoned ash
ponds have been leaking chemicals,
such as boron, at levels above health
standards into the groundwater and
nearby Ocmulgee River for nearly 20
years, according to a peer-reviewed
study.43
According to these commenters,
substantial risks to human health and
the environment remain even where the
impoundment has been dewatered or
closed. In support of this conclusion,
the commenters pointed to EPA’s
explanation in the proposal that even if
impoundments have been at least
partially dewatered or have undergone
some type of closure, the current risks
to human health and the environment
can still be significant, due to
contamination remaining at the site
from releases that occurred while the
unit was operating. Referencing data
that legacy impoundments are, on
average, 55 years old, the commenters
also pointed to the proposal’s
explanation that the potential
magnitude of releases from older units
are greater than for currently regulated
CCR units due to a number of factors,
including (1) the likely absence of a
liner in older impoundments; (2) the
mixture of coal ash with coal refuse,
which was a common disposal practice
in older units; and (3) the older a CCR
unit is, the longer it has had to leak and
for hazardous constituents to migrate
further from the unit. The commenters
also discussed the results of a report,
‘‘Assessment of Legacy Surface
Impoundments’’ by Gordon Johnson,
M.Sc., P.Eng., which examined ten CCR
surface impoundments at inactive
facilities that were not on EPA’s list of
potential legacy ponds and do not
appear to contain standing water, and
concludes that all posed significant
risks to health and the environment.
As a consequence, these commenters
criticized EPA’s proposed definition of
a legacy impoundment as one that
contains liquid on or after October 19,
2015. These commenters argue that this
would exclude surface impoundments
at inactive plants that pose a reasonable
probability of adverse effects on health
and environment, whether or not they
contain liquid.
43 J.S. Harkness et al., Evidence for Coal Ash
Ponds Leaking in the Southeastern United States.
Environmental Science & Technology, 50(12):
6583–6592 (2016).
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Several commenters also supported
EPA’s proposal to regulate units at sites
that are heavily vegetated or
redeveloped on the surface with
established natural ecosystems, stating
that the possibility that conducting a
proper closure might disrupt the current
land use is outweighed by the fact that
inadequately closed units pose ongoing
threats to health and the environment.
These commenters also supported
coverage of legacy impoundments that
had completed or were undergoing
closure pursuant to State programs,
citing EPA’s review of State programs as
part of the 2015 CCR Rule, which
concluded that significant gaps remain
in many State programs, and discussing
specific examples of problematic State
permits.
Some commenters also stated that the
proposed applicability date of October
19, 2015, presents serious practical
challenges to implementation because it
requires facilities to look back more
than eight years to determine the
historical status of legacy
impoundments. Commenters explained
that this extended look-back period
could prove to be an impossible task for
sites where power plant operations
ceased decades ago. Furthermore, the
proposed applicability date illegally
requires actions by facilities that are
physically impossible. For example,
operating records, construction and
inspection reports, groundwater
monitoring data, and employee
testimonials may not exist for some
facilities that ceased generating power
decades ago. In addition, commenters
pointed out that historic aerial
photography will not inform whether
liquids are present beneath the surface
of the inactive impoundments. Finally,
some commenters stated that EPA’s
proposed approach is particularly
challenging to small public power
utilities given their size, staffing levels,
and record retention policies once a
facility is closed.
After considering the comments and
all of the information in the record, this
final rule adopts the proposed date of
October 19, 2015, for determining
applicability for legacy CCR surface
impoundments. This applicability date
is justified for two independently
sufficient reasons. First, it most
effectively targets the risks to human
health and environment posed by legacy
impoundments. Second, it is consistent
with the USWAG decision. Accordingly,
this final rule specifies that an inactive
impoundment at an inactive facility that
contained both CCR and liquids on or
after October 19, 2015, is a legacy CCR
surface impoundment subject to the
requirements of this final rule. The
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definition of a legacy CCR surface
impoundment is codified in § 257.53.
This option best addresses the risks
legacy impoundments pose to human
health and the environment. EPA’s
record for this rule, which includes the
2015 rulemaking record, supplemented
by new information, establishes that
that the environmental risks posed by
legacy impoundments are greater than
or similar to those posed by operating
impoundments. EPA acknowledges that
it is not bound by the 2015 rulemaking
record that the court reviewed in
USWAG—and, as just stated, in fact has
supplemented that record with new
information for this rulemaking. EPA
further acknowledges that since the
2015 CCR Rule and the USWAG
decision some units have closed or have
begun to close in accordance with State
permits, or on their own initiative in
response to the D.C. Circuit’s ruling. But
EPA disagrees that the record shows
that the risks to human health and the
environment posed by the legacy
impoundments regulated under this
final rule are significantly or
meaningfully lower than the risks the
court found to be unacceptable in
USWAG. In fact, as described in III.A.4
of this preamble, the record instead
demonstrates that the totality of the
risks is potentially greater than EPA
estimated in 2014.
A subset of legacy impoundments is
identical to those described in USWAG;
the impoundments are structurally
unstable and pose significant risk of
contaminating groundwater because
they are unlined, with a hydraulic head
promotes the continual leaching of
contaminants from the CCR and drives
the resulting leachate into underlying
soils and potentially into the underlying
aquifer. No commenter disagreed that
these legacy impoundments warrant
regulation under part 257.
Another subset, on which many of the
commenters largely focused, have been
fully or partially dewatered, or have
completed some form of closure. In
response to the proposal, EPA received
information that since October 19, 2015,
22 surface impoundments at inactive
facilities have closed by removal or are
in the process of closing by removal,
and 10 surface impoundments have
closed with waste in place, either with
oversight from a State agency or on their
own initiative in response to the
USWAG decision. These commenters
claimed that, as a consequence of
dewatering their units, the units no
longer pose any appreciable risk.
EPA agrees that once the water in the
impoundment has been reduced the
likelihood of structural failure will also
have been reduced; and if the liquid and
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or CCR have been entirely removed
there will be no appreciable risk of
structural failure. But these units
nevertheless continue to present
significant risk to human health and the
environment as a consequence of
existing—and in some cases,
continuing—groundwater
contamination. This contamination can
exist even where CCR has been entirely
removed from the disposal unit. First, in
many cases facilities have only removed
some of the free liquids in the
impoundment; that is, have only
partially dewatered. As described in
Unit III.B.2.g of this preamble, many
commenters claimed that under the
existing closure regulations they are
only required to eliminate free liquids to
the extent necessary to support heavy
machinery or other construction
activities (i.e., to the extent necessary to
support the cover system), rather than to
eliminate free liquids without
qualification, as the regulation requires.
Such units present essentially the same
environmental and human health risks
the USWAG court was concerned with.
Second, to the extent a unit intersects
with groundwater, free liquids will
remain (because the groundwater is
continually saturating the CCR), and the
unit will continue to present significant
risks, because the same conditions that
promote the rapid leaching of
contaminants in operating units are
present, and will persist indefinitely.
Finally, at many of these sites the
existing contamination resulting from
when the unlined impoundment was
operating has not been addressed. Each
of these are discussed further below.
Contrary to the commenters’ claims,
the partial dewatering they describe
does not, as they claim, ‘‘eliminate’’
either the hydraulic head from a unit or
the risk of groundwater contamination.
Until the water (liquid) is fully
removed, gravity will continue to exert
downward pressure on the water in the
saturated waste until it reaches
equilibrium with the water table. Thus,
although reducing the water in the unit
also reduces hydraulic head, hydraulic
head will be present as long as water
remains in the unit.
Hydraulic head represents the energy
to move a liquid. Liquid flows from
locations of higher hydraulic head to
locations of lower hydraulic head. A
simple illustration of hydraulic head is
the water percolating through (i.e.,
exerting downward pressure on) coffee
grounds into the cup below. As the
water moves through the solids,
particles of the solids combine with the
water (create leachate) and drain
downward. Even after the water is no
longer visible above or among the coffee
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grounds, liquids continue to drain into
the cup below.
In a diked impoundment located
above the water table, after the removal
of free standing (or ‘‘ponded’’) water,
the CCR in the unit would still remain
saturated with liquids (i.e., the free
liquid 44 and/or porewater). Once the
CCR material is saturated, some liquids
may remain bound within the CCR due
to retention forces. However, the
remaining (free) liquids will drain in
response to gravity and hydraulic head.
Because the saturated waste is at a
higher elevation than the normal water
table, the free liquids within the
saturated waste would continue to drain
toward the normal water table (‘‘exert
downward pressure’’) even if the unit
no longer contained ponded water on
top of the CCR. Until the water is
eliminated from the CCR, gravity will
continue to exert downward pressure on
the water in the saturated waste, but at
some point, gravity will be insufficient
to overcome the retention forces in the
CCR. Until that point, free liquids will
continue to drain until they reach the
water table. Continued contact with free
liquids causes the metals and other
constituents to leach out of the CCR,
and the downward pressure of the
hydraulic head drives the resulting
leachate toward the bottom and sides of
the unit. In an unlined unit, which the
overwhelming majority of legacy
impoundments are likely to be, any
remaining free liquids saturating the
CCR in the impoundment will
eventually leak out of the unit into the
surrounding soil and/or into the aquifer,
along with any CCR constituents that
have leached from the waste in the
interim. As mentioned previously, it is
important to note that after this draining
occurs, some liquids will remain bound
within the pore spaces of the CCR
material and will not readily drain
under ambient temperature and
pressure. Consequently, these residual
liquids are not free liquids. Because any
remaining residual liquids (e.g., bound
porewater or potential leachate) will not
continue to drain from the unit absent
other forces, further releases of these
residual liquids are not likely.
By contrast, when some portion of the
unit has been constructed in or below
the water table, even if the hydraulic
head is reduced by the removal of freestanding or ponded water, hydraulic
head remains present as long as
groundwater flows through the unit
44 Free liquids are any liquids that readily
separate from the solid portion of a waste at
ambient temperature and pressure. § 257.53. In the
example described above, free liquids are the
liquids that drain from the coffee into the cup
below.
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from higher groundwater elevations to
lower groundwater elevations. And even
where the CCR above the water table in
such a unit has been partially or fully
dewatered, the ‘‘conditions that promote
rapid leaching of contaminants’’ still
remain as a consequence of the
continued saturation of CCR in the unit
from groundwater infiltrating the unit.
As EPA explained in Unit III.A.2 of
this preamble, a CCR landfill saturated
with water during operation, either
continuously or intermittently, would
behave more like an operating CCR
surface impoundment even though such
a unit would not have the level of
hydraulic head from ponded water
present in an operating impoundment.
The same is true of a dewatered legacy
impoundment constructed in or below
the water table. See also 88 FR 32011.
The hydraulic head from the ponded
water in an operating impoundment
unit allows for continual leaching of
contaminants from CCR and drives the
resulting leachate into the underlying
soils and potentially into the underlying
aquifer. However, where any part of the
unit is actually constructed below the
water table, the conditions caused by
the continuous saturation of the CCR by
the groundwater flowing in and out of
the unit allow the contaminants to
continuously leach directly into the
nearby ground and surface waters even
without any downward pressure from
hydraulic head pushing leachate out of
the unit. Id.
The record shows that significant
numbers of the currently regulated CCR
surface impoundments were
constructed such that the base of the
unit intersects with groundwater,45 and
that many inactive, or even ‘‘closed,’’
impoundments continue to impound
water below the water table (i.e., contain
liquids).
In any event, even if an impoundment
has been completely dewatered, the
current absence of impounded water
does not remediate the releases that
occurred during operation of the unit. In
general, legacy impoundments are likely
to have been present for longer than the
currently operating units: For example,
one commenter presented information
to demonstrate that legacy
impoundments are, on average, 55 years
old; by comparison, EPA estimated in
2015 that most currently operating
surface impoundments were between 20
and 40 years old. See 80 FR 21327. This
is significant in two regards: (1) The
45 EPA’s review of the location restrictions
demonstrations posted on facilities’ CCR websites
found that approximately 31% of operating
impoundments have waste below the water table.
There is no reason to believe that this percentage
is not also representative of legacy impoundments.
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older the impoundment the greater the
likelihood it is unlined; and (2) The
more time the unlined unit would have
to leak and for hazardous constituents to
migrate further from the unit.
Consequently, previous and ongoing
releases could potentially be greater and
have migrated further from the unit than
releases from the universe of currently
regulated units. In this regard, it is
notable that EPA estimated in its 2014
Risk Assessment that peak contaminant
releases from CCR surface
impoundments will not occur until 70
years after waste placement. This is
further confirmed by the modeling
originally conducted in 2014 for legacy
impoundments.
Furthermore, as described in Unit
III.A there are a number of additional
reasons to believe that the potential
magnitude of releases is even greater
than EPA originally estimated in 2014.
These include: (1) The likely absence of
a liner at older impoundments; and (2)
The greater likelihood that coal ash was
managed with coal refuse, which was a
common disposal practice in older
units.
Finally, defining a legacy
impoundment as one that contains both
CCR and liquid on or after October 19,
2015, retains oversight of units that may
have been dewatered but have not yet
completed closure. In any unit without
an effective cover system, precipitation
can continue to freely migrate into the
unit, and any leachate generated as a
result would be a potential ongoing
source of contamination, particularly
where the unit is already leaking or in
contact with groundwater. Further,
significant risks can remain if a unit is
not closed properly; for example, a
closure that leaves that millions of tons
of CCR saturated with groundwater and
only a cover system to control
downward infiltration of precipitation
will not protect human health and the
environment. And, as discussed in
further detail in the next section, even
at sites where the CCR has been
completely removed from the
impoundment it is possible that, in
addition to the likely significant
groundwater contamination present at
the site, contaminated soil remains,
which can serve as a source of further
contamination. See, Unit III.B.1.b.ii.(a).
EPA acknowledges that some of these
units may be closing pursuant to State
laws that provide for a significant
degree of State involvement and
oversight, but that is not universally the
case. As EPA concluded in 2015, there
is a wide range of protectiveness in
State programs. Clear deficiencies were
present in some State regulatory
programs, and questions remained with
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respect to others. See, 80 FR 21326–
21327, 21456 and Unit III.B.g.iii. EPA is
aware that some State programs have
been substantially revised since 2015,
and some individual States provided
additional information regarding their
programs in their comments, but again
this is not universal. For example, some
commenters documented recent State
approved closures that were deemed
complete despite the absence of any
groundwater monitoring to determine
whether groundwater contamination
remained at the site. The absence of a
consistent, sufficiently protective
approach among all State programs
reinforces the need for a single,
protective Federal standard.
EPA also continues to believe that an
applicability date of October 19, 2015, is
the most consistent with the USWAG
decision. See, 88 FR 31991. The Court
expressly found that EPA’s record for
the 2015 CCR Rule demonstrated that
legacy ponds ‘‘pose the same substantial
threats to human health and the
environment as the riskiest Coal
Residuals disposal methods,
compounded by diminished
preventative and remediation oversight
due to the absence of an on-site owner
and daily monitoring.’’ 901 F.3d at 432.
EPA agrees with this conclusion that
legacy ponds ‘‘pose substantial risk to
human health and the environment.’’ Id.
Consistent with that determination, the
final rule imposes essentially the same
requirements on legacy CCR surface
impoundments that currently apply to
inactive impoundments at active
facilities. In addition, as EPA explained
in the proposed rule, D.C. Circuit’s
decision setting aside the exemption for
inactive impoundments meant that
these impoundments were similarly
situated to the impoundments regulated
by the 2015 CCR Rule. EPA thus had an
obligation to address the substantial
environmental risks from those
impoundments through regulation. By
setting aside, rather than simply
remanding the exemption back to the
Agency for further explanation, the
Court made clear that the existing
record was sufficient for these units to
be regulated.
Nor is EPA persuaded by the
commenters’ remaining objections to the
applicability date of October 19, 2015.
EPA disagrees that reliance on the
effective date of the 2015 CCR Rule
would constitute a retroactive
application of law. A regulation is
impermissibly retroactive where, absent
clear Congressional intent, the rule
changes the past legal consequences of
past conduct. See Bowen v. Georgetown
Univ. Hosp., 488 U.S. 204, 208 (1988).
This is generally referred to as primary
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retroactivity. See Bergerco Canada, a
Div. of Conagra, Ltd. v. U.S. Treasury
Dep’t, Off. of Foreign Assets Control,
129 F.3d 189, 192 (D.C. Cir. 1997). Rules
can also affect the legal rights flowing
from past acts. See Bergerco, 129 F.3d at
192. This is referred to a secondary
retroactivity. Id. Such effects are
common, and permissible so long as
they are not arbitrary or capricious. The
D.C. Circuit in Bergerco noted that a rule
may be arbitrary or capricious if it
‘‘makes worthless substantial past
investment incurred in reliance upon
the prior rule.’’ Id.
Here EPA is merely relying on a past
fact to support the future application of
regulations. And because EPA has
established future compliance dates, no
facility would be subject to penalties
solely because one of its legacy CCR
surface impoundments was out of
compliance with the regulatory
requirements prior to the effective date
of this final rule. Thus, the rule is not
primarily retroactive.
To the extent the rule has secondary
retroactive effects in upsetting parties’
expectations of regulation of legacy CCR
surface impoundments and CCMRU,
such effects are permissible. First, the
D.C. Circuit considered and rejected this
same argument in Util. Solid Waste
Activities Grp. v. Env’t Prot. Agency, 901
F.3d 414 (D.C. Cir. 2018). There,
industry petitioners argued that EPA
lacked statutory authority to regulated
legacy CCR surface impoundments
because such regulation would be
retroactive. The D.C. Circuit held that
‘‘straightforward reading of the statute’s
language allows for the regulation of
inactive sites.’’ Id. at 439. In short, as
facilities ‘‘where solid waste is disposed
of,’’ 42 U.S.C. 6903(14), inactive
impoundments are ‘‘open dumps,’’ And
no one denies that the EPA has
authority to regulate (and to prohibit)
‘‘open dumps.’’ Id. at 441.
Moreover, as explained in detail
below, EPA rationally explained why
regulation was necessary and
appropriate here notwithstanding
facilities’ reliance interests. EPA
understands that facilities may have
closed legacy impoundments and
treated CCMRU in compliance with
State law requirements, or otherwise
made business decisions premised on
the absence of Federal regulation. EPA
has taken these reliance interests into
account in developing the regulations
here. As explained below, EPA surveyed
State regulation of legacy
impoundments and CCMRU and
concluded that, on the whole, such
regulations were not sufficiently
protective, and did not meet RCRA’s
standard. Uniform, national regulation
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was therefore necessary to ensure
adequate protection of human health
and the environment. To be sure, EPA
recognizes that it is possible that some
legacy impoundments, for example, may
have been closed in a manner that is
protective. But, due to the absence of
adequate groundwater monitoring and
other data, the adequacy of such
closures cannot be verified. EPA has
also accounted for other reliance
interests, including renewable facilities’
use of land containing CCRMU, in
establishing compliance deadlines, and
allowing for deferrals of additional
closure measure where appropriate.
EPA also notes that regulated entities
have been on notice since the D.C.
Circuit’s 2018 decision in USWAG that
Federal regulation of legacy CCR surface
impoundments was forthcoming, 901
F.3d at 414.
A number of commenters also
claimed that their units are heavily
vegetated or developed and that
reopening or other removal/remediation
activities may disrupt the current use of
the site. EPA acknowledges some old
units may be heavily vegetated.
However, no commenter submitted any
data or analysis to demonstrate that,
over the short or long term, removal or
remediation activities would be more
detrimental to health and the
environment than either cleaning up the
contaminated groundwater or taking
measures to prevent the legacy CCR
surface impoundment from
contaminating groundwater.
Moreover, the fact that some
impoundments have become heavily
vegetated or redeveloped does not
resolve the risks these unlined legacy
CCR surface impoundments continue to
pose. As discussed above, the risks
associated with such units can be
substantial. See Unit III.A of this
preamble for more information.
Consequently, the current record does
not support an exemption for units that
still contain both liquid and CCR even
if the closure or remediation may
disrupt the current use of the land.
As discussed in more detail in the
subsequent section, EPA also disagrees
that the removal of CCR from a disposal
unit necessarily demonstrates that EPA
lacks jurisdiction over the site. EPA’s
jurisdiction rests on the presence of
solid waste that ‘‘is disposed of’’ at the
site, not solely the presence of CCR. To
the extent any CCR leachate or CCR
constituents remain in the soil or in the
aquifer at the site, solid waste remains
at the site and EPA retains jurisdiction.
However, as EPA stated in the proposal,
the Agency agrees that it lacks
jurisdiction over a site where the owner
or operator can document that it meets
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38985
the standard for closure by removal in
§ 257.102(c). Accordingly, the final rule
retains the provision specifying that any
facility that documents that this
standard has been met will not be
subject to any further requirements. See
Units III.B.2.b.iii and III.B.2.g of this
preamble for further discussion.
The Agency disagrees that adopting
an applicability date of October 19,
2015, requires actions that are
physically impossible or that the
implementation challenges cannot be
addressed. The final rule does not
require owners and operators to acquire
historical operating records,
construction and inspection reports,
groundwater monitoring data, and
employee testimonials where they no
longer exist, or where they have never
existed. EPA acknowledges that such
information will not be available in
some situations. Rather, EPA expects
owners and operators of inactive
impoundments at inactive facilities to
develop a strategy to gather readily
available and reliable information to
determine whether the unit meets the
definition of a legacy CCR surface
impoundment. If, after making a good
faith effort a facility is genuinely unable
to obtain information to document that
the impoundment contained both CCR
and liquids on October 19, 2015, the
unit would not be regulated as a legacy
impoundment. See Unit III.B.2.b.i of the
preamble for an explanation of the
actions the Agency expects owners and
operators to take to determine whether
the inactive impoundment meets the
definition of a legacy CCR surface
impoundment.
Nevertheless, EPA agrees that the
final rule should account for the
significant closure work that has taken
place at some legacy CCR surface
impoundments between October 19,
2015, and the effective date of this final
rule. For example, as noted, commenters
provided several examples of closures
that were completed prior to the
effective date of this final rule. The final
rule accounts for this not by exempting
these units but by modifying the
applicable requirements. A facility that
can document that it has met the criteria
in § 257.102(c) would be subject only to
the requirement to document that they
had met those standards. Similarly, a
facility that completed closure with
waste in place before the effective date
of this final rule would only be subject
to the closure performance standards in
§ 257.102(d), and the post-closure care
requirements (i.e., groundwater
monitoring and corrective action, if
necessary). In addition, a facility that
completed closure under a regulatory
authority’s oversight and approval, such
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as pursuant to a Federal or State
cleanup order could be subject to even
fewer requirements. Provided certain
conditions have been met EPA is
deferring a decision on the adequacy of
such closures to a subsequent
permitting authority to determine on an
individual site-specific basis, whether
the completed closure meets the Federal
performance standards in § 257.102 or is
equivalent to (i.e., is as protective as)
such a closure. In the interim, these
units would be subject only to the
requirements of a post closure care
permit (i.e., groundwater monitoring
and corrective action, if necessary). See
Unit III.B.2 of the preamble for further
explanations of these provisions. As
EPA stated in the proposal, units that
contain liquid present different risks
than those that do not, and the
applicable requirements should
differentiate among them accordingly on
that basis. See 88 FR 31993.Consistent
with that logic, while EPA agrees that
legacy impoundments that were
dewatered or closed prior to October 19,
2015 can still pose significant risks to
human health and the environment, as
discussed in the next section, the final
rule retains the approach described in
the proposal, and requires that an
impoundment contain both liquid and
CCR on or after October 19, 2015 to be
regulated as a legacy impoundment.
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b. Legacy CCR Surface Impoundment—
Definition of an Inactive
Impoundment—Contains Both Liquid
and CCR
The final rule requires that to be
considered a ‘‘legacy CCR surface
impoundment’’ a CCR surface
impoundment must have contained
both CCR and liquids on or after
October 19, 2015. In addition, the final
rule further defines what it means to
contain both CCR and liquid by
reference to § 257.102(d)(2)(i). In this
Unit of the preamble, the Agency briefly
explains what was proposed,
summarizes the public comments
received, and provides EPA’s responses.
EPA first discusses what it means for an
impoundment to ‘‘contain liquids’’
followed by what it means to ‘‘contain
CCR.’’
i. What does it mean to contain liquid?
Consistent with the definition of an
inactive CCR surface impoundment at
active facilities under the existing
regulations, EPA proposed in the May
2023 proposed rule that a legacy
impoundment would be required to
have contained liquids on or after
October 19, 2015, in order to be subject
to the requirements of this rule. In the
proposed rule, EPA also responded to
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comments previously raised in response
to the ANPRM, alleging that the phrase
‘‘contains both CCR and liquids’’ was
impermissibly vague. These
commenters were concerned that the
definition might not include those units
whose bases are in contact with
groundwater or that no longer have
visible, standing water at the surface.
EPA further responded to questions
whether, based on the existing
definition of an inactive CCR surface
impoundment, the following would be
considered a legacy CCR surface
impoundment: (1) Where, prior to
October 19, 2015, the facility has
decanted the surface water, but, because
the base of the impoundment intersects
with the groundwater, water continues
to flow through the impoundment and
permeate the waste in the base of the
unit; (2) Impoundments that contained
both CCR and liquids in the past but are
now closed; (3) Impoundments that
contained CCR and liquids in the past
but are in the process of closing on the
effective date of the legacy rulemaking;
and (4) Impoundments that once
contained CCR and liquids but have
been fully dewatered and are now
maintained so as to not contain liquid.
EPA explained that the answers to
these questions turn on the meaning of
the terms ‘‘contain’’ and ‘‘liquids’’ in the
definition of an inactive impoundment
in § 257.53. Relying on dictionary
definitions, EPA explained that the term
‘‘liquids’’ includes the free water,
porewater, standing water, and
groundwater in the unit, because once
any are present in the unit, they have
the same potential to create leachate, as
well as to contribute to hydraulic head
and drive flows propelled by hydraulic
gradients. 88 FR 31992. EPA also
explained that based on dictionary
definitions an impoundment ‘‘contains’’
liquid if there is liquid in the
impoundment, that is, it has water
within it, even if water continues to leak
from the unit. EPA also stated that as a
factual matter, a surface impoundment
that has only decanted the surface water
would normally still contain liquid if
the CCR was still saturated with water.
Accordingly, EPA explained that to
the extent the unit still contains liquids
on or after October 19, 2015, it is
considered an inactive impoundment
under the existing definition in
§ 257.53. EPA proposed that such units
would also be considered legacy CCR
surface impoundments, when located at
inactive facilities. EPA also explained
that under the proposal, such an
impoundment would be considered a
legacy CCR surface impoundment: (1)
Even if it is considered ‘‘closed’’ under
State law; (2) It is in the process of
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closing on the effective date of this rule;
or (3) The unit is only fully dewatered
and can no longer impound liquid after
October 19, 2015.
EPA further explained that to
determine whether an impoundment
has been dewatered, EPA relies on the
existing requirements in
§ 257.102(d)(2)(i) (‘‘Free liquids must be
eliminated by removing liquid wastes or
solidifying the remaining wastes and
waste residues’’). EPA explained that
this provision requires a facility to
eliminate both the standing liquid in the
surface of the impoundment and the
separable porewater in any sediment
located in the base of the impoundment,
regardless of the source of the standing
water or porewater (i.e., whether it was
present in the impoundment due to
surface water infiltration, intentionally
added sluice water, or groundwater
intrusion).
EPA also solicited comment on
whether to adopt a regulatory definition
of the term ‘‘liquids’’ to clarify that the
term includes free water, porewater,
standing water, and groundwater.
Finally, the Agency explained that
under the existing regulations, an
impoundment that did not contain
liquids prior to October 19, 2015,
whether because it was closed in
accordance with existing State
requirements or for other reasons, is not
an inactive impoundment. Similarly, a
unit that still contains both CCR and
liquid after that date would still be
considered an inactive unit even if it
was closed in accordance with the
requirements in effect at the time (e.g.,
has a cover). Consistent with this
definition, EPA proposed not to expand
the definition of a legacy CCR surface
impoundment to include units that no
longer contained any liquid on October
19, 2015. 88 FR 31993.
(a) Pending Litigation Over EPA’s
Regulatory Interpretations
A number of commenters claimed that
the interpretation of ‘‘liquids’’ presented
in the preamble was first announced in
connection with proposed Part A
determinations in January 2022, and is
currently being litigated in the D.C.
Circuit Court of Appeals in multiple
cases combined under the name,
Electric Energy, Inc., et al. v. EPA, Case
Nos. 22–1056 and 23–1035.46 These
46 On January 11, 2022, EPA issued
determinations on demonstrations submitted by
facilities for extensions to the cease receipt of waste
deadline per 40 CFR 257.103(f)(1) and 257.103(f)(2),
which the Agency refers to as ‘‘Part A
determinations’’ or ‘‘Part A’’. The CCR Part A Final
Rule (85 FR 53516, August 28, 2020), grants
facilities the option to submit a demonstration to
EPA for an extension to the deadline for unlined
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commenters complained that EPA
makes no mention of this litigation in
the proposed rule, even as it claims that
its interpretation is ‘‘sufficiently clear
that a definition is not necessary.’’
According to these commenters, EPA
must acknowledge (and make a good
faith attempt to reconcile) the
competing interpretations of key terms
of art in the 2015 CCR Rule before
extending them into this final rule. One
commenter further stated that if EPA
ultimately elects to adopt regulatory
definitions of those terms, it should wait
until the court rules so that the
definitions are informed by and
consistent with any such ruling.
EPA disagrees that it is necessary to
wait until the court issues its decision
in the pending litigation (Electric
Energy, Inc., et al. v. EPA, Case Nos. 22–
1056 and 23–1035). The central issue
Petitioners raised in that case was
exclusively procedural—whether EPA
effectively amended the 2015 CCR Rule
without going through notice and
comment. Even if the D.C. Circuit
addresses this procedural question, it
would not resolve the substantive
question EPA posed in the proposal, of
whether the inclusion of a definition for
the term ‘‘liquids’’ would provide
further clarity.
Finally, EPA considers that it has
more than met any obligation to
‘‘acknowledge (and make a good faith
attempt to reconcile) the competing
interpretations of key terms of art in the
2015 regulation,’’ in the proposal and
again in this final rule. EPA has
repeatedly explained its construction of
the regulations in documents held out
for public comment, including in the
May 2023 proposal, and most recently,
in the proposal to deny Alabama’s
application for approval of its CCR
permit program. See, e.g., 88 FR 31992–
31993, 32025–32026, 55236–55238. EPA
has also repeatedly responded to public
comments, addressing each of the
commenters’ alternative interpretations,
and explaining in detail the reasons for
the Agency’s disagreement. See, e.g., 88
FR 55237; U.S. EPA. Denial of
Alternative Closure Deadline for
General James M. Gavin Plant, Cheshire,
Ohio. November 18, 2022. pp 14–42,
Response to Comments on Proposed
Denial (Docket ID No. EPA–HQ–OLEM–
2021–0590). November 2022. EPA has
again responded to the commenters’
alternative interpretations throughout
this preamble and in the Response to
Comments document in the docket. And
even though EPA remains entirely
CCR surface impoundments to stop receiving waste.
Facilities had until November 30, 2020 to submit
demonstration to EPA for approval.
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unconvinced by the commenters’
alternative interpretations, and without
exception, considers that they are
inconsistent with the plain language of
the provisions at issue, EPA has
responded to them by incorporating
definitions of ‘‘liquids’’ and
‘‘infiltration’’ that reflect EPA’s existing
construction of the regulations. Neither
RCRA nor the APA requires anything
further.
(b) Comments on the Definition of an
‘‘Inactive CCR Surface Impoundment’’
and the Meaning of ‘‘Contains Liquids’’
All commenters agreed that,
consistent with the existing definition of
an inactive surface impoundment, any
impoundment that ‘‘contains both
liquids and CCR’’ at an inactive facility
should be classified as a legacy CCR
Surface impoundment. However,
commenters disagreed on the correct
interpretation of the phrase
‘‘contains. . .liquids.’’ Several
commenters agreed with EPA’s
explanation in the proposal that to the
extent an impoundment still contains
liquids on or after October 19, 2015, it
is properly considered an inactive
impoundment under the existing
definition in § 257.53, even if (1) The
unit had ‘‘closed’’ under State law; (2)
The unit is in the process of closing on
the effective date of this rule; or (3)
After October 19, 2015 the unit is fully
dewatered and can no longer impound
liquid. These commenters also agreed
that such units should also be
considered legacy CCR surface
impoundments when located at inactive
facilities.
But other commenters objected to
proposal’s construction of the
regulation. These objections fell
generally into two categories. First, a
number of commenters argued that the
discussion in the proposed rule
reflected a ‘‘new’’ interpretation that
expanded the meaning of the terms
‘‘CCR surface impoundment’’ and
‘‘inactive surface impoundment’’ by
interpreting the phrase ‘‘contains
liquids’’ to reach units that the
commenters believe EPA never intended
to cover in 2015. In support of this
argument, these commenters objected to
the statement in the proposal that free
water, porewater, standing water, and
groundwater are liquids under the
existing regulation defining inactive
CCR surface impoundments, arguing
that this expands the existing definition
of liquids to sources of water that the
commenters assert ‘‘are not
demonstrated to be contributing to
hydraulic head creating the potential for
impoundment failure and spread of
contaminated water.’’ These
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commenters further claimed that the
existing definition of an ‘‘inactive
impoundment’’ does not include: (1)
Units ‘‘with any amount of water;’’ (2)
Impoundments that closed prior to the
effective date of the 2015 CCR Rule; and
(3) ‘‘Dewatered’’ impoundments. These
commenters contend therefore, that
none of these units should be
considered legacy CCR surface
impoundments either. Second, a
number of commenters raised concerns
about the merits or wisdom of the
approach. Many of these commenters
also offered alternative definitions.
In addition, as discussed in the
preceding section, a number of
commenters objected to EPA’s proposal
not to expand the definition of a legacy
CCR surface impoundment to include
units that no longer contained any
liquid on October 19, 2015. These
commenters argued that the proposed
definition failed to address the full
universe of surface impoundments at
inactive plants that pose a reasonable
probability of adverse effects on health
and environment. In support of their
contention, these commenters
referenced EPA damage cases
documenting harm to groundwater and/
or surface water from impoundments
that may not have contained liquid on
or after 2015. The commenters also
referenced a report, ‘‘Assessment of
Legacy Surface Impoundments’’ by
Gordon Johnson, M.Sc., P.Eng., that
examines ten CCR surface
impoundments at inactive facilities that
were not on EPA’s list of potential
legacy impoundments and do not
appear to contain standing water.
According to the commenter, the report
shows that unacceptable levels of risk
may still be present for historical
impoundments that have been
dewatered and/or capped.
(1) What is a ‘‘liquid’’?
The May 2023 proposed rule
explained that free water, porewater,
standing water, and groundwater are
liquids under the existing regulation.
The source of the liquid does not impact
its basic and fundamental designation as
a liquid and its contribution to the risk
posed by an impoundment. It therefore
does not matter whether the liquid in
the surface impoundment comes from
the rain, waters the facility deliberately
places in the unit, floodwaters from an
adjacent river, or from groundwater—all
are liquids, and once present in the unit,
they have the same potential to create
leachate (another type of liquid), and to
contribute to hydraulic head and drive
flows driven by hydraulic gradients. 88
FR 31992.
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Several commenters agreed that the
final rule should reflect EPA’s existing
interpretation that an impoundment
containing any of the following types of
liquid would be considered to contain
liquid: free water, porewater, standing
water, and groundwater without regard
to their source.
However other commenters disagreed
that under the existing regulations the
term ‘‘liquids’’ includes free water,
porewater, standing water, and
groundwater in CCR units, and
disagreed that EPA should adopt such a
definition. Many of these commenters
argued that EPA should not focus on
‘‘liquids’’ but on ‘‘free liquids,’’ which
they interpret to exclude groundwater.
For example, one commenter asserted
that ‘‘the term liquids, which is used in
the definition of ‘‘free liquids,’’ is not
defined in the CCR Rule, and that the
term ‘‘free liquids’’ was never used in
relation to groundwater.’’ Another
commenter objected that the existing
regulations establish two separate
definitions of free liquids and
groundwater, which they claim do not
reference each other or refer to
overlapping concepts. The commenter
further argued that free liquids are
‘‘liquids that readily separate from the
solid portion of a waste under ambient
temperature and pressure,’’ but
‘‘groundwater’’ is ‘‘water below the land
surface in a zone of saturation,’’ and that
these are different things from a
technical perspective.
These commenters urged that
regulating based on the presence of free
liquids would be consistent with EPA’s
philosophy for regulating CCR surface
impoundments because free liquids
contribute to hydraulic head and
hydraulic gradients regardless of their
origin and impounded water must be
removed from the impoundment to
create a stable subgrade for the final
cover system. Another commenter
stated that this would be consistent with
the 2015 CCR Rule, because even a unit
closed under the existing regulatory
criteria may contain some liquids after
closure, so long as they are not free
liquids.
The final rule continues to define
‘‘liquids’’ in accordance with its plain
language meaning, consistent with the
ordinary dictionary definition. Reliance
on the ordinary meaning here is the
default, as neither RCRA nor the
existing part 257 regulations include a
definition of the term ‘‘liquids.’’ FTC v.
Tarriff, 584 F.3d 1088, 1090 (D.C. Cir.
2009) (quoting Williams v. Taylor, 529
U.S. 420, 431 (2000)) (‘‘It is fixed law
that words of statutes or regulations
must be given their ‘ordinary,
contemporary, common meaning.’ ’’).
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This reflects EPA’s existing construction
of the current regulations. As discussed
in greater detail in Unit III.B.1.b.i.(b)(4),
the final rule incorporates this
definition into § 257.53.
The dictionary definition
encompasses all of the various types of
liquid that may be present in a CCR
unit, including water that was sluiced
into the impoundment along with the
CCR, precipitation, surface water, and
groundwater that has migrated into the
impoundment, which may be found as
free liquids, free water or standing water
ponded above the CCR or porewater
intermingled with the CCR. These
definitions are consistent with the
surrounding regulatory text and
structure of the regulation as a whole, as
well as the wider context in which the
terms are employed. As a consequence,
the term functions effectively in all of
the various contexts in which it is used
in part 257. This is particularly true of
the term ‘‘liquids,’’ which plays a
critical role in determining both
whether a unit is subject to the
regulations and in the performance
standards that apply to impoundments
closing with waste remaining on-site at
§ 257.102(d).
Further, reliance on this definition
best achieves the statutory purpose of
protecting human health and the
environment. By accounting for all
liquids, regardless of the source, the
regulation ensures that the risks that
legacy CCR surface impoundments pose
will be addressed—both by focusing on
the impoundments that pose the greatest
risks and by ensuring that all sources of
risk are addressed in closing an
impoundment. As explained in the
proposal, the source of the liquid does
not determine its basic and fundamental
properties. It therefore does not matter
whether the liquid in the surface
impoundment comes from the rain,
waters the facility deliberately places in
the unit, floodwaters from an adjacent
river, or from groundwater. All liquids,
once present in the impoundment have
the same potential to become free
liquids and promote contaminant
leaching and contribute to structural
instability or failure, by contributing to
the creation of leachate (another type of
liquid), and hydraulic head.
Contrary to the commenters’
contentions there is no inconsistency
between the regulatory definitions of
groundwater and free liquids. By their
terms the definitions of free liquids and
groundwater are not mutually exclusive;
rather, the term ‘‘free liquids’’
encompasses the term ‘‘groundwater.’’
Nor is there any inconsistency in
applying both of these terms in this
context. First, the word ‘‘liquid,’’ which
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appears both in the existing definitions
of an inactive CCR surface
impoundment and free liquids, is broad
enough that it can encompass
groundwater, which has been defined in
§ 257.53 since 2015. Not all liquids are
groundwaters, but all groundwater
(water) is a liquid. And, where the water
in the surface impoundment sits ‘‘below
the land surface in a zone of saturation,’’
the water in the unit meets the
regulatory definition of groundwater. 40
CFR 257.53. Moreover, nothing in the
definition of free liquids restricts the
source of the liquid. It therefore does
not matter whether the liquid in the
surface impoundment comes from rain,
waters that the facility deliberately
places in the unit, floodwaters from an
adjacent river, or from groundwater—all
are liquids. The only test the regulation
establishes for free liquids is whether
the liquid readily separates from the
solid portion of the wastes under
ambient temperature and pressure. Id.
However, EPA generally agrees that
regulating based on the presence of free
liquids, albeit not based on the
commenters’ misinterpretation of the
term, would be consistent with the
existing regulations and the risks
associated with CCR surface
impoundments. As described in Unit
III.A above, the risks are largely driven
by the presence of free liquids in the
unit, as these are the liquids that causes
the metals and other constituents to
leach out of the CCR, and that will
eventually leak out of the unit into the
surrounding soil and/or into the aquifer,
along with any CCR constituents that
have leached from the waste in the
interim. Although some liquids will
remain bound within the pore spaces of
the CCR material and will not readily
drain under ambient temperature and
pressure, these residual liquids (e.g.,
bound porewater or potential leachate)
will not continue to drain from the unit,
absent other forces, and exposure to
these residual liquids is therefore not
likely.
As discussed in the next section, EPA
has adopted an approach based on
whether free liquids are present in the
impoundment.
(2) What does it mean to contain liquid?
The proposal explained that under the
existing regulations, EPA determined
whether an impoundment ‘‘contains
liquids’’ by reference to a combination
of the dictionary definition of
‘‘contains,’’ and the dewatering standard
in § 257.102(d)(2)(i). In essence, if
liquids are present in an impoundment,
the unit ‘‘contains liquid.’’ However,
EPA considers a unit that met the
performance standard in
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§ 257.102(d)(2)(i) to have been
dewatered. Several commenters
supported this proposal.
However, numerous other
commenters raised concerns about
relying on the plain language meaning
of the phrase. For example, some
commenters stated that all units contain
some liquid, explaining that a landfill
‘‘contains’’ rain after a heavy rainfall
event. Similarly, a commenter argued
that that under EPA’s interpretation, a
fully closed unit with ponded water on
the cover resulting from precipitation or
from fugitive dust control activities, and
closed units with an engineered
capability to impound water atop their
covers would potentially be subject to
the CCR regulations. The commenter
stated that in all of these cases, the
ponded water would seem to pose no
risk.
Commenters also separately
questioned whether EPA had real risk
concerns from units that contained ‘‘any
amount’’ of liquid. For example, one
commenter asserted that EPA has not
demonstrated that units with any
amount of water, no matter how small
an amount or without regard to whether
the liquid is separable from the CCR
will present sufficient risks to warrant
regulation under RCRA section 4004(a).
This commenter contended that EPA
cannot rely on the 2014 Risk
Assessment to support regulating such
units because the assessment showed
only that surface impoundments with a
hydraulic head exceed that risk
threshold. Several of these commenters
recommended that EPA regulate based
on whether the impoundment contains
free liquids rather than liquids.
Another commenter raised concern
that relying on the plain language
meaning would present a number of
technical challenges. These included
how owners can determine whether a
previously closed and dewatered
surface impoundment at an active (or
inactive) facility still contains ‘‘liquids.’’
The commenter explained that in some
cases, State regulators confirmed that a
site no longer had the capacity to
impound water and therefore indicated
that the site was no longer subject to the
State’s dam safety and impoundment
rules. The commenter also asked
whether EPA would accept use of the
paint filter test, the detection of water in
piezometers, or some other method to
determine whether sufficient separable
porewater is present for an
impoundment to be considered to
‘‘contain liquids.’’ The commenter also
asked what kinds of samples would be
required—individual or composite—as
well as how many and at what
locations, to determine if an
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impoundment ‘‘contains liquids.’’ The
commenter believed these questions
need to be resolved in the numerous
situations in which a formerly closed
impoundment may contain some
porewater as a result of periodic rainfall
infiltration but is not in contact with the
uppermost aquifer.
By contrast commenters generally
supported reliance on § 257.102(d)(2)(i)
to determine whether a unit contains
liquid; although they disagreed over
what that provision requires. Several
commenters agreed with the proposal’s
explanation of these existing closure
requirements, stating that the discussion
was fully consistent with EPA’s longheld position under the largely identical
hazardous waste regulations, citing to
EPA documents from 1982 and 1988.
But numerous other commenters
argued that EPA had misinterpreted
§ 257.102(d)(2)(i), and consequently was
proposing to regulate impoundments
that the commenters believed had been
dewatered, and therefore posed little
risk. According to these commenters,
§ 257.102(d)(2)(i) does not require the
elimination of all liquids, or even all
free liquids, but only requires the
removal of liquid wastes to the extent
necessary to support the cover system.
These commenters also contended that
‘‘the plain language of the 2015 CCR
Rule does not require facilities to
address groundwater as part of the
closure performance standards under 40
CFR 257.102(d),’’ based in part on the
claim that regulatory definition of free
liquids does not encompass
groundwater. These commenters urged
EPA adopt the same approach to
determining whether an impoundment
contains liquid.
Several commenters also raised
concern that the proposal failed to
explain or provide clear guidance on
how much water an impoundment must
contain to be regulated as a legacy
impoundment under the 2023 proposed
rule. Many of these commenters
requested EPA to clearly define a
reasonable threshold associated with
what it means to ‘‘contain liquids,’’ to
aid the regulated community in
determining when the performance
standard has been met. One commenter
noted that the Agency had attempted to
fix this problem by relying on the
closure standard in § 257.102(d)(2)(i),
which requires the elimination of ‘‘free
liquids,’’ but the commenter considered
this approach to be insufficient because
EPA had not articulated how to
determine whether free liquids have
been eliminated.
The final rule largely adopts the
approach laid out in the proposal,
relying on a combination of the plain
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language meaning of the phrase and the
performance standard in
§ 257.102(d)(2)(i) to determine whether
an impoundment ‘‘contains liquid.’’
Under the ordinary meaning, an
impoundment ‘‘contains liquid’’ if
liquid is present in the impoundment,
even if the impoundment does not
prevent the liquid from migrating out of
the impoundment. In other words, it
‘‘contains’’ water if it has water within
it. See, USWAG, supra at 454 n. 23
(‘‘The EPA’s regulatory definition of
‘‘impoundment’’ is consistent with the
dictionary definition of the verb
‘‘impound,’’ which manifests
continuing action,’’ citing Impound,
Webster’s Third New International
Dictionary 1136 (3d ed. 1993) (‘‘[T]o
confine or store (water)[.]’’)).
Accordingly, under the final rule, if
liquids are present in the unit, it will be
considered to contain liquids, unless the
facility can demonstrate that free liquids
have been eliminated. Simply put, if a
facility can document that free liquids
were permanently eliminated prior to
October 19, 2015, the unit will not be
considered a legacy impoundment.
Relying on § 257.102(d)(2)(i) in this
context is reasonable and protective.
Both the definition of an inactive CCR
surface impoundment and the closure
performance standard are designed to
address the same issues (the presence or
removal of liquid wastes) and are
designed for the same purpose (to
ensure the risks from the comanagement of CCR and liquid are
adequately addressed). Once the free
liquids have been eliminated from the
impoundment, any remaining liquids do
not present a reasonable probability of
contaminating the aquifer. Thus, EPA
does not intend an operator to removal
all moisture from an impoundment, but
only the free liquids required under
§ 257.102(d)(2)(i), because of free
liquids’ contribution to risk.
Contrary to some commenters’ claims,
the existing text in § 257.102(d)(2)(i)
requires a facility to eliminate both the
standing liquid in the surface of the
impoundment and all readily separable
porewater in any sediment located in
the base of the impoundment. Free
liquids are currently defined at § 257.53
to mean ‘‘liquids that readily separate
from the solid portion of a waste under
ambient temperature and pressure.’’
This definition encompasses both
standing liquids in the impoundment as
well as any readily separable porewater
(i.e., porewater that readily separates
under ambient temperature and
pressure) in any sediment or CCR. As
EPA explained in the proposal, the
existing regulation does not differentiate
between the sources of the liquid in the
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impoundment (e.g., surface water
infiltration, sluice water intentionally
added, groundwater intrusion). This is
further supported by the fact that the
performance standard at
§ 257.102(d)(2)(i) was modeled on the
regulations that apply to interim status
hazardous waste surface
impoundments, which are codified at
§ 265.228(a)(2)(i). EPA’s guidance on
these interim status regulations clarifies
that these regulations require both the
removal of standing liquids in the
impoundment and sediment
dewatering. See, ‘‘Closure of Hazardous
Waste Surface Impoundments,’’
publication number SW–873, September
1982. EPA previously discussed the
subtitle C regulations at length
beginning on page 29 in the Final
Decision on Request For Extension of
Closure Date Submitted by Gavin
Power, LLC, 87 FR 72989 (November 15,
2022), as well as in the associated
Response to Comments document
located in the docket.47 And the
definition of liquid included in this
final rule removes any
misunderstanding.
The commenters are also mistaken
that the existing regulation only requires
the elimination of free liquids to the
extent necessary to support the unit’s
final cover system, The provision does
not state that the facility must
‘‘eliminate free liquids to the extent
necessary to support the final cover
system,’’ or anything comparable. Given
that § 257.102(d)(2)(ii) does specify that
‘‘waste must be stabilized sufficient to
support the final cover system,’’ the
absence of any similar text in paragraph
(d)(2)(i) is dispositive. Compare
§ 257.102(d)(2)(i) and (ii).
EPA disagrees that it is not taking into
account whether the water in the unit
poses risk. And for the same reasons
EPA disagrees that it has failed to
demonstrate that the units subject to
regulation under this rule warrant
regulation under RCRA section 4004(a).
Impoundments with free liquids do in
fact pose significant risk for the reasons
discussed above. In the proposal, EPA
discussed two examples of units that
still ‘‘contain liquids’’: (1) A unit
constructed such that the CCR in the
unit was continually saturated by water
flowing freely through the unlined
impoundment; and (2) Where the
facility has removed only the standing
water from the impoundment. As EPA
explained, as a purely factual matter, a
surface impoundment that has only
47 The Final Decision and Response to Comments
documents can be found in the docket for that
action. See docket items EPA–HQ–OLEM–2021–
0590–0100 and EPA–HQ–OLEM–2021–0590–0099,
respectively.
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decanted the surface water would
normally still contain free liquids if the
waste in the unit was still saturated
with water. Neither of these examples—
which in actuality, likely represent the
overwhelming majority of legacy
impoundments subject to the final
rule—have eliminated free liquids or
involve trivial amounts of water. As
explained in the preceding sections,
such impoundments still contain
hydraulic head and are otherwise
essentially indistinguishable from the
impoundments described in the 2015
CCR Rule preamble and modeled in the
2014 Risk Assessment. And as EPA
explained in the proposal, these units
retain the conditions that cause a
heightened risk of contaminating the
aquifer. That is true even if the unit is
considered ‘‘closed’’ under State law, is
in the process of closing, or at some
subsequent point, the unit is fully
dewatered and no longer contains
liquid.
Moreover, as several commenters
confirmed, it has apparently been a
common practice to maintain CCR
impoundments in a dewatered state.
Even assuming these commenters meant
that they had done more than merely
remove the standing water, which seems
unlikely given their comments on
§ 257.102(d)(2)(i), without an effective
cover system many ‘‘dewatered’’
impoundments can nevertheless contain
significant volumes of water simply as
a consequence of the amount of
precipitation that continually percolates
through the unit. Based on an online
USGS Rainfall Calculator Tool,48 the
example unit will receive a total of
27,154 gallons of water per acre during
a single 1-inch rainfall event. Taking
that a step further, a 50-acre
impoundment in Atlanta, Georgia
typically receives an average of 50
inches of rain a year, which equates, on
a yearly average, to 67,885,000 gallons
of water per year.49 In the absence of
any action taken to remove the water,
over time it will continue to accumulate
in the unit.
Thus, in many areas of the country
(e.g., the Southeast), CCR surface
impoundments without an effective
cover system may contain free liquids
and meet the definition of a legacy
impoundment due to the amount of
annual rainfall.50 But this approach is
48 Found at https://www.usgs.gov/tools/usgsrainfall-calculator. Found at https://www.usgs.gov/
tools/usgs-rainfall-calculator.
49 Based on 30-year average rainfall from National
Weather Service data.
50 The frequency and severity of future rainfall
events may be amplified by the effects of climate
change. On average this would result in more water
percolating through, and accumulating in, legacy
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intended to also clarify that contrary to
the commenters’ contention, a unit
whose periodic rainfall does not result
in free liquids (e.g., is readily absorbed
into the CCR) would not be regulated as
a legacy CCR surface impoundment.
Finally, with respect to the small
number of units that may have been
completely dewatered after October 19,
2015, these units likely pose significant
(and unacceptable) risks to human
health and the environment that warrant
regulation under RCRA section 4004(a),
based solely on the expected presence of
contamination that occurred while the
impoundment was operating. See Unit
III.A.2 of this preamble.
This approach also largely addresses
commenters’ request for a clear
standard, and many of their technical
concerns. For example, the clarification
that EPA is concerned with the presence
of readily separable porewater, (that is,
free liquids), which can be easily
verified by technical equipment such as
piezometers, thus resolves the
commenters’ concern that that
porewater may be difficult to measure as
it is held in the interstices or pore
spaces between particles of soil,
sediment, and/or CCR material and may
not flow readily or be easily quantified
using field or laboratory methods. EPA
has also developed a memorandum
describing the current methods and
tools that are available to determine
whether free liquids have been
eliminated, which is available in the
docket for this rulemaking. EPA has
provided a brief summary of the
memorandum in the next four
paragraphs below.
Many of the tools and methods to
identify and eliminate free liquids are
already widely used by industry to
investigate and close surface
impoundments. For example, tools
currently used to identify free liquids
include soil borings and cone
penetrometers to map the stratigraphy of
the CCR unit and characterize the
geotechnical and hydraulic properties of
the various CCR layers, as well as the
installation of traditional piezometers,
monitoring wells and vibrating wire
piezometers to monitor pore pressures
and water levels. Properly constructed
CCR surface impoundments, which may further
increase the risk of these units contaminating their
underlying aquifers. More frequent and more severe
rainfall events may also increase the risk that legacy
CCR impoundments flood, overtop, and experience
structural failures leading to potentially
catastrophic releases of CCR into the surrounding
environment. Many legacy CCR surface
impoundments are located in 100-year floodplains
which suggests that they are particularly vulnerable
to rainfall driven flooding. Unit V of this preamble
and the RIA accompanying this final rule describe
this scenario in more detail.
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wells and piezometers screened in the
appropriate locations and depths have a
prominent role in networks of
instruments used to assess free liquids,
as their design directly measures water
levels under ambient conditions.
Fundamentally, water levels in properly
constructed and developed wells and
piezometers are indicative of free
liquids at that location. Conversely,
networks of spatially discretized wells
and piezometers can be used as part of
a program to determine or confirm that
free liquids no longer exist.
Similarly, tools and methods to
eliminate free liquids within the CCR,
such as rim ditches, underdrain
systems, pumping wells, manifolded
extraction wellpoints, etc., are also
currently widely employed by industry.
These elimination technologies can also
provide diagnostic and confirmatory
insights into the presence and nature of
free liquids at a given CCR unit, e.g., rim
ditches and open excavations enable
direct observation of free liquids.
EPA recommends that a
demonstration of whether free liquids
are present rely on a holistic evaluation
of all information collected from sitewide monitoring networks (e.g.,
piezometers and vibrating wire
piezometers), as well as data collected
from actual dewatering efforts. EPA
further recommends that monitoring
networks include points of sufficient
density to independently verify
dewatering performance determined
from implementation of elimination
technologies.
The memorandum also provides
general guidance on considerations for
developing successful site-specific
strategies and approaches to identify,
measure, monitor and eliminate free
liquids. The elimination of free liquids
relies on a well resolved understanding
of the character and variability of the
site-specific geology and hydrology, as
well as the CCR materials themselves.
Such information is frequently
compiled into a Site Conceptual Model
(CSM), and the memorandum also
discusses some considerations related to
the elements needed to construct a CSM
if one does not already exist, or to
augment a weak or poorly resolved
CSM.
EPA has adopted this approach rather
than the commenters’ suggestion to
define a legacy CCR surface
impoundment as a CCR surface
impoundment that ‘‘contains CCR and
free liquids’’—even though EPA expects
the effect will be the same in almost all
cases—because it represents the best
balance of several competing
considerations. First reliance on the
broad dictionary definition is the most
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protective because all liquids have the
potential to become the free liquids that
create leachate and contribute to
hydraulic head. This approach also
maintains consistency with the existing
definition of an inactive CCR surface
impoundment.
At the same time, EPA acknowledges
that once the free liquids have been
eliminated from the impoundment, any
remaining liquids typically do not
present a reasonable probability of
contaminating the aquifer. EPA is also
mindful of not establishing criteria that
blur the lines between landfills and
impoundments, EPA agrees with
commenters that it would not be
appropriate to designate a CCR landfill
as a CCR surface impoundment based
solely on periodic rainfall that is readily
absorbed into the CCR and does not
result in free liquids.
The regulation reflects this balance by
placing the burden on the owner or
operator to demonstrate that the
standard in in § 257.102(d)(2)(i) has
been met. In other words, the absence of
free liquids is an affirmative defense,
and therefore any uncertainty as to
whether the standard in
§ 257.102(d)(2)(i) has been met is to be
construed in favor of regulation because
of the risks of environmental harm from
free liquids in contact with CCR.
Although, consistent with the 2015
CCR Rule, EPA is not requiring facilities
to post documentation to demonstrate
that no legacy impoundment is present
at the site, EPA recommends that
facilities develop and retain records to
support any determination that a
particular unit meets this exception.
Finally, as discussed in Unit III.B.2.b.i
of this preamble, EPA has provided
additional time to allow a facility to
determine that it has eliminated free
liquids as part of its applicability report.
(3) Whether the Proposal Reflected a
‘‘New’’ Interpretation
To support their claim that EPA had
adopted new definitions of ‘‘liquid’’,
‘‘CCR surface impoundment’’ and
‘‘inactive CCR surface impoundment,’’ a
number of the commenters identified
aspects of the 2015 CCR Rule or
preamble that they believe to be
inconsistent with the May 2023
proposed rule preamble. First, several of
these commenters claimed that
statements in the proposed rule are
inconsistent with the requirement in the
existing definition of a CCR surface
impoundment that the unit must be
‘‘designed to hold an accumulation of
CCR and liquids.’’ 40 CFR 257.53. For
example, some commenters stated that
an impoundment that was dewatered
and closed or is otherwise maintained
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38991
so as not to impound liquids is no
longer ‘‘designed to hold an
accumulation of CCR and liquids,’’ and
therefore, cannot be considered an
inactive or legacy impoundment.
Several commenters also claimed that
the 2015 CCR Rule preamble, explained
that the phrase, ‘‘designed to hold an
accumulation of CCR and liquids,’’
means only units that ‘‘contain a large
amount of CCR managed with water,
under a hydraulic head that promotes
the rapid leaching of contaminants.’’
According to these commenters,
although a dewatered or closed
impoundment may ‘‘contain liquid’’ as
EPA defined it in the May 2023
proposal, no hydraulic head would be
present. Or as one commenter stated,
‘‘The Proposed Rule definition of
liquids was expanded to include
sources of water that are not
demonstrated to be contributing to
hydraulic head, or creating the potential
for impoundment failure and spread of
contaminated water.’’ These
commenters argue that facilities had
relied on this guidance in good faith,
and that ‘‘simply citing the dictionary
definitions of a ‘liquid’ and ’contains’
eight years after the 2015 CCR Rule
published and without context is not a
sufficient rationale or appropriate.’’
Several of these same commenters
raised concern that EPA was proposing
to regulate units that do not present the
same risks on which the original rule
was based. These commenters stated
that in 2015 EPA did not strictly
interpret ‘‘liquids’’ as precipitation,
porewater, or groundwater without
considering the associated force of
liquids on the unit’s embankment.
According to the commenters, the 2015
CCR Rule was based on—and the
current rulemaking should continue to
be concerned with only—‘‘the risk of
excessive hydraulic head and the
potential for structural failure of
embankments from impounded water.’’
The commenters further stated that the
maintenance of CCR impoundments in
a dewatered state significantly reduces
the risk of structural failure, reduces the
contact time with larger quantities of
CCR, and reduces constituent
concentrations and overall risk of
impact to groundwater.
Other commenters pointed to
statements in the 2015 CCR Rule
preamble that EPA did not intend the
term ‘‘inactive impoundments’’ to
include units that are closed, or to
require closed units to reclose. Several
of these commenters quoted the
following discussion:
EPA did not propose to require ‘‘closed’’
surface impoundments to ‘‘reclose.’’ Nor did
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EPA intend, as the same commenters claim,
that ‘‘literally hundreds of previously
closed. . .surface impoundments—many of
which were properly closed decades ago
under state solid waste programs, have
changed owners, and now have structures
built on top of them—would be considered
active CCR units.’’ Accordingly, the final rule
does not impose any requirements on any
CCR surface impoundments that have in fact
‘‘closed’’ before the rule’s effective date—i.e.,
those that no longer contain water and can
no longer impound liquid.
80 FR 21343.
Another commenter asserted that
based on the proposal’s ‘‘strict
interpretation,’’ all CCR landfills and all
CCRMU would (inappropriately) be
considered inactive or legacy CCR
surface impoundments. As the
commenter explained, a CCR landfill
could contain liquids, especially after
heavy rainfall, but as it was not
designed to hold an accumulation of
CCR and liquid it is not a CCR surface
impoundment.
A number of commenters also argued
that the interpretation in the proposal of
‘‘contains liquids’’ is inconsistent with
the decision in 2015 to define sand and
gravel pits as a CCR landfill. According
to the commenters, if EPA intended
inactive CCR surface impoundments to
broadly encompass CCR in contact with
groundwater, without hydraulic head,
sand and gravel pits would have instead
been added to the definition of CCR
surface impoundment. The commenters
base this on EPA’s statement in the
proposed rule that ‘‘the damage from the
placement of CCR in sand and gravel
pits was almost always associated with
CCR being placed in contact with water,
which indicated that the placement of
CCR in contact with water can lead to
higher risks than from dry disposal.’’
See, 80 FR 32010.
Finally, a commenter raised concern
that owners of inactive facilities that
dewatered a CCR surface impoundment
before October 19, 2015, but completed
the removal of CCR at some time after
October 19, 2015, could be subject to the
CCR legacy rules because of what the
commenter characterizes as the
modification to the definitions of liquid
and contains. This commenter also
raised concern that some former coalfired power plant properties were sold
based on EPA’s prior guidance that
dewatered surface impoundments were
not regulated, and asked whether these
non-utilities will be required to comply
with the documentation requirements.
As discussed above, this final rule
defines a legacy CCR surface
impoundment as a CCR surface
impoundment at an inactive facility that
‘‘contains both CCR and liquid,’’ as EPA
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discussed that phrase in the proposal.
EPA continues to believe that the
appropriate construction of the phrase is
to rely on its plain language meaning,
consistent with the ordinary dictionary
definitions those terms, in combination
with the dewatering standard in
§ 257.102(d)(2)(i). EPA is also
promulgating a definition of this term in
this final rule. As discussed above, some
commenters have asserted that this
definition is ‘‘new.’’ EPA disagrees.
Regardless, even if it were new, it is
permissible for EPA to define the term
here in this rulemaking—EPA is not
bound to any prior definition, and fully
explained its rationale for the definition
herein. In addition, the definition of
liquids is not in any way inconsistent
with other definitions in § 257.53 or any
other provisions from the 2015 CCR
Rule.
EPA agrees that a legacy CCR surface
impoundment must meet the existing
definition of a CCR surface
impoundment in § 257.53. That
definition contains three criteria: (1)
The unit must be ‘‘a natural topographic
depression, manmade excavation or
diked area;’’ (2) The unit must be
‘‘designed to hold an accumulation of
CCR and liquid;’’ and (3) The unit
‘‘treats, stores or disposes of CCR.’’ 40
CFR 257.53. None of these require the
presence of a particular amount of water
or hydraulic head—or indeed any.
Rather, the unit must be ‘‘designed’’—
that is, intended to—hold an
accumulation of CCR and liquid.
Although EPA expected that, based on
its understanding of the utilities’ current
management practices, water would be
present as a consequence of the
treatment, storage, or disposal occurring
in the unit, nothing in the text of the
definition requires it, let alone requires
a minimum amount. The requirement
that liquid actually be present in the
unit appears in the definition of an
‘‘inactive surface impoundment’’ (or
‘‘legacy CCR surface impoundment’’),
which as discussed, requires that the
unit ‘‘contains both CCR and liquids.’’
40 CFR 257.53.
With this understanding, EPA
disagrees with the commenter who
asserted that based on the proposal’s
‘‘strict interpretation,’’ all CCR landfills
and all CCRMU would be considered
inactive or legacy CCR surface
impoundments. The commenter
explained that, for example, a CCR
landfill could contain liquids, especially
after heavy rainfall, and the commenter
believed that the construction of the
regulation outlined in the proposal
would mean that this unit would be
classified as a CCR surface
impoundment even though the unit was
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not ‘‘designed to hold an accumulation
of both CCR and liquid.’’ EPA agrees
that a unit that meets the definition of
a CCR landfill would not become a CCR
surface impoundment merely because it
contained liquid; as the commenter
noted, such a unit would not have been
‘‘designed to hold an accumulation of
both CCR and liquid.’’ Ordinarily there
should be clear indications that the unit
was not intended or designed to
function as an impoundment; for
example, if the facility placed only dry
CCR into a unit, or had designed or
constructed the unit as a CCR landfill
(e.g., it was constructed or operated
with a leachate collection and removal
system that meets the requirements of
§ 257.70(d)). It was for this reason that
EPA included sand and gravel pits
within the definition of a CCR landfill;
all of those instances involve the
placement of exclusively dry CCR into
the sand and gravel pits with no
indication that they were designed to
hold liquids.
For the same reason, EPA disagrees
that an impoundment that has been
dewatered and closed or is otherwise
now maintained so as not to impound
liquids should no longer be considered
‘‘designed to hold an accumulation of
CCR and liquids,’’ and therefore, should
not be considered an inactive or legacy
impoundment. Just as a landfill would
not suddenly become ‘‘designed to hold
an accumulation of both CCR and
liquids’’ based on the temporary
presence of precipitation, removing
liquids from a unit that was constructed
as a surface impoundment and that
operated as a surface impoundment by
managing both CCR and liquids for
decades, does not suddenly mean that
the unit is no longer ‘‘designed to hold
an accumulation of CCR and liquids.’’
Even assuming all free liquids had been
removed from the unit, which as
discussed below is unlikely, the
subsequent removal of liquids as part of
closing the unit does not change either
the original design or use of the unit; the
commenters do not intend to retrofit the
unit for subsequent use as a landfill, but
are merely in the process of complying
with the requirements applicable to the
closure of CCR surface impoundments.
Nor does the subsequent dewatering
change the present risks arising from the
original design and long-term operation
of the unit as an impoundment. To
avoid any confusion on this point, EPA
has deleted the phrase ‘‘which is’’ from
the existing definition of a CCR surface
impoundment.
EPA also disagrees that the proposed
(and now final rule) expanded the
existing definition of a CCR surface
impoundment—either by regulating
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different kinds of units as surface
impoundments than are currently
regulated as surface impoundments, or
by regulating units that present
substantially different kinds or level of
risks. These commenters have
misunderstood the 2015 CCR Rule and
preamble.
EPA did not limit surface
impoundments to units ‘‘containing a
large amount of CCR managed with
water, under a hydraulic head that
promotes the rapid leaching of
contaminants.’’ The definition of a CCR
impoundment is discussed in the 2015
preamble at 80 FR 21357–21358.
Reading the discussion as a whole,
rather than the single sentence from the
preamble that the commenters
reference, clearly demonstrates that the
2015 CCR Rule was concerned with
more than the risks associated with the
force of impounded water on the
embankment structure and included the
risks of contamination when water
travels from the impoundment to the
surrounding are, and that EPA did not
limit the CCR surface impoundments
regulated under the 2015 CCR Rule to
those that contain a particular amount
of water or degree of hydraulic head.
It is clear from the complete
discussion that what determines
whether a unit is considered a CCR
surface impoundment are the three
criteria 51 (discussed above) actually in
§ 257.53, rather than a finding that the
particular unit ‘‘contain[s] a large
amount of CCR managed with water,
under a hydraulic head that promotes
the rapid leaching of contaminants.’’
In addition, the critical issue in
crafting the definition was the quantity
of CCR in the unit, not the quantity of
water. Thus EPA explained that it was
modifying the proposed definition to
address concerns that it would capture
ponds that contain only de minimis
levels of CCR, because it agreed with
commenters that the rule as proposed
could inadvertently capture units that
present significantly lower risks, such as
process water or cooling water ponds
that ‘‘although they will accumulate any
trace amounts of CCR that are present,
they will not contain the significant
quantities that give rise to the risks
modeled in EPA’s assessment.’’ 80 FR
21357. EPA then stated that by contrast,
‘‘units that are designed to hold an
accumulation of CCR and in which
treatment, storage, or disposal occurs
51 The existing definition of a CCR surface
impoundment contains three criteria: (1) The unit
must be ‘‘a natural topographic depression,
manmade excavation or diked area;’’ (2) The unit
must be ‘‘designed to hold an accumulation of CCR
and liquid;’’ and (3) The unit must ‘‘treat[ ], store[ ]
or dispose[ ] of CCR.’’ 40 CFR 257.53.
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will contain substantial amounts of CCR
and consequently are a potentially
significant source of contaminants.’’ Id.
(Emphasis added).
These points are best illustrated by
the specific examples discussed in the
preamble of the 2015 CCR Rule. First, in
each example EPA explained whether
the units would be considered CCR
surface impoundments exclusively by
reference to the criteria in the
regulation. 80 FR 21357. Second, the
units in each of the examples contained
varying degrees of water and therefore
hydraulic head. The final example was
a diked area in which wet CCR is placed
in order to remove the water for future
transport to a CCR landfill or beneficial
use. EPA explained that:
[t]he unit is accumulating CCR, while
allowing for the evaporation or removal of
liquid (no free liquids) to facilitate transport
to a CCR landfill or for beneficial use. In this
instance, the unit again meets all three
definition criteria, it is a diked area (i.e.,
there is an embankment), it is accumulating
CCR for ultimate disposal or beneficial use;
and it is removing any free liquids, (i.e.,
treatment). As such, this unit would meet the
definition of CCR surface impoundment.
80 FR 21357. The impoundment in this
example contains far lower amounts of
liquid than would be found in an
operating impoundment because it is
used to remove liquid from CCR. In
essence such units would likely not
contain significantly more liquid than
the partially dewatered impoundments
that the commenters now claim are
exempt based on their supposed lack of
a hydraulic head. 80 FR 21357–21358.
More to the point, the units that the
commenters argue should be exempt do
still contain a hydraulic head ‘‘that
promotes the rapid leaching of
contaminants’’ and the consequent
increased risks of leachate
contaminating groundwater.
Based on their comments on the
closure performance standards, what
these commenters mean by ‘‘dewatered’’
is merely the removal of: (1) Only the
standing liquid or the free liquid visible
at the surface of the impoundment; or
(2) Free liquids in the CCR only to the
depth needed to safely work with heavy
machinery and to expedite the closure
process. Properly characterized, this is
merely partial dewatering. As
previously discussed, because they are
not removing free liquids beyond this
depth, this eliminates neither the
‘‘liquid,’’ the hydraulic head in the unit,
or the conditions that create the
heightened risk of leachate
contaminating ground or surface water.
Although this will reduce the hydraulic
head, until the water is eliminated,
gravity will continue to exert downward
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pressure on the saturated waste.
Continued contact with free liquids will
continue to cause metals and other
constituents to leach from the CCR, and
the downward pressure of the hydraulic
head will continue to drive the leachate
toward the bottom of the unit into the
surrounding soil and/or into the aquifer,
along with any CCR constituents that
have leached from the waste.
It is clear from the 2015 preamble that
the situation described by the
commenters is not what EPA intended
when it explained that the regulations
did not apply to ‘‘closed’’ units. In the
paragraphs preceding the commenters’
selective quotation, EPA defined
inactive surface impoundments as
‘‘those that contain both CCR and water,
but no longer receive additional
wastes.’’ 80 FR 21343. EPA further
explained that ‘‘By contrast, a ‘closed’
surface impoundment would no longer
contain water, although it may continue
to contain CCR (or other wastes), and
would be capped or otherwise
maintained.’’ Id. (emphasis added). See
also, Id. (3d col) (‘‘Accordingly, the final
rule does not impose any requirements
on any CCR surface impoundments that
have in fact ‘closed’ before the rule’s
effective date—i.e., those that no longer
contain water and can no longer
impound liquid.’’) (emphasis added).
Note that EPA stated that a closed unit
would not contain ‘‘water,’’ without
qualification or limitation. Nowhere in
this discussion (or the rest of the
preamble) did EPA distinguish between
water, free water, porewater, or
groundwater, or expressly suggest that
any of those might appropriately remain
in the unit after closure.
EPA thus agrees that, as in the 2015
CCR Rule, ‘‘an impoundment that no
longer contains liquid prior to October
19, 2015’’ would not be considered
either an inactive impoundment or a
legacy impoundment.52 EPA
acknowledges that CCR surface
impoundments that contained liquids
prior to October 19, 2015, can still be
associated with significant
environmental and human health risks.
As discussed in Unit III.A.1 of this
preamble, many if not all of these
impoundments lacked a composite liner
system, and therefore likely leached
contaminants into the soil and
underlying aquifer during operation.
Eliminating the liquid from the
impoundment will not remediate these
releases—which at some sites may be
significant—although it may
substantially reduce or eliminate a
source of additional or continuing
52 EPA also discusses its interpretation of
‘‘impound liquid’’ in Unit III.B.2.g of this preamble.
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contamination. And to the extent the
unit lacks an effective cover system, the
unit may still be leaching contaminants,
albeit at a reduced rate. Consequently,
although such units would not be
considered inactive or legacy
impoundments, some will be regulated
as a CCR management unit, as described
in the next section.
However, the proposal by some
commenters to regulate any
impoundment that has ever contained
CCR and liquids would represent a
significant expansion of the regulations,
in that it would essentially capture
every CCR surface impoundment that
ever operated in the United States. To
illustrate the potential implications of
such a revision: approximately 533
surface impoundments and 239 landfills
are regulated under the 2015 Rule. EPA
estimates that as a consequence of this
final rule, an additional 194 (legacy)
surface impoundments will be
regulated. By contrast, as one
commenter calculated, approximately
2,170 surface impoundments were
operating in 1973 alone.53 EPA,
however, is not prepared at this juncture
to expand the regulation so dramatically
without first obtaining at least some
basic information about the kinds of
sites that would be regulated. Instead,
EPA is proceeding to address the effects
of past CCR management one step at a
time, and is focusing here on a narrower
universe of regulated units.
The Agency is not required to address
every aspect of a problem immediately;
courts have long recognized that it can
be appropriate to address complex
problems in stages. This final rule
expands oversight to approximately 194
legacy CCR surface impoundments, and
as discussed in Unit III.C, closes gaps in
the existing regulations that currently
fail to require facilities to remediate
known contamination resulting from the
operation of their CCR units. EPA
expects to shortly publish a final permit
rule and to begin issuing permits to
bring facilities into full compliance.
While the Agency works to address the
risks from this current universe, EPA
will also continue to collect information
to better understand the full extent of
the potential problem posed by the
universe of abandoned sites that remain
unregulated. In the interim, authority
under RCRA section 7003 and CERCLA
section 106 remains available to address
any imminent and substantial threats to
human health or the environment that
53 GenOn Comments at 5–6. Estimate based on the
number of coal-fired generating units operating in
1973 according to the U.S. Energy Information
Administration (1,839) and assuming 1.2 surface
impoundments per plant, consistent with
operations in 2010.
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these unregulated sites may present. 42
U.S.C. 6873 and 9606.
EPA also agrees that as a consequence
of the plain language meaning of the
phrase ‘‘contains liquid,’’ the owners of
inactive facilities that dewatered a CCR
surface impoundment before October
19, 2015, but completed the removal of
CCR at some time after October 19,
2015, would be subject to this final rule
if only the standing water had been
removed from the impoundment by this
date. As EPA explained in the proposal,
as a purely factual matter, a surface
impoundment that has only removed
visible surface water would normally
still contain liquids if the waste lower
in the unit was still saturated with
water. However, this issue is also
discussed further in the next section.
Because the regulation applies
exclusively to the current owners and
operators, if such a facility had been
sold to a non-utility, the new owner,
rather than the previous owner, will be
required to comply with the any
applicable requirements.
(4) Adding a Definition to the
Regulations
As noted previously, EPA solicited
comments on whether adopting a
definition of ‘‘liquids’’ into part 257
would provide greater clarity. The
preamble discussed various possible
definitions, including from MerriamWebster and a technical definition. The
proposal also explained that the term
‘‘liquids’’ encompasses all the various
types of liquid that may be present in a
CCR unit, including water that was
sluiced into the impoundment along
with the CCR, precipitation, surface
water, and groundwater that has
migrated into the impoundment due to
the construction of the unit, which may
be found as free water or standing water
ponded above the CCR or porewater
intermingled with the CCR. 88 FR
31992. Although there was widespread
disagreement about what the definition
should be, most commenters appeared
to support including a definition in the
regulations. Several commenters
supported including a definition of
‘‘liquids’’ in the final rule to prevent
future disputes over the meaning of the
term. Some of these commenters stated
that ‘‘given the clear, plain language of
the CCR Rule’s closure provisions and
EPA’s longstanding implementation of
the regulations, codifying a regulatory
definitions [sic] of the plain term
‘liquid(s)’ should be unnecessary.’’
However, the commenters also stated
that ‘‘in light of industry’s apparent
preference to litigate the reality that
groundwater is liquid in favor of
properly closing its leaking, unlined
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ponds, EPA should codify its
longstanding, plain meaning definitions
of key terms in the hope of avoiding
unnecessary and costly future litigation
and ensuring timely, proper closure.’’
By contrast several commenters
opposed including a definition in the
regulations, suggesting that EPA should
instead continue to rely on how the
commenters believed those terms have
been used in the 2015 CCR Rule and
historically applied in implementing
RCRA requirements. Some of these
commenters stated that EPA has not
provided adequate notice to the public
of a new regulatory definition of
‘‘liquids,’’ and claimed that EPA
therefore could not adopt a regulatory
definition of ‘‘liquids’’ in a final rule.
Finally, a commenter opposed adding a
definition of ‘‘liquids’’ to the
regulations, arguing that it would not
change the definition of ‘‘free liquids,’’
which the commenter believes is a
distinct, technical regulatory term that
does not encompass groundwater, or the
performance standard in
§ 257.102(d)(2)(i), which, according to
the commenter, only requires the
removal of liquid wastes and
stabilization of remaining wastes to
support the cover system.
Several commenters recommended
that in the absence of a statutory
definition of ‘‘liquid(s)’’ and consistent
with the CCR regulatory definition of
‘‘free liquids’’ and EPA’s longstanding
implementation of the predecessor
hazardous waste closure regulations,
EPA should codify a definition of
‘‘liquid’’ based on the dictionary
definitions as set forth in the Proposed
Rule. They also suggested that the
definition should make clear that the
term encompasses free water, porewater,
standing water, and groundwater
without regard to their source.
Commenters also offered numerous
alternatives. For example, several
commenters offered technical
definitions from various sources. One of
those commenters raised concern that
the technical definition discussed in the
proposal had the potential to be
confusing. According to this
commenter, bulk particulate solids,
such as fly ash, exhibit the physical
properties of a liquid identified in the
technical definition: specifically, dry fly
ash flows when poured from container
to container and conforms to the shape
of a container—retaining its volume but
not its shape. Instead, this commenter
suggested that soil mechanics might
provide useful information on which to
base a definition.
As noted above, numerous
commenters also suggested that EPA
should focus on ‘‘free liquids’’ rather
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than ‘‘liquids.’’ Several of these
commenters recommended that the final
rule adopt the definition in 40 CFR
258.28(c)(1), which relies on the Paint
Filter Liquids Test to determine whether
liquids are present. The commenters
recommended that the CCR and MSW
landfill programs be consistent as both
reside under RCRA subtitle D. However,
one of these commenters also raised
concern that it is unclear how far back
in time this would reach and how EPA
or the States would be expected to
regulate inactive utilities that no longer
exist but may have closed units that
meet the definition. By contrast, other
commenters raised concern about a
definition that relied on the Paint Filter
Liquids Test, stating that facilities had
experienced difficulties implementing
the test in the field.
Another commenter explained that
focusing on porewater, rather than the
separable porewater covered by the
definition of free liquids would cause
technical difficulties. According to this
commenter, porewater may be difficult
to measure as it is held in the interstices
or pore spaces between particles of soil,
sediment, and/or CCR material and may
not flow readily or be easily quantified
using field or laboratory methods.
Consequently, the commenter believed
that it would not be feasible to identify
whether liquids inclusive of all
porewater (whether separable or not)
were present in an impoundment or
landfill closed prior to October 19, 2015,
or in other words, to demonstrate the
absence of liquids eight years ago.
Similarly, one commenter stated that
EPA should adopt a definition in the
context of material in the ‘‘liquid state’’
such as free liquids and materials that
behave as liquids and can be readily
separated from the ‘‘solid’’ matrix and
should not include those materials that
are bound within the matrix and not
readily separable. And another
commenter recommended that EPA
define a legacy impoundment based on
the presence of free liquids and data to
support that the free liquids have
impacted groundwater.
EPA continues to strongly believe that
the plain text of the regulation clearly
communicates the Agency’s positions
laid out above, and that in light of the
dictionary definition a regulatory
definition is not strictly necessary.
However, in light of the different
understanding of the regulations among
commenters, EPA is incorporating the
existing requirements into the
definitions in § 257.53. Accordingly, the
final rule includes a definition of
‘‘liquids’’ based on the definition from
Merriam-Webster discussed in the
proposal. The new definition, codified
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at § 257.53, provides that ‘‘Liquids
means any fluid (such as water) that has
no independent shape but has a definite
volume and does not expand
indefinitely and that is only slightly
compressible. This encompasses all of
the various types of liquids that may be
present in a CCR unit, including water
that was sluiced into an impoundment
along with CCR, precipitation, surface
water, groundwater, and any other form
of water that has migrated into the
impoundment, which may be found as
free water or standing water ponded
above CCR or porewater intermingled
with CCR.
In addition, the final rule includes in
§ 257.53 a definition of the phrase
‘‘contains both CCR and liquids,’’
consistent with the discussion above
and in the proposal. The definition
reflects both the dictionary definition of
‘‘contains’’ and EPA’s explanation that
it relies upon the closure standard in
§ 257.102(d)(2)(i) to determine whether
a unit contains liquids.
The definition states that ‘‘Contains
both CCR and liquids means that both
CCR and liquids are present in a CCR
surface impoundment, except where the
owner or operator demonstrates that the
standard in § 257.102(d)(2)(i) has been
met.’’
These definitions reflect EPA’s
construction of the existing regulations.
In addition, codifying these definitions
definitively confirms that an
impoundment saturated by groundwater
or continually inundated by surface
water is an inactive or legacy
impoundment. It also provides greater
clarity that all kinds of liquid are
relevant to determining whether an
impoundment is subject to part 257 and
has properly closed.
Consequently, EPA decided not to
adopt either the technical definition of
liquid discussed in the proposal or any
of the suggested alternatives. EPA
agreed that the technical definition in
the proposal had the potential to be
confusing given that fly ash can
sometimes exhibit the physical
properties of a liquid identified in the
technical definition. While EPA also
agrees that CCR is a porous material
similar to soil, EPA did not adopt the
commenter’s suggestion to rely on soil
physics to craft an alternative. CCR is
not a soil, and EPA is concerned more
with the hydraulic characterization of
CCR that involves other considerations
in addition to soil physics.
EPA also chose not to adopt the
definition in 40 CFR 258.28(c)(1), which
relies on the Paint Filter Liquids Test,
or to otherwise mandate reliance on the
Paint Filter Liquids Test. First, a
number of other commenters raised
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technical concerns about relying on this
test in this context. In addition, EPA
would not generally recommend using
the Paint Filter Liquids Test in this
context. There can be physical effects
from obtaining the sample that could
affect the representativeness of the
sample (vibration, heat from the drilling
bit, etc.) and that can result in false
negatives. Consequently, although it
might provide relevant information to
confirm the presence of water in a
sample, EPA does not generally
consider the results to be sufficiently
reliable to confirm the absence of free
liquids.
EPA disagrees that the public had
insufficient notice of a potential
definition. EPA explained the subjects
and issues the agency would consider in
reaching its decision, and provided
examples of possible definitions. In
general, to provide adequate notice an
agency must ‘‘provide sufficient factual
detail and rationale for the rule to
permit interested parties to comment
meaningfully.’’ Florida Power & Light
Co. v. United States, 846 F.2d 765, 771
(D.C. Cir. 1988). As demonstrated in the
preceding section, numerous other
entities were able to effectively provide
comments, for example raising concerns
about the definitions discussed in the
preamble, and offering potential
alternatives. No commenter has
indicated what further information is
necessary to be able to comment
effectively on the issue.
EPA agrees that adopting these
definitions will not change the
performance standard in
§ 257.102(d)(2)(i), but for very different
reasons than those proffered by the
commenters. Incorporating these
definitions into the part 257 regulations
merely reaffirms the plain language
meaning of the term ‘‘liquids,’’ which,
as previously explained, is the status
quo. But because the term ‘‘liquids’’ is
used in the definition of ‘‘free liquids,’’
defining liquids to expressly encompass
all of the various types that may be
present in a CCR unit, including
groundwater, removes any
misunderstanding that such liquids
cannot be considered to be free liquids
when they otherwise meet the
definition, that is, they readily separate
from the solid potion of CCR at ambient
temperature and pressure.
However, the commenters are correct
that it will not address their
misconstruction of § 257.102(d)(2)(i),
which attempts to limit the requirement
based on text that does not appear in the
provision. Further discussion of
§ 257.102(d)(2)(i) can be found in Unit
III.B.2.g.
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In conclusion, under this final rule
the surface impoundments discussed in
the proposal would still be considered
legacy impoundments, as all would still
contain free liquids. Specifically this
includes (1) Any impoundment where,
on or after October 19, 2015, water
flowed or continues to flow through the
impoundment, permeating the waste in
the unit, such as where the base of the
impoundment intersects with the
groundwater; (2) A surface
impoundment where only the surface
water has been decanted; here too the
impoundment would normally still
contain free liquids if the waste in the
unit was still saturated with water; and
(3) Any impoundment that still contains
free liquids: (a) even if it is considered
‘‘closed’’ under State law; (b) it is in the
process of closing on the effective date
of this rule; or (c) the unit has been fully
dewatered and can no longer impound
liquid only after October 19, 2015 (i.e.,
it contained free liquids on October 19,
2015).
ii. What does it mean to ‘‘contain’’ CCR?
In the proposal, EPA explained that
under the existing regulation, an
inactive CCR surface impoundment
must contain CCR to be subject to the
rule. 40 CFR 257.53. EPA further
explained that it was not proposing to
revise that aspect of the legacy
impoundment definition. EPA proposed
that, consequently, a legacy
impoundment that had closed by
removal in accordance with the
performance standards in § 257.102(c)
before October 19, 2015, would not be
considered an inactive (and therefore
not a legacy) CCR surface
impoundment.
EPA also proposed that an
impoundment at an inactive facility that
was still in the process of closing by
removal on October 19, 2015, would be
considered a legacy CCR surface
impoundment subject to the final rule
requirements. EPA proposed that
facilities with such a unit would be
required to certify and post
documentation that they have met the
existing standard for closure by removal
in § 257.102(c) on their CCR website
(i.e., ‘‘certification requirement’’).
However, if a facility could not
demonstrate that the closed
impoundment meets the existing
performance standards in § 257.102(c),
the unit would be considered a legacy
impoundment subject to the rule. EPA
further explained that because the
impoundment contained liquid and
CCR on October 19, 2015, it would meet
the definition of a legacy CCR surface
impoundment, and that EPA had no
basis to exempt it, because EPA had no
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factual basis to conclude that a legacy
CCR surface impoundment that was in
the process of closing posed no risk.
However, EPA explained that
depending on when the impoundment
completed closure, some individual
requirements may no longer be
applicable to the legacy CCR surface
impoundment (i.e., when the
compliance date in the final rule falls
after the date closure is completed for
the impoundment).
No commenter opposed the proposal
to exclude impoundments that did not
contain any CCR prior to the effective
date of the 2015 CCR Rule, although
several commenters believe that
additional impoundments should also
be excluded. For example, many
commenters stated that EPA does not
have jurisdiction under RCRA over
impoundments from which all CCR was
removed between October 19, 2015, and
the effective date of this final rule. As
one of these commenters explained:
As proposed, a closed unit would still be
regulated under the final rule if all CCR has
been removed but groundwater monitoring
shows exceedances of the groundwater
protection standard constituents listed in
Appendix IV. RCRA’s juridical boundaries
are exceeded under this interpretation. The
USWAG decision explained that RCRA gives
EPA the authority to regulate past disposal of
CCR based on the continued presence of
CCR. Once the CCR is removed, CCR is no
longer disposed of, and EPA does not have
the ability to regulate based on the previous
existence of CCRs.
Commenters also provided examples of
the type of facility they believe that EPA
cannot regulate. For example, one
commenter described a closure of three
interconnected CCR surface
impoundments associated with the
Richard H Gorsuch Power Plant.
According to the commenter,
the closure was permitted by the state of
Ohio, along with a redesign of one of the
impoundments to control stormwater runoff
post-closure. The closure of these
impoundments included dewatering and
removal of all CCR materials to clean soil
prior to filling with clean soil and grading.
All CCR was transported to the associated
off-site fly ash landfill. No groundwater
monitoring was required, all the CCR was
removed, and the site is adjacent to an
existing RCRA corrective action (Union
Carbide) with known groundwater impacts.
Some of these commenters further
stated that EPA cannot rely on any
residual contamination left in
groundwater to support jurisdiction
because EPA has made clear that
groundwater (as well as other
environmental media containing
contaminants) is not a solid waste.
Finally, some commenters asserted that
EPA has no data showing that there is
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a reasonable probability of adverse
impact from historical CCR units that
have been closed by removing the CCR,
and as a consequence, EPA cannot
regulate such units.
By contrast, a number of commenters
requested that EPA clarify that its
statement in the Proposed Rule that EPA
‘‘no longer has jurisdiction over a
former unit that has closed by removal
in accordance with § 257.102(c)’’—is
based on the complete absence of CCR,
and requires not only removal of CCR
from and decontamination of the unit
but completing all groundwater cleanup
and other remedial measures and then
adequately documenting, with at least
two years of post-removal or
decontamination groundwater
monitoring, that GWPS are reliably
achieved by removal prior to the
effective date of the final rule.
EPA disagrees that it lacks
jurisdiction over a site at which the
owner has removed CCR from the
impoundment after October 19, 2015.
Many of the commenters misunderstand
the USWAG decision, as well as the
legal structure applicable to these units.
First, the USWAG decision did not
limit EPA’s authority to sites where CCR
remains, but to sites where solid waste
is present. See, USWAG, 901 F.3d at
440–441 (‘‘Properly translated then, an
open dump includes any facility (other
than a sanitary landfill or hazardous
waste disposal facility), where solid
waste still ‘‘is deposited,’’ ‘‘is dumped,’’
‘‘is spilled,’’ ‘‘is leaked,’’ or ‘‘is placed,’’
regardless of when it might have
originally been dropped off.’’) (emphasis
added).
Second, in the example EPA
presented in the proposal, even though
the facility may have removed all CCR
from the surface impoundment, solid
waste still remains on site because
groundwater monitoring continues to
detect statistically significant levels of
one or more Appendix IV constituents.
These monitoring results demonstrate
the continued presence of CCR
leachate 54—which is a solid waste
under the definition in 42 U.S.C.
6903(27)—in groundwater, and,
potentially, in soil at the site. As
discussed in greater detail below, this is
sufficient to demonstrate that EPA
retains jurisdiction over the site, under
the plain language of the statutory
definitions of solid waste and disposal.
EPA also considers that it has
authority to regulate as part of this rule,
sites similar to the one presented by the
54 Leachate is produced when liquids, such as
rainwater or groundwater, percolate through wastes
stored in a disposal unit. The resulting fluid will
contain suspended components drawn from the
original waste.
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commenter above. As discussed in more
detail below, the rulemaking record
supports a presumption that solid waste
remains at the site, even assuming the
facility had removed all CCR from the
impoundment. The rulemaking record
demonstrates the high likelihood that
the impoundment will have leaked
during its operation. As a consequence,
at any site that closed without
groundwater monitoring, such as the
one described in the comment above, or
that has not undertaken any
remediation, there is every reason to
believe that leachate (and, therefore,
solid waste) will remain on site. In
addition, the measures that facilities
have described taking to remove all CCR
from the impoundment would in fact
leave CCR leachate remaining in soils at
many sites.
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(a) Definition of Solid Waste
EPA’s jurisdiction over sites at which
CCR leachate remains is clear from the
plain language of the statutory
definitions of solid waste and disposal.
Under the CCR regulations, the
statutory definition of solid waste
applies, rather than any of the various
narrower subtitle C regulatory
definitions in 40 CFR part 261. Section
257.53 specifically provides that ‘‘Terms
not defined by this section have the
meaning given by RCRA.’’ Part 257 does
not include a definition of ‘‘solid waste’’
or ‘‘waste,’’ which therefore takes the
broader statutory definition of the term.
See also the § 257.53 definition of
disposal, which references ‘‘solid waste
as defined in section 1004 (27) of the
Resource Conservation and Recovery
Act.’’
The subtitle C regulations are equally
clear that they do not apply to subtitle
D wastes. See, e.g., 40 CFR 260.1(a)
(‘‘This part provides definitions of
terms, general standards, and overview
information applicable to parts 260
through 265 and 268 of this chapter.’’);
§ 261.1 (a) (‘‘This part identifies those
solid wastes which are subject to
regulation as hazardous wastes under
parts 262 through 265, 268, and parts
270, 271, and 124 of this chapter and
which are subject to the notification
requirements of section 3010 of
RCRA.’’).
Under RCRA the term ‘‘solid waste’’
means:
any garbage, refuse, sludge from a waste
treatment plant, water supply treatment
plant, or air pollution control facility and
other discarded materials, but does not
include solid or dissolved material in
domestic sewage, or solid or dissolved
materials in irrigation return flows or
industrial discharges which are point sources
subject to permits under section 1342 of title
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33, or source, special nuclear, or byproduct
material as defined by the Atomic Energy Act
of 1954, as amended (68 Stat. 923) [42 U.S.C.
2011 et seq.].
42 U.S.C. 6903(27). The plain meaning
of the word ‘‘discarded’’ in this
definition is ‘‘disposed of,’’ ‘‘thrown
away,’’ or ‘‘abandoned.’’ See, e.g.,
American Mining Congress v. U.S. EPA,
824 F.2d 1177, 1184 (D.C. Cir. 1987)
(citations omitted) (‘‘AMC I’’); American
Petroleum Institute v. EPA, 906 F.2d
729, 740–741 (D.C. Cir. 1990) (per
curiam). Such materials are ‘‘part of the
waste disposal problem’’ that Congress
enacted RCRA to address. AMC I, 824
F.2d at 1193. In other words, under the
statute if something has been disposed
of, as that term is defined in the statute,
it is a solid waste.55
Any CCR leachate left behind as soil
and groundwater contamination after
CCR removal would clearly constitute
material that has been ‘‘abandoned’’ or
‘‘discarded’’ and is thus subject to
regulation under subtitle D without
further activity. EPA has long
considered material that has spilled or
leaked onto the soil and not been
cleaned up to have been ‘‘abandoned’’
or ‘‘discarded.’’ See, e.g., Chemical
Waste Management v. EPA, 869 F.2d
1526, 1539 (D.C. Cir. 1989); Connecticut
Coastal Fishermen Ass’n v. Remington
Arms Co., 989 F. 2d 1305, (2d Cir 1993).
The conclusion that the CCR leachate
contaminating soil and groundwater is a
solid waste is also consistent with EPA’s
long-held interpretation (discussed at
length in the 2015 CCR rule preamble)
that leaking or passive migration of
leachate constitutes the disposal of solid
waste. 80 FR 21342–21347, quoting 43
FR 58954 (‘‘This is an important issue,
however, because some, and perhaps
most, inactive facilities may still be
‘disposing of waste’ within the meaning
of that term in Section 1004(3) of
RCRA. . . . Many inactive facilities
may well be leaking solid or hazardous
waste into groundwater and thus be
‘disposing’ under RCRA.’’). See also,
e.g., In re Consolidated Land Disposal
Litigation, 938 F2d 1386, 1388–1389
(D.C. Cir. 1991).
And even under the narrower
regulatory definition of solid waste in
subtitle C, EPA has long considered
leachate (i.e., the leaked constituents)
from previously disposed hazardous
wastes to be a hazardous (and therefore,
solid) waste. See, e.g., 40 CFR
261.3(c)(2)(i) (‘‘any solid waste
generated from the treatment, storage, or
disposal of a hazardous waste, including
55 As EPA explained in the 2015 preamble,
‘‘placement in a landfill or surface impoundment is
prima facie evidence of discard.’’ 80 FR 21348.
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38997
any . . . leachate . . . is a hazardous
waste.’’). 45 FR 33096 (May 19, 1980)
(‘‘As a practical matter, this means that
facilities which store, dispose of or treat
hazardous waste must be considered
hazardous waste management facilities
for as long as they continue to contain
hazardous waste and that any wastes
removed from such facilities—including
spills, discharges or leaks—must be
managed as hazardous
wastes.’’)(emphasis added). See, also,
Chemical Waste Management, 869 F.2d
at 1539.
Moreover, as discussed above, one
factor the D.C. Circuit has considered in
determining whether a substance is
properly considered a waste is whether
‘‘the materials are ‘part of the waste
disposal problem’ Congress intended to
address in enacting RCRA.’’ AMC I,
quoting House Committee Report, H.R.
Rep. No. 1491, 94th Cong., 2d Sess. at
2, U.S. Code Cong. & Admin. News
1976, p. 6240. If so, it falls under EPA’s
authority in RCRA to address. See,
American Mining Congress v. EPA, 907
F.2d 1179, 1186–87 (D.C. Cir. 1990)
(deferring to EPA’s focus on potential
environmental harm in determining
whether material is discarded) (AMC II).
The contamination from legacy
impoundments (even when the CCR has
been removed from the impoundment)
remains a threat to human health and
the environment that stemmed from
discarded materials, and thus is ‘‘part of
the waste disposal problem’’ RCRA was
enacted to address.
As discussed in more detail in Unit
III.A.3, EPA estimates that groundwater
contamination at sites with legacy
impoundments could pose lifetime
cancer risks from arsenic as high as 2 ×
10¥5 to 1 × 10¥5 (i.e., 2 to 100 cases of
cancer for every 100,000 individuals
exposed), depending on the specific
management practices and site
conditions. In addition, EPA estimated
noncancer risks well in excess of an HQ
of one for a wide variety of CCR
constituents, depending on the
management practices and site
conditions; for example, the high-end of
noncancer risks for lithium ranged
between two to three; for molybdenum
up to an HQ of four; thallium up to an
HQ of two, and for cobalt and mercury
up to an HQ of 13 and five, respectively.
Moreover, in the absence of any
groundwater remediation, there is no
reason to believe that the removal of
CCR from the impoundment mitigates
these risks. Although the unit may no
longer continue to contribute additional
contamination, removal of the CCR does
not address the release of and risk from
the metals or other CCR constituents in
any contaminant plume.
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The leachate from a CCR surface
impoundment or landfill is therefore
unquestionably a solid waste under the
broader statutory definition in 42 U.S.C.
6903(27). And to the extent the leachate
remains in soil or groundwater, that is
sufficient to support jurisdiction over
that site, even though all CCR may have
been removed from the disposal unit.
The risks from the leachatecontaminated groundwater also clearly
establish a reasonable probability of
adverse impacts on health and the
environment from legacy
impoundments that have been closed by
removing only the CCR.
EPA disagrees with the commenters
who stated that the Agency should not
presume that there have been impacts to
groundwater from an area where the ash
has been fully removed, absent specific
evidence to the contrary. The record
from both the 2015 CCR Rule and the
current rulemaking supports a strong
presumption that solid waste remains
on-site at these facilities. As the D.C.
Circuit noted, legacy impoundments
have been shown to be even more likely
to leak than units at utilities still in
operation. 901 F.3d at 432.
Data collected as part of the 2015
rulemaking shows that the majority of
the older operating (pre-1994) waste
units lack liners; 63% and 24% of older
surface impoundments have either no
liners or clay liners, respectively. 80 FR
21326. Thus far, no commenter has
identified a legacy impoundment with a
composite liner.
Analysis of the information from the
damage cases also demonstrates that
unlined surface impoundments
typically operate for 20 years before
they begin to leak. Id. at 21326–21327.
As discussed previously, commenters
submitted data indicating that on
average legacy impoundments are 55
years old. The following examples
discussed in the 2015 CCR rule
preamble further demonstrate the high
probability that legacy impoundments
will have leaked, and that in the
absence of remediation measures
leachate is highly likely.
In the wake of the 2008 TVA Kingston
CCR spill, Illinois and North Carolina
for the first time required utilities to
install groundwater monitoring. Illinois
required facilities to install groundwater
monitoring downgradient from their
surface impoundments. As a result,
within only about two years, Illinois
reported that seven facilities had
detected instances of primary MCL
exceedances, and five additional
facilities had reported exceedances of
secondary MCLs. The data for all 12
sites were gathered from onsite; it
appears none of these facilities had been
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required to monitor groundwater offsite, so whether the contamination had
migrated off-site was unknown.
Similarly, North Carolina required
facilities to install additional down
gradient wells. In January 2012, officials
from the North Carolina Department of
Environment and Natural Resources
disclosed that elevated levels of metals
were found in groundwater near surface
impoundments at all the State’s 14 coalfired power plants. 80 FR 21455.
It is also highly unlikely that removal
of CCR would also have removed all
areas affected by releases at many (if not
most) sites. In their comments, facilities
have described relying on visual
inspection or in some cases microscopic
inspection of soil material to determine
whether all CCR have been removed
from the impoundment. In such cases,
the practical depth limit of such
investigations is generally just beneath
(e.g., a foot or less) the visually observed
maximum depth of CCR. However, it is
not likely this practice would be
sufficient at many legacy sites to remove
all areas affected by releases of CCR
leachate.
At a minimum, for units with bases
above the groundwater, the soil column
beneath the unit from the base of the
unit to at least the depth of the lowest
water levels recorded in the aquifer,
would typically need to determine
whether the zone of water table
fluctuation constitutes a residual source
and may be in need of corrective action.
Concentrations of contaminants at this
horizon could be significantly elevated.
In a case where prior site assessment
and groundwater monitoring activities
have not resulted in a preexisting well
network capable of making this
determination it may be necessary to
install additional wells or to assess
groundwater.
Moreover, in a unit constructed with
CCR below the ambient groundwater,
after decades of groundwater infiltration
through the waste, the leachate
generated would be expected to show
elevated levels of CCR constituents of
concern. This chemically altered
leachate can interact with unsaturated
or partially saturated soils beneath the
CCR and can react with aquifer solids
beneath the unit to form intermediate
chemical compounds, some of which
may be bound to the aquifer matrix in
solid phases. Also, depending on the
amount of groundwater recharge and
infiltration directed through the unit,
some downwardly infiltrating leachate
is likely to reach the saturated zone
where additional chemical reactions
occur. Depending on the degree of
disequilibrium with the ‘‘ambient’’
conditions such reactions can be
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significant and can also result in
formation of mineral species that
become temporarily immobilized at or
beneath the water table as solid mineral
phases by formation of mineral
precipitates or simply adsorbed to the
aquifer matrices by retardation
processes. These intermediate
transformation products may contain
CCR constituents of concern as either
major, minor or trace components of
newly formed compounds. Depending
on the aquifer chemistry, including
redox state, pH, salinity, alkalinity, etc.,
some CCR constituents may remain
mobile in groundwater and may
continue to migrate downgradient of the
unit. Consequently, in situations where
the waste is below the water table,
assessment efforts would generally need
to penetrate a sufficient depth below the
base of the waste or the lowest water
levels in the aquifer, whichever is
greater, to ensure that potential releases
of leachate to the soil have been
evaluated.
Consequently, based on the practices
that facilities have stated that they use
to confirm that they have removed all
CCR from a site, both leachate
contaminated soil and groundwater
would frequently be expected to remain
on site even after CCR may have been
entirely removed from the
impoundment. The totality of the
information in the record thus supports
a presumption that solid waste remains
on-site. Demonstrating compliance with
§ 257.102(c) rebuts that presumption
and documents that the site is no longer
under RCRA’s jurisdiction.
EPA also disagrees that reliance on
the residual contamination left in
groundwater to support jurisdiction is
precluded by EPA’s prior statements
that contaminated media are not solid
wastes. These commenters are referring
to EPA statements made in connection
with the ‘‘contained in’’ policy under
the RCRA hazardous waste regulatory
program. As an initial matter, the
commenters have misunderstood the
policy. The policy states only that with
respect to contaminated soil or
groundwater, the media itself–the soil or
groundwater–is not a solid waste–even
though it contains a hazardous waste. In
other words, the contamination itself
remains a solid waste, and therefore
subject to EPA’s jurisdiction. See,
Chemical Waste Management v. EPA,
869 F.2d at 1539 (upholding EPA
interpretation that hazardous waste
restrictions continue to apply to waste
‘‘contained in soil or groundwater’’ as
‘‘consistent with the derived-from and
mixture rules,’’ even though the rules by
their terms do not apply to
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contaminated soil or groundwater
because they are not solid wastes).
In any event, as discussed above,
none of the regulations in 40 CFR parts
260–268, or 270 apply, except to the
extent EPA incorporated them into part
257, subpart D. This also means that any
Agency interpretations or policies
adopted under those regulations, no
matter how long-standing, do not
automatically apply to CCR, which are
regulated under part 257, subpart D.
Moreover, the policies and/or
interpretations the commenters identify
were developed based on the text of
particular statutory or regulatory
provisions under subtitle C, as well as
the larger statutory context in which
those particular statutory or regulatory
requirements operate (for example,
corrective action obligations at
hazardous waste treatment, storage, and
disposal facilities). RCRA subtitles C
and subtitle D differ greatly. For
example, only under subtitle C did
Congress expressly prohibit land
disposal of hazardous wastes that do not
meet treatment standards established in
EPA regulations. 42 U.S.C. 6924(d), (g),
(h), (m). Similarly, there is no analog
under subtitle D to section 6925(j),
which imposes detailed requirements
on hazardous waste surface
impoundments. It would therefore be
inappropriate to simply adopt a
particular interpretation or policy
developed under the particular
provisions of the RCRA subtitle C
hazardous waste regulatory program
into the CCR program without
evaluating whether the policy or
interpretation is consistent the statutory
language in subtitle D or would achieve
Congress’s purposes or direction. Note
that EPA explains above how its
approach is consistent with subtitle D
and the congressional scheme.
Finally, it is important to note that
EPA is not suggesting that the
management of CCR leachate is now
subject to the CCR regulations. EPA has
jurisdiction over CCR leachate because
the material is solid waste not because
it is CCR. Under the existing regulations
the definition of CCR does not include
leachate. See, 40 CFR 257.53. EPA did
not propose to amend this regulation
and does not currently intend to do so.
(b) Exclusions
Several commenters suggested a
number of other exemptions. For
example, one commenter suggested that
the final rule exclude legacy
impoundments that only contain de
minimis quantities of CCR. According to
the commenter, EPA’s risk analysis from
the 2015 CCR Rule supports the
conclusion that up to 75,000 tons of
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CCR used as structural fill is generally
safe. Therefore, the commenter
recommended that inactive
impoundments with 75,000 tons or less,
be exempt from regulation. Other
commenters urged EPA to clearly define
what is meant by de minimis amounts
of CCR in the context of legacy
impoundments.
Other commenters requested that EPA
exempt any legacy CCR surface
impoundments that met State
requirements for clean closure. These
commenters argue that EPA cannot
expect utilities who have closed legacy
impoundments under State guidelines
prior to this rulemaking to meet a
standard that did not exist at the time
of closure. These commenters also
asserted that by regulating such units
EPA is effectively disregarding a
qualified State’s regulatory authority to
approve closure under the regulations
and programs available to them at the
time.
Other commenters suggested that EPA
should allow facilities to certify that
they had completed closure by removal
in two additional situations. The first
suggestion was to allow a facility to
certify that it had complied with
§ 257.102(c) based solely on
documentation that the facility had
removed all ash by the effective date of
the 2015 CCR Rule, unless EPA or the
facility also had evidence (e.g., from
existing monitoring networks) of
groundwater impacts that could impact
human health or the environment.
These commenters stated that EPA
should not presume that there have
been impacts to groundwater from an
area where the ash has been fully
removed years or even decades ago,
absent specific evidence to the contrary.
The second suggestion was that EPA
exclude facilities that could certify and
document that they have met the
closure-in-place performance standards
in § 257.102(d) by the effective date of
this final rule. To support their
proposal, the commenter noted that EPA
has made it clear that the owner or
operator of a CCR facility can close a
CCR unit under either § 257.102 (c) or
(d) and be in compliance with the
Federal CCR regulations.
Finally, EPA received a number of
comments on the kind of documentation
that a facility needed to support a
determination that it had closed a legacy
impoundment by removal in accordance
with the standards in § 257.102(c) prior
to October 19, 2015. Some commenters
requested that the final rule require
facilities to post detailed documentation
demonstrating compliance with
§ 257.102(c). Other commenters,
however, objected to any documentation
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38999
requirements, asserting that it was
inconsistent with EPA’s treatment of
similar facilities in 2015, who were not
required to provide any compliance
documentation of closure requirements.
These commenters requested EPA to
remove the requirements under
§ 257.100(f)(1)(ii) and allow owners to
make the closure determination.
(c) Final Requirements
Consistent with the proposal, this
final rule provides that an
impoundment that contained CCR (and
liquids) on or after October 19, 2015 is
subject to this rule. This means that if
a facility closed a legacy CCR surface
impoundment by removal before
October 19, 2015, that site is not subject
to this final rule. However, the final rule
does not require such facilities to
demonstrate that these units were
closed ‘‘in accordance with the
performance standards in § 257.102(c).’’
Under § 257.102(c) closure is complete
when all CCR has been removed from
the CCR unit, any areas affected by
releases from the CCR unit have been
removed, and groundwater monitoring
concentrations do not exceed the
groundwater protection standard in
§ 257.95(h) for Appendix IV
constituents. The proposed rule
incorrectly stated that EPA was
proposing to impose a documentation
requirement on these facilities. That
statement was made in error; EPA did
not intend to propose such a
requirement. EPA did not propose to
require a facility to document that an
impoundment did not contain liquids
prior to October 19, 2015. Nor did the
2015 CCR Rule require any facilities to
document that they were not subject to
regulation. These facilities were never
subject to the exemption for inactive
impoundments at inactive facilities that
was vacated in the USWAG decision
and therefore should not be regulated as
part of EPA’s action to implement the
Court’s order. Accordingly—and
consistent with the 2015 CCR Rule—if
all CCR and liquids have been removed
from the impoundment prior to October
19, 2015, nothing further is required.
Under the definition in the final rule,
a facility that initiated closure by
removal prior to October 19, 2015, but
whose impoundment still contained
CCR and liquids on or after October 19,
2015 is considered a legacy CCR surface
impoundment and regulated under this
final rule, even if the facility has
removed all CCR prior to the effective
date of this final rule. Depending on
when the impoundment completes
closure, some individual requirements
may no longer be applicable to the
legacy CCR surface impoundment (e.g.,
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when the compliance date in the final
rule falls after the date closure is
completed for the impoundment); but as
EPA explained in the proposal, the
Agency has no basis for concluding that
all legacy CCR surface impoundments
that are still in the process of closing
pose no risk.
The final rule retains the provision
under which a facility with a CCR
surface impoundment that contained
CCR and liquids on October 19, 2015,
but that completed closure by removal
before the effective date of this rule,
would only be required to post
documentation on the facility’s CCR
website that it has met the standards in
§ 257.102(c) for that unit (i.e., the
certification of closure by removal for
legacy CCR surface impoundments). To
be eligible for the closure certification,
the facility must document that it meets
the criteria laid out in Unit III.B.2.b.iii.
Namely, the facility must demonstrate
that consistent with the existing
standards, all CCR has been removed
from the unit, any areas affected by
releases from the CCR unit have been
removed, and must have groundwater
monitoring data demonstrating that the
concentrations of each Appendix IV
constituent do not exceed the relevant
groundwater protection standard, which
would be either the MCL or background
concentration, for two consecutive
sampling events.
If a facility certifies all of the legacy
CCR surface impoundments on-site have
met the requirements in § 257.102(c) for
closure by removal before the effective
date of this rule, the facility would not
be subject to any further requirements
under this final rule (i.e., neither legacy
CCR surface impoundment
requirements or CCRMU requirements).
For similar reasons as explained
above, EPA cannot accept the
commenter’s suggestion that EPA
establish the same provision for
facilities that closed a legacy
impoundment prior to the effective date
of this final rule in accordance with
§ 257.102(d) (closure when leaving CCR
in place) and allow facilities to simply
demonstrate that the closure meets the
performance standards in § 257.102(d).
The commenters appear to be requesting
an exemption from post closure
groundwater monitoring and corrective
action requirements, but provided no
factual basis for such an exemption.
Nevertheless, as discussed in Unit
III.B.2.g.iii of this preamble, if a facility
can document that the closure of its unit
meets the performance standards in
§ 257.102(d), all that would be required
is compliance with the groundwater
monitoring requirements in §§ 257.90–
257.95, and any necessary corrective
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action throughout the post-closure care
period (in addition to recordkeeping
and posting).
The documentation requirements,
procedures, and compliance deadlines
for these various options are discussed
further in Unit III.B.2.g of this preamble.
EPA also disagrees with the
commenter that 75,000 tons is a de
minimis amount of CCR. The
commenter has misunderstood EPA’s
findings in 2015; EPA did not conclude
that quantities of CCR lower than 75,000
tons used as fill does not pose any risk
to human health or the environment.
Rather EPA concluded that, while the
agency has sufficient information to
document that unencapsulated uses can
present a hazard, based on the
rulemaking record EPA lacked the
information necessary to demonstrate
that unencapsulated uses in amounts
lower than 12,400 tons are likely to
present a risk. 80 FR 21352. In any
event, as discussed in Unit III.A.4,
recent EPA modeling demonstrates that
far lower quantities of CCR (1,000 tons)
can pose significant risks to human
health and the environment.
In the 2015 CCR Rule, EPA provided
guidance on which impoundments
would not meet the definition of a CCR
impoundment because they generally do
not contain significant levels of CCR. 80
FR 21357. Specifically, EPA explained
that CCR surface impoundments do not
include units generally referred to as
cooling water ponds, process water
ponds, wastewater treatment ponds,
storm water holding ponds, or aeration
ponds. These units do not meet the
definition of a CCR surface
impoundment, that is, they are not
designed to hold an accumulation of
CCR and treatment storage or disposal of
accumulated CCR does not occur in
these units. Accordingly, EPA considers
that such units would also not be legacy
impoundments. EPA acknowledges that
it mistakenly referred to one of these
units as a CCR surface impoundment in
the proposal, but that was an error.
c. Legacy CCR Surface Impoundment—
Requirement To Be Located at an
‘‘Inactive Facility’’
EPA proposed to define an ‘‘inactive
facility’’ (or inactive electric utility or
independent power producer) as one
that ceased producing electricity prior
to October 19, 2015, which is the
effective date of the 2015 CCR Rule.
EPA explained that this date is also the
same date currently used in the
regulation to define ‘‘active facility’’
under § 257.53, and that EPA originally
used this date to define the exempted
inactive units in the 2015 CCR Rule.
The proposal further explained that use
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of this date would mean that the same
universe of units that were subject to the
original exemption would be regulated
and that this is consistent with the
Court’s vacatur, as vacatur is intended
to restore the status quo ante, as though
the vacated provision never existed. 88
FR 31994, 32034.
Commenters supported October 19,
2015, as the operative date to be used
in the definition of an inactive facility
because any other date would be
inconsistent with the existing definition
of an ‘‘active facility.’’ However, many
commenters opposed the proposed
substitution of the phrase ‘‘regardless of
the fuel currently used to produce
electricity’’ with ‘‘regardless of how
electricity is currently being produced
at the facility.’’ According to these
commenters, the existing definition of
‘‘active facility’’ does not extend to
facilities that do not use fuel, including,
for example, facilities that produce solar
power, because the plain language of
§ 257.50(c) makes clear that, to be
active, a facility must use a fuel to
produce electricity. These commenters
cite two preamble statements in the
2015 CCR Rule to support their
allegation. The first is the applicability
section of 2015 CCR Rule, which only
references the NAICS 221112 (Fossil
Fuel Power Generation). These
commenters speculate that if EPA had
intended for the term ‘‘active facility’’ to
extend to facilities that do not use fuel
to produce electricity, EPA would have
included other NAICS codes. The
second statement appears in the
executive summary and explains that
the rule applies to:
Certain inactive CCR surface impoundments
(i.e., units not receiving CCR after the
effective date of the rule) at active electric
utilities or independent power producers’
facilities, regardless of the fuel currently used
at the facility to produce electricity (e.g.,
coal, natural gas, oil), if the CCR unit still
contains CCR and liquids.
80 FR 21303.
The commenters contended that
EPA’s proposal represents a significant
change that will subject renewable
generation to the CCR regulations (e.g.,
a former coal-fired power plant that was
retired, closed and dismantled well in
advance of the 2015 CCR Rule that had
new renewable generation built at the
facility), creating strong disincentives to
renewable repowering at those sites.
These commenters further added that
such a change in position requires EPA
to take reliance interests into account.
To address this, the commenters made
two suggestions. The first was that EPA
should establish an exemption from
regulation for inactive facilities that
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generate 50 megawatt (MW) or less to
the grid (all from renewable energy).
The 50 MW threshold is consistent with
the small generating units subcategory
under the Federal effluent limitations
guidelines and standards (ELG)
regulations.56 In addition, the
commenters believed that this would
also account for sites that have utilized
renewable energy (e.g., solar panels) for
the primary purpose of powering the
remaining infrastructure, but may
potentially supply very limited amounts
to the grid on occasion.
The second suggestion was that EPA
confirm that this is a prospective change
and provide a pathway for compliance
for facilities that would be newly
subject to the CCR Rule. According to
those facilities relied in good faith on
the explanatory statements in the 2015
CCR Rule preamble and the plain
meaning of the term ‘‘fuel,’’ believed
they were inactive facilities and did not
have units subject to requirements of the
CCR Rule, and accordingly should be
allotted a separate new compliance
timeframe.
EPA disagrees that the phrase
‘‘regardless of the fuel currently used to
produce electricity’’ under § 257.50(c)
indicates that EPA meant to limit the
rule to facilities that combust fossil
fuels. As EPA stated in the proposed
rule, the definition of an active facility
at § 257.53 does not include any
limitation related to how the facility
generates electricity. The clause,
‘‘regardless of the fuel currently used to
produce electricity’’ in § 257.50(c) does
not limit coverage only to facilities that
use fuel to generate electricity. The
plain language of the clause actually
states the opposite; that coverage
applies without regard to the fuel used
to produce electricity. Or in other
words, without regard to the type of fuel
used or indeed whether any fuel is used
to produce electricity.
EPA also disagrees that either of the
cited preamble statements demonstrate
a contrary intent. As the commenters
themselves acknowledge, the discussion
of affected entities expressly states that
it ‘‘may not be exhaustive; other types
of entities not listed could also be
affected.’’ 80 FR 21302. In addition, EPA
expressly stated that ‘‘[t]o determine
whether your facility, company,
business, organization, etc., is affected
by this action, you should refer to the
applicability criteria discussed in Unit
VI.A of this document.’’ Id. Similarly,
the parenthetical description ‘‘(e.g.,
coal, natural gas, oil)’’ uses the
abbreviation e.g., which indicates that it
is not comprehensive.
56 80
FR 67838 (November 3, 2015).
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Consequently, EPA disagrees that
facilities have any reliance interest in a
less expansive definition. Generally, a
reliance interest may be implicated if an
agency issues a policy, a party takes an
action based on that policy, and the
agency subsequently changes its policy.
DHS v. Regents of the Univ. of Cal., 140
S. Ct. 1891, 1913 (2020). Here, EPA
never changed its position, and there
can be no legitimate reliance on a nonexistent past position.
Even if the regulatory amendment
reflected a changed in policy, EPA
issued a proposal and solicited
comment from affected entities on the
substance of the policy that would be in
place in the final action. The
commenters had an opportunity to
provide EPA with information detailing
their reliance interests, although they
failed to do more than allege that they
had reliance interests in remaining
exempt. EPA has explained why,
notwithstanding those interests, the
agency believes that this is the better
policy. No more is required. DHS v.
Regents of the Univ. of Cal., supra at
1913.
Nevertheless, EPA is sensitive to not
creating disincentives to renewable
repowering at those sites. In addition,
EPA acknowledges that although
commenters’ interpretation is not the
best reading of the provision, it is a
plausible one. Accordingly, EPA has
adopted the commenters’ suggestion
that the Agency provide a pathway to
compliance for facilities that believed
they were inactive facilities and did not
have units subject to the requirements of
the 2015 CCR Rule. This final rule
provides that facilities producing
electricity through renewables (i.e., nonfuels) are subject to the same applicable
compliance deadlines for these units.
See § 257.100(a)(1).
EPA is rejecting the commenters’
suggestion that EPA exempt inactive
facilities that generate 50 megawatt
(MW) or less to the grid. This is because
an exemption for small generating units
based on current operations, such as
renewable generation with a capacity of
50 MW or less, do not necessarily
correlate to the current risks resulting
from past coal-fired generation
operations.
d. Innocent Owners
EPA proposed not to establish an
‘‘innocent owner’’ provision in the CCR
regulations, in part because EPA had no
factual basis to establish one. 88 FR
31994–95. The Agency received
comments both opposing and
supporting such a provision. Most
commenters opposed the inclusion of an
innocent owner provision in the final
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39001
rule. Some of these stated that there is
no statutory basis for uniformly
excluding existing owners and operators
from any RCRA regulations applicable
to legacy impoundments. According to
these commenters, the concept of an
‘‘innocent owner’’ does not apply to
legacy impoundments because only the
owner of the regulated unit can fulfill
obligations involving affirmative
regulatory controls.
Other commenters stated that relevant
parties may allocate liability among
themselves through various agreements
and arrangements. These commenters
explained that liability should not be
rigidly limited only to the current
owner, that liability should honor
existing agreements (e.g., purchase and
sale agreement), and that it may be
appropriate under some circumstances
for shared responsibility between the
current owner and the utility. Another
commenter stated that each of the
utilities and each transferee should
remain responsible for rule compliance
regardless of how responsibility is
currently allocated.
Other commenters supported
adoption of an innocent owner
provision in the regulations. These
commenters claimed that EPA is
responsible for creating a new class of
innocent owner when it changed the
2015 CCR regulations. Consequently,
these commenters urged EPA to develop
an innocent landowner provision that
would allow both the utilities and
developers to come to a mutual
agreement as to who has the
environmental and financial
responsibility of these newly regulated
units. Finally, another commenter
suggested EPA take time to evaluate the
different types of innocent property
owners and then consider adding an
innocent owner provision to the
regulations.
EPA has not included an innocent
owner provision in the final rule. EPA
explained in the proposal that its
analysis of inactive facilities found that
most inactive facilities are owned by
companies that are already regulated by
the CCR regulations. The analysis
presented in the proposed rule
indicated that approximately 80% of
potential legacy impoundments (i.e.,
126 of the 156 identified potential units)
are owned by companies the Agency
knows as already having units subject to
the CCR regulations. 88 FR 31994. As a
consequence, EPA proposed it had no
factual basis to establish an innocent
owner provision. 88 FR 31995. EPA has
updated the ownership analysis based
on an updated list of potential legacy
impoundments. The revised analysis
continues to indicate that most inactive
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facilities are owned by companies that
are already regulated by the CCR
regulations. The 194 potential legacy
impoundments identified in the final
rule are associated with 52 different
unique corporate parents. Of the 194
impoundments, 142 units (or 73%), are
owned by 28 companies the Agency
knows own facilities currently subject to
the CCR regulations. The remaining 52
impoundments are owned by 24
different companies, with each
company generally having just one
location/site with legacy CCR surface
impoundments (with two exceptions,
that each own two sites).
EPA is also aware of a number of
instances in which parties have
allocated liability among themselves
through various agreements and
arrangements. EPA infers from this that
an innocent landowner provision is not
necessary to allow utilities and
developers to come to a mutual
agreement on how best to allocate
environmental and financial
responsibility. EPA has no interest in
taking actions that could potentially
inhibit or interfere with these private
arrangements. For all these reasons EPA
continues to believe that an innocent
owner provision is not currently needed
and has not included such a provision
in the final rule.
2. Applicable Requirements for Legacy
CCR Surface Impoundments and
Compliance Deadlines
This Unit of the preamble first
provides a general overview of how EPA
determined the applicable requirements
and compliance deadlines for legacy
CCR surface impoundments. Then, EPA
discusses each of the existing
requirements for CCR surface
impoundments and explains: (1) Why
EPA is (or is not) applying them to
legacy CCR surface impoundments; and
(2) The rationale for the compliance
deadline EPA is finalizing for each
requirement.
a. General Overview
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i. Applicable Requirements for Legacy
CCR Surface Impoundments
EPA proposed to apply all of the
existing requirements in 40 CFR part
257, subpart D that are currently
applicable to inactive CCR surface
impoundments to legacy CCR surface
impoundments, except for the location
restrictions at §§ 257.60 through 257.64,
and the liner design criteria at § 257.71.
EPA also proposed one revision to the
existing groundwater monitoring
requirements and three new
requirements specific to legacy CCR
surface impoundments: a reporting
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requirement; a new security
requirement to restrict public access to
these sites; and a closure certification.
As explained in the proposed rule, EPA
proposed to exclude the location
restrictions and the liner design criteria
requirements because EPA believed they
would not be necessary if EPA took final
action on the proposed requirement that
all legacy CCR surface impoundments
initiate closure no later than 12 months
after the effective date of the final rule.
Furthermore, the proposed rule
explained that the record for the 2015
CCR Rule demonstrated that ‘‘there is
little difference between the potential
risks of an active and inactive surface
impoundment; both can leak into
groundwater, and both are subject to
structural failures that release the
wastes into the environment, including
catastrophic failures leading to massive
releases that threaten both human
health and the environment.’’ 80 FR
21343. As discussed in Unit II.B of this
preamble, the D.C. Circuit came to the
same conclusion, and on that basis,
vacated the exemption for legacy CCR
surface impoundments. See, USWAG at
901 F.3d at 434. Based on the record,
EPA considered that it has limited
discretion to establish requirements for
legacy CCR surface impoundments that
are significantly different than those
currently applicable to inactive CCR
impoundments. This is also consistent
with how the USWAG court viewed the
2015 record. Accordingly, EPA
proposed that in most cases the existing
requirements in 40 CFR part 257,
subpart D applicable to inactive CCR
surface impoundments would apply to
legacy CCR surface impoundments.
EPA received numerous comments on
the proposed rule regarding the
requirements applicable to legacy CCR
surface impoundments. Several
commenters generally supported the
regulatory approach, although some
suggested that legacy CCR surface
impoundments be subject to all the
existing CCR regulations, including the
location restrictions at §§ 257.60
through 257.64 and the liner design
criteria at § 257.71. Other commenters
stated that the inspections at § 257.83
were only relevant for operating CCR
units and therefore should not be
applied to legacy CCR surface
impoundments. A few commenters
suggested EPA create additional
requirements for legacy CCR surface
impoundments such as zero discharge
limits, new reporting requirements,
financial assurance measures, and
beneficial reuse restrictions. Other
commenters suggested that EPA revise
the existing requirements applicable to
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inactive impoundments, including by
adding requirements to the fugitive
dust, closure, and post-closure care
requirements; further revising the
groundwater monitoring requirements
to ban intrawell data comparisons;
mandating closure by removal; and
using a risk-based approach for
corrective action and closure
requirements.
EPA still considers that based on the
record (as described in III.A of this
preamble), EPA has limited discretion to
establish requirements for legacy CCR
surface impoundments that are
significantly different than those
currently applicable to inactive CCR
impoundments. For that reason and
those laid out in the preamble of the
proposed rule, EPA did not adopt any
of the new requirements, such as zero
discharge limits, new reporting
requirements, financial assurance
measures, or new beneficial use
restrictions suggested by commenters.
The final rule contains only one
additional revision of the existing
requirements for inactive CCR surface
impoundments beyond the four
included in the proposed rule: the
deferral to permitting of certain closure
activities. The rationale for the final
requirements is detailed in subsequent
sections in this Unit.
For the reasons detailed in the
proposed rule, except for certain legacy
impoundments, EPA is finalizing the
requirement for legacy CCR surface
impoundments to comply with the
existing regulations in 40 CFR part 257,
subpart D applicable to inactive CCR
surface impoundments except for the
location restrictions at §§ 257.60
through 257.64, and the liner design
criteria at § 257.71. EPA is also
finalizing the revision to the existing
groundwater monitoring requirements,
combining detection and assessment
monitoring for legacy CCR surface
impoundments and the two new
requirements specific to legacy CCR
surface impoundments: the applicability
documentation (§ 257.100(f)(1)(i)) and
the site security requirement
(§ 257.100(f)(3)(iii)).
The final rule also establishes a
tailored subset of requirements
applicable to legacy CCR surface
impoundments that were closed prior to
the effective date of this rule, including
those impoundments whose closures
qualify for deferral because they were
conducted in accordance with
substantially equivalent State or Federal
requirements. See Unit III.B.2.g.iii.(b) of
this preamble for further discussion of
the deferral.
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(a) Applicable Requirements for Legacy
CCR Surface Impoundments Closed by
Removal
EPA is finalizing a tailored subset
requirements for legacy CCR surface
impoundments that have completed
closure by removal before the effective
date of this final rule but are not able
to complete the certification of closure
by removal (see, Unit III.B.2.b.iii). For
the reasons detailed in this Unit and in
the following Units of the preamble
(Units III.B.2.b–III.B.2.h), the owner or
operator of such units must comply
with the following requirements: the
applicability report, installation of a
permanent marker, all groundwater
monitoring and corrective action
(including combined detection
monitoring and assessment monitoring),
recordkeeping, notification, and website
posting. In addition, if a CCRMU is
discovered onsite during the course of
complying with the Facility Evaluation
Report (FER), the owner or operator of
these units must develop a fugitive dust
control plan (see Unit III.C.3).
While EPA acknowledges that these
closed units are unlikely to have any
ongoing activities that would create
fugitive dust, EPA determined that
requiring these units to comply with the
fugitive dust requirement was
appropriate because these units are
subject to the CCRMU requirements and
there is a reasonable likelihood that CCR
fugitive dust would be generated as part
of the actions required to comply with
those requirements (e.g., field work to
determine the presence or absence of
CCRMU, CCRMU closure). As such, if a
CCRMU is discovered onsite of a facility
with a legacy CCR surface
impoundment that has closed by
removal, the owner or operator must
complete a fugitive dust plan no later
than six months after the FER is due
(i.e., no later than 33 months after
becoming subject to these
requirements).
EPA determined that the site security
requirements applicable to other legacy
CCR surface impoundments would not
be relevant for this subset of units as the
CCR has been removed from the unit
and the land may be being used for
another purpose (e.g., nature preserve,
agricultural land, redevelopment).
However, EPA expects legacy CCR
surface impoundments that closed by
removal to protect the monitoring
equipment and monitoring wells,
similar to other legacy CCR surface
impoundments.
EPA is also not requiring these units
to comply with any other design criteria
or operating criteria, aside from the
installation of the permanent marker
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and the fugitive dust requirements, as
noted above. EPA has determined that
the other design and operating criteria
are not applicable to units that have
closed by removal and therefore no
longer contain CCR in the unit on the
effective date of this final rule. For
example, the requirement to prepare
and maintain an EAP is not relevant
when CCR is no longer present in the
unit nor is the requirement to conduct
weekly inspections of the legacy
impoundment.
(b) Applicable Requirements for Legacy
CCR Surface Impoundments That
Closed With Waste in Place
EPA is finalizing a tailored subset of
requirements for legacy CCR surface
impoundments that, by the effective
date of this final rule, have completed:
(1) closure with waste in place or (2) a
closure eligible for deferral to permitting
as described in Unit III.2.g.iii(b). For the
reasons detailed in this Unit and in the
following sections (Units III.B.2.b–
III.B.2.h), the owner or operator of such
units must comply with the following
requirements: applicability report, site
security, installation of the permanent
marker, history of construction, fugitive
dust control plan, annual fugitive dust
control report, all groundwater
monitoring and corrective action
(including combined detection
monitoring and assessment monitoring),
written post-closure care plan, postclosure care, recordkeeping,
notification, and website posting. In
addition, the final rule requires the
facility to provide information on the
completed closure of the legacy CCR
surface impoundment, along with
supporting documentation to
demonstrate that the closure meets the
performance standards in § 257.102(d)
or the standards specified in
§ 257.101(g).
While EPA acknowledges that these
closed units are unlikely to have any
ongoing activity that would create
fugitive dust, EPA determined that
requiring these units to comply with the
fugitive dust requirement was
appropriate because these units are
subject to the CCRMU requirements and
there is a reasonable likelihood that CCR
fugitive dust would be generated as part
of the actions required to comply with
those requirements (e.g., field work to
determine the presence or absence of
CCRMU, CCRMU closure). As such, if a
CCRMU is discovered onsite of a facility
with a legacy CCR surface
impoundment that has closed by
removal, the owner or operator must
complete a fugitive dust plan no later
than six months after the FER is due
(i.e., no later than 33 months after
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becoming subject to these
requirements).
EPA is also finalizing the requirement
for this subset of legacy CCR surface
impoundments to comply with the site
security requirements applicable to
other legacy CCR surface
impoundments. EPA determined that
the site security requirements are
needed to minimize the potential for the
unauthorized entry of people or animals
to disturb the final cover system, as
these units are unlikely to be monitored.
EPA also expects facilities that closed
legacy CCR surface impoundments with
waste in place to protect the monitoring
equipment and monitoring wells,
similar to other legacy CCR surface
impoundments.
This final rule also requires the
owners and operators of these units to
complete the history of construction in
accordance with § 257.73(c). The history
of construction provides information
regarding the original site conditions, as
well as the unit’s original design and
construction, such as cross sections of
the length and width of the CCR unit.
It would also include information on
subsequent revisions, such as the design
and construction of any lateral
expansions. This information is relevant
to designing (and evaluating) the
groundwater monitoring system, unit
closures, and corrective actions. For
example, the history of construction
would normally include the elevations
of the unit base and the CCR in the unit
(i.e., the ground elevation contours
within the footprint prior to unit
construction); this information, in
conjunction with the site
characterization developed under
§ 257.90 to design the groundwater
monitoring system can be used to
determine whether the unit intersects
with the groundwater (i.e., the unit’s
ability to sufficiently contain CCR and
contaminants that may leach from CCR).
This information remains relevant in
evaluating closure, when addressing any
contamination coming from the unit,
and throughout the post-closure care
period. Therefore, EPA is requiring this
subset of legacy CCR surface
impoundments to comply with the
history of construction requirement.
EPA has determined that the other
design and operating criteria (all those
besides the permanent marker, site
security, history of construction, and
fugitive dust requirements) are not
applicable to units that have completed
closure in accordance with § 257.102(d)
by the effective date of this final rule.
For example, the requirement to prepare
an inflow design flood control system
plan is not relevant for units that have
installed a final cover system, as post-
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closure care requires a final cover
system to be maintained and
groundwater monitoring to continue.
Additionally, periodic assessments,
such as the hazard potential
classification assessment and the
structural stability assessments, are
intended to address risks from unclosed
unit and therefore, consistent with the
requirements for units that have
completed closure under the 2015 CCR
Rule, are not applicable to units that
have closed with waste in place.
ii. Compliance Deadlines for Legacy
CCR Surface Impoundments
EPA proposed to establish new
compliance dates for legacy CCR surface
impoundments. The proposed rule
explained that the 2015 CCR Rule
compliance deadlines were based on the
amount of time determined to be
necessary to implement the
requirements and the proposed
compliance dates for legacy CCR surface
impoundments were determined using
the same approach. The proposed rule
further explained that some factors
considered in determining the 2015 CCR
Rule compliance deadlines were not
relevant for legacy CCR surface
impoundments, such as the need
coordinate compliance deadlines with
the then recently promulgated ELG rule.
In addition, EPA anticipated most
facilities would already be familiar with
the existing regulations, and therefore
the proposed requirements for legacy
CCR surface impoundments, and fewer
facilities and units would need to come
into compliance, as compared to the
2015 CCR Rule. Consequently, EPA
proposed generally expedited deadlines
based on the expected shortest average
amount of time needed to complete the
necessary activities to meet the
requirements. In the proposed rule, EPA
requested comment on the proposed
compliance deadlines and the feasibility
to meet the proposed compliance
timeframes for legacy CCR surface
impoundments.
EPA received numerous comments
regarding the proposed compliance
deadlines. Several commenters
expressed support for the proposed
compliance deadlines for legacy CCR
surface impoundments. Generally, these
commenters stated that expedited
compliance was appropriate due to the
increased risk posed by these units, the
likelihood that these units are actively
contaminating groundwater, and the
urgent need for corrective action to
address that contamination for the
protection of human health and the
environment. Some of these
commenters echoed the proposed rule,
stating that owner’s or operator’s
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familiarity with the existing
requirements, along with the fact that
these units are no longer in use and
therefore would not need time to cease
receipt of waste, further justified the
expedited deadlines.
Many other commenters stated the
proposed compliance deadlines were
infeasible and should, at a minimum,
allow as much time for compliance as
the 2015 CCR Rule deadlines, although
several commenters expressed that even
the 2015 CCR Rule deadlines were
inadequate, and that the insufficient
timeframes were likely a factor in the
gap between EPA’s expectations and
facilities’ good faith efforts and
utilization of best practices in
developing groundwater monitoring
networks, sampling and analysis plans,
corrective action programs, and closure
plans. Commenters pointed to several
factors that they believed EPA did not
fully incorporate into the proposed
deadline calculations that make
compliance with the proposed
deadlines infeasible: the large number of
CCR units (i.e., existing CCR units,
legacy CCR surface impoundments,
CCRMU) competing for limited
resources to meet overlapping
compliance deadlines; the limited
number of qualified contractors
available to conduct necessary activities
to reach the compliance deadlines; the
nationwide labor shortage exacerbated
by impacts from the COVID–19
pandemic; limited existing alternative
disposal options; overlapping regulatory
requirements (e.g., State drilling
permits, timing restrictions related to
protected habitats, State CCR permits,
Consent Decrees/Orders); seasonality
impacts in different regions across the
nation; and accessibility and
completeness, or lack thereof, of
historical documentation and
information. One commenter provided
specific information regarding typical
delays experienced during the
implementation of the 2015 CCR Rule
caused by third-party availability and
backlogs: two to four weeks for
contractor mobilization; two to six
weeks for site clearing; two to three
weeks for surveys; three to 12 weeks for
environmental drillers; and three to four
weeks for laboratory analyses. These
commenters also said EPA grossly
underestimated the amount of time
needed to hire a contractor, locate and
review historical information, access a
legacy CCR surface impoundment site,
characterize and delineate a site,
comply with the groundwater
monitoring requirements, and conduct
quality control or quality assurance on
data and reports. Several of these
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commenters expressed the belief that
the proposed deadlines would result in
unintentional non-compliance despite
facilities’ best efforts to comply due to
the constraints listed above. Finally, a
few commenters suggested EPA create
alternative deadlines or mechanisms for
extensions based on site-specific
characteristics.
In response to comments, EPA
reevaluated the compliance deadlines
for legacy CCR surface impoundments.
EPA reconsidered the impact of the
following on the amount of time
facilities needed to complete the
activities involved in meeting the
requirements: accessibility and
abundance, or lack thereof, of historical
documentation; seasonality; clearing
restrictions and required local and State
approvals to clear vegetation or drill
wells; existing disposal options; impact
of the national labor shortage and
contractor and laboratory backlogs; and
overlapping compliance deadlines for
CCRMU, existing units (i.e.,
groundwater monitoring, closure, and
post-closure care), and legacy CCR
surface impoundments. Overall, EPA
found the information provided
regarding the infeasibility of the
proposed deadlines convincing.
Specifically, EPA agrees that the
shortage of qualified contractors and
laboratory resources has persisted, if not
increased, since the 2015 CCR Rule and
that the increasing demand on these
finite resources from new and existing
CCR units, legacy CCR surface
impoundments, and CCRMU complying
with overlapping requirement deadlines
will likely increase the time needed to
come into compliance. EPA
acknowledges that the proposed
deadlines did not adequately account
for those nationwide impacts of
seasonality and extreme weather events;
necessary coordination with outside
parties (e.g., State agencies, local
governments); locating disposal capacity
for those units closing by removal; the
need to comply with overlapping
regulatory requirements, such as State
drilling permits or timing restrictions
related to protected habitats; or
necessary quality assurance and quality
control in calculating the proposed
deadlines. Therefore, as detailed in
Units III.B.2.b through h, EPA extended
the deadlines for legacy CCR surface
impoundments to provide at least as
much time facilities had to come into
compliance with the 2015 CCR Rule. In
some cases, EPA extended the deadlines
for legacy CCR surface impoundments
even further to mitigate factors
mentioned by commenters that
convinced EPA the 2015 compliance
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deadlines would be infeasible for legacy
impoundments. Overall, most of the
comments EPA received supported
deadlines that allowed at least as much
time as EPA originally provided in the
2015 CCR Rule. While some units
regulated by the 2015 CCR Rule were
able to come into compliance before the
2015 deadlines, the majority of units
used all the time allowed by the 2015
CCR Rule.
Note that all deadlines herein are
framed by reference to the effective date
of the rule; the final rule will be
effective six months after publication of
the final rule. Accordingly, facilities
will have an additional six months
beyond the deadlines to come into
compliance. The Agency has included a
document in the docket for this rule that
summarizes the finalized compliance
deadlines.57
TABLE 1—FINAL COMPLIANCE TIME FRAMES FOR LEGACY CCR SURFACE IMPOUNDMENTS
40 CFR Part 257, Subpart D
requirement
Description of requirement to be
completed
Applicability Report (§ 257.100) .....
Internet Posting (§ 257.107) ..........
Site Security (§ 257.100(f)(3)(iii)) ...
Operating Criteria (§ 257.80) .........
Operating
Criteria
(§ 257.80,
257.82, 257.83).
Operating
Criteria
(§ 257.80,
257.82, 257.83).
Design Criteria (§ 257.73) ..............
Operating
Criteria
(§ 257.80,
257.82, 257.83).
Operating Criteria (§ 257.80) .........
Complete applicability report ........
Establish CCR website .................
Implement site security measures
Prepare fugitive dust control plan
Initiate weekly inspections of the
CCR unit.
Initiate monthly monitoring of
CCR unit instrumentation.
Install permanent marker ..............
Complete initial annual inspection
of the CCR unit.
Complete initial annual fugitive
dust report.
Compile history of construction ....
Complete initial hazard potential
classification assessment.
Complete initial structural stability
assessment.
Complete initial safety factor assessment.
Prepare emergency action plan ...
Complete initial inflow design
flood control system plan.
Install the groundwater monitoring
system, develop the groundwater sampling and analysis
program, initiate the detection
monitoring and assessment
monitoring. Begin evaluating
the groundwater monitoring
data for SSIs over background
levels and SSLs over GWPS.
Complete initial annual GWMCA
report.
Prepare written closure plan ........
Prepare written post-closure care
plan.
Initiate closure ..............................
Design Criteria (§ 257.73) ..............
Design Criteria (§ 257.73) ..............
Design Criteria (§ 257.73) ..............
Design Criteria (§ 257.73) ..............
Design Criteria (§ 257.73) ..............
Operating Criteria (§ 257.82) .........
GWMCA (§§ 257.90–257.95) .........
GWMCA (§ 257.90(e)) ...................
Closure (§§ 257.100–257.101) ......
Post-Closure Care (§ 257.104) ......
Closure and Post-Closure Care
(§ 257.101).
b. New Requirements Specific to Legacy
CCR Surface Impoundments
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i. Applicability Report for Legacy CCR
Surface Impoundments
EPA proposed to require the owner or
operator of a legacy CCR surface
impoundment to prepare an
applicability report for any legacy CCR
surface impoundment at that facility no
later than the effective date of the final
rule. This requirement would apply to
all legacy CCR surface impoundments,
Deadline
(months after effective date of this
final rule)
0
0
0
0
0
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Date
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2024.
2024.
2024.
2024.
Friday, November 8, 2024.
2 ....................................................
3 ....................................................
Wednesday, January 8, 2025.
Monday, February, 10, 2025.
14 ..................................................
Thursday, January 8, 2026.
15 ..................................................
18 ..................................................
Monday, February 9, 2026.
Friday, May 8, 2026.
18 ..................................................
Friday, May 8, 2026.
18 ..................................................
Friday, May 8, 2026.
18 ..................................................
18 ..................................................
Friday, May 8, 2026.
Friday, May 8, 2026.
30 ..................................................
Monday, May 10, 2027.
January 31, 2027 ..........................
January 31, 2027.
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Monday, November 8, 2027.
Monday, November 8, 2027.
42 ..................................................
Monday, May 8, 2028.
including incised impoundments and
impoundments that do not meet the
height and storage volume cutoffs
specified in § 257.73(b). EPA proposed
that this applicability report would
include information to identify the unit,
delineate the unit boundaries, include a
figure of the facility and where the unit
is located at the facility, the size of the
unit, its proximity to surface water
bodies, and the current site conditions.
EPA also proposed that the applicability
report include the facility address,
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8,
8,
8,
8,
8,
0 ....................................................
latitude and longitude, and contact
information of the owner and/or
operator of the legacy CCR surface
impoundment with their business
phone number and email address. EPA
proposed that the report should
document whether the legacy CCR
surface impoundments are incised and
whether the units meet the height and
storage volume thresholds specified in
§ 257.73(b). EPA also proposed that the
owner or operator of the legacy CCR
surface impoundment notify the Agency
57 A document ‘‘Final Rule Compliance Deadlines
for Legacy CCR Surface Impoundments. April
2024.’’ is available in the docket for this action.
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after a legacy impoundment is identified
and the facility’s CCR website is
established, using the procedures
currently in § 257.107(a) via the
‘‘contact us’’ form on EPA’s CCR
website. 88 FR 31998.
EPA received a few comments on the
applicability report. Several
commenters said the deadline to
complete requirements of the
applicability report could not be
achieved. One commenter requested 24
months to complete the report. Another
commenter presented several clarifying
questions and said they could not
estimate a compliance deadline without
understanding these clarifications. This
commenter asked if EPA will allow
affected utilities to rely on information
previously submitted to State regulatory
authorities to satisfy the facility
description requirements; what does
EPA mean by the term ‘‘current site
conditions’’ in the context of facility site
descriptions; when EPA refers to
providing a site identification number
as previously provided to the State, is
this intended only to apply in States
that have achieved CCR Rule delegation,
or in all States in which there is some
level of State oversight over a legacy
CCR surface impoundment; and if EPA
can further determine what it considers
to be ‘‘reasonably and readily available
information’’ concerning history of
construction. The commenter
appreciates EPA’s recognition that most
of this information is likely ‘‘unknown
or lost to time,’’ but seeks additional
guidance on the scope of investigation
that should be conducted to meet the
‘‘reasonably and readily available’’
standard.
EPA believes that as part of the
applicability report, an owner or
operator of an inactive CCR facility can
include information previously
submitted to State regulatory authorities
to describe the facility conditions. If,
however, any changes have been made
since the owner or operator last
prepared that information or that
information does not address all the
issues inherent in an applicability
determination, then updated or
additional information should be
included. The current site conditions
should include, for example, when the
facility operated, when it ceased
generating electricity, the size of the
facility property, a visual description of
how the legacy impoundment looks on
the effective date of the final rule (e.g.,
ponded water, approximate size,
vegetation, incised), a description of any
nearby geological or hydrologic features
(i.e., rivers, lakes, streams, karst
topography), and any other relevant
information about the facility. The State
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identification number can be for a
previously issued solid waste, water, or
other permit under State program, but
does not have to be as part of an EPAapproved State CCR permit program.
EPA addressed the term ‘‘reasonably
and readily available’’ at 80 FR 21380,
‘‘[t]herefore, in this rule, EPA is using
the phrase ‘to the extent available’ and
clarifying that the term requires the
owner or operator to provide
information on the history of
construction only to the extent that such
information is reasonably and readily
available. EPA intends facilities to
provide relevant design and
construction information only if factual
documentation exists. EPA does not
expect owners or operators to generate
new information or provide anecdotal or
speculative information regarding the
CCR surface impoundment’s design and
construction history.’’
Based on the comments about the
infeasibility to complete the proposed
requirements by the effective date of the
final rule, EPA is not requiring that the
applicability report include the size of
the unit, its proximity to surface water
bodies, or delineation of the unit
boundaries. The size of the unit and
delineation of the unit boundaries will
be determined through the history of
construction and groundwater
monitoring requirements. Proximity to
surface water bodies is not required by
the 2015 CCR Rule, and EPA
determined it is not feasible to
determine the distance to surface water
bodies before the unit boundaries are
delineated, which would not be done by
the effective date of the final rule.
Therefore, EPA is not requiring
proximity to surface water bodies to be
completed in the applicability report.
Some commenters agreed with the
proposed requirements on the
applicability report and urged EPA to
require additional information,
including an EPA identification
number, determination and public
disclosure of whether legacy CCR
surface impoundments contained both
CCR and liquids, location and elevation
of any 100-year floodplain within one
mile, elevation and depth of CCR waste
in the impoundment, proximity to
public water supply wells or private
water wells within two miles, proximity
to wetlands, results of all environmental
sampling, and owner/operator
certification of the documentation. A
commenter also said the applicability
report should include a full
investigation including the use of
appropriate instrumentation to
determine water levels, a report
documenting the results certified by a
qualified professional engineer, and the
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publication of the report on a CCR
website.
EPA considered these comments and
decided not to require additional
information since the recommended
information would not be feasible to
collect by the effective date of the final
rule, especially given the limitations
discussed in Unit III.B.2.a.i of this
preamble. As stated previously,
commenters discussed how delineating
the unit boundaries and determining the
exact location of the legacy CCR surface
impoundment could not feasibly be
completed by the deadline.
EPA is finalizing with revisions the
proposed requirement for the owner or
operator of a legacy CCR surface
impoundment to prepare applicability
reports for all legacy CCR surface
impoundments at that facility no later
than the effective date of the final rule.
This requirement applies to all legacy
CCR surface impoundments, including
incised impoundments and
impoundments that do not meet the
height and storage volume cutoffs
specified in § 257.73(b). This is codified
in the regulatory text at
§ 257.100(f)(1)(i). The applicability
report must include information to
identify the unit, a figure of the facility
and where the unit is located at the
facility, and the current site conditions.
The applicability documentation must
also include the facility address,
latitude and longitude, and contact
information of the owner and/or
operator of the legacy CCR surface
impoundment with their phone number
and email address. EPA is also
finalizing the requirement that the
owner or operator of the legacy CCR
surface impoundment notify the Agency
of the establishment of the facility’s CCR
website using the procedures currently
in § 257.107(a) via the ‘‘contact us’’ form
on EPA’s CCR website.
Further, EPA is finalizing a
requirement that a certification of the
applicability report must be signed by
the owner or operator or an authorized
representative similar to the
certification that is required at
§ 257.102(e) and § 257.102(f) for existing
units undergoing closure. EPA proposed
this requirement in § 257.75(c) for the
FER and determined after reviewing the
comments that a similar requirement
should apply to the applicability report.
This requirement is codified in the
regulatory text at § 257.100(f)(1)(ii)(C).
For any legacy impoundments that
have completed closure by removal or
closure in place of the unit pursuant to
a State permit or order that meets the
requirements of § 257.101(g) prior to the
effective date of this final rule, EPA is
requiring the owner or operator to attach
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such documentation to the applicability
report required by § 257.100(f)(1) and
post this documentation to its CCR
website. This information will be
evaluated by EPA permitting authorities
at a future time to determine what
further action, if any, is needed with the
unit.
As discussed in Unit III.B.1.b.i.(b)(4)
of this preamble, EPA is establishing a
new definition of the phrase ‘‘contains
both CCR and liquids’’ in the final rule.
Under this definition CCR and liquids
are present in a CCR surface
impoundment except where the owner
or operator has demonstrated that free
liquids have been eliminated from the
unit consistent with the performance
standard in § 257.102(d)(2)(i). EPA
recognizes that some owners and
operators of inactive impoundments
may not currently have records to
demonstrate whether their inactive
impoundment contained both CCR and
liquids on or after October 19, 2015. In
such cases, one option would be for the
facility to conduct a field investigation
to assess whether free liquids are
currently present in the unit. To
facilitate such investigations, the final
rule establishes procedures to provide
owners or operators with additional
time to complete the legacy
impoundment applicability report,
should the owner or operator elect to
conduct a field inspection to assess the
unit for the presence or absence of free
liquids. See § 257.100(f)(1)(v). To be
clear, facilities are not required to
conduct field testing to determine
whether their unit is a legacy CCR
surface impoundment. If records are
available to allow the owner or operator
to make that determination, this final
rule does not require them to conduct
field testing to confirm that information.
However, to the extent facilities would
prefer to rely on field investigations to
supplement, or lieu of, a purely recordbased investigation this final rule
provides that option.
In order to obtain additional time to
complete the legacy impoundment
applicability report required under
§ 257.100(f)(1), an owner or operator
must prepare an ‘‘applicability
extension report’’ by the effective date
of the final rule. The extension report
consists of three parts. First, the
extension report must include general
identifying information about the
potential legacy impoundment,
including, the name associated with the
unit, the identification number of the
unit if one has been assigned by the
State, and information about the
location of the unit at the facility. This
information is same as the first three
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elements of the applicability report
under § 257.100(f)(1)(i)(A) through (C).
Second, the extension report must
include a statement by the owner or
operator that available information does
not provide a sufficient basis to
determine that the inactive
impoundment contained free liquids on
or after October 19, 2015. Owners or
operators that cannot make this
statement are not eligible for this
extension and must comply with the
applicable requirements for legacy
impoundments. For example, an owner
or operator who knows that the unit
currently contains liquids, or has aerial
photographs from 2018 showing that the
inactive impoundment contained
standing or free water would not be
eligible to make use of these extension
provisions because the unit contained
free liquids since October 19, 2015.
Finally, the extension report must
contain a written field investigation
workplan. The purpose of this plan is to
describe the approach the owner or
operator intends to follow to determine
whether the inactive impoundment
contains free liquids. The written field
investigation workplan must contain the
following elements:
• A detailed description of the
approach to characterize the physical,
topographic, geologic, hydrogeologic,
and hydraulic properties of the CCR in
the unit and native geologic materials
beneath and surrounding the unit, and
how those properties will be used to
investigate for the presence of free
liquids in the CCR unit.
• A detailed description of the
methods and tools that will be
employed to determine whether the
inactive impoundment contains free
liquids, the rationale for choosing these
methods and tools, and how these
methods and tools will be implemented,
and at what level of spatial resolution at
the CCR unit to identify and monitor the
presence of free liquids.
• A detailed description of how
groundwater elevations will be
determined, and at what level of spatial
resolution, in relation to the sides and
bottom of the CCR unit and how any
interaction of the groundwater table
with the CCR unit will be evaluated,
and at what level of spatial resolution.
• A plan for evaluating stormwater
flow over the surface of the unit,
stormwater drainage from the unit, and
stormwater infiltration into the unit and
how those processes may result in the
formation of free liquids in the CCR
unit. This plan must include a current
topographic map showing surface water
flow and any pertinent natural or manmade features present relevant to
PO 00000
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39007
stormwater drainage, infiltration and
related processes.
• An estimated timeline to complete
the workplan and make a determination
if the CCR unit contains free liquids.
• A narrative discussion of how the
results from implementing the workplan
will determine whether the unit
contains free liquids specified.
• A narrative discussion describing
any anticipated problems that may be
encountered during implementation of
the workplan and what actions will be
taken to resolve the problems, and
anticipated timeframes necessary for
such a contingency.
The final rule allows an owner to
operator to obtain as many as three 6month extensions (or 18 months from
the effective date of the final rule) to
complete the field investigation. Each
six-month time extension must be
supported by an updated extension
report to justify the need for additional
time. If the owner or operator needs
either of the additional 6-month
extensions, the subsequent extension
report must be prepared no later than
six months after completing the
preceding extension report. Each
prepared extension report must be
placed in the facility’s operating record
as required § 257.105(k)(2) and posted to
the owner or operator’s CCR website.
Once the owner or operator
determines that an inactive
impoundment contains CCR and liquids
the applicability report required by
§ 257.100(f)(1) must be completed
within 14 days of the determination.
EPA believes 14 days is a sufficient
amount of time to complete the
applicability report because the
information will be known to owners or
operators at this point. Following
preparation of the applicability report,
the inactive impoundment is subject to
the requirements for legacy
impoundments under § 257.100(f)(2)
through (5), but with compliance
deadlines adjusted by the length of the
extension. These new timeframes are
calculated on a unit-by-unit basis
because the date the applicability report
was prepared can vary by unit.
This following example illustrates
how the new compliance timeframes are
calculated for one of the design criteria
for legacy impoundments. Section
257.100(f)(2)(i) requires that the
permanent identification marker must
be placed on or immediately adjacent to
the legacy impoundment no later than 2
months after the effective date of the
rule. If the owner or operator determines
10.5 months after the effective date of
the rule that free liquids are present in
the inactive impoundment, the owner or
operator must prepare the legacy
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impoundment applicability report with
14 days of that date. The new deadline
for the owner or operator to install the
permanent marker is 11 months after the
original deadline (or in this case, 13
months from the effective date of the
final rule (2+ 10.5 + 0.5 months)).
Finally, if the owner or operator
determines that the unit does not
contain liquids, the owner or operator
must prepare a notification stating that
the field investigation has concluded
and that the owner or operator has
determined that the inactive
impoundment does not contain CCR
and liquids. This notification informs
the public, States and EPA that the unit
is not a legacy CCR surface
impoundment. The final rule also
provides that if the owner or operator
does not complete the field
investigation work within the
timeframes specified in
§ 257.100(f)(1)(iv)(B), the inactive
impoundment shall be considered a
legacy CCR surface impoundment and
must comply with all applicable
requirements under the new timeframes
specified under § 257.100(f)(1)(iv)(E).
ii. Site Security for Legacy CCR Surface
Impoundments
Active facilities generally have guards
and fencing to control access to the
facility, but inactive CCR facilities may
not have such security controls in place
at the facility. To minimize that risk,
EPA proposed that owners or operators
establish security controls to restrict
access to legacy CCR surface
impoundments. The proposed security
requirements are written in terms of a
performance standard, as opposed to a
prescriptive set of technical standards,
such as specific signage, barriers and
fencing, or surveillance techniques. EPA
chose this approach because it would
allow the owner or operator to identify
the most appropriate means of
providing site security for the
impoundment based on site-specific
circumstances.
Commenters generally supported
performance-based site security
measures rather than having EPA
prescribe specific technical standards.
Some commenters agreed that such
requirements are necessary because
legacy CCR impoundments are located
at inactive power plants, and unlike
impoundments at operating power
plants, they almost certainly lack the
oversight and protection afforded by
significant numbers of on-site
personnel. These commenters stated
that the integrity of impoundments and
berms and the safety of nearby residents
depend on robust security measures to
ensure that people are not—whether
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intentionally or unknowingly—entering
the site and taking actions (such as allterrain vehicle driving, dirt biking, or
similar activities) that endanger the
integrity of the impoundment or expose
trespassers to health risks. Some
commenters added that EPA should
consider that some sites may not need
security measures, for example, sites
with closed legacy impoundments that
closed under State programs, especially
where CCR have been removed. EPA did
not receive comments about the
deadline to complete the site security
requirements and is therefore finalizing
as proposed.
EPA is adopting the proposed site
security performance standard without
revision from the proposal. Accordingly,
the site security performance standard
in the final rule requires the owner or
operator to prevent the unknowing entry
of people onto the legacy CCR surface
impoundment and to minimize the
potential for the unauthorized entry of
people or livestock onto the
impoundment. This is codified in the
regulatory text in § 257.100(f)(3)(ii). The
Agency generally modeled the
requirements on the existing regulations
that apply to interim status hazardous
waste surface impoundments, which are
codified at § 265.14(a). EPA recognizes
that some facilities may already have
facility-wide access controls in place,
and in this case, the facility-wide
controls would satisfy the requirement
to limit public access to the legacy CCR
surface impoundment. The Agency is
finalizing the requirement for the
facility to restrict access to the area
containing the legacy CCR surface
impoundment no later than the effective
date of the final rule.
iii. Certification of Closure by Removal
for Legacy CCR Surface Impoundments
EPA proposed that legacy CCR surface
impoundments that completed closure
by removal of CCR in accordance with
the performance standards in
§ 257.102(c) after October 19, 2015, but
before the effective date of the final rule
would be subject to no further
requirements under 40 CFR part 257,
subpart D, provided the owner or
operator completed certain actions.58 88
FR 31998 and proposed
§ 257.100(f)(1)(ii). Specifically, EPA
proposed that the owner or operator
would be required to post
documentation on their CCR website
showing that the legacy impoundment
was closed in accordance with the
58 These impoundments contained both CCR and
liquids on or after October 19, 2015, and
subsequently completed closure of the
impoundment before the effective date of this final
rule.
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closure by removal standards in
§ 257.102(c). EPA further proposed to
require that the closure certification be
certified by a qualified P.E. Finally, EPA
proposed to require that the certified
demonstration be completed and placed
in the operating record no later than the
effective date of this final rule.
A number of commenters requested
that EPA expand the certification to
cover all State-approved closures by
removal—including those in which all
CCR was removed from the unit or site,
but the State approved the closure
without requiring any groundwater
monitoring. The only factual basis these
commenters offered to support their
request was that EPA should rely on the
State’s determination that the closure
was protective.
Other commenters raised concern that
the information needed to support a
certification may not be readily
available, and as a consequence these
units would be subject to all of the other
requirements of the final rule, including
groundwater monitoring, preparation of
plans, filing of reports, and closure and
post-closure activities. These
commenters stated such an outcome is
not necessary to protect human health
and the environment.
Other commenters stated that the
proposed closure certification under
§ 257.100(f)(1)(ii) was not sufficient to
allow EPA, States, and the public to
determine whether the facility has
actually complied with the closure
performance standards under
§ 257.102(c). These commenters
requested that the final rule require
owners/operators certifying closure by
removal to specify, with supporting
documentation all of the following:
• The nature and volume of CCR and
all other materials in the unit prior to
closure;
• All releases from the unit to the
soil, surface water, groundwater, and
atmosphere during the operation of the
unit, during its inactive period(s), and
prior to completion of closure activities;
• The nature and extent of all soil,
groundwater, surface water, and other
contamination associated with releases
from the unit throughout its history,
including active and inactive periods;
• The methods to be employed (in
closure plans) and actually employed
(in closure completeness certifications)
to ensure complete removal of all CCR
and other contaminated materials from
the unit, including but not limited to
post-removal sampling and analysis;
• Documentation that all CCR and
other contaminated materials were in
fact removed from the unit, including
but not limited to post-removal
sampling and analysis;
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• The methods to be employed (in
closure plans) and actually employed
(in closure completeness certifications)
to ensure complete decontamination of
all areas affected by releases from the
unit, including but not limited to postdecontamination sampling and analysis;
and
• Documentation that all areas
affected by releases from the unit were
in fact decontaminated and that all
groundwater affected by releases has
achieved groundwater protection
standards, including but not limited to
a minimum of two years of postremoval/decontamination detection and
assessment groundwater monitoring
data collected pursuant to the CCR
Rule’s groundwater monitoring
performance standards and analyzed
pursuant to its sampling and analysis
requirements, 40 CFR 257.91 and
257.93, to reliably demonstrate
compliance with groundwater
protection standards in order to certify
the completion of closure in accordance
with 40 CFR 257.102(c).
EPA is unable to adopt the
commenters’ suggestion to expand the
certification to all State-approved
closures by removal. Without any record
of the factual and legal bases for the
States’ decisions, EPA cannot conclude
that all State-approved closures by
removal pose no reasonable probability
of adverse effects on health or the
environment, as it is required to do
under RCRA section 4004(a). This is
particularly true with respect to closures
that were approved without any
groundwater monitoring or other
information to demonstrate that
‘‘groundwater . . . concentrations do
not exceed the groundwater protection
standard established pursuant to
§ 257.95(h),’’ 40 CFR 257.102(c). Given
the high probability that these
impoundments were unlined and
leaked, the most likely conclusion is
that contamination remains at the site.
In the absence of any further
information, it is not apparent how EPA
could support approving such closures
in a nationwide rulemaking. See also
Unit III.B.2.g.iii of this preamble for
further discussion of State programs.
EPA agrees that certifications under
this paragraph need to include sufficient
supporting data so that EPA, States, and
the public can determine whether the
facility has actually complied with the
performance standards in § 257.102(c).
However, EPA disagrees that all of the
information the commenters suggest is
necessary to achieve that goal. As
described below, the final rule requires
that a facility support its certification
with information that would have been
routinely developed as part of closing
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the unit; either because the information
is routinely required by State permit
authorities or because the facility would
have developed the information as part
of the normal construction processes.
Specifically, the final rule requires
facilities to include the following
supporting information with their
certification:
(1) The type and volume of CCR and
all other materials in the unit prior to
closure;
(2) The methods used to verify
complete removal of all CCR and other
contaminated materials from the unit,
including any post-removal sampling
and analysis;
(3) Documentation that all CCR and
other contaminated materials were
removed from the unit, including, the
results of any post-removal sampling
and analysis that was conducted;
(4) The methods used to verify
complete decontamination of all areas
affected by releases from the unit,
including but not limited to postdecontamination sampling and analysis;
and
(5) Documentation that all areas
affected by releases from the unit were
decontaminated and that all
groundwater affected by releases has
achieved groundwater protection
standards.
The final rule identifies the minimum
information needed to support a
certification, but, for the most part does
not substantially restrict the analyses or
factual information that can be used.
This is because these units closed before
they were subject to the Federal CCR
regulations, or knew that they would be
subject to the regulations, and EPA
expects it is unlikely that facilities
would necessarily have the same
documentation as a currently regulated
entity. State requirements specifying the
information and analyses necessary to
obtain approvals or permits can vary
significantly. However, the final rule
specifies that the facility must have
groundwater monitoring data
demonstrating that the concentrations of
each Appendix IV constituent do not
exceed the relevant groundwater
protection standard, which would be
either the MCL or background
concentration, for two consecutive
sampling events, consistent with
§ 257.95(e). The final rule identifies the
minimum information needed to
support a certification, but does not
substantially restrict the analyses or
factual information that can be used.
Because the facility was not subject to
part 257 groundwater monitoring when
the monitoring was conducted, the final
rule does not require a facility to
demonstrate that it had installed a
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groundwater monitoring system that
complied with all of the requirements in
§§ 257.90 through 257.95. Nevertheless,
the data supporting the certification
must be scientifically valid and must
credibly support a determination that
the monitoring system would reliably
detect any releases from the
impoundment. Therefore, the final rule
requires that owner or operator
demonstrate that the groundwater
monitoring system used to document
the concentrations of Appendix IV
constituents met a subset of the
performance standards found in
§§ 257.91(a) through (e), 257.93(a)
through (d), and 257.93(i). Specifically,
the facility needs to demonstrate that
the groundwater monitoring system met
the following criteria:
(1) Accurately represented
background water quality unaffected by
a CCR unit;
(2) Accurately represented the quality
of water passing the waste boundary of
the unit;
(3) Was capable of detecting
contamination in the uppermost aquifer;
(4) Monitored all potential
contaminant pathways;
(5) Established groundwater
background concentrations for
Appendix IV constituents and compared
samples to those background
concentrations; and
(6) Utilized wells that are (a) cased
and maintained in a manner that
protects the integrity of the monitoring
well borehole, (b) screened or perforated
and packed with gravel or sand, where
necessary, to enable collection of
groundwater samples, and (c) sealed
between the borehole and the well
casing to prevent contamination of the
sample and groundwater.
Finally, the last sample used to
demonstrate that no constituent in
Appendix IV was detected in
concentrations above the established
groundwater protection standards must
have been collected no earlier than one
year prior to the initiation of closure.
If a facility can certify that all legacy
CCR surface impoundments on-site met
the standards in § 257.102(c) prior to the
effective date of this rule, the facility
would not be subject to any further
requirements under this final rule (i.e.,
neither legacy CCR surface
impoundment requirements or CCRMU
requirements). For these units, the
certification of closure by removal
would be due no later than the effective
date of this final rule and must be
placed in the facility operating record
then posted on their public CCR
website. See § 257.100(g).
EPA agrees that if a facility has
actually met the performance standards
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in § 257.102(c), there is no health or
environmental benefit in requiring
compliance with all of subpart D simply
because the facility lacks the
information to support the certification.
Accordingly, the final rule provides an
option that allows such a facility to
obtain the information necessary to
support a certification. If a facility has
removed all CCR from a legacy CCR
surface impoundment before the
effective date of this final rule but never
conducted groundwater monitoring (or
had a groundwater monitoring system
that does not meet the criteria laid out
above), the facility would initially only
be required to install a groundwater
monitoring system and initiate
groundwater monitoring in accordance
with the requirements in §§ 257.90
through 257.95, as well as the
recordkeeping, notification, and website
posting requirements described in Units
III.B.2.f and III.B.2.h. If the owner or
operator of one of these units elects to
pursue a closure certification, the owner
or operator must prepare a notification
of intent to certify closure by the
effective date of this final rule and place
it in the operating record, post it on
their CCR website, and submit a
notification to EPA or the State or Tribal
Authority. The notification must state
that the facility has removed all CCR
from the unit and will be installing a
groundwater monitoring system
compliant with §§ 257.90 through
257.95 to determine whether there is
contamination coming from the unit. If
no SSL above the GWPS is detected for
all Appendix IV constituent in at least
the first two consecutive sampling
events, consistent with the existing
provisions of § 257.95(e), the facility
could at that time complete the closure
certification, and document compliance
with § 257.102(c). EPA anticipates that
the requirement to conduct two
consecutive sampling events will result
in one sample being taken during the
dry season and one in the wet season
and thus capture groundwater
fluctuations. If the required sampling
demonstrates no exceedances of
Appendix IV constituents, the owner or
operator of the unit must place the
closure certification in the operating
record, and submit a notification to the
State or Tribal Authority, and post the
certification documentation on their
public CCR website. At that time, the
facility would not be subject to any
further requirements under this final
rule (i.e., neither legacy CCR surface
impoundment requirements or CCRMU
requirements). The deadline for the
completion of the certification of
closure by removal for these units is no
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later than 42 months after the effective
date of the final rule. This will provide
the owner or operators of these units
with the same amount of time as other
legacy CCR surface impoundments to
comply with the requirements to design
and install a groundwater monitoring
network, develop a sampling and
analysis plan, collect eight baseline
samples, and initiate combined
detection and assessment monitoring
(i.e., 30 months after the effective date
of the final rule) and an additional 12
months to perform at least two sampling
rounds.
If, however, groundwater monitoring
detects an SSL above the established
GWPS of any Appendix IV constituent,
the legacy CCR surface impoundment
described above becomes subject to the
corrective action requirements in
§§ 257.96 through 257.98 and is no
longer eligible to certify closure by
removal under this provision. The
owner or operator of the legacy
impoundment must then prepare the
applicability report no later than six
months from the date of receiving the
laboratory analysis documenting the
SSL. No later than eight months from
the date of receiving the laboratory
analysis documenting the exceedance of
the GWPS, the owner or operator must
install the permanent marker.
Furthermore, the facility must comply
with the CCRMU requirements in Unit
III.C. However, the compliance
deadlines for the CCRMU requirements
will be delayed by the number of
months between the publication date of
the rule and the date of receiving the
laboratory analysis documenting the
exceedance of the groundwater
protection standard. For example, if a
facility receives the laboratory analysis
documenting an exceedance of the
GWPS for any Appendix IV constituent
36 months after the effective date, the
facility would add 42 months to all the
CCRMU compliance deadlines.
Additionally, if a CCRMU is discovered
onsite, the owner or operator must
prepare a fugitive dust plan no later
than 6 months after the completion of
the FER. For such units that are unable
to certify, the final rule also includes a
provision that allows a facility closing a
unit by removal to complete any
necessary corrective action during a
post closure care period. Assuming the
criteria in Unit III.B.2.g.iii are met, the
facility can also elect to defer closure to
permitting. However, given that the
facility must comply with the
groundwater monitoring and corrective
actions under both options, EPA expects
that most facilities will prefer to pursue
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certifications. See Unit III.D of this
preamble for further discussion.
c. Location Restrictions and Liner
Design Criteria
Under the existing CCR regulations,
existing CCR surface impoundments
that cannot demonstrate compliance
with the location restrictions for
placement of CCR above the uppermost
aquifer, in wetlands, within fault areas,
in seismic impact zones, or in unstable
areas (specified in §§ 257.60 through
257.64) must retrofit or close. The
purpose of these requirements is to
ensure that units located in particularly
problematic areas cease operation. EPA
explained in the proposed rule that
because, by definition, legacy CCR
surface impoundments are not
operating, and because it appears that
all legacy CCR surface impoundments
are unlined and will therefore be
required to close, EPA believed that
requiring compliance with the location
restrictions would be largely redundant.
Commenters largely supported not
requiring location restrictions or liner
demonstrations on the grounds that
location restrictions and design criteria
are not relevant to this class of units, as
these requirements primarily seek to
ensure active units operate safely. Other
commenters believed that legacy CCR
surface impoundments should not be
exempted from liner and structural
stability requirements out of concern
that requiring compliance with one or
more location restrictions would
provide information that would be
‘‘critical’’ to designing unit closure and
any necessary corrective action.
EPA disagrees that applying location
restrictions and the liner design criteria
to legacy CCR surface impoundments
would be appropriate. First, as
explained in the proposed rule, these
criteria are more appropriate for
operational units or units at active
facilities. Second the consequence of
failing to comply with the location
restrictions and liner design criteria
requirements is closure by a specific
date. 40 CFR 257.101(a) through (b)(1).
Because legacy CCR surface
impoundments are not operational and
will in any event be required to close,
the consequence for failure to comply
with location restrictions or the liner
design criteria (i.e., ceased receipt of
waste and closure) is moot.
Additionally, the commenter failed to
identify any information necessary for
conducting corrective action or closure
uniquely gained by complying with the
location restrictions or liner design
criteria. Therefore, EPA continues to
conclude that, as stated in the proposed
rule, information useful for corrective
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action or closure that would be obtained
by complying with the location
restrictions will be captured by
compliance with the history of
construction requirement, the closure
plan, or in the development of the
groundwater monitoring system.
EPA also continues to believe that the
requirement to document whether the
impoundment was constructed with a
composite liner or alternative composite
liner under § 257.71(a)(1) is not
warranted for legacy CCR surface
impoundments. The original purpose of
this provision was to determine whether
the unit was unlined, and consequently
subject to closure. However, the
available information indicates that
legacy CCR surface impoundments were
largely constructed well before
composite liners systems were typically
installed. Indeed, no commenter
identified a legacy impoundment with a
composite liner. For these reasons, EPA
expects legacy CCR surface
impoundment to be unlined and,
therefore, the final rule requires all
legacy CCR surface impoundments to
close. As a consequence, requiring
facilities to compile the information
required by § 257.71(a)(1) would not
provide useful information or otherwise
be necessary. Therefore, EPA is not
finalizing such requirement.
d. Design Criteria for Structural Integrity
for Legacy CCR Surface Impoundments
EPA proposed that legacy CCR surface
impoundments be subject only to the
existing design criteria requirements in
§ 257.73, in order to help prevent
damages associated with structural
failures of CCR surface impoundments.
EPA received numerous comments on
application of the design criteria
requirements to legacy CCR surface
impoundments. Most commenters on
the design criteria specifically
commented on the reporting/assessment
requirements in § 257.73 (i.e., history of
construction, initial hazard potential
classification, initial structural stability
assessment, initial safety factor
assessment). Some of these commenters
supported the expedited deadline for
the reports. However, most of these
commenters echoed the concerns
mentioned in Unit III.B.2.a.ii of this
preamble, characterizing the proposed
deadlines as infeasible, citing thirdparty availability, national labor
shortage, seasonality, the need to
conduct quality control and quality
assurance, and the accessibility and
completeness, or lack thereof, of
historical documentation and data.
These commenters stated that because
legacy CCR surface impoundments are
not operational and have not been
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operational since before the 2015 CCR
Rule took effect, it is highly unlikely
that owners or operators will have the
required historical documentation or
data readily available and that, for most
of these facilities, documentation is
likely in storage or lost to time.
Commenters have stated that more time
is needed for owners or operators to do
their due diligence in locating and
reviewing the necessary data and
information.
Furthermore, these commenters stated
that due to the likely lack of historical
information, additional analyses will
more than likely be necessary to collect
information essential to meeting the
standards in the CCR rule for each
report. Additionally, these commenters
said that EPA was incorrect in
characterizing these additional analyses
as minor and capable of being
performed within the proposed deadline
(i.e., three months from the effective
date of the final rule) and that some of
these analyses (e.g., site visits,
geotechnical investigations) could be
impacted by both contractor availability
and seasonality. Several commenters
also pointed out that Professional
Engineer (P.E.) certification or approval
by the Participating State Director or
EPA was required for these reports (i.e.,
hazard potential classification
assessments, structural stability
assessments, and safety factor
assessments). These commenters said
that the proposed deadline did not
provide adequate time to collect and
review historical information, acquire
any necessary new information (i.e.,
perform additional analyses), and
conduct sufficient quality control and
quality assurance of said information to
ensure the report would be certifiable by
a P.E. or capable of being approved by
a State Director, Tribal authority, or
EPA. Commenters also highlighted that
the information required by § 257.73
will also be important in complying
with concurrent and subsequent
requirements, such as the design of the
groundwater monitoring network and
the closure plan. These commenters
stated that providing inadequate time to
generate reports under § 257.73 that
meet the standards set out in the rule
has an adverse ripple effect on the
inputs of other requirements,
undermining the adequacy of those
analyses and plans. Lastly, commenters
stated the estimates in the proposed rule
of the amount of time needed to
complete actions necessary to achieve
compliance (e.g., hire a contractor;
generate a report) were grossly
underestimated, based on the
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experiences of engineering firms,
consultants, and owners or operators.
No commenters raised concern about
requiring legacy impoundments to
comply with the existing requirements
in § 257.73. Therefore, EPA is finalizing
the application of the structural
integrity requirements in § 257.73 to
legacy CCR surface impoundments.
As mentioned in Unit III.B.2.a.ii of
this preamble, based on the information
provided by commenters regarding the
impacts of third-party availability,
national labor shortage, seasonality, and
accessibility and completeness of
historical documentation, EPA has
extended the deadlines for the design
criteria located at § 257.73 as described
below. This is at least as much time as
facilities were granted to reach
compliance in the 2015 CCR Rule
deadlines. As detailed below in Units
III.B.d.i through III.B.d.v, EPA calculates
that this additional time as compared to
the proposed deadlines mitigates the
seasonality concerns associated with
performing any necessary analyses
involving field work; accommodates for
the unavoidable delays caused by
backlogs and shortages currently being
faced by necessary third parties;
provides owners or operators time to
locate and compile the relevant
historical documentation that was more
readily available and accessible for
facilities complying with the 2015 CCR
Rule; and ensures a compliance
deadline feasible for facility nationwide.
i. Installation of a Permanent Marker for
Legacy CCR Surface Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments, except for ‘‘incised CCR
surface impoundments’’ as defined in
§ 257.53, comply with § 257.73(a)(1),
which requires the placement of a
permanent identification marker, at
least six feet high on or immediately
adjacent to the CCR unit. EPA also
proposed that placement of the
permanent marker be completed by the
effective date of the final rule.
Overall, commenters stated this
deadline should align with the 2015
CCR Rule deadline (i.e., two months
from the effective date) to accommodate
for site access issues, seasonality, and
the time needed to hire necessary third
parties to conduct the work. EPA
acknowledges that the proposal had not
accounted for the national labor
shortage of contractors, or the need to
factor in seasonality for site access and
the installation of the permanent
marker. Therefore, EPA agrees with the
commenters that extending the deadline
for the installation of the permanent
marker to no later than two months from
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the effective date of the final rule
provides owners or operators of legacy
CCR surface impoundments would
provide the necessary time to comply
with the requirement at § 257.73(a)(1)
while still being protective of human
health and the environment.
Therefore, EPA is finalizing the
requirement to install the permanent
marker no later than Wednesday,
January 8, 2025, which is two months
after the effective date of the final rule.
This is codified in the regulatory text at
§ 257.100(f)(2)(i).
To complete the installation of the
permanent marker, owners or operators
must ensure the marker is at least six
feet high and displays the name of the
legacy CCR surface impoundment, the
name of the owner or operator of the
unit, and the identification number of
the CCR unit, if one has been assigned
by the State.
ii. History of Construction for the
Legacy CCR Surface Impoundments
Consistent with the existing
regulations, EPA proposed that owners
or operators of legacy CCR surface
impoundments that either have: (1) A
height of five feet or more and a storage
volume of 20 acre-feet or more; or (2)
Have a height of 20 feet or more, would
be required to comply with the existing
requirements to compile the history of
construction of the legacy CCR surface
impoundment. In the proposed rule,
EPA acknowledged that information
regarding construction materials,
expansions or contractions of units,
operational history, and history of
events may be difficult for owners or
operators to obtain. Therefore, EPA
proposed that owners or operators
would only need to provide information
on the history of construction to the
extent that such information is
reasonably and readily available. EPA
proposed a deadline of no later than
three months after the effective date for
owners or operators to comply with this
requirement.
Overall, commenters on the proposed
rule stated the proposed deadline for the
history of construction was infeasible
for the reasons listed in Unit III.B.2.d of
this preamble; namely the limited
availability of contractors, exacerbated
by the number of CCR units competing
for the same resources; seasonality
impacts on necessary analyses; and
accessibility and completeness of
historical information. Some of these
commenters also highlighted the
importance of the history of
construction requirement as an input
into the design of the groundwater
monitoring system, closure decisions,
and other design criteria assessments;
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these commenters further emphasized
the direct impacts of the quality of the
history of construction on the quality of
subsequent (i.e., groundwater
monitoring network design, closure
plan) and interrelated requirements (i.e.,
hazard potential classification,
structural stability and safety factor
assessments, inflow design flood control
system plan, EAP). These commenters
said that, although EPA acknowledged
in the proposed rule that EPA would
only require information that is
reasonably and readily available,
owners or operators would still likely
need to conduct surveys and other
analyses to ensure the report would
meet the requirements in § 257.73(a)(2)
and to provide sufficient information for
the completion of subsequent and
interrelated requirements. These
commenters also stated that locating the
necessary documentation to complete
the history of construction would take
considerable time and effort due to the
age of the units, the inactivity of the
facility, and the likelihood of records
being located at currently unknown
offsite locations. Furthermore, some of
these commenters requested
clarification of what EPA means by
‘‘reasonably and readily available.’’
Finally, commenters’ suggested
deadlines for the completion of the
history of construction requirement
ranged from three to 30 months.
As stated in Unit III.B.2.d of this
preamble, EPA has reviewed the
information provided by commenters
citing the shortages and backlogs of
qualified contractors, increased strain
on those contractors related to the
number of CCR units complying with
the CCR rule simultaneously, difficulty
accessing and reviewing historical
documentation, and needed time to
perform quality control and quality
assurance, and considers it to be
persuasive. EPA also acknowledges that
the history of construction report ties
into several subsequent requirements,
including the other design criteria
assessments and plan, the groundwater
monitoring and corrective action
requirements, and the closure and postclosure care requirements and therefore,
agrees that providing sufficient time for
the completion of a thorough history of
construction report is important for the
protection of human health and the
environment.
Furthermore, as stated in Unit
III.B.2.a.ii, EPA extended most
deadlines to allow for as much time to
come into compliance as was granted in
the 2015 CCR Rule. While EPA
recognizes that when coming into
compliance with the 2015 CCR Rule,
owners and operators had to locate
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historical documentation, based on
information provided by commenters
regarding the unknown whereabouts of
the necessary records, the age and
inactivity of these facilities, and the
labor shortages, EPA expects it will be
slightly more difficult to access and
assess historical documentation for the
older legacy CCR surface impoundments
than it was for the units regulated by the
2015 CCR Rule. Because of the
increased difficulty in locating and
accessing records, the importance of the
history of construction as an input into
other requirements, and the high
likelihood of additional analyses being
needed, EPA is finalizing a deadline of
no later than Monday, February 9, 2026,
which is 15 months from the effective
date. This deadline is an extension of
three months longer than the 2015 CCR
Rule deadline and is sufficient to
accommodate the slight increase in
difficulty in accessing legacy
impoundment records. This is codified
in the regulatory text at
§ 257.100(f)(2)(ii).
Finally, as explained in Unit
III.B.2.b.i, EPA addressed the term
‘‘reasonably and readily available’’ at 80
FR 21380. When using this term, EPA
intends facilities to provide relevant
design and construction information
only if factual documentation exists and
does not expect owners or operators to
generate new information or provide
anecdotal or speculative information.
Compliance with the history of
construction requirement at § 257.73(c)
requires owners or operators of a CCR
unit to compile a report that documents
identifying characteristics of the unit,
the history of how the CCR unit was
used, specifics related to the unit’s
design and construction, and the unit’s
instrumentation. Once compiled, the
report must be placed into the facility’s
operating record as required by
§ 257.105(f)(9). If the information
included in the history of construction
report needs to be changed at any point
in time, the owner or operator must
update the history of construction report
and place the updated report into the
operating record. A comprehensive list
of information required in the history of
construction is in § 257.73(c)(1).
iii. Initial Hazard Potential
Classification for Legacy CCR Surface
Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments, except for incised CCR
surface impoundments as defined in
§ 257.53, must complete the initial and
periodic hazard potential classification
assessments required under
§ 257.73(a)(2) without revision. EPA
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proposed a deadline of no later than
three months after the effective date for
the completion of the initial hazard
potential classification assessment.
No commenters raised concern about
requiring legacy impoundments to
comply with the existing requirements
in § 257.73(a)(2). EPA is therefore
finalizing this provision without
revision. This is codified in the
regulatory text at § 257.100(f)(2)(iii).
However, EPA received numerous
comments on the proposed deadline.
Overall, commenters on the proposed
rule stated the proposed deadline for the
initial hazard potential classification
was infeasible for the reasons listed in
Unit III.B.2.d of this preamble, namely
the limited availability of contractors
exacerbated by the number of CCR units
competing for the same resources;
seasonality impacts on necessary
analyses; accessibility and completeness
of historical information, and the need
for quality assurance and quality
control. As mentioned in Unit
III.B.2.d.ii, a few commenters noted the
interrelationship and overlapping
activities (e.g., historical documentation
review, site visit, geotechnical
investigations, unit modeling) between
the initial hazard potential classification
and the history of construction, initial
safety factor assessment, and the initial
structural stability assessment.
Specifically, commenters stated that the
history of construction is done first and
used to complete the initial hazard
potential classification. Furthermore,
commenters highlighted the direct
dependence on the hazard potential
classification for determining the design
flood to use in inflow design flood
control plan (§ 257.82(c)) and the trigger
for the EAP requirement (§ 257.73(a)(3)).
Commenters’ suggested deadlines for
the completion of the hazard potential
classification requirement ranged from
three to 24 months.
As explained in Units III.B.2.a.ii and
III.B.2.d of this preamble, EPA
acknowledges the need to extend the
compliance deadline in consideration of
the impacts of labor shortage, contractor
backlogs, seasonality, accessibility and
completeness of historical information,
and the need for quality assurance and
control. EPA further acknowledges the
interrelationship of the design criteria
reports and the direct dependence of the
initial inflow design plan and EAP
requirements on the completion of
hazard potential classification. As
explained in Unit III.B.2.d of this
preamble, based on the information
provided by commenters, EPA
determined that extending the deadline
for the initial hazard potential
classification to allow for at least as
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much time to come into compliance as
was granted in the 2015 CCR Rule (i.e.,
18 months after the effective date) is
necessary to ensure the compliance
deadlines are nationally feasible.
Because owners or operators will be
locating and compiling historical
documents and information as part of
the history of construction requirement,
EPA assumes that historical
documentation necessary for the initial
hazard potential classification
assessment can be located and compiled
concurrently. Additionally, EPA expects
necessary historical information (e.g.,
engineering design drawings,
geotechnical studies, dam hazard
potential classification documents,
stability assessments) and new analyses
(e.g., surveys or geotechnical
investigations) needed for the history of
construction and the initial hazard
potential classification to overlap to
some degree. Therefore, EPA has
determined that additional time beyond
that granted to come into compliance
with the 2015 CCR Rule is not needed
for this requirement. As such, EPA is
finalizing a deadline of no later than
Friday, May 8, 2026, which is 18
months from the effective date of this
final rule.
To comply with the hazard potential
classification requirement at
§ 257.73(a)(2), owners or operators of
legacy CCR surface impoundments must
determine the hazard potential
classification of the CCR unit and justify
the determination in a report. The CCR
unit can be classified as a low hazard
potential CCR surface impoundment, a
significant hazard potential CCR surface
impoundment, or a high hazard
potential CCR surface impoundment.
The report must be certified by a P.E.
stating the hazard potential
classification was conducted in
accordance with the CCR regulations.
Subsequent periodic hazard potential
classifications are required every five
years after the completion of the
previous hazard potential classification
as described at § 257.73(f)(3).
iv. Initial Structural Stability
Assessment and Initial Safety Factor
Assessment for Legacy CCR Surface
Impoundments
Consistent with the existing
regulations and EPA’s findings from the
2009–2014 Assessment Program as
described in the proposed rule, EPA
proposed that owners or operators of
legacy CCR surface impoundments that
meet the size thresholds in § 257.73(b)
and (c), must conduct two types of
technical assessments: (1) Structural
stability assessments; and (2) Safety
factor assessments. In the proposed rule,
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EPA explained that these two
assessments could be conducted
concurrently and therefore, a deadline
of no later than three months from the
effective date of the final rule was
proposed for both requirements.
No commenters raised concern about
requiring legacy impoundments to
comply with the existing requirements
in § 257.73(b) and (c). EPA is therefore
finalizing this provision without
revision. This is codified in the
regulatory text at § 257.100(f)(2)(iv).
However, EPA received numerous
comments on the proposed deadline.
Overall, commenters on the proposed
rule stated the proposed deadlines for
the initial structural stability and safety
factor assessments were infeasible for
the reasons outlined in Units III.B.2.a.ii
and III.B.2.d of this preamble, namely,
seasonality, third-party availability,
national labor shortage, the need to
conduct quality control and quality
assurance, and the accessibility and
completeness, or lack thereof, of
historical documentation and data. As
mentioned in Unit III.B.2.d.ii, a few
commenters noted the interrelationship
and overlapping activities (e.g.,
historical documentation review, site
visit, geotechnical investigations, unit
modeling) between the initial structural
stability and safety factor assessments
and the history of construction, initial
hazard potential classification, and the
inflow flood control system plan.
Furthermore, commenters highlighted
the need to have quality information
within the structural stability and safety
factor assessments to inform the EAP
and to make sound closure decisions.
Commenters’ suggested deadlines for
the completion of the initial structural
stability assessment and the initial
safety factor assessment ranged from six
to 24 months.
As explained in Units III.B.2.a.ii and
III.B.2.d, EPA acknowledges the need to
extend the compliance deadline in
consideration of the impacts of labor
shortage, contractor backlogs,
seasonality, accessibility and
completeness of historical information,
and the need for quality assurance and
control. EPA further acknowledges the
interrelationship of the design criteria
reports and the value of using the
structural stability and safety factor
assessment to develop the EAP and the
closure plan for the legacy CCR surface
impoundment. As explained in Unit
III.B.2.d of this preamble, based on the
information provided by commenters,
EPA determined that extending the
deadline for the initial structural
stability and safety factor assessments to
allow for at least as much time to come
into compliance as was granted in the
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2015 CCR Rule is necessary to ensure
the compliance deadlines are nationally
feasible. Because owners or operators
will be locating and compiling historical
documents and information as part of
developing the history of construction,
EPA assumes that historical
documentation necessary for the initial
structural stability and safety factor
assessments can be located and
compiled concurrently. Additionally,
the historical information (e.g.,
engineering design drawings,
operational records) and new analyses
(e.g., surveys, geotechnical
investigations) needed for the history of
construction, initial hazard potential
classification, and the initial structural
stability and safety factor assessments
overlap to some degree. Therefore, EPA
has determined that additional time
beyond that granted to come into
compliance with the 2015 CCR Rule is
not needed for this requirement. As
such, EPA is finalizing a deadline of no
later than Friday, May 8, 2026, which is
18 months from the effective date of this
final rule.
To comply with the structural
stability assessment and safety factor
assessment requirements at § 257.73(d)
and § 257.73(e), owners or operators of
legacy CCR surface impoundments must
conduct initial and periodic structural
stability and safety factor assessments.
The structural stability assessment must
document whether the design,
construction, operation, and
maintenance of the unit is consistent
with recognized and generally accepted
good engineering practices for the
maximum volume of CCR and CCR
wastewater capable of being contained
within the unit. Accepted good
engineering practices includes, but are
not limited to, stable foundations and
abutments, adequate slope protection,
sufficiently compacted dikes, slope
protections, spillways capable of
managing flow during and following
peak discharge events, structurally
sound and operational hydraulic
structures, and structurally sound
downstream slopes capable of
withstanding sudden drawdown of
adjacent water bodies. See 40 CFR
257.73(d).
The safety factor assessment must
document whether the calculated
factors of safety for the legacy CCR
surface impoundment achieves the
minimum safety factor specified in
§§ 257.73(e)(1)(i) through (iv) for the
cross section of the embankment most
susceptible to structural failure
determined by loading conditions and
other appropriate engineering
considerations. See 40 CFR 257.73(e).
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The periodic assessments are required
every five years after the completion of
the previous assessment described at
§ 257.73(f)(3). Each assessment must be
certified by a P.E. stating that the
assessment was conducted in
accordance with the CCR regulations.
v. Preparation of an Emergency Action
Plan for Legacy CCR Surface
Impoundments
EPA proposed that the owners or
operators of legacy CCR surface
impoundments that have been
identified as having either a high hazard
potential or a significant hazard
potential would be required to comply
with the same requirement as existing
CCR surface impoundments under
§ 257.73 to prepare and maintain a
written EAP. An EAP is a document that
identifies potential emergency
conditions at a CCR surface
impoundment and specifies actions to
be followed to minimize loss of life and
property damage.
No commenters raised concern about
requiring legacy impoundments to
comply with the existing requirements
in § 257.73(a)(3). EPA is therefore
finalizing this provision without
revision. This is codified in the
regulatory text at § 257.100(f)(2)(v).
However, EPA received numerous
comments on the proposed deadline.
Overall, most commenters on the
proposed rule stated that at a minimum,
EPA should allow as much time for
legacy CCR surface impoundment to
come into compliance as granted
existing units the 2015 CCR Rule
deadlines. Several commenters pointed
out the direct reliance of the EAP on the
hazard potential classification
assessment and noted that the history of
construction, safety factor assessment,
and structural stability assessment
provided critical information as well.
These commenters noted that if the
deadlines for any of those prerequisite
requirements were extended beyond the
proposed compliance deadline, the EAP
deadline should be extended as well.
Commenters’ suggestions for the
deadline for the completion of the EAP
ranged from 11 to 18 months.
EPA acknowledges that the EAP relies
on the hazard potential classification
assessment and agrees with the
commenters who stated that if the
deadline for the hazard potential
classification assessment was extended,
the deadline for the development of the
EAP should be extended to no earlier
than the deadline for the initial hazard
potential classification assessment. As
stated in Unit III.B.2.d.iv, EPA is
finalizing a deadline of no later than 18
months from the effective date of this
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final rule for the initial hazard potential
classification assessment. Furthermore,
the deadlines for the initial safety factor
and structural stability assessments are
being finalized at no later than Friday,
May 8, 2026, which is 18 months from
the effective date of the final rule. This
deadline also provides owners or
operators the same amount of time for
legacy CCR surface impoundments to
comply with the requirements as was
granted for existing units in the 2015
CCR Rule. Therefore, EPA is finalizing
a deadline of no later than Friday, May
8, 2026, which is 18 months from the
effective date of the final rule for legacy
CCR surface impoundment to develop
an EAP in accordance with
§ 257.73(a)(3).
As described above, an EAP specifies
the actions to take during potential
emergency conditions at a CCR surface
impoundment. To prepare an EAP, the
owner or operator must accurately and
comprehensively identify potential
failure modes and at-risk developments.
See also 80 FR 21377–21379, April 17,
2015. To comply with the EAP
requirement, the EAP must, at a
minimum, define the events or
circumstances involving the CCR unit
that represent a safety emergency;
describe the procedures that will be
followed to detect a safety emergency in
a timely manner; define responsible
persons, each person’s responsibilities,
and notification procedures in the event
of an emergency; provide contact
information for emergency responders;
include a map that delineates the
downstream area that would be
impacted by a CCR unit failure; a
physical description of the CCR unit;
and provisions for an annual face-toface meeting between representatives of
the owner or operator and the local
emergency responders.
e. Operating Criteria for Legacy CCR
Surface Impoundments
The operating criteria in §§ 257.80,
257.82, and 257.83 include air criteria
for all CCR units, hydrologic and
hydraulic capacity requirements for
CCR surface impoundments, and
periodic inspection requirements for
CCR surface impoundments. These
criteria address the potential risks from
the day-to-day operations of CCR units
and are established to prevent health
and environmental impacts from CCR
units. CCR surface impoundments are
subject to hydrologic and hydraulic
capacity requirements to ensure the unit
can safely handle flood flows, which
will help prevent uncontrolled
overtopping of the unit or erosion of the
materials used to construct the surface
impoundment. The existing CCR
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regulations also require periodic
inspections of CCR units to identify any
appearance of structural weakness or
other conditions that are not consistent
with recognized and generally accepted
good engineering standards. EPA
proposed that legacy CCR surface
impoundments comply with these
existing requirements without revision.
Several commenters recommended
that EPA provide relief from these
operating requirements for legacy
impoundments that have closed prior to
the effective date of this rule, since
these operating requirements do not
make sense for units that are no longer
operating. These commenters also state
that the proposed rule includes relief
from many requirements for legacy
impoundments that have closed by
removal of CCR, but does not include
similar flexibility for legacy
impoundments that have closed in
place. Commenters said requiring an
owner or operator to meet operating
requirements for units that no longer
contain both CCR and liquids, and
therefore do not pose the same operating
risks as existing CCR units, is illogical.
They contended these requirements are
more applicable for legacy
impoundments that continue to contain
both CCR and liquids as of the effective
date of this final rule. They further said
EPA should therefore reconsider its
position and account for prior closure
activities and afford flexibility to those
units that have undergone, or are
undergoing, State-led closure activities.
EPA disagrees that applying the
operating criteria to legacy CCR surface
impoundments is inappropriate even if
these units are no longer receiving
waste. EPA believes that applying the
fugitive dust requirements reduces the
risk from airborne dust and requiring
inspections and inflow design flood
control plan for legacy impoundments
that contain both CCR and liquids will
reduce the risks from structural stability
concerns. EPA further addresses legacy
impoundments that closed by removal
or closed with waste in place under a
State or Federal authority in Unit
III.B.2.g of this preamble. Accordingly,
EPA is finalizing the requirement that
legacy CCR surface impoundments
comply with these existing operating
criteria requirements in §§ 257.80,
257.82, and 257.83 without revision.
i. Fugitive Dust Control Plan for Legacy
CCR Surface Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments must complete a fugitive
dust control plan by the effective date
of the final rule. The existing
regulations require the owner or
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operator of a CCR unit to adopt
measures that will effectively minimize
CCR from becoming airborne at the
facility, including CCR fugitive dust
originating from CCR units, roads, and
other CCR management and material
handling activities. 40 CFR 257.80(b).
To meet this requirement, the owner or
operator of the CCR unit must prepare
and operate in accordance with a
fugitive dust control plan. Id. See also
80 FR 21386–21388. EPA considers that
fugitive dust controls are warranted
because closure activities can produce
significant quantities of dust.
EPA received few comments on the
fugitive dust control plan. One
commenter requested that EPA amend
§ 257.80 to include additional
requirements to protect those who work
or live near CCR facilities from the risks
of fugitive dust. EPA disagrees that
additional fugitive dust controls are
needed as EPA has no data to prove that
the existing requirements are
inadequate.
EPA received some comments on the
compliance deadline to complete the
fugitive dust control plan. Overall,
commenters supported the proposed
deadline. However, a couple
commenters requested more time. One
commenter requested three additional
months for all requirements due on the
effective date, including the fugitive
dust plan. This commenter provided no
evidence or factual basis to support this
suggested deadline. Another commenter
requested a deadline of 30 months for
all requirements with proposed
deadlines of the effective date to allow
owners or operators 24 months to
determine if the unit is eligible for the
closure certification and prepare the
certification report and then an
additional 6 months to comply with
other requirements, such as the dust
plan and creation of a CCR website, if
the unit is not eligible for the closure
certification. EPA finds the requests for
a deadline extension for the fugitive
dust control plan to be unfounded.
The primary activities associated with
this requirement are hiring a contractor
who is a qualified P.E., having the
contractor develop a plan based on daily
operations at the unit and site
conditions, and certification of the plan
by a P.E. Little to no field-based
activities are required to complete the
fugitive dust control plan. Furthermore,
this provides the same amount of time
that EPA provided in the 2015 CCR Rule
for facilities to develop their fugitive
dust control plans. Therefore, EPA is
finalizing the requirement that owners
or operators of legacy CCR surface
impoundments must complete a fugitive
dust control plan no later than Friday,
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39015
November 8, 2024, which is the
effective date of this final rule. This is
codified in the regulatory text at
§ 257.100(f)(3)(i).
ii. Initial Fugitive Dust Control Report
for Legacy CCR Surface Impoundments
EPA proposed to require the initial
annual fugitive dust report to be due 12
months after the effective date of the
final rule. Consistent with the existing
regulations, the report must document
all actions taken to control CCR fugitive
dust, a record of all citizen complaints,
and a summary of any corrective
measures taken in the previous year. As
this report is primarily a summary of
owner or operator activities related to
fugitive dust control and does not
require a P.E. certification, the report
may be completed by the owner or
operator without the need for a
contractor. The owner or operator has
completed the annual CCR fugitive dust
control report when the plan has been
placed in the facility’s operating record.
EPA did not receive comments on the
annual fugitive dust control report
requirements. As described in Unit
III.B.2.a.ii of this preamble, commenters
requested that deadlines provide at least
as much time as was granted for 2015
CCR Rule requirements. Therefore, EPA
is extending the deadline from 12
months to 14 months to allow for a full
year to be reported in the first report (12
months plus two months for report
generation).
EPA is finalizing the requirement that
the initial annual fugitive dust report be
completed no later than Thursday,
January 8, 2026, which is 14 months
after the effective date of this final rule.
This is codified in the regulatory text at
§ 257.100(f)(3)(vi).
iii. Weekly Inspections of the Legacy
CCR Surface Impoundment and
Monthly Monitoring of the CCR Unit’s
Instrumentation
EPA proposed that owners or
operators of legacy CCR surface
impoundments must initiate the
inspection requirements set forth in
§ 257.83(a) no later than the effective
date of the final rule. Under § 257.83(a),
all CCR surface impoundments must be
examined by a qualified person at least
once every seven days for any
appearance of actual or potential
structural weakness or other conditions
that are disrupting or that have the
potential to disrupt the operation or
safety of the CCR unit. The results of the
inspection by a qualified person must be
recorded in the facility’s operating
record. Weekly inspections are intended
to detect, as early as practicable, signs
of distress in a CCR surface
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impoundment that may result in larger,
more severe conditions. Inspections are
also designed to identify potential
issues with hydraulic structures that
may affect the structural safety of the
unit and impact its hydraulic and
hydrologic capacity. Section 257.83(a)
also requires the monitoring of all
instrumentation supporting the
operation of the CCR unit to be
conducted by a qualified person no less
than once per month. See also 80 FR
21394–21395.
One commenter opposed applying the
inspection requirements to legacy CCR
surface impoundment, stating these
requirements are intended for
operational units and therefore are
inappropriate for units that no longer
receive waste. EPA disagrees that
applying the inspection requirements to
legacy CCR surface impoundments is
inappropriate even if these units are no
longer receiving waste. EPA believes
that applying the weekly inspection
requirements to legacy CCR surface
impoundments that contain both CCR
and liquids reduces the risks associated
with structural stability concerns.
Furthermore, the commenter provided
no factual basis for the exclusion of
legacy CCR surface impoundments from
these requirements. EPA did not get any
comments specifically about this
deadline, thus, EPA is finalizing
without revision the requirement that
owners or operators of legacy CCR
surface impoundments initiate the
inspection requirements set forth in
§ 257.83(a) no later than Friday,
November 8, 2024, which is the
effective date of the final rule. This is
codified in the regulatory text at
§ 257.100(f)(3)(iii).
iv. Initial Annual Inspection for Legacy
CCR Surface Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments must conduct the initial
annual inspection no later than three
months after the effective date of the
final rule. Existing CCR surface
impoundments exceeding the height
and storage volume thresholds in
§ 257.73(b) and (c), are required to
conduct annual inspections of the CCR
unit throughout its operating life
(§ 257.83(b)). These inspections are
focused primarily on the structural
stability of the unit and must ensure
that the operation and maintenance of
the unit is in accordance with
recognized and generally accepted good
engineering standards. Each inspection
must be conducted and certified by a
P.E. See also 80 FR 21395.
EPA received comments that said the
inspections should be required for
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legacy impoundments, in addition to
the other operating criteria. However,
one commenter opposed applying the
inspection requirements to legacy CCR
surface impoundment, stating these
requirements are intended for
operational units and therefore are
inappropriate for units that no longer
receive waste. EPA continues to
conclude that the annual inspections
required by § 257.83 are relevant for
legacy CCR surface impoundments even
if these units are no longer receiving
waste. EPA believes that applying the
annual inspection requirement to legacy
CCR surface impoundments that contain
both CCR and liquids reduces the risks
associated with structural stability
concerns. Furthermore, the commenter
provided no factual basis for the
exclusion of legacy CCR surface
impoundments from these
requirements.
Annual inspections include
documentation review, a visual
inspection of the CCR unit, and a visual
inspection of any hydraulic structures
underlying the base of the CCR unit or
passing through the CCR unit’s dike.
Documentation reviewed as part of the
annual inspection include operating
records, previous structural stability
assessments, and the results of previous
weekly, monthly, and annual
inspections and can overlap with
reviews needed to complete the initial
structural stability assessment.
EPA proposed that owners or
operators of legacy CCR surface
impoundments must conduct the initial
annual inspection no later than three
months after the effective date of the
final rule. EPA proposed that owners or
operators must prepare the initial
inspection report for legacy CCR surface
impoundments within the same time
frame—no later than three months from
the effective date of the final rule—as
was required for existing CCR surface
impoundments in the 2015 CCR Rule.
The Agency believes this time frame to
prepare the initial annual inspection is
similarly appropriate for legacy CCR
surface impoundments as for existing
impoundments. As discussed in the
preamble to the 2015 CCR Rule, the
three-month time frame was based on
EPA’s experience with its CCR
Assessment Program to evaluate the
structural stability and safety of existing
impoundments throughout the nation.
Specifically, EPA found that three
months would be adequate to complete
the tasks supporting an annual
inspection, including retaining the
services of a P.E., reviewing relevant
information in the facility’s operating
record, conducting the field inspection,
and completing the inspection report.
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See 80 FR 21395. EPA did not receive
any comments objecting to this time
frame.
EPA is finalizing the requirement
without revision that owners or
operators of legacy CCR surface
impoundments must conduct the initial
annual inspection no later than
Monday, February 10, 2025, which is
three months after the effective date of
the final rule. This is codified in the
regulatory text at § 257.100(f)(3)(iv).
v. Initial Inflow Design Flood Control
System Plan for Legacy CCR Surface
Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments must prepare the inflow
design flood control system plan nine
months after the effective date of the
final rule. Owners or operators of all
CCR surface impoundments are required
to design, construct, operate, and
maintain hydraulic and hydrologic
capacity to adequately manage flow
both into and from a CCR surface
impoundment during and after the peak
discharge resulting from the inflow
design flood, which is based on the
Hazard Potential Classification of the
CCR surface impoundment (§ 257.82(a)).
The regulation also requires the
preparation of an initial inflow design
flood control system plan (§ 257.82(c)).
See also 80 FR 21390–21392.
EPA did not receive any comments
about this requirement. However,
overall, most commenters believed that
compliance deadlines should not be
accelerated to be shorter than required
for active units. Commenters also
believed that substantial data collection
efforts might be required resulting in
situations where it is not feasible to
meet the proposed deadline. For
example, there is an ongoing shortage of
contractors (e.g., consultants, drillers,
laboratories) to complete this work. EPA
considered these comments and
extended the deadline to 18 months in
consideration of third-party availability
and in order to match the 2015 CCR
Rule.
EPA is finalizing the requirement that
owners or operators of legacy CCR
surface impoundments prepare the
inflow design flood control system plan
no later than Friday, May 8, 2026,
which is 18 months after the effective
date of the final rule. This is codified in
the regulatory text at § 257.100(f)(3)(v).
f. Groundwater Monitoring and
Corrective Action Criteria for Legacy
CCR Surface Impoundments
EPA proposed to require legacy CCR
surface impoundments to comply with
the existing groundwater monitoring
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and corrective action criteria in 40 CFR
257.90 through 257.98, with one
revision, to require sampling and
analysis of constituents listed in
Appendix IV at the same time as those
listed in Appendix III. As explained in
the proposed rule at 88 FR 32003,
§§ 257.90 through 257.95 require
owners or operators of a CCR unit to
install a system of monitoring wells,
specify procedures for sampling these
wells, and set forth methods for
analyzing the groundwater data
collected to detect hazardous
constituents (e.g., toxic metals) and
other monitoring parameters (e.g., pH,
total dissolved solids) released from the
units. If the groundwater monitoring
required in § 257.95, demonstrates an
exceedance of the groundwater
protection standards for constituents
identified in Appendix IV of part 257,
corrective action is required as laid out
in §§ 257.96 through 257.98. These
requirements apply throughout the
active life and post-closure care period
of the CCR unit.
Several commenters expressed
support for requiring legacy CCR surface
impoundments to comply with these
groundwater monitoring and corrective
action requirements, stating CCR units
can and have caused groundwater
contamination. Some commenters
suggested additional requirements be
added to those in §§ 257.90 through
257.98, including a mandate to test
groundwater quality outside the
boundary of the facility and make those
results public; a report documenting the
unit’s proximity to the closest surface
water body and nearest private and
public groundwater wells; a deadline for
the completion of the selection of
remedy required by § 257.97; and a
prohibition against using intrawell
groundwater data comparisons at legacy
CCR surface impoundments. Other
commenters stated that applying the
existing corrective action requirements
to historic sites, such as legacy CCR
surface impoundments, is not
appropriate and suggested that instead
EPA incorporate site-specific risk-based
corrective action into the CCR
regulations.
EPA further proposed two deadlines
for the groundwater monitoring
requirements, as opposed to the single
deadline in the 2015 CCR Rule. EPA
received numerous comments on EPA’s
proposal to split the single deadline for
groundwater monitoring requirements
contained within the 2015 CCR Rule (24
months from the effective date of the
final 2015 rule) into two separate
deadlines (six months from the effective
date of the final rule for the installation
of the groundwater monitoring network
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and development of the groundwater
sampling and analysis plan and 24
months from the effective date of the
final rule for the initiation of the
combined detection and assessment
monitoring). A few commenters
expressed support of the two separate
deadlines for groundwater monitoring
requirements, stating it increased
accountability and ensured owners or
operators were not unnecessarily
delaying the installation of the
groundwater monitoring system.
However, overall, commenters stated
that the groundwater monitoring
requirements should have a single
deadline as the separate deadlines made
compliance with the rule infeasible.
Several commenters said the proposed
split deadlines eliminated the flexibility
necessary for compliance that was
contained within the 2015 CCR Rule’s
single deadline. Those commenters
went on to say the single deadline
allowed facilities to accommodate for
delays associated with factors outside
their control, such as third-party
availability, weather, and required
permits or approvals, by making
schedule adjustments necessary to
achieve compliance (e.g., expedite the
development of the sampling plan in the
case of delays with the well
installation). Other commenters said the
proposed two deadlines were
unnecessarily prescriptive. One
commenter pointed out that the
proposed rule contained no deliverables
to verify compliance for the installation
of wells or the development of the
sampling and analysis plan.
As explained in the proposed rule, the
existing groundwater monitoring and
corrective action requirements are
essentially the same requirements that
have been applied to both hazardous
waste and municipal solid waste
disposal units for decades, and with the
one exception discussed below, there is
nothing about legacy CCR surface
impoundments that makes them distinct
enough to warrant separate
requirements from those for other CCR
surface impoundments. No commenter
provided any factual basis for treating
legacy impoundments differently than
all the other units that currently comply
with the same groundwater monitoring
requirements, including other inactive
CCR surface impoundments. For those
commenters requesting that EPA adopt
‘‘risk-based corrective action’’ into the
requirements, EPA notes that the
commenters have provided no further
explanation of what requirements in the
existing regulations they wanted EPA to
revise, what the revisions should
accomplish, or why they are necessary
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39017
or appropriate. As a general matter EPA
considers that the corrective action
regulations in §§ 257.95 through 257.98
do currently require facilities to tailor
remedies to address the risks to human
health and the environment, based on
the conditions at the site. It is unclear
what more the commenters are seeking.
Accordingly, EPA is finalizing the
proposal that legacy CCR surface
impoundments comply with the
existing groundwater monitoring and
corrective action requirements with one
modification, combined detection and
assessment monitoring.
However, EPA agrees that having a
single deadline for groundwater
monitoring requirements as opposed to
two deadlines allows flexibility to
complete tasks, such as installing
groundwater wells and collecting
independent samples, which is
necessary for compliance with a
nationwide rule. The activities involved
in achieving compliance with the
groundwater monitoring requirements
(i.e., drilling wells, collecting samples,
receiving lab results) are more
susceptible to factors outside a facility’s
control, such as extreme weather events,
shortages of qualified contractors, and
permitting or approval delays, and
therefore, warrant greater flexibility.
Additionally, activities can be restricted
dependent on the time of year and the
location of the facility (e.g., due to
seasonality, protected species, clearing
restrictions). Because the groundwater
monitoring requirements build upon
each other, EPA must ensure that
facilities nationwide are reasonably able
to achieve regulatory compliance by the
deadline. Utilizing a single deadline for
the groundwater monitoring
requirements allows facilities to make
reasonable accommodations for regional
factors in a way the proposed deadlines
do not, while still maintaining the same
level of protection for human health and
the environment. Furthermore, EPA
agrees that the proposed rule does not
have a clear mechanism for facilities to
prove compliance or for interested
parties to verify compliance with the
separate deadlines for the installation of
the groundwater monitoring network
and the development of the
groundwater sampling and analysis
plan. Finally, based on the information
provided by commenters, specifically
the information regarding the current
labor shortages and backlogs
experienced by third parties necessary
to accomplish tasks involved in
complying with the groundwater
monitoring requirements (e.g., drillers
for well installation, laboratories for
sample analysis), time needed to obtain
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necessary approvals (e.g., State permits
to drill water wells or clear vegetation),
and to accommodate for seasonality,
EPA has calculated six months as the
appropriate extension of the 2015 CCR
Rule groundwater monitoring system
deadlines. Therefore, EPA is finalizing a
single deadline of no later than 30
months after the effective date of this
final rule for the groundwater
monitoring requirements found at
§§ 257.90 through 257.95.
i. Design and Installation of the
Groundwater Monitoring System for
Legacy CCR Surface Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments install the groundwater
monitoring system as required by
§ 257.91 no later than six months from
the effective date of this final rule. EPA
further proposed that existing
monitoring wells can be used as a part
of the legacy CCR surface impoundment
groundwater monitoring systems
provided the wells meet § 257.91. As
explained in the proposed rule, based
on the amount of time most facilities
needed to complete or to collect
baseline sampling, EPA calculated that
facilities would be able to install the
necessary monitoring wells within a
single year.
As mentioned above, some
commenters supported the expedited
deadlines. However, most commenters
stated the proposed deadline of six
months from the effective date of the
final rule for the design and installation
of the groundwater monitoring network
was infeasible and should be extended
to no less than 24 months from the
effective date to align with the 2015 rule
deadline. As explained above, many of
these commenters expressed the need
for a single deadline for groundwater
monitoring requirements. Furthermore,
as described in Unit III.B.2.a.ii of this
preamble, these commenters cited
seasonality restrictions, the nationwide
labor shortages, limited qualified
contractor availability, the need for
State approvals and permits, and the
number of facilities competing for
limited resources as reasons for why the
proposed expedited deadline is
infeasible. A few commenters noted that
in recent decisions on Part A
demonstrations, EPA cited deficiencies
in the groundwater monitoring network
as a basis for non-compliance. These
commenters went on to state that the
proposed deadline does not facilitate
the establishment of a monitoring
system that would meet the standards
laid out in the CCR rule or the recent
proposed decisions and thus, the
proposed deadline creates de facto non-
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compliance. One of these commenters
elaborated by saying that the deadline
does not allow facilities to acquire the
permits that may be required to drill
wells and precludes the observation of
groundwater levels over time, which is
needed to properly characterize
groundwater flow. Other commenters
stated meeting the proposed compliance
deadline would prevent a facility from
conducting proper site characterization,
which is needed to inform well
placement and depth and provide
professional engineers sufficient
information to certify the groundwater
monitoring system. Lastly, commenters
stated that contrary to EPA’s assertion in
the proposed rule that expediting the
installation of the groundwater
monitoring network is protective of
human health and the environment, to
meet the proposed deadline, facilities
would likely be forced to design
groundwater monitoring systems based
on inadequate data resulting in
unreliable groundwater monitoring data.
Commenters provided estimates of time
needed to comply with the design and
installation of the groundwater
monitoring system requirements ranging
from 12 to 36 months.
As stated in Unit III.B.2.a.ii of this
preamble, in response to comments EPA
reevaluated the compliance deadline for
the design and installation of the
groundwater monitoring network and
found the information provided
regarding the general infeasibility of the
proposed deadline compelling.
Specifically, EPA agrees that more time
is needed to account for limited thirdparty availability (e.g., contractor
shortages and laboratory backlogs),
seasonality and extreme weather events,
procuring a contractor, complying with
overlapping regulatory requirements,
and coordinating with outside parties.
EPA acknowledges the importance of
proper site characterization as the
foundation for designing a groundwater
monitoring system and is convinced
that although there may be some legacy
CCR surface impoundments that have
sufficient historical documentation for
site characterization, many of these
units may need to conduct more
extensive site reconnaissance and field
work to obtain the necessary
information. Lastly, EPA recognizes that
groundwater monitoring systems
designed using inadequate data would
be unable to properly monitor
groundwater quality coming from the
unit and therefore would not be
protective of human health and the
environment. Therefore, because EPA is
convinced by information from the
commenters that facilities would be
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unable to conduct all the steps
necessary to design and install a
groundwater monitoring system capable
of meeting the standards in § 257.91 by
the proposed deadline, EPA has
extended the deadline.
As stated in Unit III.B.2.f, based on
information provided by commenters,
EPA concluded that a single deadline
should be used for the groundwater
monitoring requirements. In the
proposed rule, the latest proposed
deadline for groundwater monitoring
requirements was the deadline of 24
months from the effective date of this
final rule for the initiation of the
combined detection and assessment
monitoring and the collection of the
eight baseline samples. Based on
information provided in response to
comments on the proposed rule and as
explained in Unit III.B.2.f, EPA
calculated six months as the appropriate
extension of the groundwater
monitoring system deadlines. Therefore,
EPA is finalizing a deadline for the
completion of the design and
installation of the groundwater
monitoring system of no later than
Monday, May 10, 2027, which is 30
months from the effective date of this
final rule. This is codified in the
regulatory text at § 257.100(f)(4)(i).
To complete the installation of the
groundwater monitoring system, the
owner or operator of a legacy CCR
surface impoundment must ensure the
monitoring system consists of sufficient
number of wells both upgradient and
downgradient of the CCR unit, installed
at appropriate locations and depths, to
yield groundwater samples from the
uppermost aquifer that accurately
represent the quality of background
groundwater and groundwater passing
the downgradient waste boundary of the
CCR unit, monitoring all potential
contaminant pathways. 40 CFR
257.91(a)(1) through (2). Because
hydrogeologic conditions vary so widely
from one site to another, the regulations
do not prescribe the exact number,
location, and depth of monitoring wells
needed to achieve the general
performance standard. Rather the
regulation requires installation of a
minimum of one upgradient and three
downgradient wells, as well as any
additional monitoring wells necessary
to achieve the general performance
standard of accurately representing the
quality of the background groundwater
and the groundwater passing. See, 80 FR
21399. The number and placement of
the monitoring wells is critical to proper
characterization of the groundwater.
Thus, the specific number, spacing, and
depth of the monitoring wells must be
determined based on site-specific
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information, including but not limited
to the thorough characterization of
aquifer thickness, groundwater flow
rate, groundwater flow direction
throughout seasonal and temporal
fluctuations, the unit’s geological
setting, and the unit’s hydrogeological
setting.
The monitoring wells must be cased,
constructed, operated, and maintained
in a way that preserves the integrity of
the monitoring well borehole, screened
interval and other components so as to
ensure the well performs to the design
specifications throughout the life of the
monitoring system. EPA expects owners
or operators to ensure the groundwater
monitoring wells are adequately
protected from activities that may
damage the wells or otherwise adversely
impact their performance, such as
accidental damage caused by livestock,
vehicles, machinery, or other activities
near the unit.
The owner or operator of the unit
must ensure that the design,
installation, development, and
decommissioning of any aspect of the
groundwater monitoring system is
thoroughly documented and included in
the operating record. Furthermore, the
owner or operator must obtain a P.E.
certification or approval from the
Participating State Director or EPA
stating the groundwater monitoring
system meets the standards set out in
§ 257.91.
ii. Development of the Groundwater
Sampling and Analysis Program for
Legacy CCR Surface Impoundments
EPA proposed to require owners or
operators of legacy CCR surface
impoundments to comply with the
existing groundwater sampling and
analysis program requirements for CCR
surface impoundments, including the
selection of the statistical procedures
that will be used for evaluating
groundwater monitoring data. 40 CFR
257.93. EPA proposed a deadline of no
later than six months after the effective
date of the final rule for owners or
operators to comply with this
requirement.
One commenter suggested EPA
prohibit use of intrawell groundwater
data comparisons for legacy CCR surface
impoundments. This commenter stated
that intrawell comparisons are only
appropriate when the background
samples are collected before CCR was
placed in the unit and therefore, since
these units are likely already leaking,
they would be ineligible for intrawell
data comparisons. As stated in Unit
III.B.2.f, the existing groundwater
monitoring and corrective action
requirements are essentially the same
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requirements that have been applied to
both hazardous waste and municipal
solid waste disposal units for decades,
and with the one exception discussed
below, there is nothing about legacy
CCR surface impoundments that makes
them distinct enough to warrant
separate or additional requirements.
Furthermore, while EPA expects legacy
CCR surface impoundments to largely
be unlined and potentially leaking, the
commenter did not provide any
evidence that would support creating a
prohibition against intrawell data
comparisons. Therefore, EPA did not
adopt a prohibition on intrawell data
comparisons at legacy CCR surface
impoundments. However, EPA
acknowledges that since the 2015 CCR
Rule went into effect, intrawell
groundwater data comparisons have
been misused to a large degree. No
commenters raised concern about
requiring legacy CCR surface
impoundments to comply with the
existing requirements in § 257.93. EPA
is therefore finalizing this provision
without revision. This is codified in the
regulatory text at § 257.100(f)(4)(ii).
However, EPA received several
comments on the proposed deadline for
the development of the groundwater
sampling and analysis plan. As
mentioned in Unit III.B.2.a.ii, some
commenters supported the expedited
deadline. However, several other
commenters pointed out that the
sampling and analysis plan cannot be
completed prior to the collection of the
baseline samples, which had a proposed
deadline of 24 months from the effective
date. Many of these commenters went
on to state that the proposed expedited
deadline for the development of the
sampling and analysis plan could result
in too frequent sampling leading to nonindependent, autocorrelated baseline
samples for a large number of facilities,
undermining the required statistical
analysis. A few commenters further
stated that EPA published decisions on
Part A and Part B demonstrations citing
lack of statistical independence in
sampling as a basis for non-compliance,
and failure for EPA to extend the
deadline for the sampling and analysis
plan to allow adequate time for facilities
nationwide to gather independent
samples would create de facto noncompliance.59 Commenters also said
59 On January 25, 2023, EPA proposed
determinations on six Part B applications for
alternate liner demonstrations (‘‘Part B’’). All six
proposals are proposed denials. The CCR Part B
Final Rule (85 FR 72506, November 12, 2020),
allowed a limited number of facilities to
demonstrate to EPA or a Participating State Director
that, based on groundwater data and the design of
a particular surface impoundment, the unit has and
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39019
that the proposed deadlines do not
account for the backlogs already
experienced due to the existing CCR
units using the small number of
laboratories qualified to conduct the
specialized analyses required by the
rule, coupled with the national labor
shortages. The commenters predicted
the backlogs with laboratories will only
increase with the regulation of legacy
CCR surface impoundments and
CCRMU, making the proposed deadlines
even more infeasible. Finally, as
mentioned in Unit III.B.2.f, commenters
emphasized the need for one deadline
for all groundwater monitoring
requirements.
EPA agrees that a sampling and
analysis plan cannot reasonably be
completed before the collection of
baseline samples. EPA also
acknowledges the adverse impact of too
frequent sampling on the validity of
statistical analysis and the need to
account for seasonal variability in
groundwater flow, groundwater levels,
and constituent concentrations. EPA
further acknowledges that providing
insufficient time for the collection of
baseline samples or the development of
the sampling and analysis plan would
likely result in ineffective groundwater
monitoring programs that may fail to
alert facilities to groundwater
contamination coming from CCR units.
As explained in Unit III.B.2.a.ii and
Unit III.B.2.f respectively, EPA
recognizes the need for more time to
accommodate third-party availability
and a single deadline for the
groundwater monitoring requirements.
As stated in Unit III.B.2.f.i, for the
reasons laid out above, EPA is finalizing
a single deadline for the groundwater
monitoring requirements of no later
than Monday, May 10, 2027, which is
30 months from the effective date of this
final rule.
The owner or operator must develop
the groundwater sampling and analysis
program that satisfies the requirements
in § 257.93 and includes a list of
monitoring wells to be sampled (i.e., the
monitoring network), the schedule for
sampling, sampling procedures and
techniques, sample preservation and
shipping protocols, analytical
procedures including an appropriate
statistical method for analysis, and
quality assurance and quality control
methods. The sampling and analysis
plan must include all analytes listed in
Appendix III and Appendix IV.
Recommendations and information on
how to comply with many of the
will continue to ensure there is no reasonable
probability of adverse effects to human health and
the environment.
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requirements for the groundwater
sampling and analysis program (e.g.,
analytical procedures, QA/QC controls,
sampling protocol) can be found in the
following EPA guidance documents
(e.g., RCRA Groundwater Monitoring:
Draft Technical Guidance, 1992, EPA/
530/R–93/001; Low-Flow (Minimal
Drawdown) Ground-Water Sampling
Procedures, 1996, EPA/540/S–95/504).
iii. Detection Monitoring Program and
Assessment Monitoring Program
Combined
EPA proposed to require sampling
and analysis of constituents listed in
Appendix IV at the same time as those
listed in Appendix III. The proposed
rule explained that this would expedite
groundwater monitoring and initiation
of corrective action by at least six
months at sites where units have
potentially been leaking for a time, as is
likely the case at unlined legacy CCR
surface impoundments. The proposed
rule further explained that expediting
Appendix IV constituent detection and
any resulting corrective action is
necessary for the protection of human
health and the environment. EPA
proposed no other revisions to the
existing groundwater monitoring
requirements in §§ 257.90 through
257.95.
EPA received few comments on its
proposal to combine detection and
assessment monitoring. One commenter
pointed out the increased demand on
laboratory services, facility staff and/or
contractors, and P.E.s that would result
from having all legacy CCR surface
impoundments comply with both
monitoring programs simultaneously.
Another commenter stated that by
combining detection and assessment
monitoring and assuming groundwater
contamination, EPA has rendered
detection monitoring superfluous.
Further, the commenter asserted that
skipping detection monitoring entirely
would lose critical data regarding
whether there are statistically
significant increases (SSI) in
groundwater constituents specifically
due to the unit being monitored.
Another commenter said that the
justification in proposed rule regarding
phased groundwater monitoring being
‘‘best suited to situations where there is
little likelihood of pre-existing
contamination’’ conflicts with EPA’s
position in the 2015 CCR Rule.
According to the commenter, in the
2015 CCR Rule, the Agency was aware
many CCR surface impoundments were
decades old and potentially leaking; yet
EPA still adopted a phased approach
with detection monitoring to monitor
indicators of potential groundwater
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contamination and assessment
monitoring to determine if releases of
CCR constituents of concern did occur.
As explained in the proposed rule, the
phased approach in the 2015 CCR Rule
is best suited to situations where there
is little likelihood of pre-existing
contamination, such as at a new facility
or unit. As EPA explained in 2015,
detection monitoring was designed to
provide an early warning that a unit
might be contaminating the aquifer, by
first monitoring for constituents that
would rapidly move through the
subsurface and thus provide early
detection of a potential problem before
significant releases of constituents of
concern (i.e., those in Appendix IV) had
occurred. See, 80 FR 21397. At a site
without an old, unlined impoundment,
or other evidence of pre-existing
contamination, a graduated response to
increasing evidence of leakage and
potential contamination is easily
justified, as it both allows facilities
ample time to investigate the source of
contamination as well as the
environmental fate and transport
characteristics of CCR constituents in
groundwater, while still protecting
human health and the environment. In
essence, this approach rests on a
presumption that the unit is not already
leaking. At new sites, for example, there
is no reason to expect that groundwater
will have been contaminated above
regulatory levels of concern prior to
detection by the groundwater
monitoring system.
But that presumption is largely
inapposite for a universe consisting
exclusively of historic unlined units,
many of which have operated for
decades. And at sites where leakage
(and therefore, likely groundwater
contamination) has been occurring for a
sustained period, the need to protect
human health and environment
warrants the quick detection of
constituents of concern and initiation of
any necessary corrective action. Unlike
this rule, the 2015 CCR Rule applied
both to new facilities, which would be
expected to have little likelihood of preexisting contamination, and to currently
operating facilities. Over the long term,
EPA expected that there would
eventually be a greater percentage of
new units than existing units as the
older units reached capacity and closed.
In addition, as discussed in the proposal
at 88 FR 32010 and in Unit III.A.2 of
this preamble, it is clear from the data
posted on facilities’ websites that EPA
significantly underestimated the
number of unlined units (both
impoundments and landfills), and
consequently, significantly
underestimated the number of leaking
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units and the extent of contamination at
these sites. In light of these
considerations, EPA’s decision in 2015
to adopt phased monitoring was
reasonable.
By contrast, there is good reason to
believe that many legacy CCR surface
impoundments are currently
contaminating groundwater, based on
the record from the 2015 CCR Rule, the
results of EPA’s recent modeling, and
the large number of presently regulated
CCR surface impoundments that have
been found to be leaking, despite
frequently inadequate groundwater
monitoring networks. In sum, the
totality of this record demonstrates that
it is highly likely that the installation of
groundwater monitoring at legacy
impoundments will identify the
presence of plumes of contaminated
groundwater that have persisted or even
expanded over many prior years despite
a previous absence of groundwater data.
As a practical matter, EPA expects
combining Appendix III and Appendix
IV constituents into a unified sampling
and analysis plan and approach will
likely have only minor effects on
schedules, as this change will not
require additional field mobilizations or
sampling events and will only require
collection of a slightly larger number of
sample containers at each monitoring
well to allow for analysis for both
Appendix III and IV constituents. As
such, no additional shipments of
samples to the analytical laboratory will
be required. However, EPA
acknowledges that combining Appendix
III and Appendix IV constituents into a
unified sampling and analysis plan may
increase the total throughput burden on
analytical laboratories and related
services. Similarly, while combined
monitoring may require additional
evaluation (e.g., concentration and trend
analysis of data concerning both
Appendix III and Appendix IV
constituents), this incremental increase
is unlikely to significantly increase the
overall reporting level of effort, as the
number of reports will be essentially
unchanged.
Nevertheless, as discussed in Units
III.B.2.a.ii and III.B.2.f of this preamble,
EPA acknowledges the commenters’
concerns regarding existing and
projected labor shortages, backlogs, and
third-party availability, and agrees this
has the potential to affect facilities’
ability to comply with the proposed
deadlines for groundwater monitoring
requirements. EPA is therefore
extending the deadline, as well as
building in flexibility for facilities to
accommodate for delays, by finalizing a
single deadline for groundwater
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monitoring requirements in lieu of the
proposed split deadlines.
However, EPA disagrees that
combining detection and assessment
monitoring will render detection
monitoring redundant, and that critical
data would be lost, by sampling for
Appendix IV constituents at the same
time as Appendix III constituents (i.e.,
by collecting more information). The
commenters provided no further
explanation of what information they
thought would be lost, but under the
combined monitoring, the facility would
collect the same information on
Appendix III constituents that is
collected under the detection
monitoring in § 257.94. Given that
under the existing assessment
monitoring provisions, facilities must
simultaneously analyze samples for all
parameters in Appendix III and for any
Appendix IV constituent detected in the
initial sampling, it is not apparent why
the commenter believes that requiring
simultaneous monitoring more broadly
is appreciably different. 40 CFR
257.95(d)(1).
As stated in the previous paragraph,
concurrent monitoring for Appendix III
and Appendix IV constituents provides
considerably more information and
enables a more complete understanding
of the geochemical nature, fate, and
transport of any detected releases.
Additionally, simultaneously collecting
samples for Appendix III and Appendix
IV constituents will still provide the
basis for determining SSIs, should they
exist, so no information will be lost.
Contrary to the commenter’s concern,
additional information will be gained in
an expedited manner (e.g., the potential
spatial and temporal correlation of
Appendix III SSIs with exceedances of
statistically significant levels (SSLs) for
Appendix IV constituents).
Furthermore, EPA disagrees that its
explanation that phased groundwater
monitoring is ‘‘best suited to situations
where there is little likelihood of preexisting contamination’’ fundamentally
conflicts with EPA’s decision to adopt
phased monitoring in the 2015 CCR
Rule. Unlike this final rule, the 2015
CCR Rule applied to both new facilities,
which would be expected to have little
likelihood of pre-existing
contamination, and to existing facilities.
Over the long-term, EPA expected that
there would eventually be a greater
percentage of new units than existing
units as the older units reached capacity
and closed. In addition, as discussed in
the proposal at 88 FR 32010 and in Unit
III.A.2 of this preamble, it is clear from
the data posted on facilities’ websites
that in 2015 EPA significantly
underestimated the number of unlined
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units (both impoundments and
landfills), and consequently,
significantly underestimated the
number of leaking units and the extent
of contamination at these sites.
If an alternate source is causing an
exceedance of an Appendix III
constituent, it may also be the source of
any SSL detected for any Appendix IV
constituents; in such a case, a facility
may simply prepare a single ASD that
covers constituents from both
appendices. The sole difference between
phased monitoring and combined
monitoring is if the alternate source is
only responsible for the Appendix III
constituent, but the unit actually is
releasing one or more Appendix IV
constituents. In such a case, under a
phased approach detection of the
Appendix IV constituent can be delayed
or even remain undetected, because the
facility would not trigger assessment
monitoring absent an SSI from another
Appendix III constituent. In such
situations, combined monitoring can
make the monitoring program more
accurate; it is unclear why the
commenter believes this is
inappropriate.
To avoid unnecessary and potentially
inappropriate delays, ASDs should only
be considered in cases where there is a
strong technical case for an alternate
source, and technically weak or
equivocal ASDs should be rejected as
soon as is appropriate to minimize
delays in corrective action
implementation. Given the age of most
inactive CCR facilities, the potential for
plumes of groundwater contamination
extending for significant distances
downgradient of the unit boundaries
where exceedances are first determined
should be anticipated. Additional lateral
and vertical delineation of groundwater
exceedances should be conducted in
conjunction with corrective action as
needed.
Ultimately, the combined monitoring
expedites the initiation of assessment
monitoring which in turn, allows for
more expeditious identification of
statistically relevant exceedances of
Appendix IV constituents. This will in
turn expedite ASD development or
corrective action, depending on the
circumstances.
The phased approach in the 2015 CCR
Rule provides for a graduated response
to groundwater contamination as the
evidence of contamination increases
over time. This approach allows
facilities ample time to investigate the
source of contamination as well as the
transport characteristics of CCR
constituents in groundwater while,
usually being protective of human
health and the environment. However,
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at sites where there is a strong
likelihood that groundwater
contamination has been occurring for a
sustained period, the advantages
provided by a protracted graduated
response are outweighed by
disadvantages of persistent or even
increasing contamination that continues
to move downgradient. At these sites,
the need to protect human health and
the environment necessitates the quick
detection of the constituents of concern
in Appendix IV to expedite any
necessary corrective action. See,
USWAG 901 F.3d at 427–30. In this
case, as highlighted in Unit III.A, the
record provides strong reason to
conclude that many legacy CCR surface
impoundments are contaminating
groundwater, given the large number of
currently regulated CCR surface
impoundments that have been found to
be leaking.
Therefore, EPA is finalizing this
requirement as proposed to be
completed no later than Monday, May
10, 2027, which is 30 months after the
effective date of this final rule. This is
codified in the regulatory text at
§ 257.100(f)(4)(iii)(B) and (C).
iv. Detection Monitoring Program and
Assessment Monitoring Program—
Deadline for Collection and Analyses of
Eight Independent Samples for Legacy
CCR Surface Impoundments
EPA proposed that no later than 24
months after the effective date of the
final rule, owners or operators of legacy
CCR surface impoundments initiate the
detection monitoring program by
completing sampling and analysis of a
minimum of eight independent samples
for each background and downgradient
well, as required by § 257.94(b). The
proposed rule explained that within 90
days after initiation of the detection
monitoring program, owners or
operators must identify any SSIs over
background levels for the constituents
listed in Appendix III, as required by
§ 257.94. To expedite the time to initiate
any required corrective action, EPA also
proposed that by this same deadline
owners or operators initiate the
assessment monitoring program by
establishing groundwater protection
standards and staring to evaluate the
groundwater monitoring data for an SSL
over GWPS for the constituents listed in
Appendix IV as required by § 257.95.
No commenters raised concern about
requiring legacy impoundments to
comply with the existing requirements
in § 257.94(b). Therefore, EPA is
finalizing this requirement as proposed.
This is codified in the regulatory text at
§ 257.100(f)(4)(iii)(A).
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However, EPA received several
comments on the proposed deadline for
the collection of the eight baseline
samples. As mentioned in Unit
III.B.2.a.ii, some commenters supported
the expedited deadline. However,
several other commenters requested that
the groundwater monitoring
requirement deadlines be combined into
a single deadline that provided at least
as much time to come into compliance
as was provided in the 2015 CCR Rule
deadlines (i.e., 24 months after the
effective date of the final rule). As stated
in Unit III.B.2.f, based on information
provided by commenters, EPA
concluded that a single deadline should
be used for the groundwater monitoring
requirements. In the proposed rule, the
latest proposed deadline for
groundwater monitoring requirements
was the deadline of 24 months from the
effective date of this final rule for the
initiation of the combined detection and
assessment monitoring and the
collection of the eight baseline samples.
Based on information provided in
response to comments on the proposed
rule and as explained in Units III.B.2.a.ii
and III.B.2.f, EPA calculated six months
as the appropriate extension of the
groundwater monitoring system
deadlines. Therefore, EPA is finalizing a
deadline for the completion of sampling
and analysis of a minimum of eight
independent samples for each
background and downgradient well of
no later than Monday, May 10, 2027,
which is 30 months from the effective
date of this final rule.
v. Annual Groundwater Monitoring and
Corrective Action Reports for Legacy
CCR Surface Impoundments
EPA proposed to apply the existing
requirements in § 257.90(e) to legacy
CCR surface impoundments and that
owners or operators of legacy CCR
surface impoundments comply no later
than January 31 of the year following
the calendar year after a groundwater
monitoring system has been established
(and annually thereafter).
One commenter suggested that the
initial groundwater monitoring and
corrective action report be due no later
than January 31 of the year following
the collection of the eight baseline
samples and the first semi-annual
sampling event in order to allow
facilities to provide all the
documentation required by § 257.90(e).
EPA disagrees that the information
required by § 257.90(e) would not be
available to a facility upon completion
of the groundwater monitoring system,
as the annual report serves as an update
on the activities related to the
groundwater monitoring program,
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including the installation of
groundwater monitoring wells.
Additionally, when specific actions are
not required by the CCR regulations
(e.g., a facility has not triggered
corrective action), facilities are not
penalized for not having any activities
related to that action to discuss in the
groundwater monitoring and corrective
action annual report (e.g., not describing
progress in selecting a remedy when not
in corrective action).
EPA is finalizing the requirement for
owners or operators of legacy CCR
surface impoundments to comply with
the requirements in § 257.90(e) which
mandate the preparation of an annual
groundwater monitoring and corrective
action report no later than January 31,
2027, and annually thereafter. This is
codified in the regulatory text at
§ 257.100(f)(4)(iv).
The report documents the activities
associated with the groundwater
monitoring program and progress of any
corrective action over the past year and
must contain specific information
identified in the regulations, including
but not limited to maps; aerial images or
diagrams showing the CCR unit and all
upgradient (background) and
downgradient wells; identification of
any monitoring wells installed or
decommissioned in the previous year;
monitoring data collected under
§§ 257.90 through 257.98; and a
narrative discussion of any transition
between monitoring programs (i.e.,
detection and assessment monitoring).
Annual reporting should ensure that
groundwater level data collected over
the reporting period is tabulated,
presented, and analyzed to determine
groundwater levels relative to any
residual CCR left in place as well as to
confirm or determine groundwater flow
directions.
Upgradient and downgradient well
locations and depths should be
validated annually with respect to
measured and mapped flow directions.
Groundwater quality sampling data
should be included in appendices and
summarized and tabulated in the annual
reports. If appropriate, exceedances
(SSIs and SSLs) of Appendix III and IV
constituents should be tabulated and
highlighted. As mentioned in some
comments, annual reports should
identify the nearest downgradient
surface water bodies as well as
groundwater supply wells in the
vicinity of the unit.
If the groundwater monitoring
required in § 257.95, demonstrates an
exceedance of the groundwater
protection standards for constituents
identified in Appendix IV of part 257,
corrective action as laid out in §§ 257.96
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through 257.98, should be initiated as
soon as possible. It is critical that
annual corrective action and monitoring
reports provide the basis for selection
and documentation of corrective actions
as early as possible well as graduated
data to document initiation of corrective
action activities and graduated and
ongoing steps and associated data
collected over the course of each year to
document remedial performance,
modifications, and other changes or
improvements.
In addition to documenting
compliance, the annual report must be
posted to the unit’s public CCR website
which allows the public to review the
groundwater monitoring results.
Therefore, it is critical that the annual
reports contain the basic data that
informs the positions and status
reported in those documents, including
but not limited to boring logs,
monitoring well installation diagrams,
water level data, field sampling data
sheets for groundwater sample
collection, laboratory analytical data
including QA/QC data, data validation,
and others. In summary, the annual
groundwater monitoring and corrective
action reports should not only contain
the information required by the
regulations but should be organized in
such a way that: (1) Compliance with
the CCR regulations is evident; (2) Data
supporting compliance conclusions are
easily located within the document; and
(3) The public is readily able to review
the groundwater monitoring data and
related information. Lastly, the name of
the document on the public CCR
website should be such that it is clear
what the file is and readily printed and
downloaded by the public.
vi. Corrective Action Requirements for
Legacy CCR Surface Impoundments
EPA proposed to require owners or
operators of legacy CCR surface
impoundments to comply with the
existing corrective action criteria, as
applicable in §§ 257.96 through 257.98.
The proposed rule explained that
conducting the sampling
simultaneously would expedite
groundwater monitoring and, where
necessary, initiation of corrective action
by at least six months at sites where
units have potentially been leaking for
a long period, as is likely the case at
many unlined legacy CCR surface
impoundments. The proposed rule
further explained that expediting
Appendix IV constituent detection,
assessment and any subsequent
corrective action would protect human
health and the environment.
Under the existing regulations, if
groundwater monitoring demonstrates
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an exceedance of the groundwater
protection standards for constituents
identified in Appendix IV of part 257,
corrective action is required, as laid out
in §§ 257.96 through 257.98. These
requirements apply throughout the
active life and any post-closure care
period of the CCR unit.
A commenter suggested EPA create a
deadline for the completion of the
selection of a remedy required by
§ 257.97 of 90 days after the completion
of the assessment of corrective measures
(ACM) with the ability to extend the
deadline up to 180 days after the
completion of the ACM. The commenter
pointed to the failure of units regulated
by the 2015 CCR Rule to select a remedy
as soon as feasible after the completion
of the ACM as required by the rule and
the subsequent unnecessary delay in
addressing contaminated groundwater.
Other commenters stated that applying
the existing groundwater monitoring
and corrective action requirements to
historic sites, such as legacy CCR
surface impoundments, is not
appropriate and suggested that instead
EPA incorporate site-specific risk-based
corrective action into the CCR
regulations. One of these commenters
further stated that the application of the
existing CCR corrective action
requirements conflict with EPA’s
decision-making frameworks in other
programs such as RCRA and CERCLA
due to lack of site-specific risk
assessments to evaluate risk and drive
corrective action decisions. This
commenter suggested that EPA utilize
site-specific, risk-based corrective action
that is consistent with the guidance
documents EPA has developed for
RCRA and CERCLA programs.
EPA acknowledges the widespread
non-compliance with the mandate to
complete the selection of a remedy as
soon as feasible after the completion of
the ACM. However, EPA disagrees with
the commenter’s suggested deadline.
The recommended deadline could
actually have the effect of extending the
deadline for the completion of the
selection of a remedy beyond that in
2015 CCR Rule because ‘‘as soon as
feasible’’ in many cases would likely be
before 90 days after the completion of
the ACM. Granting owners or operators
more time to select a remedy would be
less protective of human health and the
environment. Regarding noncompliance
with the CCR regulations, EPA has been
and will continue to take action to
address the non-compliance on a
myriad of issues including to the failure
of owner or operators to select a remedy
as soon as feasible. EPA has announced
that enforcing the CCR regulations is
part of the ongoing set of National
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Enforcement and Compliance Initiatives
and expects that enforcement actions
taken as part of the Initiative may
address, where relevant and
appropriate, the concern raised by the
commenter.60
EPA disagrees with the suggestion
that the existing corrective action
requirements, if triggered, are
inappropriate at legacy CCR surface
impoundments. As stated in Units
III.B.2.a.i and III.B.2.f, the physical
characteristics of legacy impoundments
are not sufficiently different from
currently regulated units to justify
different requirements. For those
commenters requesting that EPA adopt
‘‘risk-based corrective action’’ into the
requirements, EPA notes that the
commenters have provided no further
explanation of what requirements in the
existing regulations they wanted EPA to
revise, what the revisions should
accomplish, or why they are necessary
or appropriate. As a general matter EPA
considers that the corrective action
regulations in §§ 257.95 through 257.98
do currently require facilities to tailor
remedies to address the risks to human
health and the environment, based on
the conditions at the site. It is unclear
what more the commenters are seeking.
Furthermore, the commenter that stated
that the existing corrective action
regulations conflict with other EPA
programs (i.e., RCRA and CERCLA)
failed to fully explain how the existing
corrective action regulations conflict
with EPA-published RCRA or CERCLA
guidance documents or how they
preclude corrective action decisions
driven by site-specific risks.
Accordingly, EPA is finalizing, without
revision, its proposal that legacy CCR
surface impoundments comply with the
existing corrective action requirements
at §§ 257.95 through 257.98.
As explained in the proposed rule at
88 FR 32003, §§ 257.90 through 257.95
require an owner or operator of a CCR
unit to install a system of monitoring
wells, specify procedures for sampling
these wells, and set forth methods for
analyzing the groundwater data
collected to detect hazardous
constituents (e.g., toxic metals) and
other monitoring parameters (e.g., pH,
total dissolved solids) released from the
units (i.e., all parameters listed in
Appendices III and IV). If the
groundwater monitoring required in
§ 257.95, demonstrates an exceedance of
the groundwater protection standards
60 EPA Enforcement Alert, National Enforcement
and Compliance Initiative, Protecting Communities
from Coal Ash Contamination. EPA Document
#310F23002. December 2023. https://www.epa.gov/
system/files/documents/2023-12/ccr-enf-alert2023.pdf.
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39023
for constituents identified in Appendix
IV of part 257, corrective action is
required as laid out in §§ 257.96 through
257.98. These requirements apply
throughout the active life and postclosure care period of the CCR unit.
When corrective action is required, it
should be initiated as soon as possible.
The corrective action program includes
initiating an ACM to prevent further
releases, to remediate any releases, and
to restore affected areas to original
conditions, as specified in § 257.96(a).
After the ACM has been completed, the
owner or operator must select a remedy
that meets prescribed standards,
including a requirement that the remedy
attain the groundwater protection
standards. See § 257.97(a) and (b).
Finally, the corrective action program
requires the owner or operator of the
CCR unit to initiate remedial activities
within 90 days of selecting a remedy.
See § 257.98(a). The requirement to
address releases under this requirement
is identical to those requirements for
any CCR unit undertaking groundwater
corrective action with the additional
requirement that implementation of
corrective action begin during the active
life of the unit.
EPA expects that when assessing
corrective measures and selecting a
remedy, the owner or operator of the
unit will consider the impact of the
corrective measures on the water quality
and safety of the nearest surface water
bodies and the nearest private and/or
public groundwater wells.
With respect to completion of an
ACM and remedy selection, § 257.96(a)
requires an ACM be initiated within 90
days of determining an SSL has
occurred, and then completed within
another 90 days. An extension, not to
exceed 60 days, may be warranted due
to site-specific conditions or
circumstances. This deadline to
complete an ACM, 180 to 240 days after
determining an SSL, was not proposed
to be changed, so comments suggesting
changes to these provisions are outside
the scope of the rulemaking.
Additionally, the commenters provided
no reason why corrective measures
could not be assessed and compared in
an ACM and a remedy could not be
selected. Prior to closure of a CCR unit,
the facility has been required to
characterize site conditions, including
groundwater flow conditions and
geology. The facility has knowledge of
wastestreams and water volumes it
discharges to a CCR surface
impoundment. This information can be
used to develop a groundwater model to
predict groundwater flow conditions
after wastestream disposal ceases and
closure is initiated. EPA believes this
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would provide sufficient
characterization of post-closure
conditions to assess and compare
groundwater cleanup alternatives to
complete an ACM. The commenters
have provided no reasons or
explanation why this would not be
achievable.
Once the ACM is complete, a public
meeting has been held, and community
input has been considered, a remedy
must be selected as soon as feasible.
EPA agrees that a selected remedy may
include closure by removal to comply
with source control requirements, and
that this would constitute commencing
implementation of a remedy. However,
the selected groundwater remediation
portion of the remedy must also be
implemented within a reasonable time,
in accordance with the schedule
established in the remedy selection
report. 40 CFR 257.97(d).
Implementation of the source control
measure does not negate this
requirement.
g. Closure and Post-Closure Care Criteria
for Legacy CCR Surface Impoundments
EPA proposed to apply all of the
existing closure and post-closure care
requirements in §§ 257.101 through
257.104 to legacy CCR surface
impoundments, except for the
alternative closure requirements in
§ 257.103(f). The proposed rule
explained that based on the data
gathered since 2015 from the currently
regulated CCR unit universe, the Agency
considered it highly unlikely that any
legacy CCR surface impoundment has a
composite liner that meets the
requirements of § 257.71 and therefore
EPA expected legacy CCR surface
impoundments to be unlined as defined
by § 257.71(a)(3)(i). Consistent with the
USWAG decision and the existing
regulations in § 257.101(a) mandating
that all unlined (including clay-lined)
impoundments must close, EPA
proposed to require that all legacy CCR
surface impoundments initiate closure
within 12 months of the effective date
of this final rule. The proposed rule also
explained that the alternative closure
provisions in § 257.103(f) were not
appropriate for legacy CCR surface
impoundments as these units, by
definition, are inactive impoundments
at inactive facilities and could not
therefore demonstrate the need to
continue to use the disposal unit, which
is a qualifying component of the
alternative closure provisions.
EPA received numerous comments on
its proposal to apply the existing the
closure and post-closure care
requirements §§ 257.100 through
257.104 to legacy CCR surface
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impoundments. Overall, most
commenters supported or did not
contest EPA’s proposal. Some of these
commenters agreed that requiring legacy
CCR surface impoundments to comply
with the existing closure requirements
is necessary for the long-term protection
of human health and the environment.
A few of these commenters also
suggested that EPA prohibit legacy CCR
surface impoundments from closing
with CCR in place under § 257.102(d).
Many other commenters however
objected to subjecting legacy
impoundments to § 257.101(a), which
requires CCR surface impoundments
constructed without a composite liner to
close. These commenters generally
argued that a national requirement to
close was not appropriate for legacy
CCR surface impoundments and that
EPA should instead determine whether
closure is warranted at each site based
on a finding that the individual unit at
the particular site poses unacceptable
risks. These commenters largely
reiterated comments previously made in
response to the ANPRM, without
addressing EPA’s responses in the
proposal. For example, some asserted
that their particular legacy
impoundments are not contaminating
groundwater and do not pose a risk to
groundwater. One claimed that the
proposal was based on the upper bound
of risk pulled from a sensitivity analysis
of a nationwide risk assessment based
on aggregated data unrepresentative of
any given facility, and therefore could
not support a finding that any particular
site poses ‘‘actual risks.’’ This
commenter also asserted that a
nationwide risk assessment should not
be used to impose a ‘‘one-size-fits-all’’
closure requirement or universal
performance standards for closure,
because it could drive closure methods
that are not necessary to ensure
protection of human health and the
environment. Other commenters
repeated their claims that the closure of
legacy CCR surface impoundments
would itself present greater risks than
leaving the disposal unit in its existing
state. For example, one commenter
asserted that closing legacy
impoundments could raise
environmental justice issues associated
with increased traffic and
(consequently) decreased air quality;
could risk potentially destabilizing the
unit and disturbing native species and
animal habitats; and would increase air
emissions, water consumption, and
waste generation.
These commenters asserted that a
‘‘risk-based’’ closure or corrective action
program was better suited ‘‘to address
the unique nature and unknown risk of
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legacy CCR surface impoundments.’’ For
example, one commenter suggested that
the risks associated with legacy CCR
surface impoundments can be better
managed through corrective action
implemented under a permit program,
which the commenter believed would
make the mandate to close these units
unnecessary. The commenter explained
that although closure can be useful as
source control in remediating
contamination, as long as the exposure
pathways are appropriately addressed
through corrective action, nearby
receptors will not be impacted by the
risks, and the RCRA subtitle D
protectiveness standard would be met
without closing the impoundment.
Similarly, another commenter argued
that mandating closure for all legacy
impoundments is inconsistent with
other RCRA and CERCLA or State
cleanup programs, which, the
commenter asserts generally use sitespecific risk assessments to determine
whether closure is warranted. The
commenter suggested that instead, the
final rule should rely on the upcoming
implementation of EPA’s Federal
permitting rule pursuant to the WIIN
Act and allow a regulated entity to
conduct a site-specific risk assessment
to evaluate whether the historical CCR
disposal areas pose ‘‘actual risks’’ and
allow closure and corrective actions to
be tailored to site-specific conditions
and risks.
Other commenters raised concern that
some legacy impoundments are now
located beneath infrastructure such as
pipelines or transmission lines that
cannot be disturbed without disrupting
operations, active CCR units, or
buildings. These commenters explained
that requiring closure of these
impoundments could adversely impact
grid reliability, business operations, or
other necessary public services (e.g.,
military infrastructure) and suggested
that EPA exempt these units or at least
extend the closure time frames to allow
for closure of the impoundment when
the other unit or structure is closed or
decommissioned.61
61 EPA also received comments suggesting that it
examine the cumulative impact of several recently
or soon-to-be finalized power sector and vehicle
rules. EPA performed suggested sensitivity analysis
which demonstrated 1) the cumulative impact is
not expected to adversely impact resource
adequacy, and 2) that, considering the power sector
rules together, the cumulative effect of these rules
in terms of reduction in coal steam electric
generating capacity is less than the sum of each of
these rules individually for 2035. The affected
universe of units with significant mitigation
responsibilities among the EPA rules is
overlapping, not purely additive, as it largely
reflects the same segment of the grid’s generation
portfolio. See Resource Adequacy Analysis: Vehicle
Rules, 111 EGU rule, ELG, and MATS Technical
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Several commenters expressed
support for the proposed 12-month
deadline to initiate closure, stating that
the shorter deadlines are necessary to
address the increased risk from legacy
CCR surface impoundments and
likelihood these units are and have been
contaminating groundwater. Many other
commenters characterized the proposed
deadline as infeasible for the reasons
mentioned in Unit III.B.2.a.ii, including
seasonality, need to comply with
overlapping regulatory requirements,
labor shortages, and the strain on the
limited resources necessary to achieve
compliance (e.g., contractors,
laboratories, P.E.s) caused by the
number of CCR units coming into
compliance at the same time.
Commenters also stated that compliance
with the closure requirements should
not be required until after the
groundwater monitoring system was
installed and baseline samples collected
so that closure could be informed by the
groundwater monitoring data. These
commenters pointed to recent EPA Part
A and Part B decisions as evidence of
the gap between EPA’s expectations and
the closure and post-closure plans
developed using good faith efforts by
owners or operators and best practices;
these commenters further stated that the
proposed deadline precludes the
incorporation of groundwater
monitoring data in developing closure
plans and is likely a contributing factor
to the gap between EPA’s expectation
and closure and post-closure care plans
submitted by owners or operators of
currently regulated units. One
commenter also claimed that legacy
CCR surface impoundments are
potentially still being used to manage
non-CCR wastestreams, and that EPA
consequently needed to create a
mechanism for facilities to seek
extensions similar to those that had
been made available under § 257.103(f).
Commenters’ suggestions for alternative
deadlines to initiate closure ranged from
24 to 34 months, or at least after the
collection of the baseline groundwater
monitoring samples required by
§ 257.94.
MEMO for more information. Also see IPM
Sensitivities MEMO. The grid analysis did not
include the proposed or final version of this
rulemaking, because this CCR rule primarily
addresses only disposal units that have not received
CCR since before 2015, that is the disposal units are
not part of ongoing operations at any facility, and
consequently this rule is not expected to impact the
generation of electricity. In addition, EPA continues
to believe this final rule will not generally impact
current utility operations, particularly due to the
revisions made in the final rule to address
commenters concerns, as discussed in the preamble
to the final rule (e.g., extended deadlines for
CCRMU located under critical infrastructure).
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EPA continues to believe that
applying the closure and post-closure
requirements in §§ 257.101 through
257.104 to legacy CCR surface
impoundments is appropriate and
necessary to protect human health and
the environment. Based on the record
compiled for the 2015 CCR Rule, EPA
concluded that ‘‘there is little difference
between the potential risks of an active
and inactive surface impoundment; both
can leak into groundwater, and both are
subject to structural failures that release
the wastes into the environment,
including catastrophic failures leading
to massive releases that threaten both
human health and the environment.’’ 80
FR 21343. As discussed in Unit III.B of
this preamble, the D.C. Circuit
concurred, and on that basis, vacated
the exemption for legacy CCR surface
impoundments. See, USWAG at 901
F.3d at 434. EPA received no
information during this rulemaking that
would support a conclusion that legacy
CCR surface impoundments present
fewer risks than other inactive CCR
surface impoundments. Indeed, as
discussed in Unit III.A, more recent
information continues to indicate that
legacy CCR surface impoundments are
more likely to contaminate groundwater
and at higher levels, even in cases
where the unit no longer presents
structural stability concerns. Based on
this record and on the specificity of the
D.C. Circuit’s findings in USWAG, EPA
considers that it has limited discretion
to establish requirements for legacy CCR
surface impoundments that are
significantly different than those
currently applicable to inactive CCR
surface impoundments. Accordingly,
EPA in most cases instances has
required legacy CCR surface
impoundments to comply with the
existing closure and post-closure
requirements in 40 CFR part 257,
subpart D, that are currently applicable
to inactive CCR surface impoundments.
This final rule also adopts the
provisions that were originally proposed
on March 3, 2020, that allow a facility
closing by removal to complete required
groundwater remediation during a postclosure care period, discussed in Unit
III.D of this preamble.
However, in response to comments,
EPA included one additional provision
to account for the inception of Federal
permitting. A key feature of a permit
program is that, through a subsequent
public process, a regulatory authority
can adjudicate legal and factual issues
based on the specific facts of an
individual site, that would be more
complex and challenging to resolve in a
national rule. EPA has relied on this
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feature to resolve one of the more
complex legal and factual issues raised
in this rulemaking by deferring it to the
subsequent permitting process: how to
address situations where the
impoundment contained CCR and
liquids on October 19, 2015, but prior to
the effective date of this final rule, a
facility closed its legacy CCR surface
impoundment in accordance with
standards established by a regulatory
authority that are different than the
performance standards in § 257.102, but
that are likely to provide equivalent
protection of human health and
environment. Provided certain criteria
are met, EPA is deferring the
requirement for the closed unit to
comply with § 257.102 until a permit
authority can evaluate the adequacy of
the previously completed closure, and
determine during permitting whether
(as well as what) additional measures
are necessary to ensure that the closure
is as protective as § 257.102. The criteria
EPA is employing are designed to
ensure that the regulatory authority
overseeing the closure applied
standards that were substantially
equivalent to the otherwise-applicable
CCR rules in terms of evaluating and
mitigating the risks. In such cases, EPA
would therefore have reliable evidence
that the risks have likely been
adequately mitigated and therefore,
these are unlikely to pose a reasonable
probability of adverse effects pending
later permitting. The final rule also
includes procedures for the closure
equivalency determination modeled on
similar determinations made for
hazardous waste interim status units
under § 270.1.
EPA is currently transitioning from
the exclusively rule-based program to a
Federal permitting program. Although
every unit in operation, closure, or
corrective action will ultimately receive
a permit, and EPA expects to shortly
begin issuing permits, it will be several
years before permits are issued for every
unit. This means that, at least in the
near term, most facilities will continue
to operate under the current selfimplementing regime, similar to units
under the subtitle C hazardous waste
program that initially operated under
interim status prior to obtaining a
permit. While this necessarily limits the
degree to which this final regulation can
rely on the permitting process, this is an
example of a situation that is better
resolved through a combination of a
national rulemaking and the
individualized decision making
provided through permitting rather than
exclusively through a national
rulemaking. EPA agrees that there are
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examples of units closed under
alternative criteria that appear to be
equally as protective as the part 257
closure requirements. If EPA were to
require all previously closed units to
document compliance with § 257.102
immediately, several units that have
likely already met the protectiveness
standards would be swept in
unnecessarily. Unfortunately, it is not
feasible to evaluate these individual
closures as part of this national
rulemaking; these units are all subject to
different requirements, and commenters
have provided insufficient information
on each individual unit for the Agency
to conclude that they are in fact as
protective as a closure conducted in
accordance with § 257.102. If EPA were
still limited to issuing minimum
national criteria through rulemaking, it
would be reasonable to craft a regulation
that would regulate over broadly in
order to ensure that the final rule
achieves the statutory standard at each
facility subject to the regulation. See 42
U.S.C. 6944(a)(‘‘no reasonable
probability of adverse effects on health
or the environment . . . at such
facility’’). As EPA explained in 2015, to
establish criteria under this provision,
EPA must demonstrate, through factual
evidence available in the rulemaking
record, that the final rule will achieve
the statutory standard at all sites subject
to the standards based exclusively on
the final rule provisions. This means
that the regulations must account for
and be protective of all sites, including
those that are highly vulnerable. But
now that Congress has granted the
agency broader authority, it is
reasonable in this case, where EPA can
craft criteria to identify closures that
may be protective and thus warrant a
closer evaluation, to rely on that broader
authority.
Under this provision, EPA is not
exempting a facility from the
requirement to demonstrate that a unit
closure meets the performance
standards in § 257.102, or from agency
oversight, but only delaying application
of the requirement until the Agency can
resolve the outstanding legal and factual
issues. EPA is also deferring only the
requirement that a closed unit achieve
compliance with the closure
performance standards. To mitigate any
potential risks, all other applicable
requirements, including the
requirements for groundwater
monitoring and corrective action would
continue to apply to these units. Further
EPA’s existing authorities to respond to
urgent threats to human health or the
environment also remain available,
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should the need arise. See, e.g., 42
U.S.C. 6973.
i. Requirement for Legacy CCR Surface
Impoundments To Close
The final rule continues to require
legacy CCR surface impoundments to
close. As EPA explained in the
proposal, the USWAG decision has
effectively resolved this issue. No
commenter submitted any evidence to
demonstrate that the risks associated
with these units are any lower than they
were in 2018 when the Court decided
that closure of all unlined and claylined impoundments was required by
RCRA section 4004(a) or that the risks
posed by legacy CCR surface
impoundments are any lower than those
at the currently regulated inactive
impoundments at active facilities. If
anything, more recent information
indicates that a greater number of legacy
CCR surface impoundments are more
likely to have leaked even higher levels
of contaminants than the operating
impoundments modeled in 2014. See
Unit III.A.
No commenter has identified any
legacy CCR surface impoundment with
a composite liner that meets the
requirements of § 257.71. Based on the
data gathered since 2015 from the
currently regulated CCR unit universe,
the Agency considers it highly unlikely
that any legacy CCR surface
impoundment has such a liner. EPA
analyzed the list of inactive CCR
facilities compiled based on comments
received in response to the ANPRM and
this rulemaking and knows that almost
all these facilities were opened prior to
1990 (one facility opened in 1996)
before composite liner systems were
typically installed. Unless legacy CCR
surface impoundments are very
different than impoundments at active
facilities, EPA expects all units of this
age to be unlined as defined by § 257.71.
The D.C. Circuit has also already
rejected arguments that EPA can avoid
requiring CCR surface impoundments to
close based on claims that ‘‘all
impoundments aren’t leaking.’’
The EPA and Industry Intervenors assert
that the composite lining required for new
units is not needed for existing units because
most unlined impoundments do not leak,
and an unlined impoundment that is not
leaking is not dangerous. Industry
Intervenors emphasize that the record
suggests that ‘‘almost two-thirds of unlined
impoundments do not leak,’’ and they assert
that ‘‘appropriate controls on impoundments
that do leak’’ suffice to meet RCRA’s ‘‘no
reasonable probability’’ standard. The EPA
underscores that it made no finding of any
‘‘reasonable probability that each and every
unlined impoundment will, in fact, result in
adverse effects on health and the
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environment.’’ It insists that RCRA’s ‘‘no
reasonable probability’’ standard is met by
the Rule’s provisions for ‘‘extensive
monitoring of groundwater to detect
constituent leaking,’’ id. at 83, and
‘‘immediate action to stop that leak,’’
‘‘redress that leak,’’ and to close the site as
soon as a harmful leak is detected.
USWAG, supra at 427. The Court
summarily rejected these arguments.
It is inadequate under RCRA for the EPA
to conclude that a major category of
impoundments that the agency’s own data
show are prone to leak pose ‘‘no reasonable
probability of adverse effects on health or the
environment,’’ 42 U.S.C. § 6944(a), simply
because they do not already leak.
Id. This holding largely rests on a legal
conclusion of what RCRA section
4004(a) requires, which Congress did
not alter when it amended the statute in
the WIIN Act.
The Court similarly rejected
arguments that reliance on the part 257
corrective action provisions to clean up
releases can effectively substitute for a
national requirement to close
impoundments, or that corrective action
alone is sufficient to meet the RCRA
section 4004(a) standard. As the Court
explained, that argument focuses on the
wrong risks and addresses only half of
the statutory standard. The
contamination of a potential source of
drinking water is itself an adverse effect
on the environment, and the statutory
requirement to ensure there will be no
reasonable probability of adverse effects
on health or the environment requires
the Agency to take measures based on
the risks to prevent this harm from
occurring in the first place. It is not
enough to remediate the contamination
before it reaches an off-site receptor.
In defending the Rule here, the EPA looks
at too narrow a subset of risk information and
applies the wrong legal test.
The Final Rule’s approach of relying on
leak detection followed by closure is
arbitrary and contrary to RCRA. This
approach does not address the identified
health and environmental harms
documented in the record, as RCRA requires.
. . .
RCRA requires the EPA to set minimum
criteria for sanitary landfills that prevent
harm to either ‘‘health or the environment.’’
The EPA’s criteria for unlined surface
impoundments, limited as they are to
groundwater monitoring for contaminant
levels keyed to human health, only partially
address the first half of the statutory
requirement.
. . .
But here, too, the EPA has failed to show
how unstaunched leakage while a response is
pending comports with the ‘no reasonable
probability’ standard.
Id. at 429–430, 431 (emphasis added).
None of this has changed. Nor has any
commenter identified any unique
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characteristic of legacy impoundments
that makes any of the Court’s analysis
irrelevant or inapplicable. Although
some commenters continue to claim that
their units are heavily vegetated or
developed and that reopening or other
removal/remediation activities may
disrupt current use of the land, no
commenter submitted any data or
analysis to demonstrate that removal or
remediation activities would be more
detrimental to health and the
environment than not cleaning up the
contaminated groundwater in the
aquifer or taking measures to prevent
the legacy CCR surface impoundment
from continuing to contaminate the
aquifer. Moreover, the fact that some
impoundments have become heavily
vegetated or redeveloped does not
mitigate the risks these unlined legacy
CCR surface impoundments continue to
pose.
The same is true for those
commenters alleging that the closure of
legacy CCR surface impoundments
would itself present greater risks than
leaving the disposal unit in its existing
state; none presented any data or
analysis, stating instead that possible
effects were self-evident. However, EPA
notes that most of these comments
appear to have been premised on the
assumption that closure by removal
would be required. As discussed in the
next section, EPA is not prohibiting
legacy CCR surface impoundments from
closing with waste in place, provided all
of the performance standards in
§ 257.102(d) have been met.
EPA also cannot, as the commenters
suggest, proceed exclusively on the
basis of site-specific assessments and
forego a nationwide risk assessment,
national closure requirement, or
universal performance standards for
closure. When Congress amended the
statute in 2016, it added a permitting
component but retained without
revision the requirements in RCRA
sections 1008(a)(3) and 4004(a) that EPA
establish minimum national standards
(‘‘criteria’’) by regulation. The statute
relies on these criteria in several
provisions, including as the standard
EPA must use to evaluate State
programs, to issue permits, and to
determine whether a CCR unit is a
sanitary landfill or an open dump. See,
42 U.S.C. 6945(d)(1)(B), (d)(1)(D), (d)(3),
(d)(6). The D.C. Circuit has also
effectively confirmed the continued
necessity of national criteria; if the
Court believed that the WIIN Act
obviated the need to comply with RCRA
section 4004(a) it would have granted
EPA’s request for an abeyance or
dismissed the case as moot. That it did
neither demonstrates that the Court
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believed that its opinion would remain
relevant. See, USWAG, 901 F3d at 436–
437 (denying EPA’s request for
voluntary remand because ‘‘this claim
involves a question—the scope of EPA’s
statutory authority—that is intertwined
with any exercise of agency discretion
going forward.’’)
Accordingly, the final rule requires all
legacy CCR impoundments to close.
ii. Deferral for Legacy CCR Surface
Impoundments Under Critical
Infrastructure
As noted above, several commenters
stated that some inactive facilities have
been redeveloped and that the CCR
surface impoundments are now located
beneath critical infrastructure. These
commenters claimed that requiring
closure of units beneath infrastructure
could adversely impact grid reliability,
business operations, or other necessary
public services and suggested EPA
create exemptions or extensions for
these units. For example, one
commenter stated that closure of units
located under other structures is not
feasible as EPA has proposed. The
commenter further explained that:
the issue is applicable and even more
pronounced with respect to legacy
impoundments. By definition legacy CCR
surface impoundments are located at inactive
sites that in some instances have been
partially or completely redeveloped. As a
result, former legacy units at this stage may
be completely inaccessible due to vegetation,
new infrastructure like pipelines or
transmission lines that cannot be disturbed
without disrupting operations, active CCR
units, buildings, or other obstacles to access.
If EPA proceeds to issue the proposal EPA
must address such accessibility issues.
Other commenters supported the
decision not to propose an exemption
from the closure requirements for legacy
CCR surface impoundments beneath
redevelopments or infrastructure, based
on the risks that these sites can present,
and provided specific examples of such
sites. Two of the examples related to a
situation in which active CCR disposal
units were built on top of former CCR
surface impoundments (i.e., overfills).
In one instance, the commenter
described a site where an unlined CCR
surface impoundment had been closed
by partially draining the impoundment
and constructing a new CCR landfill
(98.9 acres), two stormwater ponds and
a leachate pond (10.8 acres), and a
materials handling area (4.4 acres) on
top of the former impoundment.
According to the commenter, the facility
claimed that the closed impoundment
rather than any of the active CCR units,
was responsible for SSIs detected in its
groundwater monitoring. The
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commenter referenced documents on
the facility’s CCR website which
explained that:
Although it has not received sluice water
since 2008, the CCR in the former Main Pond
continues to receive, store, and discharge
water, primarily groundwater entering the
CCR through the sides of the filled valley.
Groundwater flow into the CCR in the former
Main Pond drains downward and outward to
the east through the toe drain system under
the dam.
The commenters explained that overfills
can increase groundwater
contamination from the underlying unit
by reducing the hydraulic gradient and
increasing the waste and water contact
time. They stated that this has been
documented by both an EPRI study and
groundwater monitoring at a specific
overfill that showed steady to gradually
increasing concentrations of CCR related
constituents in the landfill monitoring
wells, rather than the predicted decline
in concentrations of CCR-related
constituents from the closure of the
underlying surface impoundment.
As an initial matter, under both the
existing definitions and the definitions
in the final rule a legacy CCR surface
impoundment could not be located
below an active CCR unit. A legacy
impoundment is located at an inactive
facility, and the presence of an active
CCR unit means that the facility is
active, not inactive. See, §§ 257.50(b),
257.53 (definition of active facility).
This means that in the example
described by the commenter the surface
impoundment underneath the active
landfill is an inactive CCR surface
impoundment at an active facility, and
would be considered a ‘‘regulated unit’’
subject to the existing requirements in
part 257, rather than this final rule.
In any event, EPA disagrees that its
proposal did not adequately account for
the circumstance in which a legacy CCR
surface impoundment may be
challenging to access, such as where the
impoundment is located beneath
infrastructure or buildings. In contrast
to the comments received with respect
to CCRMU, no commenter provided a
concrete example in which closure of a
legacy CCR surface impoundment
would interfere with critical
infrastructure. The overwhelming
majority of commenters provided
concrete examples of concerns with
respect to CCRMU and then concluded
that EPA needed to address the issue
equally for legacy CCR surface
impoundments. The most concrete
example of potential interference with
critical infrastructure is the reference to
‘‘new infrastructure like pipelines or
transmission lines that cannot be
disturbed without disrupting
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operations’’ quoted above. But even in
that case the commenter provided no
explanation of the factual basis for the
conclusion that over the five to 15 years
the existing regulations provide to
complete closure the facility could not
schedule the outages necessary to move
pipelines or transmission lines, and
conduct the closure in stages as
necessary to accommodate scheduling
any necessary outages.62 In addition, as
discussed in the next Unit of the
preamble, EPA has extended the
deadline to initiate closure to 48 months
from promulgation. The amount of time
provided by these deadlines is more
than adequate to account for any
accessibility issues. Further, EPA has
been regulating utilities under multiple
environmental statutes for decades and
reliability issues are often raised when
regulations are promulgated, but EPA is
unaware of situations where those
reliability concerns have been realized
in the form of electric blackouts caused
by compliance with Federal
environmental standards. In this case, in
the unlikely event closure of a legacy
CCR surface impoundment cannot occur
within the regulatory timeframe without
creating a demonstrated reliability
concern, the Agency will work with the
facility, the relevant RTO, and other
relevant Federal agencies to ensure
proper closure occurs without causing
the power to go out.
Finally, as noted above EPA received
a substantial number of comments
requesting the agency not require
facilities to ‘‘re-close’’ any unit that had
already completed closure. This final
rule does not mandate that any
previously closed unit automatically reclose. But, as described in the next
section, the final rule does require all
legacy CCR surface impoundments to
meet the performance standards in
§ 257.102, although as discussed above,
some may not be required to do so until
permitting. EPA does not consider this
to be equivalent to a requirement to ‘‘reclose’’ as, depending on the site
conditions, facilities may be able to
implement engineering measures, such
as the installation of slurry walls to
prevent groundwater infiltration, to
address any deficits without removing
62 Electric generating facilities are required to
schedule and agree upon boiler shutdown periods
with their Regional Transmission Organization
(RTO) to ensure grid reliability. Most plants have
regular boiler shutdowns on an annual basis with
a more substantial one every few years. Since
regular boiler shutdowns are already scheduled, the
facility can plan the closure construction around
the already scheduled outage; however, the outage
may need to be extended depending on the work.
The RTOs require various lead times of consultation
or notice prior to any retirements, outages, or
extended periods of non-operation.
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the cover system or entirely re-closing
the whole impoundment.
iii. Requirement To Comply With
Performance Standards in § 257.102
As discussed above, consistent with
USWAG and the proposed rule, this
final rule requires that the closure of
legacy CCR surface impoundments meet
the performance standards in either
§ 257.102(c) or (d). Under this final rule,
all closures initiated after the effective
date of this rule, as well as those that
were not completed prior to the
effective date of this rule, will need to
comply with these requirements.
And in general, the same is true with
respect to closures that were completed
prior to the effective date of this rule. As
discussed previously, a facility that can
certify that its prior closure meets the
performance standards in § 257.102(c)
only needs to post the documentation
that it meets the standard. Similarly, if
a facility can demonstrate that the
closed unit meets the requirements
under § 257.102(d), EPA will consider
them to be closed and the only
requirements that will be applicable are
those that apply to closed units under
post-closure care—such as groundwater
monitoring, and if necessary, corrective
action. EPA never intended to require
facilities that otherwise met the closure
standards to go through the process
again and re-close the unit. In addition,
where the facility was subject to
standards that are different than the
Federal CCR closure standards (e.g., if
the closure were conducted as part of a
CERCLA cleanup or State order) but are
otherwise equivalent in terms of
mitigating the risks, the requirement to
meet the § 257.102 standards will be
deferred to permitting, where a closure
equivalency determination will be
made.
In response to EPA’s proposal that all
legacy CCR surface impoundments
comply with § 257.102, many
commenters again reiterated their
request that EPA exempt any unit that
has either completed closure or is in the
process of closing pursuant to State law
(e.g., solid waste permit, consent orders
or decrees). Commenters also requested
EPA to exempt any site that had closed
as part of a cleanup conducted pursuant
to another Federal requirement, such as
CERCLA or RCRA subtitle C. These
commenters stated that EPA had failed
to demonstrate that these units posed
any risk as a consequence of the lack of
ponded water, and that ‘‘re-closure’’ of
these previously closed units is
consequently unnecessary and overly
burdensome.
By contrast, several commenters
supported EPA’s proposal to require all
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legacy CCR surface impoundments to
comply with the performance standards
in § 257.102, even if the closure was
previously approved by a State
regulatory agency. These commenters
pointed to EPA’s conclusions in 2015
that significant gaps remain in many
State programs; that some programs
provide minimal or no regulatory
oversight of CCR units; and that most
CCR surface impoundments were
permitted exclusively under NPDES or
other surface water pollution prevention
programs. See, 80 FR 21324–21325. The
commenters also included recent
examples of closures approved by
various State agencies that were not
consistent with the Federal closure
standards including: (1) Ohio’s approval
of the closure of an unlined CCR surface
impoundment at the Gavin Plant, which
EPA subsequently estimated could be
sitting in groundwater as high as 64 feet
deep in some locations post closure and
that as much as 8.2 million cubic yards
(or as much as 40% of the CCR in the
Fly Ash Resevoir) could still be
saturated—and would remain so
indefinitely; (2) Alabama’s issuance of
several permits authorizing several
facilities to close unlined CCR surface
impoundments with large quantities of
free liquids and saturated CCR
remaining in the closed units; and (3)
Kentucky’s permit authorizing the
closure of an unlined CCR surface
impoundment by partially draining the
impoundment and constructing a new
CCR landfill (98.9 acres), two
stormwater ponds and a leachate pond
(10.8 acres), and a materials handling
area (4.4 acres) on top of the
impoundment. The CCR in the
underlying closed impoundment
continues to receive, store, and
discharge water, primarily groundwater
entering the CCR through the sides of
the filled valley, drains downward and
outward to the east through the toe
drain system under the dam.
Finally, several commenters requested
that EPA prohibit legacy CCR surface
impoundments from closing in place
under § 257.102(d).
EPA disagrees that legacy CCR surface
impoundments should be prohibited
from closing with waste in place in
accordance with § 257.102(d). The
commenters did not demonstrate that
legacy impoundments could never meet
the performance standards in
§ 257.102(d) or identify unique
characteristics or risks of legacy
impoundments that would not be
adequately addressed by compliance
with those provisions. Both clean
closure and closure with waste in place
can be equally protective, provided that
all of the requisite performance
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standards in § 257.102 are met. The final
rule therefore requires legacy
impoundments to comply with the same
requirements applicable to other
inactive impoundments, that is, to close
in accordance with either § 257.102(c)
or (d).
If all of the performance standards for
clean closure and the performance
standards for closure with waste in
place can be met, an owner or operator
may determine which alternative is
appropriate for their particular unit. The
regulations do not require an owner or
operator to use one closure option over
the other in such situations. However,
the facility must meet all the
performance standards for the option it
has selected, and if it cannot meet all of
the performance standards for one
option, then it must meet all of the
performance standards for the other
option. 40 CFR 257.102(a) (specifying
that ‘‘[c]losure of a CCR landfill, CCR
surface impoundments . . . [m]ust be
completed either by leaving the CCR in
place and installing a final cover system
or through removal of the CCR and
decontamination of the CCR unit, as
described in paragraphs (b) through (j)
of this section.’’). For example, if the
facility is unable to meet the
performance standards for closure with
waste in place for a particular unit (or
portion of a unit), it must close the unit
by removal (or that portion). Whether
any particular unit or facility can meet
the performance standards is a fact and
site-specific determination that will
ultimately depend on a number of
factual and engineering considerations,
such as the hydrogeology of the site, the
engineering of the unit, and the kinds of
engineering measures available.
As discussed in the preceding section,
this final rule does not require
previously closed legacy CCR surface
impoundments to automatically ‘‘reclose.’’ Rather, consistent with the
proposal, facilities will be required to
ensure that all closed legacy CCR
surface impoundments meet the
performance standards in § 257.102(c)
or (d). To the extent any deficit can be
remedied by supplementary engineering
methods, that would be all that is
required.
(a) Closure of Legacy CCR Surface
Impoundments Under State Law
EPA continues to disagree that it
would be appropriate to exempt any
legacy CCR surface impoundment that
has completed closure or is currently in
the process of closing pursuant to State
requirements. As EPA repeatedly
explained in the proposal, Congress
established a specific process that
would authorize State requirements to
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operate in lieu of the Federal CCR
regulations, and it would be
inappropriate for EPA to substitute its
own process to achieve the same ends.
Under the Congressionally mandated
process, a State must obtain EPA
approval, in whole or in part, of its CCR
permit program, pursuant to RCRA
section 4005(d). 42 U.S.C. 6945(d).
Those provisions expressly identify the
standard EPA must use to evaluate a
State program including, where
applicable, alternative technical criteria
that differ from the Federal CCR
regulations, along with requirements for
EPA to review approved programs and,
if necessary, to withdraw approval.
Finally, the statute expressly provides
that in the absence of a permit issued
under an approved State program, the
Federal criteria apply to all CCR units.
42 U.S.C. 6945(d)(6). These provisions
reflect Congress’ considered judgment of
the appropriate legal structure and
relationship between State and Federal
requirements, and it is not appropriate
for EPA to effectively establish its own
alternative.
In any event, EPA lacks the record
necessary to support a broad exemption
for all closures under any State
requirement. As discussed in more
detail below. the information currently
available does not demonstrate that all
closures conducted under State
authority ‘‘ensure there is no reasonable
probability of adverse effects on health
or the environment.’’ 42 U.S.C. 6944(a).
First, commenters’ arguments appear
to be premised largely on the existence
of a State solid waste program with the
attributes of the municipal solid waste
landfill requirements adopted and
approved well after those dates. But as
some commenters acknowledged, many
legacy impoundments closed well
before any State had developed such
regulations—e.g., during 1970s–1990s.63
EPA has no evidence demonstrating the
protectiveness of State requirements
during this period. However, the results
of the joint U.S. Department of Energy
(DOE) and EPA study completed in
2006, ‘‘Coal Combustion Waste
Management at Landfills and Surface
Impoundments, 1994–2004,’’ are not
encouraging. Only 19% (three out of 19)
of the surveyed surface impoundment
permits included requirements
addressing groundwater protection
standards (i.e., contaminant
concentrations that cannot be exceeded)
or closure/post-closure care. The EPA/
DOE report also concluded that
63 As discussed previously, if an impoundment
contained CCR and liquids on or after October 19,
2015, it is considered a legacy impoundment under
these regulations even if the unit is considered to
have been closed under state law.
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approximately 30% of the net
disposable CCR generated was
potentially exempt from all State solid
waste permitting requirements (EPA/
DOE Report at pp 45–46). For example,
at the time of the report, Alabama did
not regulate CCR disposal under any
State waste authority and did not have
a dam safety program. Finally, the
report found that a number of States
only regulated surface impoundments
under Clean Water Act authorities, and
consequently primarily addressed the
risks from effluent discharges to
navigable waters, but did not require
liners or groundwater monitoring.
As part of developing the 2015 CCR
Rule, EPA independently reviewed
State statutes and regulations, with a
more detailed focus on the 16 States
responsible for approximately 74% of
the CCR generated in 2009. See 80 FR
21324. This review identified some
programs that provided minimal or no
regulatory oversight of CCR units. For
example, Arizona, New Mexico, and
Utah had no regulations applicable to
CCR units or entirely exempted CCR
from State regulations governing solid
waste. Similarly, Mississippi, Montana,
and Texas (the largest coal-ash
producer) exempted the on-site disposal
of CCR (as ‘‘nonhazardous industrial
solid waste’’) from some or all key
requirements, such as permits or
groundwater monitoring. Such
exemptions covered most of the
disposal of CCR within the State, as the
majority of utilities dispose of their CCR
on-site. Other States, such as Florida,
Indiana, Ohio and Pennsylvania,
exempted CCR landfills or ‘‘monofills’’
from many requirements. For example,
Indiana regulations considered surface
impoundments that are dredged at least
annually to be ‘‘storage units’’ that are
exempt from solid waste regulations,
including from corrective action
requirements. Many of these States were
among the leading generators of CCR
wastes at the time. In total, EPA
estimated that in 2015, approximately
20% of the net disposable CCR was
entirely exempt from State regulatory
oversight.
However, EPA concluded in 2015 that
most States regulated the management
of CCR to varying degrees, although the
particular requirements varied
significantly. Most CCR surface
impoundments were permitted
exclusively under NPDES or other
surface water pollution prevention
programs. In these States, requirements
to protect groundwater, such as liners or
groundwater monitoring systems, were
frequently less robust than the
corresponding requirements applicable
to CCR landfills.
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EPA did not specifically evaluate
State closure requirements in 2015.
However, EPA’s findings with respect to
groundwater monitoring requirements
suggests that it is unlikely States
considered the extent to which a surface
impoundment would remain saturated
by groundwater after closure. In 2015
EPA had only limited anecdotal
evidence on the status of groundwater
monitoring in six States, including four
States that are among the leading CCR
generators. After the Kingston TVA spill
in December of 2008, groundwater
monitoring wells were installed at 12 of
Illinois’s existing surface
impoundments, almost doubling the
number of monitored surface
impoundments in the State. However,
55 additional surface impoundments,
both active and inactive, still lacked
groundwater monitoring systems. In
Ohio, 44 CCR units, out of a total of 57
CCR units in the State (42 surface
impoundments and 15 landfills) still
lacked groundwater monitoring in 2015,
even though all the surface
impoundments were permitted decades
ago under Ohio’s NPDES program. Ohio
acknowledged in their comments that
the extent of groundwater risks in the
State was poorly documented, as 40 out
of 44 unlined CCR units did not have a
groundwater monitoring system. Some
State programs also authorized a buffer
zone or a ‘‘zone of discharge,’’ which
allows the facility to defer remediation
of groundwater contamination for some
period of time, usually until the
contaminant plume has migrated to the
facility site boundary. Florida, Illinois,
North Dakota, and Tennessee were
among the States with such a regulatory
provision.
EPA acknowledges that some States
have substantially revised their
programs since 2015, but this is not
universal. In addition, although a few
States provided further information that
was not available to EPA in 2015 about
their programs in response to the
proposal, most did not. For the most
part, commenters offered general
assertions that State regulatory
authorities have considered the sitespecific conditions and determined that
the closure or closure plan meets the
necessary requirements for addressing
risk, and that EPA should not second
guess these decisions, but provided
little, if any, evidence that would
support a wholesale exemption for any
closure conducted in accordance with
State requirements.
At the same time, as discussed above,
several commenters provided examples
of recent (post-2015) State-authorized
closures that are significantly less
protective than § 257.102. For example,
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at least two States responsible for a
significant percentage of the CCR
generated annually, Ohio and Kentucky,
recently (i.e., after 2015) allowed
facilities to close their impoundments
by removing the CCR from the
impoundment, but did not require
groundwater monitoring to determine
whether groundwater contamination
remained at the site. Under the CCR
regulations, closure by removal is only
considered complete with
documentation that all Appendix IV
constituent concentrations are below the
GWPS in two consecutive groundwater
monitoring sampling events.
More to the point, as EPA explained
in the proposal, the record clearly
shows that significant numbers of CCR
surface impoundments were
constructed with at least some portion
of the unit actually in the aquifer
beneath it, or otherwise consistently
saturated by groundwater or surface
water migrating into the unlined
impoundment. Many of these units were
closed without addressing the liquids
that continued to saturate the CCR, and
the free liquids that remained or the fact
that the unit continues to impound
water—in some cases with full approval
from the State. This is especially likely
for closures that occurred prior to 2015.
As noted previously, a 2006 DOE/EPA
report concluded that only 19% of the
surveyed surface impoundment permits
included requirements addressing
groundwater protection standards (i.e.,
contaminant concentrations that cannot
be exceeded) or closure/post-closure
care, and approximately 30% of the net
disposable CCR generated was
potentially exempt. The risks associated
with such closures can be substantial, as
discussed in Unit III.A of this preamble.
Ultimately, under the Federal CCR
regulations what determines whether a
unit meets the definition of an inactive
CCR impoundment or a closed CCR
impoundment—and what determines
whether the unit continues to present a
reasonable probability of adverse effects
on health and the environment—are the
conditions that remain and the resulting
risks, rather than whether a facility or
even a State regulatory authority has
labeled the unit as ‘‘closed.’’
For all of these reasons, EPA cannot
exempt: (1) All units that have closed
consistent with State requirements, or
(2) All units that have started closure or
have had a closure plan approved under
State requirements prior to the effective
date of the final rule.
(b) Deferral of Certain Completed
Closures to Permitting
A few commenters provided examples
of closure that they believed were
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substantially equivalent to closures in
accordance with § 257.102, because they
involved substantial regulatory
oversight, a site-specific risk
assessment, and general consistency
between the programs on the standards
to be applied. These included closures
under CERCLA and an approved State’s
RCRA subtitle C program. According to
these commenters, it is a near certainty
that there will be slight differences in
the way the closure activities were
designed or conducted when compared
to § 257.102, but because the closure
activities accomplish the same
environmental goals and meet the same
ultimate performance standards with
respect to avoiding groundwater
impacts, there is little to be gained by
duplicative closure activities under the
Federal CCR regulations. Another
commenter provided a copy of a
Consent Order entered in State court
governing the closure of CCR surface
impoundments at seven sites across the
State. The commenter also provided
copies of several human health and
ecological risk assessments that were
conducted to support the State’s
approval of the closures, along with
various third-party reports. The
commenter concluded that based on this
factual record, it is unnecessary to
subject these units to the existing
closure criteria for CCR surface
impoundments in §§ 257.101 and
257.102.
EPA agrees that closures conducted as
part of a CERCLA or RCRA subtitle C
response action would normally be
expected to be consistent with the
performance standards in § 257.102; the
CCR closure regulations were based on
the closure regulations for hazardous
waste facilities, and the CCR regulations
would normally be considered ARARs
under CERCLA for any closure of a CCR
facility after 2015. Consequently, these
facilities may ultimately be able to
support a certification of compliance
with § 257.102. But, as the commenters
noted, there can be slight variations in
how the standards are applied, and a
facility may consequently not be
confident that it can support a
certification.
Nor are these the only closures that
may be substantially equivalent. As the
commenters’ examples demonstrate,
State requirements, even where
different, can result in closures that are
equally as protective as those conducted
in accordance with Federal
requirements.
However, as the commenters noted it
is a near certainty that there will be
differences in the way the closure
activities were designed or conducted
when compared to § 257.102. EPA does
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not believe that it can craft an
exemption that could encompass all
these potential variations. Nor does EPA
believe that it could develop criteria
that are sufficiently precise that
regulated entities could determine
whether alternative requirements
ultimately accomplish the same
environmental goals and meet the same
ultimate performance standards as the
Federal requirements. But EPA has
detailed criteria to identify whether a
closure is potentially as protective as
those conducted in accordance with
§ 257.102, and which therefore warrant
a closer evaluation; closures that meet
these criteria will be deferred until a
permitting authority can evaluate the
adequacy of the closure.
The closures described above all share
certain features such as the risks at the
site have been fully evaluated by a
regulatory authority and carefully
addressed with oversight by a regulatory
authority. Even though the specific
requirements may differ from § 257.102,
there is nevertheless reason to believe
that the closure will be protective, at
least in the interim until a permitting
authority can evaluate the adequacy of
the closure to the CCR closure
requirements. Based on these
considerations, EPA is limiting this
deferral to closures where the facility
can document that it meets specific
conditions. First, the deferral is limited
to circumstances in which a regulatory
authority played an active role in
overseeing and approving the closure
activities. EPA considers a ‘‘regulatory
authority’’ to include a State or Federal
permit, an administrative order, or
consent order issued after 2015 under
CERCLA or by an EPA-approved RCRA
State program. The permitting or other
authority must have required
groundwater monitoring to ensure there
was no contamination coming from the
unit that is not addressed by corrective
action.
Second, to support deferral of
evaluation of a prior closure of a legacy
CCR surface impoundment as
substantially equivalent, the facility
with a surface impoundment that closed
with waste in place must document that
free liquids have been eliminated,
consistent with the standard in
§ 257.102(d)(2)(i). This requirement
directly addresses the reason that EPA
has concluded that many previously
completed closures do not meet the
standard in RCRA section 4004(a).
Third, a facility must document that
it had installed a groundwater
monitoring system and performed
groundwater monitoring that meets a
subset of the performance standards
found in § 257.91(a). Specifically, the
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facility must demonstrate that the
groundwater monitoring system was
capable of: (1) Accurately representing
background water quality; (2)
Accurately representing the quality of
water passing the waste boundary; and
(3) Detecting contamination in the
uppermost aquifer. Finally, the
groundwater monitoring system must
have monitored all potential
contaminant pathways. These are the
same subset of standards that apply to
a facility certifying that its closure by
removal completed prior to the effective
date of this final rule meets the
performance standards in § 257.102(c).
Fourth, a facility would need to
demonstrate that a site-specific risk
assessment was conducted or approved
by the regulatory authority prior to (or
as part of) approving the closure, and
that the closure and any necessary
corrective action has been overseen by
the regulatory authority, pursuant to an
enforceable requirement.
These criteria are generally consistent
with the criteria a commenter suggested
to identify closures under other
authorities that would be equivalent to
those conducted in accordance with
§ 257.102. These included that the
facility had installed a groundwater
monitoring system and performed
groundwater monitoring and analysis in
accordance with §§ 257.90 through
257.95 and was conducting any
necessary remediation in accordance
with §§ 257.96 through 257.98, pursuant
to an enforceable requirement. Although
the commenter proposed these to serve
as a basis for an exemption, EPA
considers they are equally relevant to
identifying decisions that can be
deferred for future evaluation.
Fifth, the facility would be required to
prepare and include documentation in
the applicability report and operating
record, demonstrating that it has met
these criteria and is eligible for deferral.
This would include all relevant
specifics such as State permit, order,
data, groundwater monitoring results,
etc. This must be certified by the owner/
operator or an authorized representative
using the same language in § 257.102(e).
When it comes time for the permit
authority to evaluate the closure, EPA
intends to rely on the permit application
process as the primary mechanism to
collect the information to allow a
determination to be made as to whether
a legacy CCR surface impoundment that
closed under these alternative standards
did so in compliance with the
requirements of § 257.102. The permit
application process is a well-established
system for reviewing the types of
groundwater, soil and other sampling
and analytical data that will typically be
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required in determining the
‘‘equivalency’’ of alternative closures.
When the permit application is called
in, the facility must provide sufficient
information, including data on
contaminant levels in groundwater, to
demonstrate that the applicable
§ 257.102 standards have been met. EPA
or a Participating State Director will
review the information to determine
whether the ‘‘equivalency’’ of the
closure has been successfully
demonstrated. If EPA determines that
the closure has met the appropriate part
257 closure standard, EPA will issue a
permit. If EPA or a Participating State
Director determines that the closure
does not meet the part 257 standards,
the owner or operator will be required
to submit a permit application
containing all the applicable
information for an operating permit, and
EPA or a Participating State Director
will issue a permit that contains the
specific requirements necessary for the
closed unit to achieve compliance with
§ 257.102.
iv. Closure Compliance Deadlines for
Legacy CCR Surface Impoundments
(a) Initiation of Closure for Legacy CCR
Surface Impoundments
EPA proposed that legacy CCR surface
impoundments be subject to the existing
requirement to initiate closure that are
applicable to other unlined CCR surface
impoundments because, as discussed in
the proposed rule and in Unit III.B.2.c
of this preamble, the current record
indicates that legacy CCR surface
impoundments are largely, if not
entirely, unlined. Specifically, EPA
proposed that owners or operators of
legacy CCR surface impoundments
initiate closure no later than 12 months
after the effective date of the final rule
because EPA anticipated 12 months
being sufficient time for owners or
operators to identify and delineate the
legacy CCR surface impoundment,
determine relevant engineering
information (e.g., structural stability),
characterize the site’s hydrogeology and
other characteristics, and determine
whether any of the uppermost aquifer
has been contaminated. As explained in
the proposed rule, EPA acknowledged
that most of this information would be
obtained through compliance with the
proposed groundwater monitoring and
corrective action requirements.
In the proposed rule, EPA solicited
comment on whether the regulations
should provide owners and operators
the option to retrofit a legacy CCR
surface impoundment in accordance
with the retrofit requirements in
§ 257.102(k) as an alternative to
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requiring the closure of a legacy CCR
surface impoundment.
As stated in Unit III.B.2.g, generally
commenters on the proposed rule
supported requiring legacy CCR surface
impoundments to close in accordance
with the existing requirements.
However, some commenters disagreed
that closure was appropriate for certain
legacy CCR surface impoundments,
including those units underneath
infrastructure needed to support current
activities, those that had completed or
currently undergoing closure, and those
units that have been demonstrated not
to pose unacceptable risk.
Most commenters stated that the
proposed deadline for the initiation of
closure was infeasible due to the factors
listed in Units III.B.2.a.ii and III.B.2.g of
this preamble (e.g., labor shortages,
seasonality, limited contractor
availability, overlapping regulatory
requirements) and should be extended
in consideration of those factors as well
as to allow for the incorporation of the
groundwater monitoring data.
No commenters provided feedback on
whether the regulations should allow
owners and operators to retrofit a legacy
CCR surface impoundment.
For the reasons explained in the
proposed rule as well as Unit III.B.2.g,
EPA continues to conclude that the
closure requirements in the existing rule
are generally appropriate for legacy CCR
surface impoundments. However, as
explained in Unit III.B.2.g, EPA
recognizes that in specific situations,
mandatory closure of a legacy CCR
surface impoundment by the deadline
may cause more harm than benefits to
human health and the environment.
Based on information provided by the
commenters and experience with the
implementation of the 2015 CCR Rule
(i.e., regulation of inactive CCR surface
impoundments), EPA finds that these
situations are limited to those in which
the legacy CCR surface impoundment
has completed closure under a State
authority and those in which the unit is
beneath infrastructure necessary for
current activities.
For additional closure requirements of
a legacy CCR surface impoundment, the
decision to require reclosure will be
deferred until a permitting authority is
authorized to issue CCR permits to the
facility, at which point, the permitting
authority will be able to look at sitespecific factors and evidence to decide
if reclosure is necessary to protect
human health and the environment.
EPA concludes that this approach will
mitigate adverse impacts to local
communities and the environment,
including environmental justice
concerns that may result from activities
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associated with reclosing a facility that
is not contaminating groundwater or
posing other risk to human health and
the environment, such as increased
traffic, increased greenhouse gas
emissions, habitat loss, loss of native
vegetation, water consumption, and
additional waste generation.
When the legacy CCR surface
impoundment is beneath infrastructure
vital to the continuation of activities,
such as beneath a substation, the
initiation of closure will be deferred
until the infrastructure is no longer
needed or the closure of the facility,
whichever is sooner. This approach
protects human health and the
environment while appropriately
accounting for the need for operational
continuity and reliability.
As explained in Unit III.B.2.g, EPA
acknowledges the benefit of allowing
owners or operators the time needed to
incorporate groundwater monitoring
data into the closure plan. Additionally,
as stated in the proposed rule, EPA
acknowledges the importance of using
information gained by compliance with
the groundwater monitoring and
corrective action requirements to inform
closure decisions and therefore the
initiation of closure. For the reasons
explained in Unit III.B.2.f, EPA is
extending the deadline for the
groundwater monitoring and corrective
action requirements to a single deadline
of no later than 30 months from the
effective date of the final rule. As such,
the initiation of closure is being
extended as well. To ensure owners or
operators have enough groundwater
monitoring data to draw conclusions
about seasonality impacts on
groundwater levels and flow and the
source of any potential groundwater
contamination in the area, EPA is
finalizing a deadline of no later than
Monday, May 8, 2028, which is 42
months from the effective date of the
final rule. This is codified in the
regulatory text at § 257.101(e)(1).
EPA is finalizing the application of
the existing requirements to initiate
closure to legacy CCR surface
impoundments as proposed except for
those that fall under the deferral of
closure described above (i.e., units
closed under State authority, units
beneath critical infrastructure).
As stated in § 257.102(e), closure has
been initiated once any steps necessary
to implement the closure plan as
described by Unit III.B.2.g.ii of this
preamble have been taken, including
submitting an application for any
necessary State or agency permits or
permit modifications and taking steps to
comply with standards of any State or
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other agency that are a prerequisite to
completing closure of a CCR unit.
(b) Preparation of a Written Closure Plan
for Legacy CCR Surface Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments comply with the
existing requirements of § 257.102(b)
requiring the preparation of a written
closure plan no later than 12 months
after the effective date of the final rule.
As mentioned above, overall
commenters on the proposed rule
agreed that closure requirements,
including the written closure plan,
would generally be appropriate for
legacy CCR surface impoundments. One
commenter suggested additional
requirements for the content of the
closure plan including the elevation of
the base of the unit, groundwater
information, and descriptions of
compliance with § 257.102 will be
achieved (e.g., how free liquids would
be eliminated, how waste will be
stabilized, measures to minimize the
need for further maintenance of the CCR
unit). A few commenters supported the
proposed deadline but as summarized
in Units III.B.2.a.ii and III.B.2.g of this
preamble, other commenters stated the
proposed deadline was infeasible and
inappropriate. One commenter
suggested the deadline for the closure
plan be extended to be concurrent with
the initiation of closure. Commenters
suggestions for the deadline for the
completion of the closure plan ranged
from 12 (the 2015 CCR Rule deadline)
to 32 months, or after the collection of
the eight baseline groundwater samples.
EPA disagrees with the commenter
that additional requirements regarding
the content of the closure plan are
necessary. The information the
commenter requested be included in the
closure plan is 1) already required to be
in the closure plan pursuant to
§§ 257.102(b) or 2) readily available in
other required reports (e.g., the annual
groundwater monitoring and corrective
action reports). Furthermore, the
commenter failed to fully explain how
compliance with § 257.102(b) does not
provide the information needed to
determine if compliance with the
closure performance standards will be
met.
Regarding the deadline, as stated
above, EPA concludes that the deadline
for the closure plan should be extended
from the proposed deadline to allow for
owners or operators to incorporate
information about groundwater quality,
groundwater flows, seasonality impacts,
and the migration of contaminants (if
any) into the plan. Therefore, EPA is
finalizing a deadline of no later than
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Monday, November 8, 2027, which is 36
months after the effective date. This is
codified in the regulatory text at
§ 257.100(f)(5)(i).
Based on comments on the proposed
rule and experience from the 2015 CCR
Rule, EPA expects the incorporation of
this information into the closure plan
will allow facilities to select a closure
method that most appropriately
addresses issues like waste that is in
contact with groundwater, groundwater
contamination, and long-term structural
stability concerns. Closure plans that
adequately address these issues will
result in more compliant closure plans
and therefore, be more protective of
human health and the environment.
The closure plan describes the steps
necessary to close a CCR unit at any
point during the active life of the unit
based on recognized and generally
accepted good engineering practices. 40
CFR 257.102(b)(1). The plan must set
out whether the closure of the CCR unit
will be accomplished by leaving CCR in
place or through closure by removal and
include a written narrative describing
how the unit will be closed in
accordance with the section, or in other
words, how the closure will meet all the
performance standards in the
regulations. 40 CFR 257.102(b)(1)(i). The
written closure plan must also provide
a schedule for completing all activities
necessary to satisfy the closure criteria
of the rule. See also 80 FR 21410–21425.
If the CCR is left in place, the closure
plan must include a description of the
final cover system and how the final
cover system will achieve the regulatory
performance standards. If the base of the
impoundment intersects with
groundwater, the closure plan would
need to discuss the engineering
measures taken to ensure that the
groundwater had been removed from
the unit prior to the start of installing
the final cover system, as required by
§ 257.102(d)(2)(i). The closure plan
would also need to describe how the
facility plans to meet the requirements
in § 257.102(d)(1) to ‘‘control, minimize
or eliminate, to the maximum extent
feasible, post-closure infiltration of
liquids into the waste and releases of
CCR, leachate, or contaminated run-off
to the ground or surface waters.’’ This
could include, for example, the
installation of engineering controls that
would address the post-closure
infiltration of liquids into the waste
from all directions, as well as any postclosure releases to the groundwater from
the sides and bottom of the unit.
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(c) Preparation of a Written Post-Closure
Care Plan for Legacy CCR Surface
Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments would be required to
comply with the existing requirement in
§ 257.104(d) regarding the preparation
of a written post-closure no later than 12
months after the effective date of the
final rule.
The comments EPA received on the
proposed rule regarding the post-closure
plan requirement are described in Units
III.B.2.g and III.B.2.g.i and can be
summarized as requests for an extension
of the post-closure care deadline to
allow for a more feasible deadline and
the incorporation of groundwater
monitoring data. For the reasons stated
in Units III.B.2.g and III.B.2.g.i, EPA is
finalizing a deadline of no later than
Monday, November 8, 2027, which is 36
months from the effective date of the
final rule to comply with the postclosure care requirement in
§ 257.104(d). This is codified in the
regulatory text at § 257.100(f)(5)(ii).
Section 257.104(d) requires that an
owner or operator of a CCR unit prepare
a written post-closure plan. The
contents of the P.E.-certified plan are
stated in the rule at § 257.104(d)(1)(i)
through (iii) and can be summarized as
a description of the monitoring and
maintenance activities required for the
unit, the frequency that these activities
will be performed, information for the
point-of-contact during the post-closure
care period, and planned uses of the
property.
(d) Deadline To Complete Closure for
Legacy CCR Surface Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundment comply with the existing
closure completion time frames in
§ 257.102(f).
As stated in Unit III.B.2.g of this
preamble, some commenters on the
proposed rule supported the proposed
deadline, however, overall commenters
supported applying the existing closure
completion time frames as long as the
proposed deadline for the initiation of
closure was extended. For the reasons
described throughout this section, EPA
has extended the deadline for the
initiation of closure. EPA expects the
extension to the deadlines for the
closure plan and initiation of closure, as
well as the options to defer closure
requirements for legacy CCR surface
impoundments that have completed
closure under a regulatory authority (see
Unit III.B.2.g.iii.b), to address the
concerns commenters expressed with
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the infeasibility or inappropriateness of
the deadline to complete closure.
Therefore, EPA is finalizing the
deadline for the completion of closure
of legacy CCR surface impoundments as
proposed.
Section 257.102(f) generally requires
an owner or operator of existing and
new CCR surface impoundments to
complete closure activities within five
years from initiating closure. However,
the regulations also establish
conditions, including documentation
requirements, under which owners or
operators can demonstrate and receive
two-year extensions of the deadline. For
CCR surface impoundments of 40 acres
or less, the deadline can only be
extended by one two-year extension. For
CCR surface impoundments larger than
40 acres, the deadline can be extended
in increments of two years for no more
than five times.
(e) Post-Closure Care for Legacy CCR
Surface Impoundments
EPA proposed to apply the existing
post-closure care requirements at
§ 257.104 to legacy CCR surface
impoundments without revision. These
criteria are essential to ensuring the
long-term safety of legacy CCR surface
impoundments.
No commenters raised specific
concern about requiring legacy
impoundments to comply with the
existing requirements in § 257.104. EPA
is therefore finalizing this provision
without revision.
The existing post-closure care criteria
require the monitoring and maintenance
of units that have closed with CCR in
place for at least 30 years after closure
has been completed. 40 CFR 257.104.
During this post-closure period, the
facility would be required to continue
groundwater monitoring and corrective
action, where necessary.
h. Recordkeeping, Notification, and
Internet Posting Criteria for Legacy CCR
Surface Impoundments
EPA proposed that owners or
operators of legacy CCR surface
impoundments be subject to the existing
recordkeeping, notification, and website
reporting requirements in the CCR
regulations found at §§ 257.105 through
257.107. For reasons specified in the
2015 CCR Rule, the CCR regulations
require the owner or operator of a new
or existing CCR unit to record specific
information in the facility’s operating
record, maintain files of all required
information (e.g., demonstrations, plans,
notifications, reports) that supports
implementation and compliance with
the rule, notify State Director and Tribal
authorities, and maintain a public CCR
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website that hosts this information. 80
FR 21427.
A commenter on the proposed rule
supported applying recordkeeping,
notification, and internet posting
requirements to legacy CCR surface
impoundments but stated that the
existing requirements were ineffective at
ensuring compliance with the CCR
regulations or allowing for meaningful
public awareness or participation. The
commenter suggested that EPA create
mechanisms within the rule to ensure
the public has the opportunity to
participate in the decision-making
processes at regulated CCR units;
standardize reporting to make the report
more easily understood by the public;
establish organizational requirements
for the CCR websites; require public
notice and engagement when notifying
the State Director and/or appropriate
Tribal authority as required by the CCR
rule; extend the period of time the files
required by the CCR rule must be
maintained in the operating record; and
require owners or operators to certify
compliance documentation for the CCR
units. This commenter also suggested
EPA clarify what records owners or
operators are required to retain and to
publish.
EPA agrees with the commenter on
the importance of meaningful public
participation. The current regulations
allow for public participation by
requiring owner or operators to hold a
public meeting as part of the assessment
of corrective measures in § 257.96,
creating a mechanism for the public to
file dust complaints in § 257.80(b), and
the ‘‘contact us’’ form or specific email
address on facilities’ public CCR
websites for questions or issues from the
public as required by § 257.107(a). EPA
does not have evidence to support the
claim by the commenter that these
opportunities for public participation
are ineffective. Furthermore, EPA does
not find other decision-making points in
the rule appropriate for mandatory
public meetings although facilities are
encouraged to engage with the public
and to both solicit and incorporate
public input into decisions, such as
closure methods, as able and
appropriate.
With respect to the commenter’s
suggestions that EPA require the owners
or operators of CCR units to certify
compliance documentation and create
standardized reporting and website
layout requirements, as explained in the
proposed rule, EPA does not have
evidence that legacy CCR surface
impoundments are sufficiently different
than currently regulated facilities to
necessitate substantially different
requirements. The commenter provided
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no factual basis to support the
suggestion that requiring owner or
operator certifications would improve
compliance with the regulations beyond
the certifications currently required by
professional engineers. When justifying
the request for standardized reporting
and website layout requirements, the
commenter failed to explain how
compliance with the public website
posting requirements in § 257.107,
including the requirement to ensure all
information is ‘‘clearly identifiable and
must be able to be immediately printed
and downloaded by anyone accessing
the site’’ is inadequate or a hinderance
to the public accessing the required
information. Therefore, EPA does not
believe additional notification,
certification, or public engagement
requirements for legacy CCR surface
impoundments would be appropriate.
EPA agrees with the commenter on
the need to extend the period of time
files required by the CCR rule must be
maintained on the facilities’ public
websites and in the operating records.
As described in Unit III.D.5, EPA is
extending how long files must be
maintained in the operating record and
on the public website. While EPA
believes the regulations at §§ 257.105
and 257.107 clearly lay out what records
must be retained and published, EPA
has included in Unit III.D.5 a table that
details what records are required to be
maintained in the operating record and
on the public website as well as the
corresponding retention periods.
EPA is finalizing the requirement that
owners or operators of legacy CCR
surface impoundments comply with
recordkeeping, notification, and internet
posting requirements at §§ 257.105
through 257.107. Owners or operators
must document implementation and
compliance with the rule and must
place these files into the facility’s
operating record. Each required file
must be maintained in the operating
record for the entirety of the retention
period specified in § 257.105 following
submittal of the file into the operating
record. Each file must also indicate the
date the file was placed in the operating
record. Files are required to be
submitted into the operating record at
the time the documentation becomes
available or by the compliance deadline
specified in the CCR regulations.
Section 257.105 contains a
comprehensive listing of each
recordkeeping requirement and
corresponding record retention periods.
Furthermore, the owner or operator of
a legacy CCR surface impoundment
must maintain a CCR website titled,
‘‘CCR Rule Compliance Data and
Information’’ that hosts the compliance
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information so that it may be viewed by
the public. Unless provided otherwise
in the rule (see, Unit III.E.5),
information posted to the publicly
accessible internet site must be available
for a period of no less than five years
from the initial posting date for each
submission. Posting of information must
be completed no later than 30 days from
the submittal of the information to the
operating record. Owners or operators of
legacy CCR surface impoundments have
30 days from the effective date of this
rule to establish a CCR website and post
the required applicable information.
C. CCR Management Unit Requirements
EPA is establishing requirements to
address the risks from previously
unregulated solid waste management of
CCR that involves the direct placement
of CCR on the land at CCR facilities.
Information obtained since 2015
demonstrates that these exempt solid
waste management practices are
currently contaminating groundwater at
many sites, and at others, have the
potential to pose risks commensurate
with the risks associated with currently
regulated activities.
The closure of CCRMU of 1,000 tons
or greater also provides significant risk
mitigation. As laid out in Unit III.A of
this preamble, CCRMU at both active
facilities and inactive facilities with
legacy impoundments pose risks to
human health and the environment that
are at least as significant as the risks
presented by legacy CCR surface
impoundments and the units currently
regulated under the 2015 CCR Rule. In
particular, for highly exposed
individuals off site, landfill CCRMU
were estimated to pose cancer risks as
high as 7 × 10¥6 from arsenic III, while
surface impoundment CCRMU were
estimated to pose cancer risks as high as
8 × 10¥5 from arsenic III and noncancer
HQs as high as 2 for arsenic III, two for
lithium, and one for molybdenum.
Differences in national risks between
currently regulated units and these
older units are attributed largely to the
proportion of units that were modeled at
the time as lined. However, the risks
associated with these older units may be
even higher than EPA modeled in the
2014 Risk Assessment for active units.
These units have been present onsite
longer and had more time to leak. In
addition, there are several management
practices that have the potential to
result in higher leakage, but that were
previously modeled either less
frequently for active units—based on a
belief that the practices had declined
over time—or not at all—due to data
constraints on a national scale. These
include: (1) The greater prevalence of
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unlined units; (2) The greater likelihood
of co-management of CCR with coal
refuse and other wastes in surface
impoundments, making the overall
waste pH far more acidic and (3) The
potential for the units to be constructed
below the water table or to have become
inundated with groundwater after the
time of construction. As discussed in
Unit III.A, each of these practices
individually have the potential to result
in nationwide risks higher than
previously reported on a national basis
for the currently operating universe of
CCR units. For example, unlined
landfill CCRMU were estimated to pose
cancer risks as high as 1 × 10¥5 from
arsenic III, while unlined surface
impoundment CCRMU were estimated
to pose cancer risks ranging from 2 ×
10¥4 from arsenic III and noncancer
HQs as high as 5 for arsenic III, 3 for
lithium, 2 for molybdenum, and 1 for
thallium. A combination of these
practices could push risks even higher
than modeled.
Based on these data, EPA is finalizing
the addition of a new category of CCR
units that would be subject to a set of
requirements tailored to the
characteristics of such units and the
risks that they present. This new
category of CCR units, called ‘‘CCR
management units’’ or CCRMU, consists
of CCR surface impoundments and
landfills that were closed prior to the
effective date of the 2015 CCR Rule, and
inactive CCR landfills, which include
inactive CCR piles. Under this final rule,
CCR management units are subject to
the regulations when they are located at:
(1) A facility currently regulated under
the 2015 CCR Rule; (2) Inactive facilities
with a legacy CCR surface
impoundment; and (3) Facilities that, on
or after October 19, 2015, produced
electricity for the grid but were not
regulated under the 2015 CCR Rule
because they had ceased placement of
CCR in onsite CCR units and did not
have an inactive CCR surface
impoundment (the inclusion of these
facilities are discussed in Unit III.C.2.f).
EPA refers to the facilities in the above
three categories in this preamble as
‘‘covered CCR facilities.’’
Owners or operators of any of covered
CCR facilities are required to conduct a
facility evaluation to identify and
delineate any CCRMU containing one
ton (or more) at the facility and
document the findings in two reports. In
addition, owners or operators of a
covered CCR facility are required to
ensure that all identified CCRMU
containing 1,000 tons or more comply
with the existing requirements in 40
CFR part 257, subpart D for groundwater
monitoring, corrective action (where
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necessary), and in certain cases, closure,
and post-closure care requirements.
These issues are discussed in more
detail in this Unit of the preamble.
EPA estimates that there are 179
CCRMU at 92 active facilities and 16
CCRMU at 12 inactive facilities that will
be subject to the requirements of this
final rule.64 These areas include inactive
CCR landfills, closed CCR landfills,
closed CCR surface impoundments, and
other solid waste management areas of
CCR. EPA also identified 20 CCRMU at
eight other active facilities. This
estimate of CCRMU is an increase from
the 134 CCRMU located at 82 facilities
identified in the proposed rule. 88 FR
32028.
1. Damage Cases
EPA has a long history of considering
damage cases in its regulatory decisions
under RCRA. RCRA specifically directs
EPA, when making a Regulatory
Determination for CCR, to consider
‘‘documented cases in which danger to
human health and the environment
from surface run-off or leachate has
been proved,’’ demonstrating that such
information is to carry great weight in
decisions of whether and how to
regulate such wastes. 42 U.S.C.
6982(n)(4). See also 42 U.S.C.
6982(n)(3). In addition, damage cases
are among the criteria EPA must
consider under its regulations for
determining whether to list a waste as
a ‘‘hazardous waste.’’ See 40 CFR
261.11(a)(3)(ix). EPA also relied on
damage cases to develop the specific
requirements for CCR in part 257,
subpart D. See, 80 FR 21452–21459.
Damage cases generally provide direct
evidence of both the extent and nature
of the potential risks to human health
and the environment that have resulted
from actual waste management practice.
For example, in the 2015 CCR Rule, EPA
relied on damage cases to identify actual
management practices that resulted in
harm above and beyond that already
identified through modeling. Based on
the damage cases, EPA identified
several additional constituents
(antimony, barium, beryllium,
chromium, selenium, and lead) that
were added to the Appendix IV list for
groundwater monitoring.
For CCRMU, EPA proposed to rely on
ten potential damage cases to further
support the results of the modeling and
2014 Risk Assessment, and to better
understand the characteristics of the
sites and units, as well as the
64 An updated list of known potential CCRMU
can be found in the docket for this action. See
document titled ‘‘Universe of CCR Management
Units. April 2024.’’
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39035
management practices, in order to
develop appropriate requirements. EPA
reviewed information received in
response to the ANPRM as well as the
documents posted on facilities’ CCR
websites for compliance with CCR
regulations. See, 88 FR 32012.
Specifically, EPA reviewed groundwater
monitoring reports, assessment of
corrective measures reports, corrective
measures progress reports, remedy
selection reports, history of construction
reports, closure plans and reports, and
fugitive dust control plans for facilities
with CCR websites from 2018, 2019,
2020, and 2021. Through review of the
groundwater monitoring and corrective
action reports, EPA found many
instances where the owners or operators
of CCR facilities claimed that the
detection of an SSI or SSL in
concentrations of Appendix III or IV
constituents in groundwater came from
a CCRMU rather than the monitored
regulated CCR unit.
Whenever a facility determines that
there is an SSI over background levels
for one or more of the constituents in
Appendix III at a monitoring well at the
downgradient waste boundary, the
existing CCR regulations allow the
facility an opportunity to complete an
ASD showing that a source other than
the unit (i.e., an alternative source) was
the cause of the SSI. 40 CFR
257.94(e)(2). The existing CCR
regulations provide a similar
opportunity whenever assessment
monitoring results indicate that an SSL
exceeding the GWPS has been detected
at a downgradient well for any of the
Appendix IV constituents. 40 CFR
257.95(g)(3). If a successful ASD for an
SSL is not completed within 90 days,
corrective action must be initiated.
In reviewing groundwater monitoring
and corrective action reports EPA found
that 42 ASDs or ACMs concluded that
a Federally unregulated CCR source was
responsible for the SSI or SSL. The
proposed rule included ten examples
(i.e., damage cases) where owners or
operators of CCR facilities claimed that
an SSI or SSL is attributable to a CCR
source rather than the Federally
regulated CCR unit.
In addition to reviewing the
groundwater monitoring and corrective
action reports, EPA reviewed the history
of construction reports, closure plans
and reports, and fugitive dust control
plans for facilities with CCR websites
from 2018, 2019, 2020, and 2021. These
documents contained either site maps,
which identified currently regulated
units, and in some cases, inactive or
closed units at the facility, or narrative
discussions of the site history, which
included identification of where CCR
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were previously disposed or managed at
the facility.
EPA received numerous comments
about the damage cases provided in the
proposed rule. Some commenters
provided information to demonstrate
that many of EPA’s listed damage cases
did not meet EPA’s criteria for a damage
case to be considered ‘‘a proven damage
case,’’ that had been developed for
purposes of the Bevill Regulatory
Determinations described in 65 FR
32214, 32224 (May 22, 2000). One
commenter mischaracterized these
criteria as ‘‘EPA’s criteria for identifying
damage cases in RCRA rulemakings,’’
and claimed that groundwater
exceedances are not sufficient to prove
that there is any risk to human health.
The commenter stated that
‘‘exceedances [must be] measured in
ground water at a sufficient distance
from the waste management unit to
indicate that hazardous constituents had
migrated to the extent that they could
cause human health concerns’’ citing
the 2000 Regulatory Determination (65
FR 32224, May 22, 2000), and the 2010
proposed CCR Rule (75 FR 35131, June
21, 2010). The commenter asserted that
without such information, none of the
cases can be used to justify EPA’s
proposed regulation of CCR
management units.
Another commenter argued that ‘‘the
damage cases are not representative of
all CCRMUs, and, consequently, cannot
legitimately be relied upon to develop
national standards and requirements for
all CCRMUs.’’ The commenter claims
that a report generated by Gradient
documents ‘‘many examples of CCRMUs
that are not causing any GWPS
exceedances, are not associated with
any undue risk, and are being effectively
regulated under state purview.’’
Additionally, the commenter claims that
the ‘‘damage cases cited by US EPA do
not demonstrate that CCRMUs are
currently impacting groundwater
quality and causing an unacceptable
risk because EPA has not addressed
whether the groundwater impacts that
they have attributed to CCRMUs result
from the current condition of each
CCRMU or its historical operating
condition.’’ The commenter concludes
that because EPA has provided no
evidence to determine whether the
impacts are being caused by the current
condition of each CCRMU (potentially
closed, inactive, and/or dewatered),
EPA’s conclusions that the damage
cases provide evidence of potential risks
associated with CCRMU is misguided
and unsupported.
One commenter also took issue with
EPA’s inclusion of ‘‘only’’ ten ‘‘handpicked’’ damage cases to justify
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regulation of CCRMU. The commenter
complained that ‘‘EPA’s damage cases
are not based on information collected
by EPA, but rather are based on
information compiled by advocacy
groups using data collected from CCR
websites, [and t]here is no indication
EPA has conducted its own data
collection, or verified the data that was
collected.’’ The commenter went on to
say,
Much of the data refers to alternative
source analyses conducted for regulated CCR
units, suggesting that the discussed ‘CCRMU’
may be the source of groundwater
contamination; however, EPA makes no
statements regarding whether, and conducts
no analysis to determine whether, it agrees
with those analyses. This is highlighted by
the carefulness of EPA’s declaration that its
review of the third-party compiled
information identified 42 areas ‘‘potentially
contaminating groundwater.’’ . Potential
groundwater impacts does not rise to the
RCRA protectiveness level of ‘‘reasonable
probability of adverse effects on health or the
environment from disposal of solid waste at
such facility.
Finally, one commenter complained
that of the 134 areas EPA identified
where the management of CCR remain
exempt, less than one third were found
to potentially have groundwater
impacts, yet EPA seeks to regulate the
entire universe of 134 areas and more.
According to this commenter, even
assuming the potential groundwater
impacts are real, they are not necessarily
an indication that the CCR management
practice creates a reasonable probability
of an adverse effect on human health or
the environment, as the commenter
believes there are several other factors,
such as the nature and extent of the CCR
management practice, whether a
hydraulic head is present, the hydraulic
conductivity of surrounding soils, and
the proximity of the material to water
and the likelihood of contact with
water, that must be considered before
concluding a CCR management practice
creates a reasonable probability of an
adverse effect.
EPA disagrees that it is inappropriate
to characterize the cited SSIs and SSLs
as damage cases. As explained in the
2015 CCR Rule preamble, EPA has a
long history of considering damage
cases in its regulatory decisions under
RCRA. 80 FR 21452. The statute
specifically directs EPA to consider
‘‘documented cases in which danger to
human health and the environment
from surface runoff or leachate has been
proved,’’ in reaching its Regulatory
Determination for these wastes,
demonstrating that such information is
to carry great weight in determining
whether to regulate these wastes. 42
U.S.C. 6982(n)(4). Damage cases, even if
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only potential damage cases, are also
relevant under the third Bevill factor:
‘‘potential danger, if any, to human
health and the environment from the
disposal and reuse of such materials.’’
42 U.S.C. 6982(n)(4). In addition,
damage cases are among the criteria
EPA must consider under its regulations
for determining whether to list a waste
as a ‘‘hazardous waste.’’ See 40 CFR
261.11(a)(3)(ix). Damage cases generally
provide extremely potent evidence in
hazardous waste listings.
As with the 2015 CCR Rule, EPA
considers that both proven and potential
damage cases provide information
directly relevant to this rulemaking.
Damage cases—whether proven or
potential—provide evidence of both the
extent and nature of the potential risks
to human health and the environment.
The primary difference between a
proven and a potential damage case is
whether the contamination has migrated
off-site of the facility. But the mere fact
that groundwater contamination has not
yet migrated off-site does not change the
fact that a potentially harmful
constituent has leached from the unit
into groundwater. Whether the
constituent ultimately causes further
damage by migrating into drinking
water wells does not diminish the
significance of the environmental
damage caused to the groundwater
under the site, even where it is only a
future source of drinking water. As
explained in the original 1979 subtitle D
criteria, EPA is concerned with
groundwater contamination even if the
aquifer is not currently used as a source
of drinking water. Sources of drinking
water are finite, and future users’
interests must also be protected. (See 44
FR 53445–53448.) (‘‘The Act and its
legislative history clearly reflect
Congressional intent that protection of
groundwater is to be a prime concern of
the criterion. . . . EPA believes that
solid waste activities should not be
allowed to contaminate underground
drinking water sources to exceed
established drinking water standards.
Future users of the aquifer will not be
protected unless such an approach is
taken.’’). EPA is therefore presenting its
findings with regard to damage cases
because this information further
supports the results of EPA’s 2014 and
2024 Risk Assessments, which together
provide the factual bases for the actions
taken in this final rule.
EPA also disagrees with the
arguments that attempt to minimize the
significance of the damage case record.
EPA is relying on the damage cases to
evaluate the extent and nature of the
risks associated with particular CCR
management practices. Facts
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demonstrating the consequences from
particular activities therefore remain
relevant, particularly (although not
solely) where the management practices
continue to occur. In other words, what
matters in this regard are facts that
provide information on the reasons that
unit leaked, the particular contaminants
that were present, the levels of those
contaminants, and the nature of any
impacts caused by that contamination.
This is entirely consistent with RCRA
section 8002(n), which requires EPA to
evaluate the ‘‘potential danger, if any, to
human health and the environment
from the disposal and reuse of such
materials’’ in addition to ‘‘documented’’
damage cases. 42 U.S.C. 6982(n)(3)–(4).
EPA further disagrees that only the
presence of receptors within the impact
sphere of a contaminating facility merits
consideration of a particular damage
case. EPA’s longstanding and consistent
policy across numerous regulatory
programs has been that groundwater
contamination is a significant concern
that merits regulatory action in its own
right, whether or not the aquifer is
currently used as a source of drinking
water. Sources of drinking water are
finite, and future users’ interests must
also be protected. The absence of
current receptors is therefore also not an
appropriate basis on which to discount
damage cases. And for all the reasons
discussed above, EPA also disagrees that
only exceedances of health-based
standards of contaminants that have
migrated off-site (i.e., only proven
damage cases) should be accounted for
as part of this rulemaking.
EPA further disagrees with
commenters’ assertions about the
sources of information that EPA
included in the proposed rule and that
EPA is relying upon in this final rule.
In the proposal EPA discussed
information that the Agency obtained
from comments submitted in response
to the ANPRM, and from other sources
provided by environmental groups.
However, EPA conducted an
independent review of information
posted on facility websites, including
groundwater monitoring reports,
assessment of corrective measures
reports, corrective measures progress
reports, remedy selection reports,
history of construction reports, closure
plans and reports, and fugitive dust
control plans for facilities with CCR
websites from 2018, 2019, 2020, and
2021 to develop the record for the
proposed rule. 88 FR 32012–32013.
Several commenters disagreed with
EPA’s characterization in the proposed
rule of certain sites as damage cases
because the units have now been closed
or the contamination has been
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remediated (or is in the process of being
remediated) under State oversight. For
example, one commenter noted that
they are ‘‘aware of situations where over
the years CCR was intermittently
dispersed within fill to facilitate facility
expansions (commonly referred to as
‘‘made land’’), which was a common
practice along heavily industrialized
shores of the Great Lakes.’’ The
commenter further stated that, the
‘‘Phases I and II of the Landfill at
NIPSCO’s R.M. Schahfer Generating
Station, is an example of how the
Proposed Rule mischaracterizes the risk
associated with CCRMU.’’ According to
the commenter Phases I and II have
been closed in a manner that is
protective of groundwater, and the data
demonstrates that the groundwater
plume resulting from Phases I and II is
stable, with concentrations of
constituents declining.
Another commenter similarly
objected to EPA’s inclusion of Reid
Gardner as an example of CCRMU with
identified SSIs. The commenter said
EPA mistakenly assumed the historical
ponds under the regulated units may be
a cause of SSIs. They said these
historical ponds were excavated and
removed prior to 2015 so these units
cannot be deemed to be a CCRMU. As
a result, they said EPA’s
characterization of Reid Gardner as a
damage case is inaccurate and
inappropriate and should be removed
from the final rule. In addition, they
disagreed with EPA’s reliance on
‘‘standard GWPS’’ equivalent to MCLs,
stating that by doing so, EPA fails to
consider site-specific factors such as
pre-existing groundwater
contamination, natural variation in
groundwater, and the site conceptual
model, as well as EPA guidance for
statistical analysis. Finally, the
commenter said that corrective actions
at Reid Gardner are comprehensively
regulated under the State, which
governs the performance and/or
completion of Environmental
Contaminant characterization, the
screening and selection of Corrective
Action, and the implementation and
long-term Operation and Maintenance
of [NDEP] approved Corrective Action
concerning Pollution Conditions at the
Site (Nevada Division of Environmental
Protection Administrative Order on
Consent Reid Gardner Generating
Station, I.4, page 2). According to the
commenter, interim corrective actions
completed under the Administrative
Order have already resulted in the
removal of over 2.5 million cubic yards
of CCR and associated materials from
the site.
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The same commenter also disagreed
with EPA’s inclusion of Huntington as
an example of a CCRMU with identified
SSLs. They said EPA’s statement that
the plant’s remedy selection report
‘‘does not appear to address releases
from the Old Landfill,’’ is incorrect, as
the selected remedy—a groundwater
capture system—has been placed to
capture groundwater from both the
regulated landfill and the Old Landfill.
In addition, the commenter said the Old
Landfill is subject to separate State
oversight and corrective action,
including elimination of infiltration,
capping of closed sections and capture
of any seepage. As a result, they
disagreed with EPA’s characterization of
Huntington as a damage case and stated
it should be removed from the final rule.
One commenter claimed that the
damage case example concerning East
Kentucky Power Cooperative’s Cooper
Station does not support the conclusion
EPA draws from it. Specifically, EPA’s
proposal refers to a former surface
impoundment below the current landfill
at the facility, but, as the proposal
recognizes, the facility conducted an
ASD that did not identify the former
impoundment as an alternate source of
groundwater impact and the unit
therefore remains in detection
monitoring, with no conclusion having
been drawn. As such, the commenter
said, ‘‘EPA is relying on an ASD which
did not identify the impoundment as an
alternative source to justify more
stringent regulation of CCRMU with
respect to groundwater impacts that
have not been found to have resulted
from the unit.’’ EPA agrees that this
facility should not be included in the
final list of damage case examples based
on this comment.
Other commenters provided
information about EPA’s Damage Case
Compendiums developed for the 2015
CCR Rule to show some of those include
potential CCRMU. They also provided
additional damage cases and lists of
potential CCRMU for EPA to include in
the record.
Except as noted above, EPA disagrees
that the damage cases are not
representative of CCRMU, even if the
units are regulated under State
programs. The data from these units
shows these CCRMU are contributing to
groundwater contamination,
irrespective of any prior State oversight.
EPA also continues to believe that, as
EPA explained in the 2015 CCR Rule,
cases where contamination has been
remediated remain relevant to this
rulemaking. EPA is relying on the
damage cases to evaluate the extent and
nature of the risks associated with
particular CCR management practices.
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Facts demonstrating the consequences
from particular activities therefore
remain relevant, particularly (although
not solely) where the management
practices continue to occur. In other
words, what matters in this regard are
facts that provide information on the
reasons that unit leaked, the particular
contaminants that were present, the
levels of those contaminants, and the
nature of any impacts caused by that
contamination. None of these facts are
affected by whether the damage is
ultimately mitigated or remedied. This
is entirely consistent with RCRA section
8002(n), which requires EPA to evaluate
the ‘‘potential danger, if any, to human
health and the environment from the
disposal and reuse of such materials’’ in
addition to ‘‘documented’’ damage
cases. 42 U.S.C. 6982(n)(3)–(4).
Accordingly, the fact that any
contamination has subsequently been
remediated is not a basis for
disregarding a damage case. See 80 FR
21455.
In summary, EPA continues to believe
the damage cases provide extremely
valuable evidence that is directly
relevant to the question of whether and
how to regulate CCR. For example, the
damage cases provide ‘‘real world’’
evidence against which to compare
EPA’s risk modeling estimates, such as
evidence regarding the frequency with
which particular constituents leach into
groundwater. 80 FR 21326. They also
provide direct evidence regarding
specific waste management practices at
electric utilities, along with the
potential consequences of those
practices. Accordingly, EPA has
sufficient confidence in the veracity of
the collected information to rely on it in
making decisions in this rule. EPA
expects that additional damage cases
will be discovered in response to the
installation of the groundwater
monitoring systems required by the final
rule.
a. Examples of CCRMU With Identified
SSLs
Under the existing CCR regulations,
when a facility determines there is an
SSL for one or more Appendix IV
constituents and completes a successful
ASD showing that a source other than
the regulated unit is the cause of the
SSL(s), the facility is not required to
initiate corrective action for that
particular constituent. Through
reviewing the ASD posted on facility
websites, EPA identified several areas at
active facilities where CCR is managed
outside of a regulated unit and is
identified as a source of one or more
Appendix IV SSL(s). The following
facilities are examples of situations in
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which such areas have been identified
as the source of an SSL and therefore
support EPA’s determination that such
areas warrant regulation under RCRA
section 4004(a).
James H Campbell Power Plant, West
Olive, Michigan
The JH Campbell Power Plant, owned
and operated by Consumers Energy
Company, is located within a mile of
Lake Michigan. The facility has five
regulated CCR units, including three
CCR surface impoundments (Pond A,
Bottom Ash Ponds 1–2, and Bottom Ash
Pond 3) and two CCR landfills. The
‘‘wet ash ponds area’’ is approximately
267 acres and is bounded by perimeter
dikes with a system of internal dikes
separating the individual ash ponds. In
addition to the five regulated CCR units,
there are at least seven other
unregulated, unlined ‘‘closed’’
impoundments 65 that ceased placement
of waste prior to October 19, 2015, do
not have an engineered cap nor
vegetative cap, and have a closure plan
that was approved by the State. Based
on the groundwater monitoring report
reviews, there were SSIs over
background at many wells at all units
and some had an SSL for arsenic and
selenium. At Pond A, which closed with
waste in place in 2019, there are SSIs for
boron and sulfate, and SSLs were
identified for arsenic (13 mg/L [MCL of
10 mg/L]) and selenium 66 (143 mg/L
[MCL of 50 mg/L]) for which an
assessment of corrective measures was
completed, and the selected remedy is
source removal and final cover as the
primary corrective action. In the 2021
Annual Groundwater Monitoring and
Corrective Action Report posted in
January 2022, Consumers Energy
concluded there was an ASD for Pond
A and said, ‘‘Increases in Appendix III
constituents (e.g. boron) and direct
exceedances of the selenium GWPS in
JHC–MW–15011, JHC–MW–15010, JHC–
MW–15009, and JHC–MW–15008R that
have not yet resulted in a statistically
significant exceedance suggest a
detectable influence from the
immediately adjacent, upgradient,
closed, pre-existing CCR units on-site.
The closed, preexisting units are not
regulated under the RCRA CCR Rule,
but remedial action is being taken under
65 These ‘‘closed’’ impoundments (Pond B, Pond
C, Pond D, Pond F, Pond G (G1 and G2), Pond H,
and Pond K) are listed in a figure on page 12 of the
2021 Annual Groundwater Monitoring and
Corrective Action Report, JH Campbell Power Plant
Pond A, January 2022, Prepared for Consumer’s
Energy.
66 JH Campbell Semiannual Progress Report—
Selection of Remedy, Ponds 1–2 North and 1–2
South, and Pond A, July 30, 2022. Pages 3–4.
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Consent Agreement WMRPD No. 115–
01–2018. A [remedial action plan] for
these units was submitted to
[Michigan’s Department of
Environment, Great Lakes, and Energy]
on September 30, 2021.’’ During the
2021 groundwater monitoring period for
Bottom Ash Ponds 1–2, which closed by
removal in 2018, SSIs were identified
for boron, calcium, chloride, pH, sulfate,
and total dissolved solids (TDS); also,
one SSL was identified for arsenic (38
mg/L [MCL of 10 mg/L]).67 An assessment
of corrective measures has been
completed for the CCR unit and the
primary selected remedy is source
removal and final cover. Consumers
Energy also said in the 2022 semiannual
progress report that the facility is
reevaluating the groundwater
‘‘monitoring system for [Bottom Ash]
Ponds 1–2 to more accurately account
for the influence from the closed, preexisting units.’’
New Castle Generating Station,
Pennsylvania
GenOn Power Midwest LP (GenOn)
operates the New Castle Generating
Station located in West Pittsburg,
Pennsylvania. The New Castle
Generating Station has two CCR units
subject to the regulations—an
impoundment (North Bottom Ash Pond)
and a landfill (New Castle Plant Ash
Landfill). Each of these CCR units has
relevance to this proposal due to other
unregulated disposal units located
adjacent to the regulated CCR units.
The North Bottom Ash Pond was used
for the management of bottom ash until
2016 when the facility transitioned from
coal to natural gas. After the transition
to natural gas, GenOn initiated closure
of the North Bottom Ash Pond by
removing all waste from the
impoundment. Closure of the
impoundment was certified in 2019.68
Groundwater monitoring associated
with the impoundment while the unit
was operating detected arsenic at SSL
above the GWPS in all downgradient
monitoring wells.69 In accordance with
the procedures in the regulations for
CCR units in 40 CFR 257.94(e)(2),
GenOn determined that an alternative
source was responsible for these SSLs of
arsenic. Specifically, the ASD found
that a 120-acre unlined CCR surface
impoundment located immediately
adjacent to the North Bottom Ash Pond
67 Annual Groundwater Monitoring and
Corrective Action Report, JH Campbell Power Plant
Ponds 1–2 North and 1–2 South, January 2022,
Prepared for Consumers Energy. Page 23.
68 CCR Compliance, Closure Certification Report,
Closure by Removal, New Castle North Bottom Ash
Pond. June 2019.
69 Id. At 5.
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was responsible for the arsenic
concentrations in the downgradient
monitoring wells.70 According to the
2019 Annual Report prepared by
GenOn, there were SSLs for arsenic
(0.087 mg/L [MCL of 10 mg/L]) in the
downgradient monitoring wells.71
Consequently, because the SSLs of
arsenic were attributed to another
source (i.e., a former unlined CCR
surface impoundment), GenOn
concluded it was not required to
remediate the arsenic contamination
under the Federal CCR regulations.
GenOn also determined that there
were SSIs above background levels for
multiple analytes at the New Castle
Plant Ash Landfill (Ash Landfill), which
is the other regulated CCR unit at the
New Castle Generating Station. In its
most recent annual groundwater
monitoring report in 2022, GenOn
reported SSIs for boron, calcium,
fluoride, sulfate, and total dissolved
solids.72 GenOn determined that an
alternative source was responsible for
these analyte increases, specifically
pointing to an ‘‘underlying historic ash
impoundment and other closed stages of
the landfill.’’ 73 Prior to development of
the 60-acre Ash Landfill, CCR was
disposed in an impoundment from
approximately 1939 to 1978.74 After the
impoundment was dewatered in 1978,
dry CCR was disposed in this area in
several stages of CCR placement up
until the time Ash Landfill began
operation. Since 2018, GenOn has
attributed SSIs for boron, calcium,
fluoride, sulfate, and TDS to this
historic disposal of CCR.
Huntington Power Plant, Utah
The Huntington Power Plant in
Huntington, Utah is owned and
operated by PacifiCorp and has one
regulated unit, the Huntington CCR
Landfill. While conducting the required
groundwater monitoring for the
Huntington CCR Landfill, there were
SSLs for chromium, cobalt, lithium,
molybdenum, selenium, fluoride, and
arsenic, so the owner or operator
conducted assessment of corrective
measures. There is also a former
combustion waste landfill called the
Old Landfill, which is located northwest
of the regulated Huntington CCR
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70 Id.
71 CCR Compliance, Groundwater Monitoring and
Corrective Action Annual Report, New Castle North
Ash Pond and Ash Landfill. January 2020.
72 CCR Compliance, Groundwater Monitoring and
Corrective Action Annual Report, New Castle Ash
Landfill. December 2022.
73 Id. At 3.
74 New Castle Plant Ash Landfill—Annual CCR
Unit Inspection Report. January 16, 2018.
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Landfill. The ACM report 75 assumes the
SSLs are the result of groundwater
interactions with both the Huntington
CCR Landfill and the Old Landfill. Both
landfills have stormwater run-on from
the area surrounding the landfill. This
run-on is routed around the landfills via
diversion ditches and run-off from the
landfills itself is collected and retained
in a sediment basin north of the
Huntington CCR Landfill. The facility is
implementing a remedy to address
releases only from the regulated CCR
Huntington Landfill, but the remedy
selection report 76 does not appear to
address releases from the Old Landfill.
J.B. Sims, Grand Haven, Michigan
The J.B. Sims Generating Station,
owned and operated by Grand Haven
Board of Light and Power, is located on
Harbor Island, north of Grand Haven,
Michigan. Harbor Island is bound to the
north, east, and west by the Grand River
and to the south by the South Channel,
tributaries of Lake Michigan. The
facility has two Federally regulated CCR
units (Unit 1 & 2 and Unit 3), both of
which are inactive, unlined surface
impoundments. Unit 1 & 2 is
approximately 1.2 acres and includes
areas where, prior to October 19, 2015,
CCR was placed in unlined
impoundments and used as fill in lowlying areas of adjacent wetlands. Unit 3
is approximately 0.5 acres and was built
on top of historically placed CCR. The
boundary of Unit 1 & 2 was updated in
an agreement with EPA and the State in
January 2021,77 to include an area that
received CCR prior to 1978. Therefore,
the groundwater monitoring network
and closure plan are currently being
updated to reflect the new boundary
and better address contamination from
historical CCR across the units.78
Additionally, in March 2022, the State
issued an enforcement notice 79 to J.B.
Sims citing inadequate groundwater
75 Corrective Measures Assessment CCR
Landfill—Huntington Power Plant Huntington,
Utah. May 2019.
76 Remedy Selection Report CCR Landfill—
Huntington Power Plant, Huntington, Utah. August
2020.
77 The meeting between Grand Haven Board of
Light and Power, the State, and EPA during which
the new boundaries for Unit 1 & 2 were agreed to
is discussed on page 3 (PDF page 10) of the 2021
Annual Groundwater Monitoring & Corrective
Action Report by Golder Associates. January 28,
2022.
78 Letter to Grand Haven Board of Light and
Power-Update To The October 14, 2019 J.B. Sims
Generating Station Inactive Units 1⁄2 Impoundment
And Unit 3 Closure Plan—Interim Conditions For
Closure. October 22, 2021.
79 The State of Michigan, Department of
Environment, Great Lakes, and Energy (EGLE)
issued an enforcement notice via email March 22,
2022, to Grand Haven Board of Light and Power,
J.B. Sims.
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39039
monitoring and failure to address all
areas where CCR were managed (e.g.,
stored, placed) prior to disposal during
the unit’s operation. As such, the
facility is considering expanding Unit
3’s groundwater monitoring network.
The units are often partially flooded,
and groundwater elevations and flow
direction are influenced by precipitation
and water levels in the Grand River and
the South Channel.
Based on groundwater monitoring
report reviews, both units have had SSIs
and SSLs since groundwater monitoring
was initiated in 2017. During 2021, both
Unit 1 & 2 and Unit 3 had SSIs for all
Appendix III constituents and SSLs for
arsenic (98 mg/L [MCL is 10 mg/L]),
chromium (270 mg/L [MCL is 100 mg/L]),
cobalt (22 mg/L [GWPS is 6 mg/L],
fluoride (13 mg/L [MCL is 4 mg/L]), and
lithium (2800 mg/L [site-specific GWPS
is 59 mg/L]).80 In December 2020, J.B.
Sims submitted an ASD for Unit 3’s
2019 SSLs for chromium, cobalt,
fluoride, lead, and lithium, pointing to
the historic fill across the island as the
source of the SSLs. 81 82 Furthermore,
the Fourth Quarterly 2021 Monitoring
Report suggested the continued SSIs
and SSLs at Unit 3 were due to
historical CCR fill beneath the unit,
historical fill outside of Unit 1 & 2, and
waste historically placed across the
site.83 However, until the groundwater
monitoring networks are finalized, the
extent of groundwater contamination
and the source of all contamination
cannot be determined. The assessment
of corrective measures for both units
began in February 2019 and is ongoing,
pending finalization of the groundwater
monitoring networks. Based on
groundwater monitoring reports, EPA
has found that due to the fluctuations in
groundwater elevations in response to
precipitation and nearby surface water
levels, portions of the facility, including
Unit 1 & 2, can be inundated or partially
in contact with groundwater.
80 SSL concentrations can be found in Appendix
B (PDF page 512) of the 2021 Groundwater
Monitoring & Corrective Action Report prepared by
Golder Associates on behalf of Grand Haven.
81 2020 Alternate Source Demonstration J.B. Sims
Generating Station—Unit 3 Impoundments
Submitted to: Grand Haven Board of Light and
Power Submitted by Golder Associates Inc.
December 28, 2020.
82 Technical Memorandum to Michigan
Department of Environment, Great Lakes, and
Energy-Unit 3 Impoundments Alternate Source
Demonstration Response Grand Haven Board Of
Light And Power—JB Sims Power Generating
Station. February 12, 2020.
83 Memorandum to Michigan Department of
Environment, Great Lakes, and Energy- Fourth
Quarter 2021 Monitoring Report, Former JB Sims
Generating Station, Unit 3 A&B Impoundments—
Response to Comments. March 8, 2022.
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b. Examples of CCRMU With Identified
SSIs
Under the existing CCR regulations,
when a facility determines there is an
SSI for one or more Appendix III
constituents and completes a successful
ASD showing that a source other than
the regulated unit is the cause of the
SSI(s), the facility is not required to
initiate assessment monitoring for that
particular constituent. 40 CFR 257.94(e).
Through ASD reviews, EPA identified
several areas at active facilities where
CCR was managed outside of a regulated
unit and was identified as a source of
one or more Appendix III SSI(s). As
such, any groundwater contamination
from these potential CCRMU have not
been investigated under the existing
Federal CCR regulations. The following
facilities are examples of situations in
which potential CCRMU have been
identified as the source of an SSI and
demonstrate the need to regulate
CCRMU.
Reid Gardner Generating Station, Moapa
Valley, Nevada
Reid Gardner Generating Station (Reid
Gardner), owned and operated by NV
Energy, is located adjacent to the
Muddy River and the Moapa Band of
Paiutes reservation, approximately 45
miles northeast of Las Vegas. Reid
Gardner has seven regulated CCR units:
four unlined inactive surface
impoundments (Pond 4B–1, Pond 4B–2,
Pond 4B–3, and Pond E–1), two active
unlined surface impoundments (Pond
M–5 and Pond M–7), and one partially
lined landfill (Mesa Landfill). The
inactive surface impoundments covered
47 acres and were closed by removal in
2017.84 The inactive surface
impoundments were constructed in
2003 (Pond E–1) and 2006 (Pond 4B–1,
Pond 4B–2, and Pond 4B–3) to replace
four of the eleven historical unlined
evaporation ponds located at the facility
that made up the evaporation pond
complex (Pond 4A, Pond 4B–1, Pond
4B–2, Pond 4B–3, Pond 4C–1, Pond 4C–
2, Pond D, Pond E–1, Pond E–2, Pond
F, and Pond G).85 The evaporation pond
complex was built within the Muddy
River floodplain and used from
approximately 1974 until approximately
2002 to evaporate CCR and other
process wastewaters from the facility.
The two active surface impoundments
(Ponds M–5 and M–7) were constructed
in 2010 approximately 0.75 miles south
84 Reid Gardner Generating Station Inactive Coal
Combustion Residual Surface Impoundments Ponds
4B–1, 4B–2, 4B–3, and E–1 Closure Certification,
April 2019.
85 Construction History, Pond E1, Reid Gardner
Generating Station. April 11, 2018.
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of the historical evaporation ponds and
cover 28 acres. Mesa Landfill was
constructed and operational prior to the
2015 CCR Rule and has a surface area
of roughly 252 acres.
Based on groundwater monitoring
report reviews, the inactive surface
impoundments had no Appendix III
SSIs above their established background
concentrations during the detection
monitoring event in 2019.86 87 88 89 90 91
However, the inactive surface
impoundments did have Appendix IV
constituent concentrations above the
standard GWPS, including arsenic (2.52
mg/L [MCL is 0.01 mg/L]), cadmium
(0.0072 mg/L [MCL is 0.005 mg/L]),
cobalt (242 mg/L [standard GWPS is 6
mg/L]), fluoride (35.4 mg/L [MCL is 4.0
mg/L]), lithium (27,300 mg/L [standard
GWPS is 40 mg/L]), molybdenum (6,390
mg/L [standard GWPS is 100 mg/L]),
selenium (0.204 mg/L [MCL is 0.05 mg/
L]), thallium (0.026 mg/L [MCL is 0.002
mg/L]), and radium 226 & 228 combined
(8.02 pCi/L [MCL is 5 pCi/L]). Ponds M–
5 and M–7 and the Mesa Landfill have
had SSIs for fluoride every year of
detection monitoring for which ASDs
have been performed pointing to natural
variation in groundwater
quality.92 93 94 95 96 97 ASDs were also
86 Reid Gardner Generating Station Inactive CCR
Surface Impoundment E–1. Coal Combustion
Residual 209 Annual Groundwater Monitoring and
Corrective Action Report. July 31, 2019.
87 Reid Gardner Generating Station Inactive CCR
Surface Impoundments 4B–1, 4B–2, and 4B–3. Coal
Combustion Residual 2019 Annual Groundwater
Monitoring and Corrective Action Report. Revision
1. May 14, 2020.
88 Reid Gardner Generating Station Mesa
Impoundments M5 and M7 Coal Combustion
Residual 2019 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source
Demonstration. January 31, 2020.
89 Reid Gardner Generating Station Mesa
Impoundments M5 and M7 Coal Combustion
Residual 2020 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source
Demonstration. January 29, 2021.
90 Reid Gardner Generating Station Mesa
Impoundments M5 and M7 Coal Combustion
Residual 2021 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source
Demonstration. January 28, 2022.
91 Alternate Source Demonstration and
Addendum to the Coal Combustion Residual 2017
Annual Groundwater Monitoring and Corrective
Action Report Reid Gardner Generating Station
Mesa CCR Surface Impoundments (Ponds M5 and
M7). Prepared for NV Energy. April 13, 2018.
92 Reid Gardner Generating Station Mesa Landfill
Coal Combustion Residual 2018 Annual
Groundwater Monitoring and Corrective Action
Report and Alternate Source Demonstration.
January 31, 2019.
93 Reid Gardner Generating Station Mesa
Impoundments M5 and M7 Coal Combustion
Residual 2018 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source
Demonstration. January 31, 2019.
94 Reid Gardner Generating Station Mesa Landfill
Coal Combustion Residual 2019 Annual
Groundwater Monitoring and Corrective Action
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performed for SSIs at Mesa Landfill for
pH (2019 and 2021) and turbidity (2020
and 2021) that attributed the SSIs to
natural variation in groundwater
quality. Therefore, since ASDs have
been performed for all SSIs and the
active units, Reid Gardner has not
moved from detection monitoring to
assessment monitoring. The facility also
claims the historical, co-located
evaporation ponds are the source of
groundwater contamination in the area
and not the CCR-regulated units.
Specifically, in the closure certification
for the inactive surface impoundments,
the facility points to documentation as
far back as the 1980s that describe
seepage from Pond D, the historical
Pond E–1 and E–2, Pond F, and Pond
G and leakage at an estimated rate of 50
acre-feet/year from Ponds 4C–1 and 4C–
2 and historical Ponds 4B–1, 4B–2, and
4B–3.
Seminole Electric Cooperative, Florida
Seminole Electric Cooperative
(Seminole) operates the Seminole
Generating Station located in Palatka,
Florida. For CCR that is not beneficially
used, CCR is disposed at the facility in
a landfill (Increment One Landfill),
which is subject to the CCR regulations.
This CCR landfill is a double-lined
landfill with a leachate collection
system and, because part of the
Increment One Landfill overlaps with
the side-slope of a former, Federally
unregulated landfill, the liner system
also includes a high-density
polyethylene geomembrane where the
two units interface.98 Seminole
determined there were SSIs above
background levels for multiple analytes
in one or more monitoring wells at the
downgradient waste boundary in 2018,
including SSIs for boron, calcium,
chloride, sulfate, and TDS. Seminole
determined that one or more alternative
sources were responsible for these
analyte increases. These sources include
Report and Alternate Source Demonstration.
January 31, 2020.
95 Reid Gardner Generating Station Mesa Landfill
Coal Combustion Residual 2020 Annual
Groundwater Monitoring and Corrective Action
Report and Alternate Source Demonstration.
January 31, 2021.
96 Reid Gardner Generating Station Mesa Landfill
Coal Combustion Residual 2021 Annual
Groundwater Monitoring and Corrective Action
Report and Alternate Source Demonstration.
January 28, 2022.
97 Alternate Source Demonstration and
Addendum to the Coal Combustion Residual 2017
Annual Groundwater Monitoring and Corrective
Action Report Reid Gardner Generating Station
Mesa Landfill. Prepared for NV Energy. April 13,
2018
98 Seminole Generating Station Increment One
Landfill Annual Groundwater Monitoring and
Corrective Action Report. January 31, 2019.
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former test cells (i.e., areas where CCR
was placed in the 1980s for purposes of
construction evaluations that are now
located beneath the Increment One
Landfill), a former CCR landfill adjacent
to the Increment One Landfill, and
several process water ponds next to the
Increment One Landfill.99 Since 2018,
Seminole has attributed SSIs for these
analytes to these alternative sources and
therefore, has not moved from detection
monitoring to assessment monitoring.
R.M. Schahfer Generating Station,
Indiana
The R.M. Schahfer Generating Station,
owned and operated by Northern
Indiana Public Service Company, LLC
(NIPSCO), has several CCR units subject
to the regulations, including several
CCR impoundments and a CCR landfill
consisting of multiple cells or phases of
operation (‘‘Landfill’’). The Landfill is of
particular relevance to this proposal
because includes three cells subject to
Federal CCR regulations (Phases V
through VII) and four landfill cells that
are not (Phases I through IV). In the
course of conducting the required
groundwater monitoring for the
regulated cells of the Landfill, in
January 2018, NIPSCO determined that
there were SSIs above background levels
for all seven analytes in Appendix III at
one or more monitoring wells at the
downgradient waste boundary of the
regulated CCR units. This included SSIs
for boron, calcium, chloride, fluoride,
pH, sulfate, and TDS.100 Through
procedures laid out in the regulations
for regulated CCR units in 40 CFR
257.94(e)(2), NIPSCO determined that
these groundwater SSI impacts were not
due to a release from the regulated CCR
landfill cells, but instead were
attributable to another source.
Specifically, NIPSCO has concluded
that ‘‘a release from the non-regulated,
unlined portions of the landfill, Phases
1 and II, is the source of the identified
SSIs.’’ 101 Subsequent groundwater
monitoring of the regulated Landfill
cells since 2018 continues to identify
SSIs and NIPSCO continues to attribute
at 20.
Annual Groundwater Monitoring and
Corrective Action Report—Landfill Phase V and
Phase VI, NIPSCO R.M. Schahfer Generating
Station. January 31, 2019.
101 Northern Indiana Public Service Company,
R.M. Schahfer Generating Station, Wheatfield,
Indiana, Schahfer Landfill Phase V and Phase VI,
Alternative Source Demonstration. April 13, 2018.
Begins on PDF page 20 of the 2018 Annual
Groundwater Monitoring and Corrective Action
Report—Landfill Phase V and Phase VI. April 13,
2018.
those impacts to releases from the
unregulated Phase I and II cells.102
Landfill Phase I is a 20-acre unlined
cell that received CCR (flue gas
desulfurization materials and fly ash)
between 1984 and 1991 and
subsequently closed with a final cover
system in 1999. Phase II of the Landfill
is an unlined 42-acre cell where flue gas
desulfurization materials and fly ash
were disposed between 1991 to 1998.
The Phase II cell was closed with a final
cover system in 1998. CCR landfills
such as the Phase I and II cells are not
regulated by the existing regulations
because the cells have not received CCR
on or after October 19, 2015. As a result,
NIPSCO has not been required under
the existing Federal CCR regulations to
investigate further and remediate as
necessary groundwater impacts from the
unlined Phase I and II cells.
Waukegan Generating Station, Illinois
An example of CCR used as fill on-site
is Midwest Generation’s Waukegan
Generating Station in Waukegan,
Illinois. There are two CCR surface
impoundments named the East Ash
Pond and West Ash Pond, which were
used interchangeably during the
facility’s operational history and have a
multi-unit groundwater monitoring
system. The East Ash Pond has a surface
area of 9.8 acres with a storage capacity
of 184,000 cubic yards. The West Ash
Pond has a surface area of 10 acres with
a storage capacity of 223,000 cubic
yards. According to the 2018 Annual
Groundwater Monitoring and Corrective
Action Report, there was detection of
SSIs over background for Appendix III
constituents, including pH and
sulfate.103 An ASD was completed that
claimed other potential historic sources
were the cause of the SSIs. In the 2019
Annual Groundwater Monitoring and
Corrective Action Report, an ASD for
Appendix III constituents identified
calcium and TDS with the same claim
that other potential historic sources
were the cause of the SSIs.104 The ASDs
discuss that the downgradient
monitoring wells were installed within
the berms for the surface impoundments
that consisted of a ‘‘mixture of fill and
beneficially reused coal combustion byproduct’’.105 106 The 2018 ASD also
99 Id.
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100 2018
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102 2021 Annual Groundwater Monitoring and
Corrective Action Report, Landfill Phase V, Phase
VI, and Phase VII, NIPSCO LLC R.M. Schahfer
Generating Station. January 31, 2022.
103 2018 Waukegan Generating Station Annual
GWMCA Report, Appendix B, PDF pg. 100. January
2019.
104 2019 Waukegan Generating Station Annual
GWMCA Report, Appendix B, PDF pg. 100. January
2020.
105 2020 Waukegan Generating Station Annual
GWMCA Report. January 2021.
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notes that a upgradient well, MW–05
which is not a part of the CCR
groundwater monitoring network, has
substantially higher sulfate and boron
concentrations than the downgradient
wells suggesting an upgradient source.
Furthermore, the 2019 ASD mentions
that the fluctuating TDS concentrations
at downgradient well MW–16 are
correlated to fluctuations in TDS at
MW–05 further suggesting an
upgradient source. While these ASDs
suggest that the sources may be CCR
within the berms and a upgradient
source they do not analyze these
potential sources to verify the claims.
EPA did verify that the boring logs for
groundwater monitoring wells MW–01
through MW–05 and MW–16 show they
were installed within 11 to 20 feet of
CCR in the berms surrounding the
surface impoundments.107 In addition,
construction drawings in the history of
construction show ‘‘existing fill’’ or CCR
was used in the construction of the
surface impoundment access ramps and
underneath the surface impoundments
liners.108 The facility continued to use
the ASDs for SSIs in 2020 and 2021,
therefore, the surface impoundments
remain in detection monitoring.
White Bluff Steam Electric Station,
Arkansas
The White Bluff Steam Electric
Station in Redfield, Arkansas is owned
or operated by Entergy and has three
CCR units: two CCR surface
impoundments (A Recycle Pond/South
Pond and B Recycle Pond/North Pond);
and one CCR landfill (Existing CCR
Landfill Cells 1–4). CCR previously was
disposed in a 20-acre ravine,109 which
was closed and covered in accordance
with the original facility State-issued
permit. The active landfill was then
built on top of, and adjacent to, the
unlined, closed landfill. In 2018, the
facility conducted intrawell monitoring
of the groundwater at the facility and
SSIs for pH, calcium, TDS, and boron
were detected. An ASD was completed
and determined that the sources of the
SSIs were: (1) Releases from portions of
the Coal Ash Disposal Landfill (CADL)
closed before the effective date of the
CCR Rule (October 19, 2015); (2) Surface
water that has come into contact with
on-site CCR and has migrated into the
subsurface; and/or (3) Natural variation
106 2021 Waukegan Generating Station Annual
GWMCA Report. January 2022.
107 Waukegan boring well logs.
108 October 2016, Waukegan Generating Station
History of Construction.
109 Entergy Arkansas, LLC White Bluff Steam
Electric Station Landfill Cells 1–4 2021 Annual
Groundwater Monitoring and Corrective Action
Report. January 31, 2022.
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in groundwater quality. Therefore, the
landfill remains in detection
monitoring.
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c. Examples of CCRMU With Identified
SSIs or SSLs From Comments
EPA received several comments about
potential damage cases from CCRMU. In
addition, many comments provided
additional potential CCRMU but
evidence of a thorough groundwater
quality investigation in this area was not
presented. If there are monitoring wells
at the facility, the wells are not
sufficient to characterize groundwater
impacts from the CCRMU. Therefore,
due to lack of data, EPA and the
commenters could not definitively
determine if certain unregulated
placement of CCR at facilities is a
CCRMU or if the CCRMU could be
potential damage cases. EPA presents
the following additional examples of
CCRMU that have adequate
groundwater monitoring to show
impacts.
Brandywine Ash Management Facility,
Maryland
The Brandywine Ash Management
Facility in Prince George’s County,
Maryland has a 217-acre CCR landfill. It
is operated by GenOn MD Ash
Management, LLC. CCR has been
landfilled at the facility since
approximately 1971. As of 2018, an
estimated 6.8 million cubic yards, or 7
billion kilograms, of CCR were placed at
the site. CCR at Brandywine has
contaminated groundwater and surface
water, leading to legal action by the
State of Maryland. A 2013 Consent
Decree resulted in the development of a
Corrective Measures Plan and a Nature
and Extent of Contamination
Study.110 111 According to the Consent
Decree, ‘‘The original design of the
disposal cells and operation of the
disposal areas. . .has resulted in some
leachate escaping the disposal cells via
groundwater and constructed outfalls
and entering surface waters . . .’’ 112
‘‘Based on a review of the quarterly
Discharge Monitoring Reports . . . and
other quarterly and annual monitoring
reports submitted by GenOn, [Maryland
Department of the Environment (MDE)]
has determined that wastewater
discharges from monitoring points at
Brandywine have at times exceeded
ambient surface water quality standards
for cadmium and/or selenium. MDE has
also determined that leachate has
entered groundwater and is causing the
110 Consent Decree, State of Maryland et. al v.
Genon MD Ash Management, LLC (No. 8:12–cv–
03755–PJM, D. Md., May 1, 2013).
111 Id.
112 Id.
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[maximum contaminant level (MCL)] for
cadmium to be exceeded at times at
certain groundwater monitoring points,
as were federally recommended
secondary standards for manganese,
sulfate, iron, [total dissolved solids
(TDS)], aluminum and chloride.’’ 113
This broader context related to State
law—which is absent from documents
submitted pursuant to the 2015 CCR
Rule—is important for understanding
the complexity of the Brandywine site
and its impacts. For example, unsafe
lithium levels hundreds of times higher
than the default GWPS in the 2015 CCR
Rule have been documented at
groundwater monitoring wells, as have
unsafe molybdenum levels up to
approximately 80 times higher than its
default GWPS. Some of these unsafe
levels are found in monitoring wells not
included in the network used to
demonstrate compliance with the
Federal CCR Rule.114
The Brandywine site includes four
areas of interest: Historical Area 1,
Historical Area 2, Phase I, and Phase
II.115 116 Because these four areas are all
part of a single landfill and in some
cases overlap, they should have all been
subject to the 2015 CCR Rule—even
though three of the areas were closed
before the rule took effect. In its filings
to comply with the 2015 CCR Rule,
GenOn has treated the Historical Area 1,
Historical Area 2, and Phase I areas as
unregulated units and has pointed to
these areas as the source of pollution in
its ASDs. For this reason, the site has
remained in detection monitoring
through at least 2021.117
Bull Run Fossil Plant, Tennessee
The Bull Run Fossil Plant is owned
and operated by Tennessee Valley
Authority (TVA) in Clinton, Tennessee
and has two unregulated CCR landfills.
Groundwater monitoring results show
the landfills have been leaching arsenic,
boron, cobalt, manganese, and
113 Geosyntec Consultants. 2018. 2017 Annual
Groundwater Monitoring And Corrective Action
Report, Brandywine Ash Management Facility
Phase II, Brandywine, Maryland. Prepared for
GenOn MD Ash Management. January.
114 Earthjustice et al. Legacy Proposal Comment
Appendix VI. EPA–HQ–OLEM–2020–0107–0368.
115 Geosyntec Consultants. 2018. Nature and
Extent of Contamination Study, Final Report,
Brandywine Ash Management Facility,
Brandywine, Maryland. Prepared for GenOn MD
Ash Management. June.
116 Geosyntec Consultants. 2018. Corrective
Measures Plan, Brandywine Ash Management
Facility, Brandywine, Maryland. Prepared for
GenOn MD Ash Management. June.
117 Geosyntec Consultants. 2022. 2021 Annual
Groundwater Monitoring and Corrective Action
Report, Federal CCR Rule, Brandywine Ash
Management Facility, Phase II, Brandywine,
Maryland. Prepared for GenOn MD Ash
Management. January.
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molybdenum into the groundwater for
decades, resulting in groundwater that
exceeds health standards for these
toxins by many times. In addition, a
portion of one of the landfills, the Dry
Fly Ash Stack, is not regulated by the
2015 CCR Rule as it ceased receipt of
CCR in 2015 an interim soil cover was
placed on Phase 2, and in accordance
with a permit issued by the Tennessee
Department of Environment and
Conservation, it will be closed in
conjunction with the currently
operating Dry Fly Ash Stack Lateral
Expansion.118 Among other things, the
2023 Bull Run Environmental
Assessment Report states that the Dry
Fly Ash Stack contains 3.7 million cubic
yards of coal ash, and shows that
lithium and molybdenum in
downgradient groundwater exceed
groundwater screening levels by at least
an order of magnitude.119
Hennepin Power Station, Illinois
The Hennepin Power Station in
Hennepin, Illinois has five CCR units
including four CCR surface
impoundments (Ash Pond No. 2, East
Ash Pond, Old West Ash Pond, and Old
West Polishing Pond) and one CCR
landfill (CCR Landfill). The East Ash
Pond System includes Ash Pond No. 2,
the East Ash Pond, and Ash Pond No.
4, which were built on top of historic
CCR fill.120 Ash Pond No. 4 was a 30foot-deep gravel quarry where coal ash
fill was disposed in the mid-1980s.121
Groundwater downgradient of the East
Ash Pond System, showed
concentrations of sulfate and boron that
exceeded State groundwater
standards.122 The groundwater was (and
may still be) contaminated with coal ash
constituents.123
Will County Station, Illinois
The Will County Station in
Romeoville, Illinois is owned and
operated by Midwest Generation Co.
The facility has two CCR surface
impoundments, Ash Pond 2S and Ash
Pond 3S. Ash Ponds 1N and 1S were
removed from service in 2010, and
although they were not actively used for
118 Tennessee Valley Authority. Bull Run
Environmental Assessment Report. Appendix D–
CCR Management Unit Cross Sections. August
2023.
119 Tennessee Valley Authority. Bull Run
Environmental Assessment Report. Bull Run Fossil
Plant, Clinton, Tennessee. August 2023.
120 U.S. EPA, Damage Case Compendium,
Technical Support Document, Vol. IIa: Potential
Damage Cases (Reassessed, Formerly Published),
Docket ID EPA–HQ–RCRA–2009–0640–12119 (Dec.
18, 2014) at 30, ns.110.
121 Id at 30.
122 Id at 30.
123 Id at 30.
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waste storage, they still contained at
least one inch of water in 2019 and the
base of these unlined impoundments are
in contact with at least one foot of
groundwater.124 In addition, through
borings taken at the facility, historical
CCR has been buried around the ash
ponds, and the Former Slag and Bottom
Ash Placement Area has been identified
at the southeast corner of the station’s
boundary.
When constructing the groundwater
monitoring system in 2010 and 2011,
well borings also showed a thick layer
of CCR buried along the eastern edge of
the four ash ponds. MW–1, MW–2,
MW–3, MW–4, and MW–6 show layers
of fill between five and twelve feet thick
containing CCR.125 Historical
topographic maps and aerial imagery
document ponds extending from north
of Pond 1N to close to the southern
property boundary. These historical
waste storage areas would have
surrounded the current regulated ponds
and the area where CCR has been found
buried near the ponds. The topographic
map and aerial imagery from 1962 show
a large pond extending from north of
Pond 1N to the southern property
boundary. In 1973, waste storage areas
are present in the vicinity of Ponds 2S
and 3S and extend to the southern
property boundary. By 1980, waste areas
are depicted south of Pond 3S and
surrounding Pond 1N. The series of
unregulated ponds near the southern
property boundary south of Pond 3S are
visible on available maps until present
day.126 127
Historical ash in fill near the ponds is
in contact with groundwater.
Groundwater elevations fluctuate
between 579 and 584 feet above mean
sea level in this area. CCR is buried at
elevations as low as 578.6 feet above
mean sea level. MW–2 provides an
example of ash in contact with
groundwater. The boring log completed
during its installation shows CCR down
to 578.6 feet above mean sea level and
the groundwater elevation was at 580.6
feet above mean sea level, meaning that
at least two feet of groundwater was in
contact with CCR at that time.
Groundwater measurements at this well
commonly range from 582 to 584 feet,
meaning three to five feet of CCR are
124 Interim Opinion and Order, Sierra Club et al
vs. Midwest Generation, LLC, Illinois Pollution
Control Board, June 20, 2019.
125 Id.
126 Earthjustice et al. Legacy Proposal Comment
Appendix VI. EPA–HQ–OLEM–2020–0107–0368.
127 Earthjustice Appendix II. Examples of
historical satellite imagery and topographic maps
are included in Figure 23, Figure 24, and Figure 25.
EPA–HQ–OLEM–2020–0107–0368.
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routinely saturated with groundwater
near MW–2.128
The Former Slag and Bottom Ash
Placement Area is located at the
southeast corner of the Will County site.
A Phase II Environmental Site
Assessment completed in 1998
identified this location as an ash
disposal area. Borings revealed coal ash
mixed with gravel up to three feet below
the ground surface.129
Groundwater monitoring completed
under the 2015 CCR Rule also
demonstrates groundwater
contamination at Will County. SSIs for
chloride, fluoride, and TDS have been
identified since the inception of the
monitoring program in 2017 and in
2022, SSLs for arsenic and selenium
were detected.130
While the regulated ponds are likely
contributing to groundwater
contamination, historical ash at the
station is also a likely culprit. Historical
ash along the eastern boundary of the
four ponds is not capped or lined and
is thus exposed to precipitation and
groundwater. The regulated and
unregulated ponds are unlined and are
in contact with groundwater, making
these units potential sources of
groundwater contamination.
Groundwater contamination increases
as it passes through/under the ponds.
Boron and sulfate concentrations
doubled between well MW–1
upgradient of Pond 1N and MW–7
downgradient of the pond in monitoring
data collected between 2010 and
2018.131
ASDs also provide evidence of a
contaminant source other than the
regulated ponds. An ASD completed in
2018 following SSIs for chloride,
fluoride, and TDS at the regulated units
concluded that the SSIs were from
‘‘other potential sources’’ and not from
the regulated units.132
Groundwater monitoring during 2022
identified SSIs for boron, calcium,
chloride, fluoride, and TDS across the
monitoring network. SSLs for selenium
at one well and arsenic at two wells
were also identified and resulted in
initiation of an ACM for the site.
Notably, the two upgradient monitoring
wells are contaminated. MW–06 had an
SSI for calcium and an SSI for boron
and SSL for selenium were detected at
MW–05. These two upgradient wells are
128 Interim Opinion and Order, Sierra Club et al
vs. Midwest Generation, LLC, Illinois Pollution
Control Board, June 20, 2019.
129 Id.
130 Earthjustice et al. Legacy Proposal Comment
Appendix VI. EPA–HQ–OLEM–2020–0107–0368.
131 Earthjustice et al. Legacy Proposal Comment
Appendix VI. EPA–HQ–OLEM–2020–0107–0368.
132 Id.
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39043
located along the eastern edge of the
ponds in the area known to contain
buried ash. SSIs and SSLs in
downgradient wells indicate that the
regulated ponds may also be
contributing to groundwater
contamination.133
The ASD completed following
identification of SSLs at regulated Pond
2S and 3S determined that Pond 3S is
likely contributing to groundwater
contamination. The ASD reported
statistically significant decreasing
trends in chloride concentrations in
both upgradient monitoring wells and
statistically significant increasing trends
in chloride concentrations in MW–09
and MW–11, both of which are
immediately downgradient of Pond
2S.134
The prevailing groundwater flow at
the site is from the east to the west
across the ponds. Because historical ash
is present along the eastern boundary of
the ponds, the current monitoring
network is not capable of accurately
measuring groundwater contamination
from each potential source. Further, all
the wells designated upgradient are
within the likely footprint of the
historical CCR disposal area described
above. Thus, none of the wells can
assess upgradient groundwater quality
accurately.
EPA Impoundment Assessments
Commenters provided additional
reviews of EPA’s impoundment
assessment reports that were conducted
in 2011–2013. During the impoundment
assessments, EPA documented eight
power plants with historical ponds
where coal dams were constructed in
whole or part of coal ash.135 These
plants include six plants on EPA’s list
of potential legacy CCR surface
impoundments: Glen Lyn (VA),
Hutsonville (IL), Jefferies (SC),
Muskigum River (OH), Philip Sporn
(WV), and Tanners Creek (IN). At two
additional plants where historical ponds
are identified, Cape Fear (NC) and Frank
E. Ratts (IN), EPA also found coal ash
used in the construction of the dams.
The commenters included these plants
as additional potential CCRMU.
2. Applicability and Definitions Related
to CCR Management Units
EPA is finalizing new definitions and
revising several existing definitions
necessary to implement the new
requirements for CCRMU. Specifically,
133 Id.
134 Id.
135 EPA, Coal Combustion Residuals
Impoundment Assessment Reports (2014), https://
www.epa.gov/sites/default/files/2016-06/
documents/ccr_impoundmnt_asesmnt_rprts.pdf.
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the final rule establishes new
definitions for ‘‘CCR management unit,’’
‘‘Contains CCR and liquids,’’ ‘‘Inactive
CCR landfill,’’ ‘‘Liquids,’’ and
‘‘Regulated CCR unit’’ and revises
existing definitions for ‘‘CCR landfill or
landfill,’’ ‘‘CCR unit,’’ ‘‘Operator,’’
‘‘Owner,’’ and ‘‘State Director.’’ Some of
these definitions are discussed
elsewhere in the preamble.
EPA is also revising § 257.50(d) to
specify that part 257, subpart D applies
to CCRMU of 1,000 tons or greater,
located at facilities with a regulated CCR
unit or active facilities without a
regulated CCR unit. That provision also
applies to CCRMU greater than or equal
to one ton and less than 1,000 tons,
located at active facilities or facilities
legacy CCR surface impoundment are
only subject to the requirements of the
FER in § 257.75 until a permitting
authority determines that regulation of
these units, either individually or in the
aggregate, is warranted and determines
the applicable requirements. Under the
2015 CCR Rule, § 257.50(d) exempted
from regulation those CCR landfills that
had ceased receiving CCR prior to
October 19, 2015. This action amends
the exemption included in the 2015
CCR Rule.
The sections below briefly explain
what EPA proposed, summarize the
public comments received, and provide
the Agency’s responses. The Agency
addresses new and revised definitions
in the following order: (1) CCR
management unit; (2) CCR unit; (3)
Owner and operator; and (4)
Conforming revisions to other existing
definitions.
a. Definition of CCR Management Unit
EPA proposed to define a CCR
management unit or CCRMU to capture
the solid waste management practices
that have been demonstrated in the 2014
and 2024 Risk Assessments and the
damage cases to have the potential to
contaminate groundwater. EPA
proposed to define a CCRMU as any
area of land on which any noncontainerized accumulations of CCR are
received, placed, or otherwise managed,
that is not a CCR unit. EPA explained
in the proposed rule that the definition
of a CCRMU is based on the current
definitions of a CCR pile—which is
currently regulated as a CCR landfill
under part 257, subpart D—and of a
CCR surface impoundment, which both
rely on the concept of ‘‘accumulations
of CCR.’’ See, 40 CFR 257.53 and 88 FR
32018.
EPA proposed that CCRMU would
include historical solid waste
management units such as CCR landfills
and surface impoundments that closed
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prior to the effective date of the 2015
CCR Rule (October 19, 2015), as well as
inactive CCR landfills (including
abandoned piles). The proposal stated
that a CCRMU would also include any
other areas where the solid waste
management of CCR on the ground has
occurred, such as structural fill sites,
CCR placed below currently regulated
CCR units, evaporation ponds, or
secondary or tertiary finishing ponds
that have not been properly cleaned up,
and haul roads made of CCR if the use
does not meet the definition of
beneficial use in § 257.53. EPA
explained that all of these examples
involved the direct placement of CCR on
the land, in sufficient quantities to raise
concern about releases of hazardous
constituents, and—in most, if not all
cases—with no measures in place to
effectively limit the contact between the
CCR and liquids, and subsequent
generation and release of any leachate.
EPA acknowledged that the proposed
definition was broad, but the Agency
did not intend that the placement of any
amount of CCR would necessarily
constitute a CCRMU. Accordingly, EPA
proposed that the following would not
be considered CCRMU: consistent with
the current regulations, closed or
inactive process water ponds, cooling
water ponds, wastewater treatment
ponds, and stormwater holding ponds
or aeration ponds. EPA explained that
these units are not designed to hold an
accumulation of CCR, and in fact, do not
generally contain a significant amount
of CCR. See, 80 FR 21357. EPA also
explained, consistent with the existing
regulations, neither an area or unit at
which exclusively non-CCR waste is
managed, nor any containerized CCR,
such as a silo, would be considered
CCRMU because neither of these units
present conditions that give rise to the
risks modeled in EPA’s assessment or
identified in the damage cases. See, Id.
at 21356.
For similar reasons, the Agency
proposed that any CCR used in roadbed
and associated embankments would not
be considered CCRMU. As EPA
explained in the 2015 rule the methods
of application are sufficiently different
from CCR landfills that EPA cannot
extrapolate from the available risk
information to determine whether these
activities present similar risks.
Roadways are subject to engineering
specifications that generally specify
CCR to be placed in a thin layer (e.g.,
six to 12 inches) under a road. The
placement under the surface of the road
limits the degree to which rainwater can
influence the leaching of the CCR. There
are also significant differences between
the manner in which roadways and
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landfills can potentially impact
groundwater, such as the nature of
mixing in the media and the leaching
patterns. First, CCR landfills are
typically a homogenously mixed
system, and as a result, there are no
spatial variations of the chemical and
physical properties of the media (e.g.,
bulk density, hydraulic conductivity
and contaminant concentration). By
contrast, roadways are generally
constructed of several layers with
different material properties
(heterogeneity). This difference affects
the hydraulic conductivity of a mass of
CCR in a landfill, as compared to CCR
placed in an embankment. Any
potential leaching will tend to spread
over the length of the embankment, as
opposed to the leaching in a downward
motion that would occur in a
homogenously filled landfill. Finally,
EPA is concerned that groundwater
monitoring of a road may not be
practicable. However, even though EPA
considers that the available information
does not demonstrate that use in
roadbed present sufficient risk to
warrant the suite of requirements
applicable to CCRMU, that calculus
changes in the event the CCR in roadbed
is contaminating groundwater.
Accordingly, EPA proposed that if a
facility subsequently determines that
the CCR in onsite roadbed is
contributing to contamination to the
aquifer, the facility would be required to
address the contamination. For
example, if during an ongoing corrective
action, a facility identifies the roadbed
as an additional source of
contamination, it would be required to
address that contamination as part of
the ongoing remediation of the aquifer.
In addition, the measures EPA proposed
to require facilities to take would not be
expected to identify truly de minimis
quantities of CCR. As discussed in
greater detail in the next section, EPA
proposed that facilities would only be
required to identify accumulations if
records confirm the existence of the
CCRMU or visual evidence of CCR
placement on the ground.
In addition, EPA proposed to define
the term inactive CCR landfill to mean
an area of land or an excavation that
contains CCR but that no longer receives
CCR on or after the effective date of this
final rule and that is not a surface
impoundment, an underground
injection well, a salt dome formation, a
salt bed formation, an underground or
surface coal mine or a cave. For
purposes of this subpart, this term also
includes sand and gravel pits that
received CCR and abandoned CCR piles.
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i. RCRA Authority
Some commenters contended that
West Virginia v. EPA, 142 S. Ct. 2587,
2609 (2022) requires EPA to have clear
congressional authorization to regulate
CCRMU, and that Congress has not
provided EPA with such authorization
under either RCRA sections 4004(a) or
4005(d). The commenters are incorrect.
All of the requirements adopted in this
rulemaking to regulate CCRMU fall
squarely within the authority Congress
delegated to the Agency in RCRA
sections 1008(a)(3), 4004(a), and
4005(d). Commenters’ arguments to the
contrary are based misunderstandings of
the statutory structure and EPA’s
historical practice. The rule does not
expand the scope of CCR regulation
beyond what Congress envisioned.
Further, in large part, commenters’
arguments are premised on aspects of
the proposal which have been revised in
this final action in response to
comments. Although the revisions were
not necessary under West Virginia v.
EPA (because EPA’s exercise of
authority through this rule does not
implicate a major question), the
revisions resolve many of the
commenters’ objections based on their
view of the major questions doctrine.
EPA addresses the comments in turn.
Some commenters based their claim
that the regulation of CCRMU presents
a major question on the assertion that
the proposal would regulate an
undefinable number of past CCR
management and disposal practices,
‘‘irrespective of risk, location, or even
whether such past activities have been
(or are currently being) addressed by
state governments or by EPA itself
under other federal authorities.’’ These
commenters claimed that the proposal
has no bounds.
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Just as an example, the Proposal would
require operating power generation facilities
to identify every CCRMU within its
boundaries, even if located under existing
structures critical to a plant’s energy
production operations, and to ‘‘close,’’ and in
many cases reclose, those CCRMUs under the
CCR rule’s closure provisions. The Proposal
blithely ignores whether in fact such
requirements could be met, the associated
costs, and the resulting interruption to power
generation activities that could be incurred in
attempting to meet these requirements.
These commenters also note that
Congress’s failure to include the same
authority for corrective action
applicable to permitted hazardous waste
sites found in section 3004(u) under
subtitle D demonstrates that EPA lacks
the authority to require CCRMU to
comply with the part 257 corrective
action and closure requirements.
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Another commenter argued that the
proposal ‘‘would impermissibly expand
EPA’s role in the Subtitle D statutory
regime beyond the limited role that
Congress envisioned for the Agency’’
based on their belief that the
Congressional intent behind the WIIN
Act was ‘‘to restore the States to their
historical, congressionally-intended
lead role under RCRA Subtitle D in the
implementation and enforcement of
solid waste management programs.’’
According to this commenter,
[w]hether or not EPA should have such a
‘‘central role’’ in the regulation of CCR under
RCRA Subtitle D—one that would allow the
Agency to assert federal jurisdiction over any
area of land in any state simply because the
land was, at any time, used to manage any
non-containerized accumulation of CCR,
regardless of whether the land has been and
is in compliance with applicable state
regulations—is a major policy question of
significant national economic and political
magnitude that Congress has not clearly
delegated EPA the authority to address. . .
At its core, EPA’s delegated RCRA Subtitle D
authority entails only the authority to
promulgate guidelines and criteria, to be
implemented by the States, to prohibit open
dumping and to ensure that units are
classified as sanitary landfills ‘‘only if there
is no reasonable probability of adverse effects
on health or the environment from disposal
of solid wastes at such facility. EPA’s
Proposal construes ‘‘open dumps’’ and
‘‘sanitary landfills’’ to now include
historically state-regulated solid waste
management and resource conservation and
recovery practices that Congress never
intended (clearly or otherwise) for the
Agency to regulate federally, as most recently
evidenced by Congress’s definition of a
‘‘sanitary landfill’’ in the WIIN Act as a CCR
unit that complies with a state CCR permit,
or a federal CCR permit in a nonparticipating
state, or the requirements of the CCR Rule
applicable to CCR units in the absence of a
federal CCR permitting program.
This commenter stated that the WIIN
Act limited the reach of EPA’s authority
to ‘‘ ‘CCR units,’ as defined in the 2015
CCR Rule, i.e., to ‘any CCR landfill, CCR
surface impoundment, or lateral
expansion of a CCR unit, or a
combination of more than one of
these.’ ’’ In addition, the commenter
argued that EPA lacks the authority to
now regulate units that were expressly
exempted from regulation under the
EPA regulations that Congress
specifically incorporated by reference in
the WIIN Act. According to this
commenter, in 2015 EPA interpreted its
RCRA Subtitle D statutory authority to
regulate, as ‘‘CCR units,’’ only existing
and new CCR landfills, existing and
new CCR surface impoundments, and
inactive CCR surface impoundments at
active facilities, and Congress did not in
2016 grant the Agency any authority to
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regulate anything else. The commenter
further claimed that EPA has
acknowledged that the definition of a
‘‘CCR unit’’ does not include the areas
of land that EPA proposed to regulate as
CCRMU. Finally, the commenter
objected that the proposal would
regulate activities or sites that ‘‘have
historically been regulated under state
programs, per EPA approved State Solid
Waste Management Plans, and have
closed or continued to operate in
accordance with the State’s program and
plan.’’
EPA disagrees that the regulation of
CCRMU under this final rule is fairly
characterized as an ‘‘unprecedented’’
expansion of authority under RCRA
Subtitle D or otherwise presents a major
question under West Virginia v. EPA,
142 S. Ct. at 2609. The commenters have
mischaracterized EPA’s proposal, which
largely just removes regulatory
exemptions adopted in 2015, and
requires the owners and operators of
solid waste disposal units to clean up
the contamination from their disposal of
solid waste (CCR). These are the same
requirements that apply to the currently
regulated CCR landfills and CCR
impoundments—most of which are
located at the same sites as the CCRMU
regulated under this final rule—and that
Congress incorporated into RCRA in the
2016 WIIN Act. See, e.g., See, 42 U.S.C.
6945(d)(3), (6), (7). EPA has imposed
these types of requirements on these
kinds of entities and activities since
1980. Characterizing this as novel or
unprecedented fundamentally misstates
both the nature of EPA’s action and the
authority Congress delegated to the
Agency in RCRA sections 1008(a)(3),
4004(a), and 4005(d).
(a) Types of Units and Activities
Regulated
As an initial matter, these
commenters have mischaracterized
EPA’s statements about the extent of its
authority under subtitle D. EPA never
stated that its authority was limited to
the particular CCR units regulated by
the 2015 CCR Rule. The only citation
the commenter provides to support its
assertion is 80 FR 21303, which is
simply a factual recitation of the CCR
units covered by the 2015 CCR Rule.
That section contains no statement
about EPA’s authority to regulate; nor
does any other section of the 2015 CCR
Rule preamble contain such a statement.
Similarly, EPA never stated or in any
way suggested in the May 2023
proposed rule that the existing
regulatory definition of a CCR unit—and
by implication, the statutory term in
4005(d)—does not include the ‘‘areas of
land that EPA proposed to regulate as
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CCRMUs.’’ Based on the pages in the
proposal that the commenter cites, it
appears the commenter was confused by
EPA’s explanation that it was proposing
to use two different terms to distinguish
between: (1) the CCR units that would
be subject to all of the requirements in
part 257 and (2) the CCR units that
would subject to only a subset of the
existing requirements. EPA proposed to
use the terms CCR unit and CCRMU,
respectively, to refer to these two
categories of units. To effectuate this,
EPA proposed to revise the existing
definition of a CCR unit by adding a
statement that CCR management units
are not covered by the definition. If the
commenter were correct that EPA did
not consider CCRMU to be a type of
CCR unit, EPA would not have needed
to revise the definition.
But to the larger point, the CCRMU
regulated under this rule clearly fall
within RCRA sections 1008(a)(3),
4004(a) and 4005(d). In essence, as the
commenter recognizes, CCRMU are
simply CCR landfills and CCR surface
impoundments that were not regulated
by the 2015 Rule: inactive CCR landfills,
or CCR surface impoundments and
landfills that were closed prior to the
effective date of the 2015 rule.136 As
EPA explained in the May 2023
proposal, the proposed definition of a
CCRMU was based on the existing
definitions of a CCR pile—which is
currently included in the definition of a
CCR landfill—and of a CCR surface
impoundment, which both rely on the
concept of ‘‘accumulations of CCR.’’
See, 40 CFR 257.53 and 88 FR 32018.
And the record for this rulemaking
documents that the CCRMU regulated
under this final rule present risks at
least as significant as the units regulated
under the 2015 rule. CCRMU thus
clearly are CCR units under both the
regulations and the statute. As the
commenter itself notes, when the WIIN
Act was passed in 2016, and Congress
incorporated the term CCR unit into the
statute, the 2015 CCR Rule defined (and
still defines) a CCR unit as ‘‘any CCR
landfill, CCR surface impoundment, or
lateral expansion of a CCR unit, or a
combination of more than one of these.’’
40 CFR 257.53 (emphasis added).
The commenter relies heavily on the
fact that CCRMU were exempt under the
2015 CCR Rule; but that is ultimately
irrelevant. First, as noted above,
CCRMU actually fall within the 2015
regulatory definition of a CCR unit.
136 The proposal described an additional category:
any solid waste management that involves the
placement or receipt of CCR directly on the land;
such activities fall within the existing definition of
a CCR pile, which is in turn defined as a CCR
landfill.
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More to the point, Congress did not
define the term ‘‘CCR unit,’’ thereby
leaving it to EPA develop a definition.
Although the WIIN Act incorporates the
2015 regulations into the statute,
Congress simultaneously made clear
that EPA retains the authority to modify
or expand those requirements as
necessary to ensure that the standard in
section 4004(a) will continue to be met.
See, e.g., 42 U.S.C. 6945(d)(1)(A)(i), (3),
(6) (referencing ‘‘or successor
regulations promulgated pursuant to
sections 6907(a)(3) and 6944(a) of this
title’’). The commenters never
acknowledge these provisions or
address their logical implications.
Instead, the commenters focus on two
aspects of the CCRMU definition to
support their claims of an
‘‘unprecedented expansion’’: (1) the
proposal to define a CCRMU as ‘‘any
non-containerized accumulation of
CCR’’ without limitation or threshold;
and (2) the regulation of ‘‘any area of
land’’ on which CCR ‘‘is received,
placed, or otherwise managed at any
time.’’ With the incorporation of the
thresholds in § 257.50(d) the first issue
has been rendered moot. EPA has also
deleted the phrase ‘‘at any time’’ from
the CCRMU definition. EPA had
originally included that phrase to clarify
that it did not matter when the CCR was
originally placed, received, or otherwise
managed, provided the CCR remained at
the site. EPA deleted the phrase from
the final definition because, as the D.C.
Circuit explained, this concept is fully
communicated by the phrase ‘‘is
placed.’’
Importantly, while the ‘‘is’’ retains its
active present tense, the ‘‘disposal’’ takes the
form of a past participle (‘‘disposed’’). In this
way, the disposal itself can exist (it ‘‘is’’),
even if the act of disposal took place at some
prior time . . . . Properly translated then, an
open dump includes any facility (other than
a sanitary landfill or hazardous waste
disposal facility), where solid waste still ‘‘is
deposited,’’ ‘‘is dumped,’’ ‘‘is spilled,’’ ‘‘is
leaked,’’ or ‘‘is placed,’’ regardless of when
it might have originally been dropped off.
See 42 U.S.C. 6903(3), (14).
901 F.3d at 440. The same logic
applies to the phrases ‘‘is received’’ and
‘‘is otherwise managed.’’ Including the
phrase ‘‘at any time,’’ is consequently at
best redundant, and at worst
confusing—as demonstrated by the
above comments.
In any event, these aspects of the
CCRMU definition were either taken
directly from or largely mirror existing
regulatory or statutory definitions. The
phrase ‘‘any non-containerized
accumulation of CCR’’ appears verbatim
in the existing ‘‘CCR pile’’ definition,
which as EPA previously explained,
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essentially mirrors the existing
definition of a ‘‘waste pile or pile’’ from
§ 257.2 (i.e., the regulation that applied
to CCR facilities prior to 2015), as well
as the definition in part 260 that has
been in place since 1982. See 80 FR
21356. Compare, §§ 257.2, 257.53, and
260.10. More to the point, regulating the
placement of non-containerized 137 CCR
directly on any land is fully consistent
with RCRA’s definition of disposal,
which is defined in part as the ‘‘ ‘placing
of any solid waste or hazardous waste
into or on any land or water so that such
solid waste or hazardous waste or any
constituent thereof may enter the
environment or be emitted into the air
or discharged into any waters, including
ground waters.’’ 42 U.S.C. 6903(3)
(emphasis added). Similarly, and as
illustrated by the D.C. Circuit decision
quoted above, the phrase ‘‘is received, is
placed, or is otherwise managed,’’ flows
from the statutory definition of an open
dump, which RCRA defines as ‘‘any
facility or site where solid waste is
disposed of . . . .’’ 42 U.S.C. 6903(14)
(emphasis added).
EPA responds to comments about the
‘‘any area of land’’ portion of the
CCRMU definition in relevant portions
of the discussions below.
(b) Extent of Requirements
The commenters complain that the
proposal was ‘‘virtually unbounded’’ as
it would require operating power
generation facilities to identify every
CCRMU within its boundaries, even if
located under existing structures critical
to a plant’s energy production
operations, and to ‘‘close,’’ and in many
cases reclose, those CCRMUs under the
CCR rule’s closure provisions. While
EPA disagrees with the commenters’
characterization of the proposal, the
final rule, in any event, is more limited
than the proposal, and is not
unbounded. Under the final rule a
covered facility must still identify every
CCRMU of one ton or more within its
boundaries, but groundwater
monitoring, corrective action, closure,
and post-closure requirements apply
only to CCRMU containing at least 1,000
tons of CCR. Regulation of CCRMU
between one and 1,000 tons is deferred
to a subsequent permitting authority
who will assess the risks posed by these
smaller CCRMU, individually and/or in
the aggregate, and determine which, if
any, requirements are appropriate for
the CCRMU. In addition, this final rule
defers the requirement to demonstrate
137 The phrase ‘‘non-containerized’’ means that
specific measures to control exposures to human
health and the environment have not been adopted.
See 80 FR 21356.
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compliance with § 257.102 for CCRMU
that closed prior to the effective date of
this rule in accordance with alternative,
substantially equivalent requirements.
EPA is also deferring the requirement to
initiate closure where the CCRMU is
located beneath critical infrastructure,
such as high power electric
transmission towers, air pollution
control or wastewater treatment
systems, or an electrical substation until
the infrastructure is no longer needed, a
permit authority determines closure is
necessary to ensure that there is no
reasonable probability of adverse effects
on human health or the environment, or
the closure or decommissioning of the
facility, whichever occurs first.
The commenters also objected to the
imposition of corrective action and
closure obligations on disposal units
that were closed in accordance with
State law or on areas where the State
considered the placement of CCR on the
land to be beneficial use under State
law. But the regulation under subtitle D
of closed or inactive disposal units or of
activities exempt under State law is
neither novel nor unprecedented.
Indeed, many CCR units currently
regulated under the 2015 CCR rule were
inactive or exempt under State law. See,
80 FR 21322–21323, 21456. And in this
case EPA is only extending the part 257
regulations to activities or placements of
CCR that, as discussed above, are
already defined as ‘‘disposal’’ under
Federal law—and that the record
demonstrates present risks exceeding
the threshold for regulation in section
4004(a).
Under section 4004(a), EPA is charged
with issuing regulations to address all
‘‘reasonable probabilities of adverse
effects’’ (i.e., all reasonably anticipated
risks) to health and the environment
from the disposal of solid waste.138 The
statute is clear that this includes
regulations to address the current risks
from previous solid waste management
activities (including disposal). EPA
explained at length the basis for this
conclusion as part of the Agency’s
rationale for regulating inactive
impoundments. See, 80 FR 21344–
21345. See also USWAG, et al. v. EPA
901 F.3d at 440. See also In re
Consolidated Consol. Land Disposal
Regulation Litig., 938 F.2d 1386, 1389
(D.C. Cir. 1991) (EPA’s reading of the
term ‘‘disposal’’ in RCRA’s Subtitle C,
42 U.S.C. 6924, to include ‘‘the
continuing presence of waste’’ was
138 Although section 1008(a)(3) expands EPA’s
authority to address the risks from any of the listed
activities, the CCRMU regulated under this final
rule—consisting of CCR surface impoundments and
landfills (including CCR piles) only involve
disposal.
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reasonable); USWAG, 901 F.3d at 453–
54 (Henderson, J., concurring) (same).
By the same logic, these provisions
authorize EPA to regulate inactive
landfills and closed disposal units that
continue to pose risks to health or the
environment, for example by requiring
the owners and operators of such units
to remediate any contamination from
these units, or to take action to prevent
such contamination.
The 2016 WIIN Act amendments
reaffirmed EPA’s authority over these
activities. In section 4005(d), Congress
relied on the 2015 regulations, and
expressly stated that the amendments
were not intended to limit or restrict the
authority already provided under
sections 1008(a)(3) and 4004(a). See, 42
U.S.C. 6945(d)(3), (6), (7). With these
amendments, Congress also affirmed the
Agency’s authority to impose the kind
of requirements established in part 257
(e.g., corrective action to remediate
groundwater contamination and closure
to prevent it). This rule simply extends
many of those same requirements to
additional areas at which disposal of
CCR is occurring—often at the same
sites covered by the original 2015 CCR
Rule. Moreover, Congress made clear
that EPA retains the authority to modify
or expand the requirements in the 2015
CCR rule as necessary to ensure that the
standard in section 4004(a) will
continue to be met. See, e.g., 42 U.S.C.
6945(d)(1)(A)(i), (3), (6) (referencing ‘‘or
successor regulations promulgated
pursuant to sections 6907(a)(3) and
6944(a) of this title’’). None of the
commenters acknowledge these
provisions or address their logical
implications.
Moreover, this rule requires CCR
facilities to remediate only the
contamination associated with the
disposal of CCR on site of a facility with
other currently regulated CCR disposal
units. Although expanding the
corrective action obligations to other
areas of CCR disposal on site may seem
similar to the facility wide corrective
action obligations applicable under the
hazardous waste program—in that a
facility will be required to clean up all
of the on-site contamination caused by
its disposal of CCR—the two
requirements are not commensurate. For
example, in contrast to a clean up under
3004(u), this rule does not require a
facility to clean up any Appendix IV
constituent from any source on-site,
such as a spilled commercial product,
unconnected to the solid waste (CCR) in
the disposal unit. Rather, this rule
imposes the same unit specific
obligations that CCR facilities have been
required to comply with since 2015, that
were clearly authorized under 4004(a)
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and that Congress effectively affirmed in
2016 with the WIIN Act.
(c) Relationship to State Law
Finally, EPA disagrees that either the
proposed or final rule expands ‘‘EPA’s
role in the Subtitle D statutory regime’’
or otherwise alters the Congressionally
mandated relationship between EPA
and the States.
The fact that EPA regulation affects
the status of activities or units that were
previously regulated under State law is
precisely what the statute authorizes.
Even under the more limited authority
conferred upon the Agency prior to
WIIN Act, EPA’s subtitle D criteria
established minimum national
standards with which facilities were
required to comply, irrespective of State
law. See 80 FR 21310–21311.
Moreover, the commenter has
misunderstood both the intent and
effect of the WIIN Act. Under the legal
framework in place when the 2015 CCR
rule was enacted,
EPA’s delegated RCRA Subtitle D authority
entails the authority to promulgate guidelines
and criteria, to be implemented by the States,
to prohibit open dumping and to ensure that
units are classified as sanitary landfills ‘‘only
if there is no reasonable probability of
adverse effects on health or the environment
from disposal of solid wastes at such facility
See 80 FR 21310–21311. Congress
deliberately expanded EPA’s role under
that framework in 2016 when it granted
EPA the authority to enforce the Federal
criteria, issue permits in
nonparticipating States, and to establish
the minimum national standards that
are both applicable directly to facilities
and used to evaluate State programs.
The commenter’s description of the
section 4005(d)(6) definition of a
‘‘sanitary landfill’’ is similarly
misleading. Congress did not define a
sanitary landfill as a CCR unit that
complies with any State CCR permit,
but a State permit issued in accordance
with an EPA approved program. See 42
U.S.C. 6845(d)(6)(A)(i).
(d) Other Comments Concerning
Authority To Regulate CCRMU
Other commenters stated that the
proposed CCRMU definition exceeds
the Agency’s authority under RCRA
subtitle D because EPA has failed to
demonstrate that any amount of CCR
placed anywhere on the land at any
time presents the level of risk necessary
to warrant regulation under section
4004(a). These commenters contend that
the proposed CCRMU definition
unlawfully eliminates the concept of
risk out of the statutory definition of
disposal. These commenters further
asserted that the authority to regulate
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‘‘solid waste management practices’’
under section 1008(a)(3) similarly does
not authorize the regulation of any
amount of CCR placed anywhere on the
land at any time. Finally, a commenter
raised concern that the proposed
definition would encompass CCR used
as fill material pursuant to acts of
Congress or validly issued Section 404
permits under the Clean Water Act,
which commenter alleged falls outside
the scope of RCRA.
EPA disagrees that it lacks the
authority for any of the provisions in
this final rule. The record demonstrates
that the CCRMU regulated under the
final rule meet the standard for
regulation under section 4004(a). This
rule is supported by two separate risk
assessments; the final rule adheres
closely to the results, and regulates only
the units and activities that present risks
that warrant regulation under sections
1008(a)(3) and 4004(a). Further, the
results of EPA’s risk assessments are
consistent with the damage cases
discussed in Unit III.C.1 of this
preamble.
As discussed at length in Unit III.A of
this preamble, leakage from CCRMU can
adversely impact groundwater quality
and pose risk to future receptors in the
range that EPA typically considers for
regulation. Closed and inactive landfills
and surface impoundments pose
substantially the same levels of risk to
offsite receptors as those estimated in
2014 for currently regulated units. This
is particularly true if the unit has not
been properly closed, e.g., lacks a final
cover system.
In response to comments received on
the proposed rule raising concerns
about the adequacy of EPA’s basis for
regulating smaller CCRMU, EPA
modeled groundwater concentrations at
the boundary of smaller CCRMU fills to
understand the potential for exceedance
of GWPS that would trigger corrective
action. The results of that 2024 Risk
Assessment confirm that smaller
CCRMU fills can pose risk to onsite
receptors and materially contribute to
broader groundwater contamination
across the facility. In addition,
depending on the location of these fills,
they can also pose risk to offsite
receptors that exceed the levels at which
EPA normally regulates. On the whole,
this analysis identified the potential for
both moderate and high-end
groundwater concentrations of
molybdenum (among other Appendix IV
constituents) to exceed GWPS.
EPA conducted further sensitivity
analysis to better understand whether
there is an amount below which there
is no reasonable probability of adverse
impacts to groundwater quality. EPA
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remodeled quantities of CCR between
one ton and 78,000 tons to determine
both the risks associated with the
potential for groundwater
contamination and radioactivity. EPA
modeled only individual placements of
CCR in these quantities rather than the
aggregate risks from the placement of
multiple small quantities of CCR colocated at the same site.
This analysis found that exceedances
of the GWPS by a factor of as much as
40 are still possible for placements
below 1,000 tons of CCR. Thus, such
placements can meaningfully contribute
to groundwater contamination at these
facilities, including, for example by
adding two contaminant plumes already
present on site from larger placements,
or in the aggregate. Although further
analysis of the results indicates that
there will be a tonnage that does not
present a reasonable probability of
adverse effects to groundwater quality,
EPA was unable to identify that amount
based on the available information. EPA
conducted no modeling below one ton;
however all indications in the existing
data are that groundwater
concentrations from individual
quantities below one ton are very
unlikely to exceed GWPSs. In other
words, although EPA’s modeling
indicates that some amount between
one ton and 1,000 tons is likely below
EPA’s level of concern, EPA cannot
determine what that precise amount
would be. It was not possible to identify
a limit much lower than 1,000 tons
because too few model runs were
conducted at smaller amounts to
support extrapolation.
To ensure that the final rule is
consistent with the Agency’s authority
under RCRA section 4004(a), this final
rule incorporates thresholds consistent
with the results of its risk analyses.
Accordingly, the final rule only requires
CCRMU containing 1,000 tons or more
of CCR to comply with the applicable
requirements for CCRMU.
However, EPA estimated the risks
associated with a 1,000 ton CCRMU to
be an HQ of 40, which exceeds the
Agency’s normal level of acceptable risk
by a significant margin. In addition,
EPA’s risk assessment may
underestimate the risks at some sites.
EPA modeled the risks associated with
individual CCRMU of varying sizes,
rather than the aggregate risks
associated with numerous smaller
CCRMU across the facility. It is possible
that even though smaller CCRMU may
not individually give rise to levels of
concern, the risks may be greater when
all of the CCRMU are considered
together. According to many of the
commenters, it is common for multiple
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small CCRMU to be located at a single
facility. And although EPA’s modeling
estimated radiation risks of concern at
lower quantities, EPA’s concerns were
based on a future residential use of the
property (e.g., after clean closure of the
regulated units, but where smaller
CCRMU remain on site). As several
commenters noted, current exposures at
existing facilities (occupational) are very
different. To address these risks, as
section 4004(a) requires, the final rule
does not exempt CCRMU containing
between one and 1,000 tons of CCR, but
defers the regulation of such units to a
permitting authority who will assess the
risks posed by these smaller CCRMU,
individually and/or in the aggregate,
and determine which, if any,
requirements are appropriate for the
CCRMU to ensure there will be no
reasonable probability of adverse effects
on health or the environment. In order
to facilitate this, the final rule requires
facilities to identify these smaller units
as part of the FER, so that this
information can be submitted as part of
their permit application. The facility
will also continue to monitor the
regulated units and larger CCRMU at the
site, consistent with the requirements in
this rule and the existing regulations. To
the extent that these smaller
unmonitored CCRMU are leaching
contaminants and contributing to
groundwater plumes, that should
become apparent as the facility
continues to monitor and conduct any
necessary corrective action at the
currently monitored units.
EPA has codified these provisions in
the ‘‘Scope’’ section of the regulations,
at § 257.50(d). The provision reads as
follows:
(1) This subpart applies to CCR
management units of 1,000 tons or greater,
located at facilities with a regulated CCR unit
or active facilities without a regulated CCR
unit.
(2) CCR management units greater than or
equal to 1 ton and less than 1,000 tons,
located at facilities with a regulated CCR unit
or active facilities without a regulated CCR
unit, are only subject to the requirements of
the facility evaluation report in § 257.75 until
a permitting authority determines that
regulation of these units, either individually
or in the aggregate, is warranted and
determines the applicable requirements.
Finally, the commenter is mistaken
that CCR used as fill material pursuant
to acts of Congress or validly issued
CWA section 404 permits under the
State falls outside the scope of RCRA.
To support its allegation, the commenter
references section 1006(a), claiming that
this ‘‘expressly carves out any activity
covered by 33 U.S.C. 1251 et seq.’’ But
RCRA section 1006(a) does not bar EPA
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from imposing requirements under one
of the listed statutes and RCRA on the
same units and waste streams, unless
those requirements are inconsistent
with a requirement in one of the
statutes. 42 U.S.C. 6906(a). This is clear
from the second sentence, which
provides that ‘‘such integration shall be
effected only to the extent that it can be
done in a manner consistent with the
goals and policies expressed in this
chapter and in the other acts referred to
in this subsection,’’ and thus expressly
contemplates that there will be
situations in which EPA regulates under
both RCRA and one of the listed
statutes. Id. See, Chemical Waste
Management v. EPA, 976 F2d 2, 23, 25
(D.C. Cir. 1992).
Numerous courts have upheld this
interpretation. See, Ecological Rights
Foundation v. Pacific Gas & Electric Co.,
874 F.3d 1083, 1095 (9th Cir., 2017)
(‘‘RCRA’s anti-duplication provision
does not bar RCRA’s application unless
that application contradicts a specific
mandate imposed under the CWA (or
another statute listed in RCRA section
1006(a))’’); Goldfarb v. Mayor and City
Council of Baltimore, 791 F.3d 500 510
(4th Cir. 2015) (The CWA must require
something fundamentally at odds with
what RCRA would otherwise require to
be ‘‘inconsistent’’ under 1006(a));
Edison Electric Institute v. EPA, 996
F.2d 326, 337 (D.C. Cir.1993) (rejecting
‘‘generalized claim’’ that EPA action
was barred under section 1006(a)
because it interfered with ‘‘the primary
purpose’’ of the Atomic Energy Act);
U.S. v. E.I. du Pont de Nemours & Co.,
Inc., 341 F.Supp.2d 215, 236 (W.D. N.Y.
2004) (approving EPA action as ‘‘not
inconsistent’’ under RCRA where
CERCLA’s heightened standard would
not be met by release of hazardous
substance). The commenter has
identified no requirement in the Clean
Water Act that is inconsistent with
EPA’s regulation of CCRMU.
The same is true with respect to the
commenter’s contention regarding acts
of Congress. Although the commenter
refers to ‘‘acts of Congress’’ it cites only
to 33 U.S.C. 59d. That provision of the
Clean Water Act states only that a
particular area is not a water of the
United States, and authorizes the owner
to place fill in the area.
The old channel of the River Raisin in
Monroe County, Michigan, lying between the
Monroe Harbor range front light and Raisin
Point, its entrance into Lake Erie, is declared
to be not a navigable stream of the United
States within the meaning of the Constitution
and the laws of the United States, and the
consent of Congress is hereby given for the
filling in of the old channel by the riparian
owners on such channel.
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Regulation of CCRMU neither
contradicts a specific mandate nor is
fundamentally at odds with this
provision, which does not require the
owner to place CCR in the old channel
or grant the owner an exemption from
any requirement other than section 404
of the Clean Water Act.
ii. Subcategorization Is Appropriate for
CCRMU Because CCRMU Are Dissimilar
Commenters stated that the proposal
groups all pre-2015 CCR Rule disposal
areas into one large category. According
to the commenters, this approach treats
many different scenarios as a worst-case
by imposing burdensome requirements
for all. Commenters provided examples
of potential subcategories, including:
past CCR disposal varies based on site
location (close to a surface water body),
geography (eastern vs western sites),
hydrology (flow variability/distance to
uppermost aquifer), regulatory status
(State closed-units vs unaddressed CCR
sites), and historical CCR disposal areas
currently used to harvest CCR for
beneficial use. By categorizing all these
situations together, the commenters
claimed that EPA ignores the risk
profiles of these subcategories and
forces actions not tailored to the issues
at hand. Some of these commenters
opposed including in the CCRMU
definition former landfills,
impoundments and other accumulations
of CCR that been closed in accordance
with existing Federal or State
regulations and regulatory oversight that
pose no risk to groundwater.
As discussed in Unit III.A, the risk
record does not support the distinctions
the commenters make. This final rule
already imposes only a subset of the
regulations in part 257 on CCRMU,
consisting primarily of groundwater
monitoring and closure. Corrective
action is required only if triggered by
site-specific determinations particular to
individual units. EPA disagrees that the
commenters have shown that any
further differentiation is warranted.
iii. Size Threshold for a CCRMU
Many commenters stated that the
proposed definition of CCRMU does not
provide the regulated community with
‘‘fair notice’’ of what in fact is forbidden
or required. Citing to FCC v. Fox
Television Stations, Inc., 567 U.S. 239,
253 (2012), these commenters stated
that due process requires that ‘‘laws
which regulate persons or entities must
give fair notice of conduct that is
forbidden or required.’’ According to
these commenters, the proposed
CCRMU definition does not give fair
notice of what is regulated because it is
an overly broad definition that would
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apply to ‘‘any non-containerized
accumulation of CCR.’’ Furthermore,
commenters raised concern that EPA
has not provided any clarity on how
much non-containerized CCR is enough
to trigger regulation, nor does the
proposal provide any criteria for
determining significance, but instead
points to examples where it does not
expect this to be the case, such as closed
or inactive process water ponds, cooling
water ponds, wastewater treatment
ponds, and stormwater holding ponds
or aeration ponds. These commenters
also questioned the references to
evaporation ponds or secondary or
tertiary finishing ponds that have not
been properly cleaned up as examples
of potential CCRMU, because in the
2015 CCR Rule preamble, EPA had
identified these as examples of
impoundments that would not be
considered CCR surface impoundments
because they contained only de minimis
concentrations of CCR. These
commenters argued that the burden is
on EPA to provide the regulated
community with ascertainable certainty
as to what the regulation requires, a
mark for which they believe the
proposed CCRMU definition falls short.
Commenters also pointed out that the
limitations of or exemptions from the
definition were only discussed in the
preamble to the proposed rule but were
not reflected in the regulatory text itself.
These commenters argued that the
CCRMU definition must include various
limitations and exceptions in the final
rule, such as, specifying a de minimis or
insignificant quantity threshold in the
definition of a CCRMU. Commenters
further stated that without such clarity,
owners or operators would be required
to consider all CCR placement as
CCRMU.
As discussed in the preceding section,
EPA has revised the rule to be
consistent with the results of the 2024
Risk Assessment, and the final rule
defers the regulation of CCRMU
containing between one and 1,000 tons
of CCR to a permitting authority. Only
CCRMU containing 1,000 tons or more
of CCR will be subject to the applicable
requirements for CCRMU after the
effective date of this rule. Although EPA
has codified the thresholds in
§ 257.50(d) rather than the CCRMU
definition, the effect is the same. In
addition, as discussed in more detail in
Unit III.C.2.a, EPA has revised the
CCRMU definition in response to
concerns raised by commenters that the
definition was confusing and unclear.
The combined effect of these revisions
is more than sufficient to address the
commenters’ concerns about the clarity
of the definition including claims that
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the proposed regulations would not
provide regulated entities fair notice of
what the regulations require.
Finally, EPA acknowledges that the
reference in the proposal to evaporation
ponds, or secondary or tertiary finishing
ponds that have not been properly
cleaned up as examples of potential
CCRMU was a mistake. EPA agrees that
these units would generally be expected
to contain no more than a de minimis
amount of CCR.
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iv. Exemption for Beneficial Use of CCR
Several commenters stated that the
CCRMU definition is too broad and does
not account for the beneficial use of
CCR. According to these commenters,
the proposal to regulate CCRMU
effectively revoked or amended the
current exemption for beneficial use in
§ 257.50, and the broad CCRMU
definition now requires previously
approved beneficial uses to be
reexamined for potential regulation.
Several of these commenters criticized
the agency for failing to address the
issue in the proposal, and argued that
the Agency lacked the authority to
include such beneficial uses, either
because neither RCRA section 1008(a)(3)
nor section 4004(a) authorize EPA to
regulate use or because such regulation
would be inconsistent with the 2015
Regulatory Determination. These
commenters recommended that the
CCRMU definition be revised to exclude
any beneficial use of CCR as defined by
§ 257.53 or as previously approved by
State agencies.
By contrast, several commenters
request EPA to prohibit the use of coal
ash as fill unless full protective
measures such as liners, monitoring,
and caps are required everywhere it is
placed. Commenters claimed that
immediate attention to this
recommendation will protect the health
and environment of millions of U.S.
residents by preventing the spread of
toxic coal ash pollution.
EPA disagrees that the proposal to
regulate CCRMU effectively revoked or
amended the current exemption for
beneficial use in § 257.50. The proposal
merely accurately reflects the existing
regulations, which these commenters
have misunderstood.
Under the existing regulations, the
direct placement of CCR on the land on
site of a utility, with nothing to control
releases is, by definition, a CCR pile and
therefore not beneficial use. The
examples of historical CCRMU
discussed in the proposal, structural fill
and CCR placed below currently
regulated CCR units on-site of a utility
also clearly fit that definition.
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These are the same provisions that
have been in place since 2015. The
existing definition of a CCR pile is
Any non-containerized accumulation of
solid, non-flowing CCR that is placed on the
land. CCR that is beneficially used off-site is
not a CCR pile.
§ 257.53 (emphasis added). The second
sentence expressly limits the beneficial
use of CCR to ‘‘off site,’’ and thus any
non-containerized CCR placed directly
on the land on-site of a utility is not
beneficial use.
EPA previously explained this in its
August 14, 2019, proposal ‘‘Hazardous
and Solid Waste Management System:
Disposal of Coal Combustion Residuals
From Electric Utilities; Enhancing
Public Access to Information;
Reconsideration of Beneficial Use
Criteria and Piles’’ to revise the
definition of a CCR pile with respect to
temporary piles. 84 FR 40353.
Specifically, EPA proposed to establish
a new set of requirements that would
apply equally to temporary or ‘‘storage
piles’’ located on-site and off-site of a
utility. As part of the background to that
proposal, EPA described the
requirements under the existing
regulation so that the public could fully
understand what it was–and was
not 139—proposing to revise. The
proposal reiterated the existing
definition of a CCR pile in § 257.53, and
explained that this definition closely
mirrors the RCRA definition of disposal,
which is defined in part as the ‘‘placing
of any solid waste or hazardous waste
into or on any land or water so that such
solid waste or hazardous waste or any
constituent thereof may enter the
environment or be emitted into the air
or discharged into any waters, including
ground waters.’’ See 42 U.S.C. 6903(3).
EPA further explained:
Under this regulation, CCR piles constitute
disposal and are consequently subject to all
regulatory criteria applicable to CCR
landfills. In contrast, activities that meet the
definition of a beneficial use are not
considered disposal, even if they involve the
direct placement on the land of ‘‘noncontainerized’’ CCR. See §§ 257.50(g) and
257.53 (definitions of CCR landfill and CCR
pile); 80 FR 21327–30.
The current regulation distinguishes piles of
CCR on-site (at an electric utility or
independent power producer site) from
temporary piles of CCR off-site (at a
beneficial use site), based on whether CCR
from the pile could fairly be considered to be
in the process of being beneficially used. See
§ 257.53 (definition of CCR pile); 80 FR
139 EPA expressly advised the public that it was
‘‘not reconsidering, proposing to reopen, or
otherwise soliciting comment on any other
provisions of the final CCR rule beyond those
specifically identified in this proposal.’’ 84 FR
40355.
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21356 (April 17, 2015). While the CCR from
the pile on-site may someday be beneficially
used, it is not currently in the process of
being beneficially used . . . If CCR is not
containerized, the pile is a CCR pile and
subject to the same requirements as a CCR
landfill. See Id.
In contrast, the regulations treat CCR stored
off-site at a beneficial use site in a temporary
pile to be in the process of being beneficially
used (even though a pile is not itself a
beneficial use). If the CCR is temporarily
placed at a beneficial use site and meets the
regulatory definition of a beneficial use, the
pile is not a CCR pile and is not subject to
disposal requirements.
. . . .
In the current definition [of a CCR pile], EPA
distinguishes between piles on-site (which
were almost always regulated as landfills)
and piles off-site, (which, if temporary, were
generally considered to be beneficial use,
subject only to the four criteria in the
definition). The current regulation also
distinguishes between on-site piles that are
not containerized and those that are
containerized. See 80 FR 21356 (April 17,
2017); § 257.53.
84 FR 40365.
Thus, under the 2015 CCR Rule the
activities covered under the definition
of a CCRMU (i.e., permanent placement
of CCR on the land, on-site of a utility,
without controlling releases) were
defined as disposal rather than
beneficial use. In 2019, EPA did not
propose to revise or reconsider that.
Instead, EPA proposed to extend that
existing requirement to permanent piles
located off-site of a utility. EPA
therefore declines to reconsider the
issue here.
In the May 2023 proposed rule EPA
expressly stated that it did not intend to
reopen or reconsider any issue other
than those on which the agency
expressly solicited comment.
In this proposal, EPA is not reconsidering,
proposing to reopen, or otherwise soliciting
comment on any other provisions of the
existing CCR regulations beyond those
specifically identified in this proposal. For
the reader’s convenience, EPA has provided
a background description of existing
requirements in several places throughout
this preamble. In the absence of a specific
request for comment and proposed change to
the identified provisions, these descriptions
do not reopen any of the described
provisions.
88 FR 31984. EPA further advised the
public that it would ‘‘not respond to
comments submitted on any issues
other than those specifically identified
in this proposal, and such comments
will not be considered part of the
rulemaking record.’’ Id.
Nowhere in the May 2023 proposed
rule did EPA solicit comment on or
suggest that it was in any way
reconsidering the existing definition of
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a CCR pile. The sole mention in the
proposal is EPA’s explanation that its
proposed definition of a CCRMU was
‘‘based on the current definitions of a
CCR pile—which is currently regulated
as a CCR landfill. . . .’’ Id at 32018.
Consistent with the interpretation that
all CCR placed on the land on-site of a
utility is currently regulated, EPA also
characterized structural fill and CCR
placed below currently regulated CCR
units on-site of a utility as ‘‘historical’’
solid waste management. Id. While
commenters mischaracterize such
activities as beneficial use, EPA’s
characterization of this conduct as
‘‘historical’’ shows that the Agency
assumed that facilities were complying
with the existing requirement and had
not continued these practices on-site.
Accordingly, EPA declines the
commenters’ request to reconsider the
definition of a CCR pile. EPA also
declines to prohibit the use of CCR
structural fill as part of this rulemaking.
That issue is related to the 2019
proposal 140 to revise the fourth criterion
in the definition of beneficial use,
which remains pending.
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v. Exemption for Roadbeds and
Associated Embankments
EPA proposed to exempt CCR used in
roadbeds and associated embankments.
EPA further proposed that if a facility
subsequently determined that the CCR
in onsite roadbed is contributing to
contamination of the aquifer, the facility
would be required to address the
contamination as part of the ongoing
remediation.
No commenters opposed EPA’s
proposal, and several commenters
supported it. However, commenters
pointed out that EPA had neglected to
include an exemption for roadbeds and
associated embankments in the
proposed regulatory text.
EPA is finalizing the exemption for
roadbeds as proposed, and has amended
the definition of a CCRMU accordingly.
b. Revision to Definition of CCR Unit
In order to distinguish between CCR
units that would be subject to all of the
requirements in part 257, and those that
would be subject to only a subset, EPA
proposed to rely on two terms: (1) CCR
unit and (2) CCR management unit.
Under the proposal the term, ‘‘CCR
units’’ would refer to only the units
subject to all of part 257, subpart D. As
defined in the proposal, the term ‘‘CCR
management unit’’ would refer to the
units subject only to the subset of
groundwater monitoring, corrective
action, closure, and post-closure
140 84
FR 40353 (August 14, 2019).
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requirements. To effectuate this EPA
proposed to modify the definition of
CCR unit by stating that CCR
management units are not covered by
the definition of a CCR unit. Under the
existing regulations, CCR units are
defined as ‘‘CCR landfills and CCR
surface impoundments, as well as any
lateral expansion of a CCR landfill or
CCR surface impoundment. In addition,
the term CCR unit already covers
inactive CCR surface impoundments at
active facilities because these units are
CCR surface impoundments.’’ 40 CFR
257.53
Commenters raised concern about the
‘‘circularity’’ of these definitions. and
requested clarification on what type of
unit would be considered a CCR unit,
CCRMU, CCR landfill, or CCR surface
impoundment. Several commenters
noted that
‘‘[f]or instance, ‘CCR landfill,’ ‘CCR
management unit,’ and ‘CCR unit’ are defined
by reference to each other. For example, a
‘CCR landfill is ‘not a surface impoundment’’
and not a ‘CCRMU,’ while a ‘CCRMU’ is ‘‘not
a CCR unit’’ but includes ‘inactive CCR
landfills’ and ‘‘CCR units that closed prior to
October 17, 2015.’’ And similarly, a ‘CCR
unit’ is ‘‘not a CCRMU,’’ but includes CCR
landfills and CCR surface impoundments.
Similar circular references are contained in
the definitions of ‘inactive CCR landfill,’
‘inactive facility,’ and ‘legacy CCR surface
impoundment.’
Commenters claimed that defining one
term by exclusion of another and in turn
defining the latter term by exclusion of
the former provides no clarity on the
boundary between the two. These
commenters went on to state that ‘‘in a
context in which definitional clarity is
essential for regulatory clarity—i.e.,
what’s ‘‘in’’ and what’s ‘‘out’’—such
ambiguity is fatal, EPA must clarify
these definitions to define these terms
by their essential characteristics, not by
circular references to each other.’’ And
as discussed in a previous section, some
commenters were also confused by
EPA’s explanation in the proposal that,
because it planned to use the term ‘‘CCR
unit’’ to refer only to those CCR units
that would be subject to all of the
regulations in subpart D, CCRMU would
not be included in this term.
In light of these comments, EPA
reevaluated the proposed definitions
and agrees that revisions are necessary.
As noted, the proposed terms were
intended to categorize units according
to the requirements that would
eventually be applied to them. EPA
hoped that as a consequence, few
revisions to the regulations would be
necessary, with the idea that this would
be less confusing to regulated entities
and the public. Unfortunately, that was
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not the case and as the commenters
noted, the definitions were frequently
circular. Consequently, the final rule
relies on three definitions: CCR unit,
Regulated CCR unit, and CCR
management unit.
EPA has largely reverted to the
existing definition of a CCR unit. The
definition, as it was promulgated in
2015, provides that
‘‘CCR unit means any CCR landfill, CCR
surface impoundment, or lateral expansion of
a CCR unit, or a combination of more than
one of these units, based on the context of
the paragraph(s) in which it is used. This
term includes both new and existing units,
unless otherwise specified.
Section 257.53. To avoid any ambiguity,
EPA has also added a sentence stating
that ‘‘This term includes both Regulated
CCR units and CCR management units.’’
This is now the broadest term under the
regulations and encompasses all units
subject to 40 CFR part 257, subpart D.
This final rule now also includes the
term Regulated CCR unit, which refers
to the units regulated by the 2015 CCR
rule, i.e., new CCR landfills and new
CCR surface impoundments (which
include all lateral expansions of CCR
landfills and CCR surface
impoundments), existing CCR landfills,
existing CCR surface impoundments,
and inactive surface impoundments at
active facilities. It also includes legacy
CCR surface impoundments. Because
legacy CCR surface impoundments will
be subject to the same requirements as
other inactive CCR surface
impoundments, using this term will
allow the Agency to implement this
with relatively few revisions to the
regulatory text.
Finally, the final rule largely reverts
to the proposed definition of a CCR
management unit. This final rule
defines CCR management unit to mean
any area of land on which any
noncontainerized accumulation of CCR
is received, is placed, or is otherwise
managed, that is not a regulated CCR
unit. This term includes inactive CCR
landfills and CCR units that closed prior
to October 19, 2015. EPA has also
included a definition of the phrase,
‘‘closed prior to October 19, 2015,’’
which provides that the term means
‘‘the CCR landfill or surface
impoundment completed closure of the
unit in accordance with state law prior
to October 19, 2015.’’
EPA deleted the phrase ‘‘at any time’’
from the proposed definition. EPA had
originally included that phrase to clarify
that it did not matter when the CCR was
placed, received, or otherwise managed,
provided the CCR remained present at
the site. EPA deleted the phrase from
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the final definition because, as the D.C.
Circuit has already explained, this
concept is fully communicated by the
phrase ‘‘is placed,’’ and the inclusion of
the phrase ‘‘at any time,’’ is therefore
redundant. In addition, several
commenters were confused by the
phrase, assuming it meant that if CCR
had ever been placed on the land at any
time, even if it is no longer present, the
site would be considered a CCRMU.
These definitions are all codified in
the regulatory text at § 257.53. EPA also
made conforming changes throughout
40 CFR part 257, subpart D to clarify
which types of CCR units are subject to
which requirements. As discussed
elsewhere in this preamble, consistent
with the proposal, EPA is extending
only a subset of the existing
requirements in part 257, subpart D to
CCRMU, consisting of requirements for
groundwater monitoring, corrective
action, closure, post-closure care, and
recordkeeping.
c. Revisions to Definitions of Owner and
Operator
EPA proposed revisions to the
existing definitions of Owner and
Operator. The existing definition of
Owner is the ‘‘person(s) who owns a
CCR unit or part of a CCR unit.’’ First,
EPA proposed to revise the definition to
incorporate the concept of CCRMU into
the existing definition because CCRMU
would otherwise be excluded from the
definition of a CCR unit as discussed in
the preceding Unit of the preamble. This
would be accomplished by adding ‘‘or
CCR management unit’’ to the existing
definition. Second, the Agency
proposed to revise the definition of
Owner to include the owner(s) of the
entire facility, which would be achieved
by adding ‘‘or a facility, whether in
whole or in part’’ to the definition. EPA
did not propose to revise the definition
of a ‘‘facility,’’ which under the existing
regulations means ‘‘all contiguous land,
and structures, other appurtenances,
and improvements on land, used for
treating, storing, disposing, or otherwise
conducting solid waste management of
CCR. A facility may consist of several
treatment, storage, or disposal
operational units (e.g., one or more
landfills, surface impoundments, or
combinations of them).’’ 40 CFR 257.53.
Some commenters opposed changing
the definition of Owner. One commenter
said ‘‘It may be the current owner is
unaware he owns the newly regulated
facility. The current operator may have
none of those parties responsible
conducting activities since the parties
may have ceased to exist long ago. Or,
if the current owner is unwilling to
work with those who previously
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disposed of the ash (potentially
beneficially) there are legal issues
(including potential access and trespass
rules) that will need to be resolved.’’
Commenters agreed that it would not
be appropriate to include an innocent
owner provision, specifically because of
the difficulty in defining complex
owner structures where direct
accountability is difficult to define. One
commenter ‘‘does not fully agree with
this ‘‘limited accountability’’ and
suggest accountability must also honor
indemnity and the assignment of
liability defined in a Purchase and Sale
Agreement (PSA). Specifically, any
entity should transition or maintain
liability based on an established
purchase and sale agreement, thus
responsibility cannot be limited to only
the current owner. In addition, it is
reasonable to expect that for known
active or inactive CCR Units at an active
facility, the current owner should be
responsible for required closure that
satisfies the requirements of the 2015
CCR Rule and for corrective action that
does not exceed industry standard for
remediation. However, it is
unreasonable to expect only current
owners to be accountable for all past
practices and the responsibility for the
unknown, specifically for areas that
were undefined and unknown and most
importantly unregulated at the time of a
transaction from a previous owner, most
often a regulated utility.’’
EPA proposed and is finalizing this
revision in part to account for the more
complicated ownership arrangements
that exist at some utilities. EPA has
found that there may be multiple
owners at the same facility; for example,
one entity may hold title to a single
impoundment, while another entity may
own the remaining disposal units at the
site. Moreover, ownership can change
over time, as individual units or
portions of the facility are parceled off.
This final rule also more accurately
reflects the nature of the obligations
EPA is establishing for CCRMU. For
example, as discussed below, EPA is
finalizing the regulations to require an
investigation of the entire facility to
identify CCRMU. At many sites, this
would involve areas other than those
encompassed by the definition of a CCR
unit, extending to all areas where
disposal or other solid waste
management may be occurring.
Moreover, relying exclusively on the
‘‘owner’’ of the CCRMU may be
ambiguous in this context, as at some
sites the owner may not yet be aware
that a CCRMU is present (e.g., because
it results from the historic placement or
accumulation of CCR). EPA recognizes
that this final rule will apply to
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currently regulated facilities and newly
regulated facilities, but EPA does not
expect that this revision will actually
amend the entities that currently are
liable. EPA expects that most (if not all)
utilities currently operate as though the
regulation already required the owner
and operator of the facility to take
actions; for example, under the existing
regulations owners and operators are
required to conduct corrective action
even where the plume has migrated
beyond the footprint of the regulated
unit. In addition, EPA is extending the
deadlines for the CCRMU requirements,
which can accommodate any issues
with access to the facility in order to
conduct the applicable requirements.
For similar reasons, EPA proposed to
revise the definition of Operator to
incorporate the concept of CCRMU into
the existing definition by adding ‘‘or
CCR management unit’’ to the existing
definition. In addition, the Agency
proposed revisions to account for the
unique characteristics of a CCRMU. In
cases where the CCRMU is closed (i.e.,
not receiving waste or otherwise in
operation) or is a historic placement or
accumulation of CCR, there may not be
an entity that neatly fits the normal
concept of an ‘‘operator,’’ because there
may not be any current or ongoing
oversight or activity with respect to the
continued use of the unit. To avoid any
ambiguity, EPA proposed to revise the
definition of ‘‘operator’’ to clarify that
the term Operator includes those
person(s) or parties responsible for
disposal or otherwise actively engaged
in solid waste management of CCR. It
also includes those responsible for
directing or overseeing groundwater
monitoring, closure, or post-closure
activities at a CCR unit or CCRMU.
Commenters said the revised
definition of operator is ‘‘too broad and
may be interpreted to impose CCR Rule
liability on individuals or contractors
who are retained by owners or operators
to ‘actively engage’ in CCR waste
management. This definition should be
revised to reflect the standard principles
for ‘operator’ liability under
environmental laws, which should not
include employees, individuals, or
contractors operating under the
direction of a responsible owner or
operator.’’ Another commenter
disagreed with the revised definition of
Operator, ‘‘which can imply the
operator could have obligations under
this rule. We disagree. While some
owners and operators are one and the
same many facilities are operated by
third parties operators and in these
cases, such operators should have no
obligations under this proposed rule.
We request EPA clarify that distinction
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and clearly state that third party
operators have no obligation.’’
Another commenter stated
‘‘Companies actively engaged in the
solid waste management of CCR’’ would
include the construction contractors
responsible for installation of CCR units
including excavation, lining, filling,
regrading, covering, closure, and more.
Companies ‘‘responsible for directing or
overseeing groundwater monitoring,
closure or post-closure activities’’ would
include well drillers, the professional
engineers who certify the plans for CCR
units, and again, construction
contractors. Contractors will no longer
be willing to ‘actively engage[ ] in the
solid waste management of CCR’ or
‘direct[ ] or oversee[ ] groundwater
monitoring, closure or post-closure
activities’ if they will consequently
become liable for compliance with the
CCR rule. As a result, the ‘shortage of
contractors’ will continue and grow
worse. EPA should revise the definition
of ‘Operator’ to clarify that contractors
are not Operators.’’
The revision to the definition of
Operator is not intended to include
every person who is ‘‘actively engaged
in the solid waste management of CCR’’
but would follow the standard
‘‘operator’’ liability under
environmental regulations. Such
liability would include the operator
who oversees the facility to ensure
compliance with the regulations.
Because multiple entities may
potentially be liable, (i.e., owners and
operators) EPA is providing the
following guidance. Consistent with
EPA’s typical practice, unless otherwise
provided in the regulations, as long as
one responsible entity (an owner or
operator) has complied with the
requirements, EPA will consider the
obligation satisfied as to all potentially
liable parties and will initially rely on
owners and operators to determine
among themselves how best to ensure
compliance with the requirements. See,
e.g., 45 FR 33295 (May 19, 1980). (‘‘EPA
has no intention to require both owner
and operator to take all or even most
compliance actions in tandem. EPA will
regard compliance by either owner or
operator with any given obligation
under the permit as sufficient for both
of them’’).
EPA is finalizing the revisions to
Owner and Operator as proposed
without revision. This is codified in the
regulatory text at § 257.53.
d. Conforming Revisions to Other
Existing Definitions
EPA proposed revisions to eight
definitions in § 257.53 to refer to
CCRMU. These definitions currently
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refer only to CCR units and EPA
proposed to add the words ‘‘or CCR
management unit’’ to the definitions to
incorporate the concept of CCRMU into
the existing definition. The eight
definitions for which EPA proposed this
revision are: Active life or in operation,
Active portion, Closed, CCR landfill or
landfill, Qualified person, Qualified
professional engineer, State Director,
and Waste boundary. EPA received
comments only about clarifying the
definition of ‘‘closed,’’ which is
discussed in the Volume II Response to
Comments document. EPA did not
receive comments about the other seven
definitions for which EPA proposed this
revision. As described in Unit III.C.2.b
of this preamble, EPA has revised the
definition of ‘‘CCR unit’’ in response to
comments, and as a consequence the
definitions for Active life or in
operation, Active portion, Closed,
Qualified person, Qualified professional
engineer, and Waste boundary no longer
need to be amended. EPA is finalizing
the proposed revisions to the definitions
of CCR landfill and State Director. These
are codified in the regulatory text at
§ 257.53.
e. Scope of Regulated Facilities With
CCRMU
EPA proposed to require the owners
or operators of both active facilities with
one or more currently regulated CCR
unit(s) and inactive facilities with a
legacy CCR surface impoundment to
comply with the CCRMU regulations.
The term active facility or active electric
utilities or independent power
producers is defined in § 257.53.
Inactive facilities are discussed in Unit
III.A.1.c of this preamble.
Some commenters on the proposed
rule opposed limiting the universe to
active facilities and inactive facilities
with at least one CCR unit. They argued
that CCR in landfills, dewatered surface
impoundments, and CCRMU at other,
currently unregulated, active facilities
pose the same risks to groundwater,
surface water, and air as facilities with
CCR units. These commenters said
RCRA section 4004(a) cannot be met if
these leaking units are arbitrarily
excluded from regulation. Other
commenters said EPA does not have the
authority to regulate CCRMU at all and
should limit the scope of the final rule
to units that pose risks.
After reviewing the comments on the
proposed rule, EPA reconsidered
whether the regulated universe should
be expanded to include other facilities
currently generating power for the
electrical grid that only have CCRMU
on-site. These unregulated active
facilities, or ‘‘Other Active Facilities,’’
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are those that: (1) On or after October
19, 2015, were producing electricity for
the grid; (2) Had ceased placement of
CCR in their on-site CCR units before
the effective date of the 2015 CCR Rule
(October 19, 2015); and (3) Had no
inactive CCR surface impoundments. As
such, CCRMU (e.g., inactive CCR
landfills, closed CCR landfills, or closed
CCR surface impoundments) are located
at these facilities. Commenters on the
proposed rule identified 13 units at six
other active facilities, based on sourced
data, and these units including inactive
CCR landfills, closed CCR landfills, or
closed CCR surface impoundments.
Based on the most recent information,
including from NODA comments, EPA
believes there are nine units at five
other active facilities.141
The addition of these units provides
regulatory consistency; the CCRMU at
these active facilities pose the same
risks to human health and the
environment whether or not they are colocated with a currently regulated CCR
unit or a legacy CCR surface
impoundment. And with the expansion
of corrective action and closure
obligations to CCRMU, these facilities
are more similarly situated to the
currently regulated active utilities and
independent power producers than they
are to the inactive facilities that remain
exempt under this final rule (i.e.,
inactive facilities with only CCRMU).
Moreover, in contrast to the exempt
facilities, EPA was able to identify the
affected facilities and evaluate the
potential consequences of regulating
them.
EPA disagrees that it lacks the
authority to regulate these CCRMU, for
the same reasons discussed in Units II.C
and III.C.2.a of this preamble.
The Agency also considered whether
to regulate all CCRMU at inactive power
plants. But as EPA explained in Unit
III.B.1.b.i.(b) of this preamble, the
location and number of inactive
facilities without a legacy CCR surface
impoundment are unknown, as is the
number and condition of the units at
these facilities. Without being able to
better understand the full extent of the
sites and entities that could be affected,
EPA is not prepared to expand the
regulations to this extent at the current
time. Even though CCRMU pose the
same risk when located at active or
inactive facilities, EPA considers that
the higher priority is to ensure that
active facilities address the full extent of
the contamination that currently exists,
and to prevent further contamination at
141 This universe is included in ‘‘Universe of CCR
Management Units. April 2024.’’ in the docket for
this action.
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these sites—in other word to address
rather ‘‘those ills we have, than fly to
others that we know not of.’’
Therefore, EPA is finalizing
amendments to regulate CCRMU at all
active electric utilities or independent
power producers that generated power
for the electrical grid on or after October
19, 2015, in addition to those facilities
with legacy CCR surface impoundments.
As noted, EPA refers to these facilities
as ‘‘covered facilities’’ throughout this
preamble. This is codified in the
regulatory text at § 257.50(d).
3. Facility Evaluation for Identifying
CCR Management Units
EPA proposed that owners or
operators of active facilities with a
currently regulated unit or inactive
facilities with a legacy CCR surface
impoundment would need to conduct
facility evaluations. The purpose of the
facility evaluation is to confirm whether
any CCRMU exist on-site, and, if so, to
delineate the lateral and vertical extent
of the unit(s). In developing the
proposal, EPA relied heavily on the
RCRA subtitle C Facility Assessment
process for identifying solid waste
management units at a hazardous waste
facility. In addition, EPA accounted for
certain existing requirements in the CCR
regulations; for example, under the 2015
CCR Rule, facilities were required to
compile a history of construction for
their existing impoundments. 40 CFR
257.73(c)(1). Facilities were generally
able to obtain all information specified
in § 257.73(c)(1)(i) through (ix), even for
units constructed decades ago. EPA
expected that facilities will similarly be
able to obtain the information that EPA
proposed would be required in the
Facility Evaluation Report (FER).
EPA proposed that facilities prepare
one report, to be completed in two
consecutive steps, with a single
deadline. As proposed, the first step
would consist of a thorough review of
available records in combination with a
physical facility inspection and any
necessary field work, such as soil
sampling, to fill any data gaps from the
information obtained from the review of
available records. The second step of the
facility evaluation would be to generate
a FER to document the findings of the
facility evaluation. EPA proposed
separate deadlines to complete the
investigation and to compile the report:
a deadline of no later than the effective
date of this final rule to initiate the
facility evaluation and a deadline of no
later than three months after the
effective date to complete the FER.
Commenters suggested that EPA follow
more closely the investigation processes
developed under the current RCRA and
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CERCLA regulatory programs, that is,
RCRA Facility Assessment Guidance,
CERCLA all appropriate inquiry (Phase
I and Phase II) process. Commenters
suggested that separating the
information collection requirements
from the physical evaluation
requirements will provide a more
thorough evaluation of existing
available information to better inform
the physical evaluation to fill data gaps
and properly identify CCRMU.
EPA is finalizing the procedures for
facility evaluation for identifying CCR
management units with a few revisions
from the proposal. Owners or operators
of any covered facilities will need to
conduct a facility evaluation. The
purpose of the facility evaluation is to
confirm whether any CCRMU
containing one ton (or more) exist onsite, and, if so, to delineate the lateral
and vertical extent of the unit(s). In
developing the final rule EPA relied
heavily on the investigation processes
EPA developed under the current RCRA
and CERCLA regulatory programs, that
is, the RCRA subtitle C Facility
Assessment process for identifying solid
waste management units at a hazardous
waste facility, and the CERCLA all
appropriate inquiry (Phase I and Phase
II) process.
There is a two-step process for a
facility evaluation. The first step
consists of a thorough review of
available records. The second step of the
facility evaluation is to conduct a
physical facility inspection and any
necessary field work, such as soil
sampling, to fill any data gaps from the
information obtained from the review of
available records.
In response to comments, EPA
examined facility evaluation processes
currently being implemented under
RCRA and CERCLA and concurs that
creating two separate reports—one for
each step of the process—is consistent
with these established approaches. EPA
believes this two-step approach to
facility evaluation will reduce the need
for rework and the overall burden for
both facility owners or operators and
contractors who may be hired to
complete this work. Additionally, EPA
concludes this approach increases
transparency by allowing the public the
opportunity to see the work plan
developed by the owner or operator.
Therefore, the final rule creates two
parts to the facility evaluation—the Part
1 FER includes the results of the
available information collection and
evaluation. The Part 2 FER addresses
data and information gaps through a
physical evaluation of the facility.
Together, the Part 1 and Part 2 reports
will give a complete picture of the
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historic use, placement and the current
status of CCR at each facility, ultimately
identifying any CCRMU containing
1,000 tons or more that will be required
to meet the regulatory requirements of
this final rule. The FER must also
identify those CCRMU containing
between one and 1,000 tons, whose
regulations is deferred until permitting.
See, Unit III.C.2.a.iii of this preamble for
further discussion.
a. Final Requirements for Facility
Evaluation for CCR Management Units
During the facility evaluation, the
owner or operator of a covered facility
will need to identify and delineate the
extent, laterally and vertically, of any
CCRMU containing one ton or more at
the facility. To begin, the owner or
operator reviews all existing records and
documents reasonably and readily
available to (including information that
is readily and reasonably attainable by)
the facility, that contain information
regarding any past and present CCR
management that resulted in the
accumulation of CCR on the ground.
Consistent with the definition of a
CCRMU, in this context EPA considers
the terms ‘‘placement’’ and ‘‘receipt’’ to
include situations in which spilled or
released CCR has been left on the
ground. During this first step, the
facility is required to gather and review
reasonably and readily available
information to identify potential
locations of CCR placement at, and to
determine preliminary boundaries,
lateral and vertical dimensions, and
estimates of volume of any CCRMU.
Then, at the second step, the facility
evaluation requires physical inspection
of the facility. Where necessary, the
physical inspection must include field
investigation activities, such as
conducting exploratory soil borings,
geophysical assessments, or any other
similar physical investigation
confirmation activities to establish the
location and boundaries of identified
CCRMU, and to affirmatively rule out
other areas of potential CCR placement
at the facility that were identified
during the information review. The
scope of the facility evaluation is the
entire facility as the term is currently
defined in 40 CFR 257.53.
As noted, the facility evaluation
begins with a review of all reasonably
and readily available information
regarding past and present placement of
CCR at the facility. In this first stage, the
facility must gather all reasonably and
readily available existing information
that may be useful to determine any
locations at the facility where CCR may
have been placed (including spilled) on
the ground. EPA expects that in this
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initial phase, the facility will cast a
wide net, and collect all reasonably and
readily available information that could
potentially contain useful information
to identify the potential locations of
CCR placement at the facility. Finally, to
complete the information review, the
investigatory process must be
documented, any data gaps identified,
and plans for conducting a physical
inspection of the site to verify locations,
boundaries, and volumes of CCR
placement at the facility formalized.
This information is documented in the
Part 1 FER. Then, at Part 2, the physical
inspection must be documented. Each
step of this process is described in
greater detail below.
All recorded observations and data
gathered during the facility evaluation,
including any conclusions regarding the
status of each CCRMU containing one
ton or more of CCR at the facility (e.g.,
delineation of the lateral and vertical
extent of each CCRMU and an
associated site map that identifies the
location of the CCRMU (including GIS
coordinates)), must be assembled and
incorporated into the FER.
If, after conducting a thorough
document review and a visual
inspection, the facility has found no
evidence of any CCRMU containing one
ton or greater, no further testing or
sampling is required to conclude that no
such CCRMU are present at the facility.
Consistent with the proposal, the final
rule does not require facilities to
conduct widespread site sampling to
prove that no such CCRMU exists onsite.
The FER must include a certification
to be signed by a P.E. and the owner or
operator or an authorized
representative. Owners or operators of
active or inactive facilities with one or
more CCR unit(s) that do not contain
any CCRMU would need to complete
and place in the operating record a
certified FER documenting the steps
taken during the facility evaluation to
determine the absence of any CCRMU.
Both Part 1 and Part 2 of the FER must
be placed in the facility operating record
(§ 257.105(f)(25)), submitted to the
appropriate regulating entity
(§ 257.106(f)(24)), and published on the
facility’s website (§ 257.107(f)(24)).
Further, the Agency is requiring that the
FER include a certification to be signed
by the owner or operator or an
authorized representative similar to the
certification that is required at
§ 257.102(e) and (f) for existing units
undergoing closure.
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i. Facility Evaluation Report Part 1—
Information Collection, Data Gap
Identification
The first step in the facility evaluation
process involves the collection of
reasonably and readily available
information that contains any detail or
information on whether CCR was either
routinely and systematically placed on
land, or where facility activities
otherwise resulted in measurable
accumulations of CCR on land. The
quality and reliability of the information
review will depend greatly on the
owner’s and operator’s ability to collect
relevant information. Information
reviews may provide misleading results
when significant sources of information
are not considered. The information that
must be gathered during this step
should include any documents that
contain information relevant to past
facility operations and waste disposal
processes. By the conclusion of the
facility evaluation, EPA expects that the
facility would be able to identify the
date, locations, durations, and volumes
or estimated quantities of CCR
placement.
EPA expects that the amount of
available written information and
documentation that will be available for
review during the document review
phase may vary by facility. However,
the following documents developed as
part of complying with 40 CFR part 257,
subpart D, which are reasonably and
readily available to facilities, would
normally contain information that can
be useful in identifying CCRMU:
inspection reports; history of
construction reports; fugitive dust
control plans; annual groundwater
monitoring and corrective action
reports; ASDs; ACM reports or other
corrective action reports; and closure
plans and reports. Further, there are
other sources of reasonably and readily
available data that frequently contain
information relevant to past facility
operations and waste disposal
processes, such as facility compliance
reports produced for non-CCR programs
(e.g., Toxic Substances Control Act
[TSCA]/Occupational Safety and Health
Administration [OSHA]/National
Pollutant Discharge Elimination System
[NPDES]/Clean Air Act [CAA]/Clean
Water Act [CWA]); permits and permit
applications, including NPDES, solid
waste, dam safety, and air permits;
historical and contemporary monitoring
and reporting data, and facility
operating logs and maps; and site
imagery including available historical
aerial photographs, site photographs,
topographic maps, and/or engineering
or construction drawings, including
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drawings for physical facility
improvement projects, such as surface
water control, water and power
infrastructure and utilities, roads,
berms, ponds and/or other physical
features at the facility. EPA expects that
facilities will search all reasonably and
readily available records to determine
whether they contain information
relevant to the potential existence and
locations of CCRMU containing at leat
one ton of CCR.
EPA proposed that as part of this
process, owners and operators must
further gather information by
conducting meetings with current
facility personnel familiar with the
facility to the extent that those persons
are available and have knowledge about
past and/or present facility operations.
The goal of the meeting process was to
help gather any information relevant to
the facility operations and waste
disposal processes.
Commenters objected that conducting
interviews of current or former facility
personnel and any available State and
local officials is burdensome and will
place a significant strain, specifically,
on State and local agencies. In addition,
commenters stated that interviews with
State personnel would put the State
personnel in a difficult position to
verify compliance on EPA’s behalf
without receiving State permit approval
first.
In this final rule, EPA is not requiring
the owner or operator to conduct
interviews of current or former facility
personnel, nor any available State and
local officials. The regulatory language
of the final rule only requires
documentation of any interviews that
are conducted as part of the information
collection process. Nevertheless, owner
and operator interviews of current or
former personnel could well assist in
identification of data and information
that will be helpful in identifying
CCRMU, particularly at those facilities
that have not been in operation recently.
Consequently, EPA continues to
recommend that facilities use good faith
efforts to collect information through
interviews where current or past
personnel are willing to assist in the
identification of information or data that
will assist the identification of CCRMU.
During this stage, EPA is requiring
that a P.E. review the documents and
information gathered during the
information review process to draw
conclusions regarding the existence of
CCRMU at the facility. At the end of this
stage, EPA expects the facility to
identify: (1) Any areas where the facility
can affirmatively conclude based on the
reasonably and readily available
information that one or more CCRMU
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containing greater than one ton are
present; and (2) Any areas where the
reasonably and readily available
information indicates that CCR may
have been either routinely and
systematically placed on the land, or
where facility activities otherwise could
have resulted in one ton of CCR on the
land (i.e., areas where the available
information indicates that one or more
CCRMU may be present).
Each of the information sources
discussed above can provide valuable
information that can be used to identify
the existence and locations of CCRMU.
In addition, some specific examples are
provided below:
• Environmental reports for
multimedia inspections contain useful
information on site management
practices, monitoring data, and unit
conditions. These reports can also
describe comprehensive monitoring
evaluations at the site that can indicate
where releases or areas of concern exist.
• Multimedia permit and permit
applications contain large amounts of
information on the facility design, waste
management practices including how
wastes were disposed of, and the
physical characteristics of the
surrounding area. These documents can
contain old topographic maps, facility
figures and drawings, wastestream flow
diagrams, and unit and process
descriptions.
• If a groundwater monitoring report
for a CCR unit indicates that
contaminant levels in groundwater
monitoring wells are the result of
CCRMU rather than the monitored CCR
unit, this would need to be further
investigated during the facility
evaluation process to fully delineate the
locations of areas where CCR was
placed on the ground, including the size
of the unit and other related unit details.
• Similarly, a review of aerial
photographs can identify potential
CCRMU at the facility at locations that
have become overgrown or otherwise
hidden over time. When used in
conjunction with USGS topographic
maps, owners or operators can look for
evidence that may be indicative of
placement of CCR on the ground. As an
example, if aerial photographs and
USGS topographic maps indicate the
existence of a pond or dam system at the
site, this may be enough to warrant
further investigation of available
documents and may require field
investigation depending on the strength
of information to determine if the
changes were made to allow placement
of CCR on the ground.
One of the primary purposes of the
information review is to provide an
understanding of the CCR management
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activities at the facility, allowing for
subsequent observations during the
physical site inspection to be focused to
the greatest extent practical. While
information obtained during the review
may be insufficient to support
affirmative conclusions regarding the
existence or non-existence of a CCRMU,
based on the information available at
most facilities, EPA expects that it will
be possible to determine which areas at
the facility would need to be inspected,
and the type of data that would be
needed to draw definitive conclusions.
The Agency expects that the
information gathered in the information
review will be relevant to determining
the areas to be inspected during the
physical (visual) site inspection.
Further, the information gathered
during the information review would be
used to support any necessary field
activities.
EPA notes that the amount of
available written information and
documentation that will be available for
review during the document review
phase will vary by facility. Commenters
confirmed this expectation by noting
that many of the facilities subject to this
final rule may have ceased operations
years, and sometimes decades, ago.
They also stated that record retention
and storage locations may be difficult to
determine and require some effort to
access for some facilities. Based on past
experience, EPA continues to believe
that sufficient information is reasonably
and readily available to allow facilities
to obtain the information required under
the FER. For example, as discussed in
the proposal, under the 2015 CCR Rule
facilities were generally able to obtain
all of the information needed to compile
a history of construction for their
existing impoundments, even for units
constructed decades ago. See, 40 CFR
257.73(c)(1). Nevertheless, owners or
operators are required to compile this
information only to the extent it is
reasonably and readily available. EPA
acknowledges that there may be certain
information or data that may be
unknown or lost. EPA intends that
facilities provide relevant information
only if documentation exists or if it is
obtained during the physical site
inspection. EPA does not expect owners
or operators to provide anecdotal or
speculative information regarding the
presence or absence of CCRMU.
However, if data gaps exist, owners or
operators subject to these provisions
may need to collect additional field data
to fill the gaps.
The Part 1 FER must also include a
narrative that documents the data
reviewed as part of the facility
evaluation process, and that lists all of
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the data and information reviewed that
indicates the presence or absence of
CCR management units at the facility.
Finally, the FER must identify any data
gaps, and provide a plan for remedying
all identified data gaps through a
physical examination of the facility,
including any field or laboratory work
needed to remedy data gaps identified
in the narrative in the Part 1 FER record.
The plan must include the major
milestones needed to fill each identified
data gaps (e.g., a physical examination
of the facility, sampling of media,
measurements of CCR concentrations or
physical presence, delineation of
CCRMU) and dates to complete the
needed tasks.
EPA is finalizing that Part 1 FER must
contain the following: (1) The name and
address of the person(s) owning and
operating the facility; the unit name
associated with any regulated CCR unit
and CCRMU containing one ton or more
of CCR at the facility; and the
identification number of each CCR unit
and CCRMU if any have been assigned
by the State or by the owner; (2) The
location of any CCRMU identified on
the most recent U.S. Geological Survey
(USGS) 7.5-minute or 15-minute
topographic quadrangle map, or a
topographic map of equivalent scale if a
USGS map is not available, with the
location of each regulated CCR unit at
the facility identified. The location of
each regulated CCR unit at the facility
must also be identified in the same
manner; (3) A statement of the
purpose(s) for which each CCRMU at
the facility is or was being used; (4) A
description of the physical and
engineering properties of the foundation
and abutment materials on which each
CCRMU is constructed; (5) A discussion
of any known spills or releases of CCR,
including any associated remediation
activities, from each CCRMU and
whether the spills or releases were
reported to State or Federal agencies; (6)
Any record or knowledge of structural
instability of each CCRMU; (7) Any
record or knowledge of groundwater
contamination associated or potentially
associated with each CCRMU; (8) The
size of each CCRMU, including the
general lateral and vertical dimensions
and an estimate of the volume of waste
contained within the unit; (9)
Identification of all types of CCR in each
CCRMU at the facility; (10) A narrative
description of any closure activities that
have occurred, including any applicable
engineering drawings or reports; (11) A
narrative that documents the data
reviewed as part of the facility
evaluation process, and that lists all
data and information indication the
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presences or absence of CCRMU at the
facility; (12) Any supporting
information used to identify and assess
CCRMU at the facility, including but not
limited to any construction diagrams,
engineering drawings, permit
documents, wastestream flow diagrams,
aerial photographs, satellite images,
historical facility maps, any field or
analytical data, groundwater monitoring
data or reports, inspection reports,
documentation of interviews with
current or former facility workers, and
other documents or sources of
information used to identify and assess
CCRMU at the facility; (13) narrative
description of any data gaps, for
information in paragraphs (c)(i) through
(xiii) of this section, not available in
existing information collection records
and a plan for remedying identified data
gaps through a physical examination of
the facility, including any field or
laboratory work needed to remedy data
gaps in the FER Part 1 record. The plan
must include the major milestones
needed to fill the identified data gaps
(e.g., a physical examination of the
facility, sampling of media,
measurements of CCR concentrations in
and around the unit or physical
presence, delineation of CCR
management unit(s)) and dates to
complete such needed tasks. Also, as
necessary and timely, any updates to
data gap remedy plans must be added to
the public record during the FER Part 1.
In addition, the FER is required to
include a certification from a P.E.
stating that the FER meets the
requirements at § 257.75(c).
ii. Facility Evaluation Report Part 2—
Physical Evaluation and Remedy of Data
Gaps
A facility must conduct a physical site
inspection of the entire facility in all
cases. The purpose of the physical site
inspection is to visually inspect the
entire facility for evidence of CCR
placement on the land, ensure that all
CCRMU containing one ton or more of
CCR have been identified, and fill any
data gaps identified during the initial
information evaluation. To that end,
EPA is finalizing without revision the
requirement that the physical site
inspection must consist of a visual
inspection of the entire facility to look
for evidence that CCR is currently being
managed on the land. At a minimum, a
facility is required to visually inspect
the site to confirm the information
obtained from the information review
phase and to identify any anomalies that
warrant further investigation, such as an
unnatural topographic rise or
depression or an area where unspecified
liquid waste was applied over several
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years. In addition, the facility is
required to conduct any field work,
such as soil sampling, necessary to
determine whether areas that had been
identified as a potential CCRMU in fact
contain at least one ton of CCR and to
obtain the information required for the
FER.
The complexity of past and current
facility operations, combined with the
amount of data that was available for
review during the information review
phase would impact how extensive the
facility inspection must be. For
example, if facility records are sparse or
contain data gaps, the Agency expects
that the facility inspection would be
more thorough than in situations where
detailed records exist. However, even in
situations where detailed facility
records exist, the facility must still
conduct a visual inspection to ensure
that all CCRMU containing one ton or
more of CCR have been identified,
whether or not those areas were
identified in the initial document
review. In addition, EPA expects that in
most cases, a facility will need to
conduct some sampling or other
fieldwork to obtain all the information
required for the FER. For example, even
if the facility had as-built engineering
drawings for an old landfill, EPA
expects that in some cases the facility
may still need to conduct some
sampling to establish the lateral and
vertical dimensions of the CCRMU.
A facility can use a variety of visual
means to inspect the entire site (e.g.,
physically walking the site, using
motorized vehicles to inspect the site,
using drone video footage to inspect the
site) to confirm the information
obtained from the information review in
Part 1 and to identify any anomalies that
warrant further investigation, such as an
unnatural topographic rise or
depression or an area where unspecified
liquid waste was applied over several
years. EPA recommends that any
sampling be conducted using standard
industry methods, including any
relevant standards and methodologies
established by State environmental
agencies. The FER must also include a
discussion of quality assurance
procedures, sampling equipment
handling, sample collection, analytical
methods, and data reporting.
If, after conducting a thorough
document review and a visual
inspection, the facility has found no
evidence of any CCRMU, no further
testing or sampling would be required to
conclude that there is no CCRMU
present at the facility. EPA is not
requiring facilities to conduct
widespread site sampling to prove that
no CCRMU exists on-site. All recorded
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39057
observations and data gathered during
the facility evaluation, including any
conclusions regarding the status of each
CCRMU at the facility, must be
assembled and incorporated into a FER,
which is described in detail below.
EPA is finalizing that Part 2 FER must
contain the following: (1) The name and
address of the person(s) owning and
operating the facility; the unit name
associated with any regulated CCR unit
and CCRMU containing one ton or more
of CCR at the facility; and the
identification number of each CCR unit
and CCRMU if any have been assigned
by the State; (2) The location of any
CCRMU containing one ton or greater
identified on the most recent U.S.
Geological Survey (USGS) 7.5-minute or
15-minute topographic quadrangle map,
or a topographic map of equivalent scale
if a USGS map is not available. The
location of each regulated CCR unit at
the facility must also be identified in the
same manner; (3) A statement of the
purpose(s) for which each CCRMU at
the facility is or was being used; (4) A
description of the physical and
engineering properties of the foundation
and abutment materials on which each
CCRMU was constructed; (5) Any
further evidence of known spills or
releases of CCR, including any
associated remediation activities, of
CCR from each CCRMU and whether the
spills or releases were reported to State
or Federal agencies; (6) Any further
evidence of structural instability of each
CCRMU; (7) Any further evidence of
groundwater contamination associated
or potentially associated with each
CCRMU; (8) The size of each CCRMU,
including the general lateral and vertical
dimensions and an estimate of the
volume of CCR contained within the
unit; (9) Identification of the types of
CCR in each CCRMU; (10) A narrative
description of any closure activities that
have occurred, including any applicable
engineering drawings or reports; (11) A
narrative that documents the nature and
extent of field oversight activities and
data reviewed as part of the facility
evaluation process, and that lists all
data and information that was reviewed
indicating the presence or absence of
CCRMU at the facility; and (12) Any
additional supporting information used
to identify and assess CCRMU at the
facility, including but not limited to any
construction diagrams, engineering
drawings, permit documents,
wastestream flow diagrams, aerial
photographs, satellite images, historical
facility maps, any field or analytical
data, groundwater monitoring data or
reports, inspection reports,
documentation of interviews with
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current or former facility workers, and
other documents or sources of
information used to identify and assess
CCRMU at the facility. In addition, the
FER is required to include a certification
from a P.E. stating that the FER meets
the requirements at § 257.75(c).
In addition to the information
described in numbers (1)-(12) in the
preceding paragraph, Part 2 of the FER
must include a narrative that documents
the nature and extent of field oversight
activities and data reviewed as part of
the facility evaluation process, and that
lists all data and information reviewed
that indicated the absence or presence
of any CCRMU containing one ton or
more of CCR at the facility. The
narrative must also discuss how each
data gap identified in Part 1 was
addressed. As many commenters stated,
the physical examination and any field
work will require the hiring of
specialized contractors. EPA
understands this level of field and
laboratory work will require a detailed
work plan, and EPA expects the FER
Part 1 data gap remedy plan to reflect
this detail, including milestones and
time frames for completion. EPA also
anticipates that as field activities
commence, plans to address data gaps
may change and/or additional field
work may be necessary based on
ongoing discoveries. In these cases, the
owner or operators will need to update
the plans accordingly and update the
publicly available information in the
Part 1 or Part 2 FER, depending on the
timing of the update.
b. Certification of Facility Evaluation
Report—Part 1 and Part 2
The Agency proposed to require that
the FER include a certification from a
P.E. stating that the FER meets the
requirements at § 257.75(c). Further, the
Agency proposed to require that the FER
include a certification to be signed by
the owner or operator or an authorized
representative similar to the
certification that is required at
§ 257.102(e) and § 257.102(f) for existing
units undergoing closure. Commenters
raised concerns that the rules were not
sufficiently objective or technically
precise for a P.E. to be able to certify.
One commenter raised that EPA has
indicated that no facility has
successfully implemented the 2015 CCR
Rule’s requirements to date, even
though facilities have secured the
certification of Qualified Professional
Engineers as prescribed by the 2015
CCR Rule.
These commenters have
misunderstood the purpose and role of
the P.E. in the FER reports. The P.E.
does not make final determinations; the
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role of the P.E. is to act as an engineer
in information collection, data gap
identification, physical site inspection,
and remedy of data gaps and certify
accordingly. As stated in the preamble
of the 2015 CCR Rule, EPA reasoned
that the requirement for a P.E. maintains
the most important components of any
certification requirement: (1) That the
engineer be qualified to perform the task
based on training and experience; and
(2) that she or he be a professional
engineer licensed to practice
engineering under the title Professional
Engineer which requires following a
code of ethics with the potential of
losing his/her license for negligence.
The final rule requirements are
sufficient for an P.E. to implement the
final rule and follow industry standards.
Other commenters raised that the P.E.
certification requirement is overly
burdensome and will extend the
timeframe to complete the facility
evaluation. EPA has re-structured the
process for the FER by extending the
time frame and separated the FER into
two parts with separate and adequate
time frames to prepare the reports.
When determining the new compliance
deadlines, EPA considered the shortages
and backlogs of qualified contractors as
well as the increased strain on those
contractors.
Another commenter asked for EPA to
modify or add language to acknowledge
the good faith and due diligence efforts
of a P.E., especially when considering
the age and nature of the potential
CCRMUs. EPA does not agree with this
suggestion. As discussed above, EPA
discussed in the preamble of the 2015
CCR Rule that the P.E. follows a code of
ethics with the potential of losing their
license for negligence. As stated in the
2015 CCR Rule preamble, the Agency
maintains that an engineer is able to
give fair and technical review because of
the oversight programs established by
the State licensing boards that will
subject the professional engineer to
penalties, including the loss of license
and potential fines if certifications are
provided when the facts do not warrant
it.
EPA does not agree with suggestions
to modify the certification and therefore
we are finalizing the certification
language as proposed.
c. Facility Evaluation Reports Deadlines
The majority of the comments related
to the timing and due date of the FER
report stated that EPA had not allowed
sufficient time to gather the required
information and conduct a physical
inspection of the facility. Comments
cited many concerns with the proposed
time frame, i.e., the time frame was too
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short to complete all the tasks required,
for the FER, e.g., the difficulty in
collecting historic information/data that
may or may not be accessible at the
facility or place of off-site records
retention, the possible extensive volume
of information, reports and/or data that
owner or operators would need to
review, the possible iterative nature of
field work and sampling, the impact of
seasonal disruptions to field work, the
lack of qualified field personnel and the
timing to acquire their services through
contracts. Commenters suggested
allowing significantly more time to
complete individual aspects of the FER
requirements.
EPA has reviewed the information
provided by commenters citing the
shortages and backlogs of qualified
contractors, increased strain on those
contractors related to the number of
CCR units complying with the CCR rule
simultaneously, difficulty accessing and
reviewing historical documentation,
potential seasonal disruptions, and time
needed to perform quality control and
quality assurance, and considers it to be
persuasive. After considering these
factors EPA has extended the time frame
and separated the FER into two parts
with separate and adequate time frames
to prepare the reports.
The FER Part 1 is required to be
prepared and placed in the operating
record and posted on the facility’s
website, pursuant to § 257.105(f) no
later than 15 months after the effective
date of the final rule. This time frame
was determined based on suggestions
from commenters as to the time
necessary to conduct a thorough review
of historic records, and, if necessary,
conduct interviews of those with facility
and site knowledge, and by EPA further
considering the time needed under
RCRA Subtitle C and CERCLA to do
similar reviews for historic sites.
The FER Part 2 is required to be
prepared and included in the public
record no later than 27 months after the
effective date of the final rule. EPA
established this time frame by also
considering suggestions from
commenters, who gave examples of
timelines to hire contractors and
conduct site work, as well as EPA’s own
experience and timelines at RCRA
Subtitle C and CERCLA sites for
conducting facility investigations. EPA
believes the provided limited additional
time is adequate to perform all
necessary tasks under the FER, Part 1
and Part 2 respectively.
After completing the information
gathering part of the facility evaluation
process, owners or operators of covered
facilities must compile and place in the
operating record information pertaining
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to every CCRMU containing one ton or
more of CCR located at the facility no
later than the deadline identified below.
Both Part 1 and Part 2 of the FER must
be posted to the facility’s CCR publicly
accessible internet site within 30 days of
that date. In developing the list of items
to be included in the FER, the Agency
examined certain requirements from
existing regulations for History of
Construction reports that must be
generated for existing CCR surface
impoundments at § 257.73(c)(1) as well
as other requirements necessary to
provide basic information about each
CCRMU containing one ton or more of
CCR at the facility.
After gathering the information
required for the FER Part 1 (i.e., not
including a physical evaluation of the
facility), the owner or operator must
prepare a Part 1 FER by placing the
information required in the facility’s
operating record as required by
§ 257.105(f)(25).
4. Applicable Existing CCR
Requirements for CCR Management
Units and Compliance Deadlines
EPA proposed that in addition to the
facility evaluation requirements
discussed in Unit III.C.3 of this
preamble, owners or operators of a CCR
facility comply with the existing
requirements in part 257 for fugitive
dust, groundwater monitoring,
corrective action, closure, post-closure
care, recordkeeping, notification, and
internet posting. As explained in the
preamble of the proposed rule, these
requirements are intended to address
the risks posed by any existing releases
of CCR or CCR constituents to the
groundwater, regardless of when the
CCR was placed in the units and
prevent future releases. The other
existing requirements in 40 CFR part
257, subpart D are not necessary for
CCRMU. For example, (1) since CCRMU
should not contain sufficient liquids to
create a hydraulic head or to otherwise
cause the conditions that might lead to
a structural failure, the structural
stability requirements are not
appropriate; (2) similar to legacy CCR
surface impoundments, since CCRMU
are existing units and will be required
to close, the location restriction and
liner design requirements would not be
appropriate. EPA proposed that the
fugitive dust, groundwater monitoring,
corrective action, closure, post-closure
care, recordkeeping, notification, and
internet posting requirements apply to
all CCRMU at active facilities and at
inactive facilities with one or more
legacy CCR surface impoundment.
Several commenters generally
supported the regulatory approach,
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although a commenter suggested that
CCRMU be subject to more existing CCR
regulations, namely the location
restrictions at §§ 257.60 through 257.64,
the liner design criteria at § 257.71, and
the structural stability requirements at
§ 257.73. This commenter stated that
these requirements were necessary to
protect human health and the
environment from the risk of failure
posed by poorly constructed and sited
CCRMU and to provide information
‘‘critical’’ to developing unit closure
plans and any necessary corrective
action.
EPA disagrees that generally applying
location restrictions, the structural
stability requirements, and the liner
design criteria to CCRMU would be
appropriate. First, as explained in the
proposed rule, the structural stability
criteria are more appropriate for
operational units and those units that
maintain a hydraulic head. Second, the
consequence of failing to comply with
the location restrictions and liner design
criteria requirements is closure by a
specific date. 40 CFR 257.101(a) through
(b)(1). Except for those situations
described in Unit III.C.4.e (i.e., deferral
for CCRMU beneath critical
infrastructure and deferral for CCRMU
closed under a regulatory authority),
because CCRMU are not operational
CCR units and will in any event be
required to close, the consequence for
failure to comply with location
restrictions or the liner design criteria
(i.e., ceased receipt of waste and
closure) is moot. Additionally, the
commenter failed to identify any
information necessary for conducting
corrective action pursuant to §§ 257.96
through 257.98 or closure in accordance
with §§ 257.101 and 257.102 that would
be gained by requiring CCRMU to
comply with the location restrictions or
liner design criteria that would not be
gained by compliance with the facility
evaluation and groundwater monitoring
requirements.
Other commenters opposed the
regulation of CCRMU holistically, citing
lack of authority or lack of demonstrated
risk to human health or the environment
from CCRMU. Other commenters
opposed EPA’s proposal to apply
specific existing requirements to
CCRMU (i.e., groundwater monitoring,
corrective action, closure). Several of
the commenters that opposed requiring
CCRMU to comply with the existing
regulations stated that applying a ‘‘onesize-fits-all’’ approach to CCRMU was
not appropriate due to the variety of
units that would be captured in the
definition of CCMRU and suggested the
EPA wait to regulate these units until
site-specific requirements could be
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39059
developed (i.e., permitting programs).
Comments regarding lack of authority or
lack of demonstrated risk from CCRMU
are summarized and addressed in Units
III.A and III.C.2.a.i of this preamble,
respectively. Comments about the
applicability of specific existing
requirements are described and
responded to in later portions of this
unit (Unit III.C.4). Regarding comments
about the existing regulations being
what commenters characterized as a
‘‘one-size-fits-all’’ approach to the
variety of CCR units captured under the
definition of CCRMU, EPA disagrees
that the existing regulations are not
holistically appropriate to apply to
CCRMU or to address the potential risk
from these units. Furthermore,
commenters did not provide suggestions
on how to regulate these units under the
existing regulatory framework (i.e., selfimplementing rule) and EPA, as
explained in Units III.A and III.C.1,
finds the risks posed by these units to
be not only credible but significant
enough to warrant regulation at this
time (i.e., under the self-implementing
rule as opposed to waiting until the
Federal permitting program is
established).
In response to comments and for the
reasons laid out below, EPA is finalizing
the requirements for CCRMU to comply
with fugitive dust, groundwater
monitoring, corrective action, closure,
post-closure care, recordkeeping,
notification, and internet posting
requirements. These requirements apply
to all CCRMU at active CCR facilities, at
inactive facilities with one or more
legacy CCR surface impoundments, and
at active facilities that ceased placement
of CCR in onsite CCR units before
October 19, 2015, regardless of how or
when the CCR was placed in the
CCRMU. These issues are discussed in
more detail in this Unit of the preamble.
a. Compliance Deadlines for CCR
Management Units
EPA proposed compliance deadlines
for CCRMU that closely aligned to the
proposed compliance deadlines for
legacy CCR surface impoundments. The
proposed rule explained that the 2015
CCR Rule compliance deadlines were
based on the amount of time determined
to be necessary to implement the
requirements and the proposed
compliance dates for legacy CCR surface
impoundments, and CCRMU were
determined using the same approach.
The proposed rule further explained
that some factors considered in
determining the 2015 CCR Rule
compliance deadlines were not relevant
for CCRMU, such as the need to
coordinate compliance deadlines with
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the then recently promulgated ELG rule.
In addition, EPA anticipated most
owners or operators of CCRMU would
already be familiar with the existing
regulations, and therefore most of the
proposed requirements for CCRMU.
Consequently, EPA proposed generally
expedited deadlines, as compared to the
2015 CCR Rule deadlines, based on the
expected shortest average amount of
time needed to complete the necessary
activities to meet the requirements. In
the proposed rule, EPA requested
comment on the proposed compliance
deadlines and the feasibility of meeting
the proposed compliance time frames
for CCRMU.
EPA received numerous comments
regarding the proposed compliance
deadlines. Several commenters
expressed support for the proposed
compliance deadlines for CCRMU.
Generally, these commenters stated that
expedited compliance was appropriate
due to significant risk posed by these
units, the likelihood that these units are
actively contaminating groundwater,
and the urgent need for corrective action
to address that contamination for the
protection of human health and the
environment. Some of these
commenters echoed the proposed rule,
stating that owners’ or operators’
familiarity with the existing
requirements, along with the fact that
these units are no longer in use and
therefore would not need time to cease
receipt of waste, further justified the
expedited deadlines.
Many other commenters stated the
proposed compliance deadlines were
infeasible and should, at a minimum,
allow as much time for compliance as
the 2015 CCR Rule deadlines, although
several commenters expressed that even
the 2015 CCR Rule deadlines were
inadequate, and that the insufficient
time frames were likely a factor in the
gap between EPA’s expectations and
facilities’ good faith efforts and
utilization of best practices in
developing groundwater monitoring
networks, sampling and analysis plans,
corrective action programs, and closure
plans. Commenters pointed to several
factors that they believed EPA did not
fully incorporate into the proposed
deadline calculations that make
compliance with the proposed
deadlines infeasible: EPA’s grossly
underestimated number of CCRMU; the
large number of CCR units (i.e., existing
CCR units, legacy CCR surface
impoundments, CCRMU) competing for
limited resources to meet overlapping
compliance deadlines; the limited
number of qualified contractors
available to conduct necessary activities
to reach the compliance deadlines; the
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nationwide labor shortage exacerbated
by impacts from the COVID–19
pandemic; limited existing alternative
disposal options; overlapping regulatory
requirements (e.g., State drilling
permits, timing restrictions related to
protected habitats, State CCR permits,
Consent Decrees/Orders); seasonality
impacts in different regions across the
nation; and accessibility and
completeness, or lack thereof, of
historical documentation and
information. One commenter provided
specific information regarding typical
delays experienced during the
implementation of the 2015 CCR Rule
caused by third-party availability and
backlogs: two to four weeks for
contractor mobilization; two to six
weeks for site clearing; two to three
weeks for surveys; three to 12 weeks for
environmental drillers; and three to four
weeks for laboratory analyses. These
commenters also said EPA grossly
underestimated the amount of time
needed to hire a contractor, locate and
review historical information, access
historical or heavily vegetated portions
of facilities, characterize and delineate a
site, comply with the groundwater
monitoring requirements, and conduct
quality control or quality assurance on
data and reports. Several of these
commenters expressed the belief that
the proposed deadlines would result in
unintentional non-compliance despite
facilities’ best efforts to comply due to
the constraints listed above. Finally, a
few commenters suggested EPA create
alternative deadlines or mechanisms for
extensions based on site-specific
characteristics.
In response to comments, EPA
reevaluated the compliance deadlines
for CCRMU. EPA reconsidered the
impact of the following on the amount
of time facilities needed to complete the
activities involved in meeting the
requirements: the potential size of the
CCRMU universe; accessibility and
abundance, or lack thereof, of historical
documentation; seasonality; clearing
restrictions and required local and State
approvals to clear vegetation or drill
wells; need to coordinate with local or
State regulatory authorities; existing
disposal options; impact of the national
labor shortage and contractor and
laboratory backlogs; and the strain on
limited resources from overlapping
compliance deadlines for legacy CCR
surface impoundments, existing units
(i.e., groundwater monitoring, closure,
and post-closure care), and CCRMU.
Overall, EPA found the information
provided regarding the infeasibility of
the proposed deadlines convincing.
Specifically, EPA acknowledges the
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potential for an underestimation of the
CCRMU universe given the number of
comments received regarding noncontainerized CCR historically being
spread across facilities. Additionally,
EPA agrees that the shortage of qualified
contractors and laboratory resources has
persisted, if not increased, since the
2015 CCR Rule and that the increasing
demand on these finite resources from
new and existing CCR units, legacy CCR
surface impoundments, and CCRMU
complying with overlapping
requirement deadlines will likely result
in additional delays. EPA acknowledges
that the proposed deadlines did not
adequately account for those nationwide
impacts of seasonality and extreme
weather events; necessary coordination
with outside parties (e.g., State agencies,
local governments); locating disposal
capacity for those units closing by
removal; the need to comply with
overlapping regulatory requirements,
such as State drilling permits or timing
restrictions related to protected habitats;
or necessary quality assurance and
quality control in calculating the
proposed deadlines. Furthermore, as
detailed in Unit III.C.3.c, EPA
recognizes that the proposed CCRMU
deadlines did not provide sufficient
time for the completion of the FER
which serves as the prerequisite
requirement for all other CCRMU
requirements. Additionally, the
concurrent deadlines for legacy CCR
surface impoundments and CCRMU did
not allow for inactive facilities to first
determine if there is a legacy CCR
surface impoundments onsite before
complying with the CCRMU regulations.
Therefore, as detailed in Units III.C.3
and III.C.4.c through e, EPA extended
the deadlines for CCRMU to provide: (1)
At least as much time facilities had to
come into compliance with the 2015
CCR Rule, (2) Sufficient time for owners
or operators to complete a robust FER,
and (3) Additional time such that the
deadlines for legacy CCR surface
impoundment do not coincide with the
CCRMU deadlines, with the exception
of the requirement to establish a CCR
website and the completion of the
history of construction (for legacy CCR
surface impoundments) and the FER
Part 1 (for CCRMU) which can be
conducted concurrently. These
extended deadlines for CCRMU will
mitigate factors mentioned by
commenters that convinced EPA the
proposed deadlines would be infeasible
for CCRMU. Overall, most of the
comments EPA received supported
deadlines that allowed at least as much
time as EPA originally provided in the
2015 CCR Rule.
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Note that all deadlines herein are
framed by reference to the effective date
of the rule; the final rule will be
effective six months after publication of
the final rule. Accordingly, facilities
will have an additional six months
beyond the deadlines to come into
compliance. The Agency has included a
39061
document in the docket for this rule that
summarizes the finalized compliance
deadlines.142
TABLE 2—FINAL COMPLIANCE TIME FRAMES FOR CCRMU
40 CFR Part 257, Subpart D
requirement
Description of requirement to be completed
Deadline
(months after
effective
date of the
final rule)
Internet Posting (§ 257.107) ........
Facility Evaluation Report
(§ 257.75).
Facility Evaluation Report
(§ 257.75).
GWMCA (§ 257.91) .....................
GWMCA (§ 257.93) .....................
Establish CCR website ........................................
Complete the Facility Evaluation Report Part 1 ..
15 ...............................
15 ...............................
Monday, February 9, 2026.
Monday, February 9, 2026.
Complete the Facility Evaluation Report Part 2 ..
27 ...............................
Monday, February, 8, 2027.
Install the groundwater monitoring system ..........
Develop the groundwater sampling and analysis
program.
Initiate the detection monitoring and assessment
monitoring. Begin evaluating the groundwater
monitoring data for SSIs over background levels and SSLs over GWPS.
Complete the initial annual GWMCA report ........
Prepare written closure plan ................................
Prepare written post-closure care plan ................
Initiate closure ......................................................
42 ...............................
42 ...............................
Monday, May 8, 2028.
Monday, May 8, 2028.
42 ...............................
Monday, May 8, 2028.
January 31, 2029 .......
48 ...............................
48 ...............................
54 ...............................
January 31, 2029.
Wednesday, November 8, 2028.
Wednesday, November 8, 2028.
Tuesday, May 8, 2029.
GWMCA (§§ 257.90–257.95) ......
GWMCA (§ 257.90(e)) .................
Closure (§ 257.102) .....................
Post-Closure Care (§ 257.104) ....
Closure and Post-Closure Care
(§ 257.101).
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b. Fugitive Dust Requirements for CCR
Management Units
The air criteria in the existing
regulations address the pollution caused
by windblown dust by requiring the
owners or operators of CCR units to
minimize CCR from becoming airborne
at the facility. 40 CFR 257.80. These
requirements apply to the entire facility,
which means that the owner or operator
is required to minimize CCR fugitive
dust originating not only from the CCR
unit, but also from roads and other CCR
management and material handling
activities at the facility. Consequently,
under the proposal, CCRMU would
already be covered by the fugitive dust
requirements in § 257.80 because
CCRMU are located at facilities with a
CCR unit. EPA therefore only proposed
to make those changes to the fugitive
dust requirements in § 257.80 that are
necessary to make clear that these
requirements also apply to CCRMU.
Specifically, EPA proposed to amend
the regulations to add ‘‘CCRMU’’ to the
list of units subject to the requirements
under § 257.80 and associated
provisions under §§ 257.105 through
257.107. Additionally, EPA solicited
comments on amending § 257.80(b)(6) to
include a deadline for facilities to
amend the fugitive dust control plan no
later than 30 days following a triggering
event, such as the closure of a CCRMU
or change in facility or CCR unit
operations.
No commenters raised concern about
requiring CCRMU to comply with the
existing requirements in § 257.80. EPA
is therefore finalizing this provision
without revision.
One commenter supported creating a
deadline for the amendment of the
fugitive dust plan no later than 30 days
following a triggering event. This
commenter went on to suggest that EPA
further revise § 257.80 to require owners
or operators to notify potentially
impacted populations including
residents living within three miles of
the plant, populations potentially
impacted by transportation of CCR, and
residents living near disposal areas
where CCR will be off-loaded and
disposed and to require air monitoring
at excavation sites and plant
boundaries. The commenter was not
clear on the circumstances in which
owners or operators would notify
potentially impacted population or what
these populations would be notified of
and did not provide a factual basis to
support the need for air monitoring at
regulated CCR units. Therefore, EPA is
therefore only finalizing an amendment
to § 257.80(b)(6) to require owners or
operators to amend the fugitive dust
plan no later than 30 days following a
triggering event, such as the closure of
Date
a CCR unit or change in facility or CCR
unit operations.
c. Groundwater Monitoring and
Corrective Action Requirements for CCR
Management Units
EPA proposed to require CCRMU to
comply with the existing groundwater
monitoring and corrective action criteria
in 40 CFR 257.90 through 257.98, with
one revision, to require sampling and
analysis of constituents listed in
Appendix IV at the same time as those
listed in Appendix III. As explained in
the proposed rule at 88 FR 32003,
§§ 257.90 through 257.95 require
owners or operators of a CCR unit to
install a system of monitoring wells,
specify procedures for sampling these
wells, and set forth methods for
analyzing the groundwater data
collected to detect hazardous
constituents (e.g., toxic metals) and
other monitoring parameters (e.g., pH,
total dissolved solids) released from the
units. If the groundwater monitoring
required in § 257.95, demonstrates an
exceedance of the groundwater
protection standards for constituents
identified in Appendix IV of part 257,
corrective action is required as laid out
in §§ 257.96 through 257.98. These
requirements apply until closure in
accordance with § 257.102(c) is
142 A document ‘‘Final Rule Compliance
Deadlines for CCR Management Units. April 2024.’’
is available in the docket for this action.
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complete or the post-closure care period
of the CCRMU ends.
Several commenters expressed
support for requiring CCRMU to comply
with these groundwater monitoring and
corrective action requirements, stating
CCRMU can and have caused
groundwater contamination. Some
commenters suggested additional
requirements be added to those in
§§ 257.90 through 257.98, including a
mandate to test groundwater quality
outside the boundary of the facility and
make those results public, a deadline for
the completion of the selection of
remedy required by § 257.97, and a
prohibition against using intrawell
groundwater data comparisons at
CCRMU. However, other commenters
stated that applying the existing
groundwater monitoring and corrective
action requirements to CCRMU is not
appropriate and suggested that instead
EPA incorporate flexibility into the
CCRMU regulations by providing for
alternative groundwater monitoring
standards and site-specific risk-based
corrective action into the CCR
regulations. These commenters
suggested groundwater monitoring
standards that allow owners or
operators to complete evaluations to
determine if Appendix IV constituents
are above the GWPS instead of
conducting monitoring, allowing a sitewide groundwater network, and
exempting units from groundwater
monitoring when owners or operators
are able to demonstrate through sitespecific risk assessments there is no
probable risk to groundwater. These
commenters said these alternative
approaches are necessary to address the
overburdensome nature of compliance
with groundwater monitoring and
corrective action when a unit has
already completed closure under a State
authority and when units are
completing groundwater monitoring
under a State or other Federal program.
Some of these commenters stated that
EPA does not have the record to
demonstrate potential risk from these
units to justify requiring groundwater
monitoring and corrective action as laid
out in the existing regulations,
especially for units that have already
completed closure under a State
authority. Other commenters said that
flexibility is needed due to the diversity
of CCR units captured in the definition
of CCRMU, age of some of the units, and
overlapping State requirements.
EPA further proposed two deadlines
for the groundwater monitoring
requirements, as opposed to the single
deadline in the 2015 CCR Rule. EPA
received numerous comments on EPA’s
proposal to split the single deadline for
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groundwater monitoring requirements
contained within the 2015 CCR Rule (24
months from the effective date of the
final 2015 rule) into two separate
deadlines (six months from the effective
date of the final rule for the installation
of the groundwater monitoring network
and development of the groundwater
sampling and analysis plan and 24
months from the effective date of the
final rule for the initiation of the
combined detection and assessment
monitoring). A few commenters
expressed support of the two separate
deadlines for groundwater monitoring
requirements, stating it increased
accountability and ensured owners or
operators were not unnecessarily
delaying the installation of the
groundwater monitoring system.
However, overall, commenters stated
that the groundwater monitoring
requirements should have a single
deadline as the separate deadlines made
compliance with the rule infeasible.
Several commenters said the proposed
split deadlines eliminated the flexibility
necessary for compliance that was
contained within the 2015 CCR Rule’s
single deadline. Those commenters
went on to say the single deadline
allowed facilities to accommodate for
delays associated with factors outside
their control, such as third-party
availability, weather, and required
permits or approvals, by making
schedule adjustments necessary to
achieve compliance (e.g., expedite the
development of the sampling plan in the
case of delays with the well
installation). Other commenters said the
proposed two deadlines were
unnecessarily prescriptive. One
commenter pointed out that the
proposed rule contained no deliverables
to verify compliance for the installation
of wells or the development of the
sampling and analysis plan.
As explained in the proposed rule, the
existing groundwater monitoring and
corrective action requirements are
essentially the same requirements that
have been applied to both hazardous
waste and municipal solid waste
disposal units for decades, and with the
one exception discussed below, there is
nothing about CCRMU that makes them
distinct enough to warrant separate
groundwater monitoring requirements
from other CCR units. No commenter
provided any factual basis for treating
CCRMU differently than all of the other
units that currently comply with the
same groundwater monitoring and
corrective action requirements.
Specifically, for commenters who
requested alternative groundwater
monitoring requirements to allow site-
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wide or property-boundary groundwater
monitoring due to the potential
presence of CCRMU across the facility,
the commenters failed to explain how
the provisions at § 257.91(d), which
allow for multiunit groundwater
monitoring systems fail to address their
concern.
Regarding the request for alternative
groundwater monitoring criteria to
mitigate the inappropriateness of
requiring compliance with the CCR
groundwater monitoring and corrective
action requirements when the CCRMU
has already completed closure under a
State authority or when the CCRMU is
already subject to another State or
Federal groundwater monitoring
program, the commenters did not
provide any factual or specific
information to support the conclusions
that groundwater monitoring and
corrective action is not appropriate for
all CCRMU that have completed closure
under a State authority or that utilizing
or augmenting an existing groundwater
monitoring network that may have been
required as part of the State closure or
other groundwater monitoring program
would be infeasible or inappropriate.
Furthermore, as explained in Unit
III.C.4.e, EPA received comments
regarding State closures during which
no groundwater monitoring was
required, thereby highlighting the need
for groundwater monitoring and
corrective action, if necessary, even in
situations in which closure has been
completed under a State authority.
For those commenters requesting that
EPA adopt ‘‘risk-based groundwater
monitoring and corrective action’’ into
the requirements, EPA notes that the
commenters have provided no further
explanation of what requirements in the
existing regulations they wanted EPA to
revise, what the revisions should
accomplish, or any factual basis for why
they are necessary or appropriate. As a
general matter EPA considers that the
corrective action regulations in
§§ 257.95 through 257.98 do currently
require facilities to tailor remedies to
address the risks to human health and
the environment, based on the
conditions at the site. It is unclear what
more the commenters are seeking.
Accordingly, EPA is finalizing the
proposal that CCRMU comply with the
existing groundwater monitoring and
corrective action requirements with one
modification, combined detection and
assessment monitoring.
However, EPA agrees that having a
single deadline for groundwater
monitoring requirements as opposed to
two deadlines allows flexibility to
complete tasks, such as installing
groundwater wells and collecting
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independent samples, that is necessary
for compliance with a nationwide rule.
The activities involved in achieving
compliance with the groundwater
monitoring requirements (i.e., drilling
wells, collecting samples, receiving lab
results) are more susceptible to factors
outside a facility’s control, such as
extreme weather events, shortages of
qualified contractors, and permitting or
approval delays, and therefore, warrant
greater flexibility. Additionally,
activities can be restricted dependent on
the time of year and the location of the
facility (e.g., due to seasonality,
protected species, clearing restrictions).
Because the groundwater monitoring
requirements build upon each other,
EPA must ensure that facilities
nationwide are reasonably able to
achieve regulatory compliance by the
deadline. Utilizing a single deadline for
the groundwater monitoring
requirements allows facilities to make
reasonable accommodations for regional
factors in a way the proposed deadlines
do not, while still maintaining the same
level of protection for human health and
the environment. Furthermore, EPA
agrees that the proposed rule does not
have a clear mechanism for facilities to
prove compliance or for interested
parties to verify compliance with the
separate deadlines for the installation of
the groundwater monitoring network
and the development of the
groundwater sampling and analysis
plan.
As stated in Unit III.C.4.a, EPA
recognizes that the proposed CCRMU
deadlines did not provide sufficient
time for the completion of the FER and
therefore extended the deadline for the
completion of the FER by 24 months as
detailed in Unit III.C.3.c. The FER
informs the owner or operator of the
presence or absence of CCRMU at the
facility, which is vital information for
the completion of the groundwater
monitoring system requirements (i.e.,
design and installation of the
groundwater monitoring system). As
such, the deadline for the groundwater
monitoring requirements must be
extended as well to allow owners or
operators time to locate CCRMU as part
of the FER. Furthermore, EPA was
convinced that the deadlines for
compliance with the legacy CCR surface
impoundments and CCRMU
requirements should be offset to
mitigate impacts mentioned by
commenters regarding the current labor
shortages and backlogs experienced by
third-parties necessary to accomplish
tasks involved in complying with the
groundwater monitoring requirements
(e.g., drillers for well installation,
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laboratories for sample analysis) and the
need for owners or operator of inactive
facilities to first determine if there are
legacy CCR surface impoundments
onsite. Finally, based on the abovementioned factors and the information
provided by commenters, specifically
the information regarding the suspected
underestimation of the CCRMU universe
due to historic facility-wide placement
of non-containerized CCR on land, time
needed to obtain necessary approvals
(e.g., State permits to drill water wells
or clear vegetation), and to
accommodate for seasonality, EPA has
calculated 18 months as the appropriate
extension of the groundwater
monitoring system deadlines for the
latest groundwater monitoring
requirement. In the proposed rule, the
latest proposed deadline for
groundwater monitoring requirements
was the deadline of 24 months from the
effective date of this final rule for the
initiation of the combined detection and
assessment monitoring and the
collection of the eight baseline samples.
Therefore, EPA is finalizing a single
deadline of no later than 42 months
after the effective date of this final rule
for the groundwater monitoring
requirements found at §§ 257.90 through
257.95.
i. Design and Installation of the
Groundwater Monitoring System for
CCR Management Units
EPA proposed that owners or
operators of CCRMU install the
groundwater monitoring system as
required by § 257.91 no later than six
months from the effective date of this
final rule. EPA further proposed that
existing monitoring wells can be used as
a part of the CCRMU groundwater
monitoring systems provided the wells
meet the Federal criteria. As explained
in the proposed rule, based on the
amount of time most facilities needed to
complete or to collect baseline
sampling, EPA calculated that facilities
would be able to install the necessary
monitoring wells within a single year.
As mentioned earlier, some
commenters supported the expedited
deadlines. However, most commenters
stated the proposed deadline of six
months from the effective date of the
final rule for the design and installation
of the groundwater monitoring network
was infeasible and should be extended
to no less than 24 months from the
effective date to align with the 2015 rule
deadline. As explained above, many of
these commenters expressed the need
for a single deadline for groundwater
monitoring requirements. Furthermore,
as described in Unit III.C.4.a of this
preamble, these commenters cited
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seasonality restrictions, the nationwide
labor shortages, limited qualified
contractor availability, the need for
State approvals and permits, and the
number of facilities competing for
limited resources as reasons for why the
proposed expedited deadline is
infeasible. A few commenters noted that
in recent decisions on Part A
demonstrations, EPA cited deficiencies
in the groundwater monitoring network
as a basis for noncompliance. These
commenters went on to state that the
proposed deadline does not facilitate
the establishment of a monitoring
system that would meet the standards
laid out in the CCR rule or the recent
proposed decisions and thus, the
proposed deadline creates de facto noncompliance. Some of these commenters
elaborated by saying that the deadline
does not allow facilities to acquire the
permits that may be required to drill
wells and precludes the observation of
groundwater levels over time, which is
needed to properly characterize
groundwater flow. Other commenters
stated meeting the proposed compliance
deadline would prevent a facility from
conducting proper site characterization,
which is needed to inform well
placement and depth and providing
P.E.s sufficient information to certify the
groundwater monitoring system. Lastly,
commenters stated that contrary to
EPA’s assertion in the proposed rule
that expediting the installation of the
groundwater monitoring network is
protective of human health and the
environment, to meet the proposed
deadline, facilities would likely be
forced to design groundwater
monitoring systems based on inadequate
data resulting in unreliable groundwater
monitoring data. Commenters provided
estimates of time needed to comply with
the design and installation of the
groundwater monitoring system
requirements ranging from nine to 36
months.
As stated in Unit III.C.4.a of this
preamble, in response to comments EPA
reevaluated the compliance deadline for
the design and installation of the
groundwater monitoring network and
found the information provided
regarding the general infeasibility of the
proposed deadline compelling.
Specifically, EPA agrees that more time
is needed to allow inactive facilities
time to determine if a legacy CCR
surface impoundment is online prior to
complying with the CCRMU
requirements and to account for limited
third-party availability (e.g., contractor
shortages and laboratory backlogs),
seasonality and extreme weather events,
procuring a contractor, complying with
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overlapping regulatory requirements,
and coordinating with outside parties.
EPA acknowledges the importance of
proper site characterization as the
foundation for designing a groundwater
monitoring system and is convinced
that although there may be some
facilities that have adequate information
for site characterization, many of these
facilities, especially inactive facilities,
may need to conduct more extensive
site reconnaissance and field work to
obtain the necessary information due to
the widespread use of noncontainerized CCR across facilities. EPA
further recognizes that groundwater
monitoring systems designed using
inadequate data would be unable to
properly monitor groundwater quality
coming from the unit and therefore
would not be protective of human
health and the environment. Lastly,
because EPA is convinced by
information from the commenters that
facilities would be unable to conduct all
the steps necessary to design and install
a groundwater monitoring system
capable of meeting the standards in
§ 257.91 by the proposed deadline, EPA
has extended the deadline.
As stated in Unit III.C.4.c, based on
information provided by commenters,
EPA concluded that a single deadline of
42 months from the effective date of this
final rule should be used for the
groundwater monitoring requirements.
Therefore, EPA is finalizing a deadline
for the completion of the design and
installation of the groundwater
monitoring system of no later than
Monday, May 8, 2028, which is 42
months from the effective date of this
final rule. This is codified in the
regulatory text at § 257.90(b)(3)(i).
To complete the installation of the
groundwater monitoring system, the
owner or operator of a CCRMU must
ensure the monitoring system consists
of sufficient number of wells both
upgradient and downgradient of the
CCR unit, installed at appropriate
locations and depths, to yield
groundwater samples from the
uppermost aquifer that accurately
represent the quality of background
groundwater and groundwater passing
the downgradient waste boundary of the
CCR unit, monitoring all potential
contaminant pathways. 40 CFR
257.91(a)(1) through (2). Because
hydrogeologic conditions vary so widely
from one site to another, the regulations
do not prescribe the exact number,
location, and depth of monitoring wells
needed to achieve the general
performance standard. Rather the
regulation requires installation of a
minimum of one upgradient and three
downgradient wells, as well as any
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additional monitoring wells necessary
to achieve the general performance
standard of accurately representing the
quality of the background groundwater
and the groundwater passing. See, 80 FR
21399. The number and placement of
the monitoring wells is critical to proper
characterization of the groundwater.
Thus, the specific number, spacing, and
depth of the monitoring wells must be
determined based on site-specific
information, including but not limited
to the thorough characterization of
aquifer thickness, groundwater flow
rate, groundwater flow direction
throughout seasonal and temporal
fluctuations, the unit’s geological
setting, and the unit’s hydrogeological
setting.
The monitoring wells must be cased,
constructed, operated, and maintained
in a way that preserves the integrity of
the monitoring well borehole, screened
interval and other components so as to
ensure the well performs to the design
specifications throughout the life of the
monitoring system. EPA expects owners
or operators to ensure the groundwater
monitoring wells are adequately
protected from activities that may
damage the wells or otherwise adversely
impact their performance, such as
accidental damage caused by livestock,
vehicles, machinery, or other activities
near the unit.
The owner or operator of the unit
must ensure that the design,
installation, development, and
decommissioning of any aspect of the
groundwater monitoring system is
thoroughly documented and included in
the operating record. Furthermore, the
owner or operator must obtain a P.E.
certification or approval from the
Participating State Director or EPA
stating the groundwater monitoring
system meets the standards set out in
§ 257.91.
ii. Development of the Groundwater
Sampling and Analysis Plan for CCR
Management Units
EPA proposed to require owners or
operators of CCRMU to comply with the
existing groundwater sampling and
analysis program requirements for CCR
units, including the selection of the
statistical procedures that will be used
for evaluating groundwater monitoring
data. 40 CFR 257.93. EPA proposed a
deadline of no later than six months
after the effective date of the final rule
for owners or operators to comply with
this requirement.
One commenter suggested EPA
prohibit use of intrawell groundwater
data comparisons for CCRMU. This
commenter stated that intrawell
comparisons are only appropriate when
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the background samples are collected
before CCR was placed in the unit and
therefore, since these units are likely
already contaminating groundwater,
they would be ineligible for intrawell
data comparisons. Other commenters
requested EPA allow alternative
groundwater monitoring requirements,
such as alternative groundwater
sampling procedures and statistical
analysis because of the inability to
collect groundwater samples unaffected
by CCR at some facilities due to the
number of CCRMU at the site. As stated
in Unit III.C.4.c, the existing
groundwater monitoring and corrective
action requirements are essentially the
same requirements that have been
applied to both hazardous waste and
municipal solid waste disposal units for
decades, and with the one exception
discussed below, there is nothing about
CCRMU that makes them distinct
enough to warrant separate or additional
requirements. Furthermore, while EPA
expects many CCRMU have leaked or
are potentially leaking, the commenter
did not provide any evidence for
creating a prohibition against intrawell
data comparisons. Therefore, EPA will
not be finalizing a prohibition on
intrawell data comparisons at CCRMU.
However, EPA acknowledges that since
the 2015 CCR Rule went into effect,
intrawell groundwater data comparisons
have been misused to a large degree.
Regarding the commenter who stated
that the owner or operator would be
unable to accurately represent
background groundwater quality due to
the potential extensive presence of
CCRMU across the facility, during
implementation of the 2015 CCR Rule,
EPA has not found a situation in which
representing background groundwater
quality was impossible nor does EPA
believe such a situation exists, as
owners or operators are allowed to
collect samples as far upgradient as
needed, even offsite, to ensure that the
groundwater sample is not impacted by
CCR. Additionally, at § 257.91(a)(1),
EPA allows the owner or operator to
collect background groundwater
samples at other representative wells
when hydrogeologic condition do not
allow the determination of what wells
are hydraulically upgradient wells or
when other wells are more
representative of background
groundwater quality than upgradient
wells. Furthermore, the commenter’s
assertion relied solely on the exhaustive
presence of CCRMU at the facility as
evidence of the inability to represent
background water quality and did not
provide any factual basis to support
their claim that the requirement to
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establish background groundwater
quality as part of the groundwater
monitoring requirements is infeasible.
EPA is therefore finalizing this
provision without revision. This is
codified in the regulatory text at
§ 257.90(b)(3)(ii).
EPA received several comments on
the proposed deadline for the
development of the groundwater
sampling and analysis plan. As
mentioned in Unit III.C.4.c, some
commenters supported the expedited
deadline. However, several other
commenters pointed out that the
sampling and analysis plan cannot be
completed prior to the collection of the
baseline samples, which had a proposed
deadline of 24 months from the effective
date. Many of these commenters went
on to state that the proposed expedited
deadline for the development of the
sampling and analysis plan could result
in too frequent sampling leading to nonindependent, autocorrelated baseline
samples for a large number of facilities,
undermining the required statistical
analysis. A few commenters further
stated that EPA published decisions on
Part A and Part B demonstrations citing
lack of statistical independence in
sampling as a basis for non-compliance,
and failure for EPA to extend the
deadline for the sampling and analysis
plan to allow adequate time for facilities
nationwide to gather independent
samples would create de facto noncompliance.143 Commenters also said
that the proposed deadlines do not
account for the backlogs already
experienced due to the existing CCR
units using the small number of
laboratories qualified to conduct the
specialized analyses required by the
rule, coupled with the national labor
shortages. The commenters predicted
the backlogs with laboratories will only
increase with the regulation of legacy
CCR surface impoundments and
CCRMU, making the proposed deadlines
even more infeasible. Finally, as
mentioned in Unit III.C.4.c, commenters
emphasized the need for one deadline
for all groundwater monitoring
requirements.
EPA agrees that a sampling and
analysis plan cannot reasonably be
completed before the collection of
143 On January 25, 2023, EPA proposed
determinations on six Part B applications for
alternate liner demonstrations (‘‘Part B’’). All six
proposals are proposed denials. The CCR Part B
Final Rule (85 FR 72506, November 12, 2020),
allowed a limited number of facilities to
demonstrate to EPA or a Participating State Director
that, based on groundwater data and the design of
a particular surface impoundment, the unit has and
will continue to ensure there is no reasonable
probability of adverse effects to human health and
the environment.
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baseline samples. EPA also
acknowledges the adverse impact of too
frequent sampling on the validity of
statistical analysis and the need to
account for seasonal variability in
groundwater flow, groundwater levels,
and constituent concentrations. EPA
further acknowledges that providing
insufficient time for the collection of
baseline samples or the development of
the sampling and analysis plan would
likely result in ineffective groundwater
monitoring programs that may fail to
alert facilities to groundwater
contamination coming from CCR units.
As explained in Unit III.C.4.a and Unit
III.C.4.c respectively, EPA recognizes
the need for more time to accommodate
third-party availability and a single
deadline for the groundwater
monitoring requirements. As stated in
Unit III.C.4.c.i, for the reasons laid out
above, EPA is finalizing a single
deadline for the groundwater
monitoring requirements of no later
than Monday, May 8, 2028, which is 42
months from the effective date of this
final rule. This is codified in the
regulatory text at § 257.90(b)(3)(ii).
The owner or operator must develop
the groundwater sampling and analysis
program that satisfies the requirements
in § 257.93 and includes a list of
monitoring wells to be sampled (i.e., the
monitoring network), the schedule for
sampling, sampling procedures and
techniques, sample preservation and
shipping protocols, analytical
procedures including an appropriate
statistical method for analysis, and
quality assurance and quality control
methods. The sampling and analysis
plan must include all analytes listed in
Appendix III and Appendix IV.
Recommendations and information on
how to comply with many of the
requirements for the groundwater
sampling and analysis program (e.g.,
analytical procedures, QA/QC controls,
sampling protocol) can be found in the
following EPA guidance documents
(e.g., RCRA Groundwater Monitoring:
Draft Technical Guidance, 1992, EPA/
530/R–93/001; Low-Flow (Minimal
Drawdown) Ground-Water Sampling
Procedures, 1996, EPA/540/S–95/504).
iii. Detection Monitoring Program and
Assessment Monitoring Program
Combined
EPA proposed to require sampling
and analysis of constituents listed in
Appendix IV at the same time as those
listed in Appendix III. The proposed
rule explained that this would expedite
groundwater monitoring and initiation
of corrective action by at least six
months at sites where units have
potentially been leaking for a long
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period of time, as is likely the case at
CCRMU. The proposed rule further
explained that the expediting Appendix
IV constituent detection and any
resulting corrective action is necessary
for the protection of human health and
the environment. EPA proposed no
other revisions to the existing
groundwater monitoring requirements
in §§ 257.90 through 257.95.
EPA received several comments on its
proposal to combine detection and
assessment monitoring. One commenter
pointed out the increased demand on
laboratory services, facility staff and/or
contractors, and professional engineers
that would result from having CCRMU
comply with both monitoring programs
simultaneously. Another commenter
stated that by combining detection and
assessment monitoring and assuming
groundwater contamination, EPA has
rendered detection monitoring
superfluous. Further, the commenter
asserted that skipping detection
monitoring entirely would lose critical
data regarding whether there are
statistically significant increases in
groundwater constituents specifically
due to the unit being monitored. One
commenter stated that EPA lacked the
record demonstrating risk posed by
CCRMU to warrant combined detection
and assessment monitoring and should
either maintain the approach in the
existing regulations or only apply
groundwater monitoring to those
CCRMU that have been identified as a
source of an SSI or SSL in an ASD.
Another commenter said that the
justification in proposed rule regarding
phased groundwater monitoring being
‘‘best suited to situations where there is
little likelihood of pre-existing
contamination’’ conflicts with EPA’s
position in the 2015 CCR Rule.
According to the commenter, in the
2015 CCR Rule, the Agency was aware
many CCR surface impoundments were
decades old and potentially leaking; yet
EPA still adopted a phased approach
with detection monitoring to monitor
indicators of potential groundwater
contamination and assessment
monitoring to determine if releases of
CCR constituents of concern did occur.
As a practical matter, EPA expects
combining Appendix III and Appendix
IV constituents into a unified sampling
and analysis plan and approach will
likely have only minor effects on
schedules, as this change will not
require additional field mobilizations or
sampling events and will only require
collection of a slightly larger number of
sample containers at each monitoring
well to allow for analysis for both
Appendix III and IV constituents. As
such, no additional shipments of
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samples to the analytical laboratory will
be required. However, EPA
acknowledges that combining Appendix
III and Appendix IV constituents into a
unified sampling and analysis plan may
increase the total throughput burden on
analytical laboratories and related
services. Similarly, while combined
monitoring may require additional
evaluation (e.g., concentration and trend
analysis of data concerning both
Appendix III and Appendix IV
constituents), this incremental increase
is unlikely to significantly increase the
overall reporting level of effort, as the
number of reports will be essentially
unchanged.
Nevertheless, as discussed in Units
III.C.4.a and III.C.4.c of this preamble,
EPA acknowledges the commenters’
concerns regarding existing and
projected labor shortages, backlogs, and
third-party availability, and agrees this
has the potential to affect facilities’
ability to comply with the proposed
deadlines for groundwater monitoring
requirements. EPA is therefore
extending the deadline, as well as
building in flexibility for facilities to
accommodate for delays, by finalizing a
single deadline for groundwater
monitoring requirements in lieu of the
proposed split deadlines.
However, EPA disagrees that
combining detection and assessment
monitoring will render detection
monitoring redundant, and that critical
data would be lost, by sampling for
Appendix IV constituents at the same
time as Appendix III constituents (i.e.,
by collecting more information). The
commenters provided no further
explanation of what information they
thought would be lost, but under the
combined monitoring, the facility would
collect the same information on
Appendix III constituents that is
collected under the detection
monitoring in § 257.94. Given that
under the existing assessment
monitoring provisions, facilities must
simultaneously analyze samples for all
parameters in Appendix III and for any
Appendix IV constituent detected in the
initial sampling, it is not apparent why
the commenter believes that requiring
simultaneous monitoring more broadly
is appreciably different. 40 CFR
257.95(d)(1).
As stated in the previous paragraph,
concurrent monitoring for Appendix III
and Appendix IV constituents provides
considerably more information and
enables a more complete understanding
of the geochemical nature, fate, and
transport of any detected releases.
Additionally, simultaneously collecting
samples for Appendix III and Appendix
IV constituents will still provide the
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basis for determining SSIs, should they
exist, so no information will be lost.
Contrary to the commenter’s concern,
additional information will be gained in
an expedited manner (e.g., the potential
spatial and temporal correlation of
Appendix III SSIs with exceedances of
SSLs for Appendix IV constituents).
Furthermore, EPA disagrees that its
explanation that phased groundwater
monitoring is ‘‘best suited to situations
where there is little likelihood of preexisting contamination’’ fundamentally
conflicts with EPA’s decision to adopt
phased monitoring in the 2015 CCR
Rule. Unlike this rule, the 2015 CCR
Rule applied to both new facilities,
which would be expected to have little
likelihood of pre-existing
contamination, and to existing facilities.
Over the long-term, EPA expected that
there would eventually be a greater
percentage of new units than existing
units as the older units reached capacity
and closed. In addition, as discussed in
the proposal at 88 FR 32010 and in Unit
III.A.2 of this preamble, it is clear from
the data posted on facilities’ websites
that in 2015 EPA significantly
underestimated the number of unlined
units (both impoundments and
landfills), and consequently,
significantly underestimated the
number of leaking units and the extent
of contamination at these sites.
Under the phased approach in the
current regulations, detection
monitoring was intended to provide an
early detection of whether groundwater
was potentially being contaminated. In
selecting the parameters for detection
monitoring, EPA chose constituents
present in CCR that would be expected
to move rapidly through the subsurface
and thus provide an early detection of
a potential problem before significant
releases of constituents of greatest
concern (i.e., those in Appendix IV) had
occurred. This approach rests on a
presumption that the unit is not already
leaking and the record shows (see Unit
III.C.1) that presumption is largely
inappropriate for CCRMU.
If an alternate source is causing an
exceedance of an Appendix III
constituent, it may also be the source of
any SSL detected for any Appendix IV
constituents; in such a case, a facility
may simply prepare a single ASD that
covers constituents from both
appendices. The sole difference between
phased monitoring and combined
monitoring is if the alternate source is
only responsible for the Appendix III
constituent, but the unit actually is
releasing one or more Appendix IV
constituents. In such a case, under a
phased approach detection of the
Appendix IV constituent can be delayed
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or even remain undetected, because the
facility would not trigger assessment
monitoring absent an SSI from another
Appendix III constituent. In such
situations, combined monitoring can
make the monitoring program more
accurate; it is unclear why the
commenter believes this is
inappropriate.
Ultimately, the combined monitoring
expedites the initiation of assessment
monitoring which in turn, allows for
more expeditious identification of
statistically relevant exceedances of
Appendix IV constituents. This will in
turn expedite ASD development or
corrective action, depending on the
circumstances.
The phased approach in the 2015 CCR
Rule provides for a graduated response
to groundwater contamination as the
evidence of contamination increases
over time. This approach allows
facilities ample time to investigate the
source of contamination as well as the
transport characteristics of CCR
constituents in groundwater, while
usually being protective of human
health and the environment. However,
at sites where there is a strong
likelihood that groundwater
contamination has been occurring for a
long time, the advantages provided by a
protracted graduated response are
outweighed by disadvantages of
persistent or even increasing
contamination that continues to move
downgradient. At these sites, the need
to protect human health and the
environment necessitates the quick
detection of Appendix IV constituents
of concern to expedite any necessary
corrective action. See, USWAG, 901
F.3d at 427–30. In this case, as
highlighted in Unit III.A, the record
provides strong reason to conclude that
many CCRMU are contaminating
groundwater, given the large number of
currently regulated CCR units that have
been found to be leaking.
Therefore, EPA is finalizing this
requirement as proposed to be
completed no later than Monday, May 8,
2028, which is 42 months after the
effective date of this final rule. This is
codified in the regulatory text at
§ 257.90(b)(3)(iv) and (v).
iv. Collection and Analyses of Eight
Independent Samples for CCR
Management Units
EPA proposed that no later than 24
months after the effective date of the
final rule, owners or operators of
CCRMU initiate the detection
monitoring program by completing
sampling and analysis of a minimum of
eight independent samples for each
background and downgradient well, as
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required by § 257.94(b). The proposed
rule explained that within 90 days after
initiation of the detection monitoring
program, owners or operators must
identify any SSIs over background
levels for the constituents listed in
Appendix III, as required by § 257.94.
To expedite the time to initiate any
required corrective action, EPA also
proposed that by this same deadline
owners or operators initiate the
assessment monitoring program by
establishing groundwater protection
standards and by starting to evaluate the
groundwater monitoring data for an SSL
over GWPS for the constituents listed in
Appendix IV as required by § 257.95.
EPA is finalizing this requirement as
proposed. This is codified in the
regulatory text at § 257.90(b)(3)(iii).
EPA received several comments on
the proposed deadline for the collection
of the eight baseline samples. As
mentioned in Unit III.B.2.a.ii, some
commenters supported the expedited
deadline. However, several other
commenters requested that the
groundwater monitoring requirement
deadlines be combined into a single
deadline that provided at least as much
time to come into compliance as was
provided in the 2015 CCR Rule
deadlines (i.e., 24 months after the
effective date of the final rule). As stated
in Unit III.C.4.c, based on information
provided by commenters, EPA
concluded that a single deadline of 42
months after the effective date of this
final rule should be used for the
groundwater monitoring requirements.
Therefore, EPA is finalizing a deadline
for the completion of sampling and
analysis of a minimum of eight
independent samples for each
background and downgradient well of
no later than Monday, May 8, 2028,
which is 42 months from the effective
date of this final rule.
v. Preparation of Initial Groundwater
Monitoring and Corrective Action
Report for CCR Management Units
EPA proposed to apply the existing
requirements in § 257.90(e) to CCRMU
and require that owners or operators of
CCRMU comply no later than January
31 of the year following the calendar
year after a groundwater monitoring
system has been established (and
annually thereafter).
One commenter suggested that the
initial groundwater monitoring and
corrective action report be due no later
than January 31 of the year following
the collection of the eight baseline
samples and the first semi-annual
sampling event in order to allow
facilities to provide all the
documentation required by § 257.90(e).
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EPA disagrees that the information
required by § 257.90(e) would not be
available to a facility upon completion
of the groundwater monitoring system,
as the annual report serves as an update
on the activities related to the
groundwater monitoring program,
including the installation of
groundwater monitoring wells.
Additionally, when specific actions are
not required by the CCR regulations
(e.g., a facility has not triggered
corrective action), facilities are not out
of compliance merely because they do
not have activities related to that action
to discuss in the groundwater
monitoring and corrective action annual
report (e.g., not describing progress in
selecting a remedy when not in
corrective action).
EPA is finalizing the requirement for
owners or operators of CCRMU to
comply with the requirements in
§ 257.90(e), which mandate the
preparation of an annual groundwater
monitoring and corrective action report
no later than January 31, 2029 and
annually thereafter. This is codified in
the regulatory text at § 257.90(e).
The report documents the activities
associated with the groundwater
monitoring program and progress of any
corrective action over the past year and
must contain specific information
identified in the regulations, including
but not limited to maps; aerial images or
diagrams showing the CCRMU and all
upgradient (background) and
downgradient wells; identification of
any monitoring wells installed or
decommissioned in the previous year;
monitoring data collected under
§§ 257.90 through 257.98; and a
narrative discussion of any transition
between monitoring programs (i.e.,
detection and assessment monitoring).
The annual reporting requirement will
help ensure that groundwater level data
collected over the reporting period is
tabulated, presented, and analyzed to
determine groundwater levels relative to
any residual CCR left in place as well as
to confirm or determine groundwater
flow directions.
Upgradient and downgradient well
locations and depths should be
validated annually with respect to
measured and mapped flow directions.
Groundwater quality sampling data
should be included in appendices and
summarized and tabulated in the annual
reports. If appropriate, exceedances
(SSIs and SSLs) of Appendix III and IV
constituents should be tabulated and
highlighted. As mentioned in some
comments, annual reports should
identify the nearest downgradient
surface water bodies as well as
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groundwater supply wells in the
vicinity of the unit.
It is critical that annual corrective
action and monitoring reports provide
the basis for selection and
documentation of corrective actions as
early as possible. The owner or operator
must not only document compliance in
the annual report, but also post the
annual report on the public CCR website
to allow the public to review the
groundwater monitoring results. It is
critical that the annual reports contain
the basic data which informs the
positions and status reported in those
documents, including but not limited to
boring logs, monitoring well installation
diagrams, water level data, field
sampling data sheets for groundwater
sample collection, laboratory analytical
data including QA/QC data, data
validation, etc. In summary, the annual
groundwater monitoring and corrective
action reports should not only contain
the information required by the
regulations but should be organized in
such a way that: (1) Compliance with
the CCR regulations is evident; (2) Data
supporting compliance conclusions are
easily located within the document; and
(3) The public is readily able to review
the groundwater monitoring data and
related information. Lastly, the name of
the document on the public CCR
website should be such that it is clear
what the file is and it must be capable
of being readily printed and
downloaded by the public.
vi. Corrective Action Requirements for
CCR Management Units
EPA proposed to require owners or
operators of CCRMU to comply with the
existing corrective action criteria, as
appropriate in §§ 257.96 through 257.98.
The proposed rule explained that
conducting the sampling
simultaneously would expedite
groundwater monitoring and, where
necessary, initiation of corrective action
by at least six months at sites where
units have potentially been leaking for
a long period of time, as is likely the
case at many CCRMU. The proposed
rule further explained that expediting
Appendix IV constituent detection,
assessment and any required corrective
action would protect human health and
the environment.
Under the existing regulations, if
groundwater monitoring demonstrates
an exceedance of the groundwater
protection standards for constituents
identified in Appendix IV of part 257,
corrective action is required, as laid out
in §§ 257.96 through 257.98. These
requirements apply throughout the
active life and any post-closure care
period of the CCR unit.
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A commenter suggested EPA create a
deadline for the completion of the
selection of remedy required by § 257.97
of 90 days after the completion of the
assessment of corrective measures
(ACM) with the ability to extend the
deadline up to 180 days after the
completion of the ACM. The commenter
pointed to the failure of owners and
operators of units regulated by the 2015
CCR Rule to select a remedy as soon as
feasible after the completion of the ACM
as required by the rule and the
subsequent unnecessary delay in
addressing contaminated groundwater.
Other commenters stated that applying
the existing groundwater monitoring
and corrective action requirements to
historic sites, such as CCRMU, is not
appropriate and suggested that instead
EPA incorporate site-specific risk-based
corrective action or State corrective
action programs into the CCR
regulations. Finally, some commenters
requested EPA adopt a RCRA subtitle C
approach and utilize existing EPA
guidance. One of these commenters
further stated that the application of the
existing CCR corrective action
requirements conflict with EPA’s
decision-making frameworks in other
programs such as RCRA and CERCLA
due to lack of site-specific risk
assessments to evaluate risk and drive
corrective action decisions. This
commenter suggested that EPA utilize
site-specific, risk-based corrective action
that is consistent with the guidance
documents EPA has developed for
RCRA and CERCLA programs.
EPA acknowledges the widespread
non-compliance with the mandate to
complete the selection of remedy as
soon as feasible after the completion of
the ACM. However, EPA disagrees with
the commenter’s suggested deadline for
two reasons. First, the recommended
deadline extends the deadline for the
completion of the selection of remedy
beyond that in 2015 CCR Rule since ‘‘as
soon as feasible’’ in many cases would
likely be before 90 days after the
completion of the ACM and granting
owners or operators more time to select
a remedy would be less protective of
human health and the environment.
Second, EPA is taking action to address
the non-compliance related to the
failure of owner or operators to select a
remedy as soon as feasible as part of the
EPA’s National Enforcement and
Compliance Initiative and expects this
enforcement initiative to address the
concern raised by the commenter.144
144 EPA Enforcement Alert, National Enforcement
and Compliance Initiative, Protecting Communities
from Coal Ash Contamination. EPA Document
#310F23002. December 2023. https://www.epa.gov/
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EPA disagrees with the suggestion
that existing corrective action
requirements, if triggered, are
inappropriate at CCRMU. As stated in
Units III.A and III.C.4.d, the physical
characteristics and potential risks of
CCRMU are not sufficiently different
from currently regulated units to justify
different requirements. For those
commenters requesting that EPA adopt
‘‘risk-based corrective action’’ into the
requirements, EPA notes that the
commenters have provided no further
explanation of what requirements in the
existing regulations they wanted EPA to
revise, what the revisions should
accomplish, or why such revisions are
necessary or appropriate. As a general
matter EPA considers that the corrective
action regulations in §§ 257.95 through
257.98 do currently require facilities to
tailor remedies to address the risks to
human health and the environment,
based on the conditions at the site. It is
unclear what more the commenters are
seeking. Additionally, regarding
incorporating or allowing State
corrective action programs to substitute
for the existing corrective action
requirements, the commenters failed to
demonstrate through factual or specific
information that the State corrective
action programs referenced are either
different than that required by the CCR
regulations or adequate to address the
risks posed by CCRMU. Even if
individual examples were sufficient to
overcome the record with respect to
State programs generally, none of the
examples presented by the commenters
provided sufficient detail for EPA to
actually evaluate the adequacy of the
corrective action programs. More to the
point, EPA lacks the record necessary to
support a broad exemption for all
CCRMU conducting corrective actions
under any State requirements.
Regarding comments requesting a RCRA
subtitle C approach be adopted for
CCRMU, a RCRA subtitle C approach is
more appropriate for regulation under a
permitting program than under the
existing regulatory framework (i.e., selfimplementing) and as explained in
Units III.A and III.C.1, EPA finds the
risks posed by CCRMU to be not only
credible but significant enough to
warrant regulation at this time (i.e.,
under the self-implementing rule as
opposed to waiting until the Federal
permitting program is established).
Lastly, the commenter that stated that
the existing corrective action regulations
conflict with other EPA programs (i.e.,
RCRA and CERCLA) failed to fully
explain how the existing corrective
system/files/documents/2023-12/ccr-enf-alert2023.pdf.
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action regulations conflict with EPApublished RCRA or CERCLA guidance
documents or how they preclude
corrective action decisions driven by
site-specific risks. Accordingly, EPA is
finalizing, without revision, its proposal
that CCRMU comply with the existing
corrective action requirements at
§§ 257.95 through 257.98.
As explained in the proposed rule at
88 FR 32003, §§ 257.90 through 257.95
require that an owner or operator of a
CCR unit to install a system of
monitoring wells, specify procedures for
sampling these wells, and set forth
methods for analyzing the groundwater
data collected to detect hazardous
constituents (e.g., toxic metals) and
other monitoring parameters (e.g., pH,
total dissolved solids) released from the
units (i.e., all parameters listed in
Appendices III and IV). If the
groundwater monitoring required in
§ 257.95, demonstrates an exceedance of
the groundwater protection standards
for constituents identified in Appendix
IV of part 257, corrective action is
required as laid out in §§ 257.96 through
257.98. These requirements apply
throughout the active life and postclosure care period of the CCRMU.
When corrective action is required, it
must be initiated without delay, in
accordance with the time frames laid
out in the regulations. The corrective
action program includes initiating an
ACM to prevent further releases, to
remediate any releases, and to restore
affected areas to original conditions, as
specified in § 257.96(a). After the ACM
has been completed, the owner or
operator must select a remedy that
meets prescribed standards, including a
requirement that the remedy attain the
groundwater protection standards. See
§ 257.97(a) and (b). Finally, the
corrective action program requires the
owner or operator of the CCR unit to
initiate remedial activities within 90
days of selecting a remedy. See
§ 257.98(a). The requirement to address
releases under this requirement is
identical to those requirements for any
CCR unit undertaking groundwater
corrective action with the additional
requirement that implementation of
corrective action begin during the active
life of the unit.
EPA expects that when assessing
corrective measures and selecting a
remedy, the owner or operator of the
unit will consider the impact of the
corrective measures on the water quality
and safety of the nearest surface water
bodies and the nearest private and/or
public groundwater wells.
With respect to completion of an
ACM and remedy selection, § 257.96(a)
requires an ACM be initiated within 90
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days of determining an SSL has
occurred, and then completed within
another 90 days. An extension, not to
exceed 60 days, may be warranted due
to site-specific conditions or
circumstances. Prior to closure of a CCR
unit, the facilities have been required to
characterize site conditions, including
groundwater flow conditions and
geology. The facilities have knowledge
of the wastestreams and water volumes
it discharges to CCR units. This
information can be used to develop a
groundwater model to predict
groundwater flow conditions after waste
stream disposal ceases and closure is
initiated. Therefore, EPA believes this
would provide sufficient
characterization of post-closure
conditions to assess and compare
groundwater cleanup alternatives to
complete an ACM.
Once the ACM is complete, a public
meeting has been held, and community
input has been considered, a remedy
must be selected as soon as feasible. A
selected remedy may include closure by
removal to comply with source control
requirements. This would constitute
commencing implementation of a
remedy. However, the selected
groundwater remediation portion of the
remedy must also be implemented
within a reasonable time, in accordance
with the schedule established in the
remedy selection report. 40 CFR
257.97(d). Implementation of the source
control measure does not negate this
requirement.
d. Closure and Post-Closure Care
Criteria for CCR Management Units
EPA proposed that all of the existing
closure and post-closure care
requirements in §§ 257.101 through
257.104 would apply to CCRMU, except
for the alternative closure requirements
in § 257.103(f). EPA further explained
that the alternative closure provisions in
§ 257.103(f) were not appropriate for
CCRMU as these units, by definition, are
inactive impoundments at inactive
facilities and could not therefore
demonstrate the need to continue to use
the disposal unit, which is a qualifying
component of the alternative closure
provisions. In addition, EPA solicited
comments on two potential revisions to
the existing closure standards in
§ 257.102(d). The first potential revision
would extend the existing dewatering
requirement in § 257.102(d)(2)(i) to any
CCR landfill constructed in groundwater
or otherwise saturated by liquids. The
second potential revision would
incorporate a definition of the term
‘‘infiltration’’ into § 257.102.
EPA also proposed to require that all
CCRMU initiate closure within 12
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months of the effective date of this final
rule. While EPA proposed that the CCR
unit closure requirements would apply,
EPA also solicited comment on other
approaches to how a facility might
implement the requirement to close at a
site where the CCRMU lies beneath an
operating unit.
Finally, EPA proposed to apply the
existing post-closure care requirements
in § 257.104 to CCRMU. Each of these
proposals and the comments are
discussed in detail below.
EPA received numerous comments on
its proposal to apply the existing closure
and post-closure care requirements
§§ 257.100–257.104 to CCRMU. Several
commenters stated that EPA must
require all CCRMU to close, because the
risks EPA identified in the proposal,
together with information provided by
regulated facilities under the 2015 CCR
Rule, indicate that CCRMU pose
significant and ongoing threats of
contamination if not properly closed.
These commenters also identified
several examples of units that the
commenters believe demonstrate the
need for CCRMU to close. One
commenter referenced a report it
submitted to support EPA’s proposal to
regulate CCRMU. The report focuses on
six sites with both CCR units currently
regulated by the CCR Rule and with
CCRMU. According to the commenter
the report documents significant and
harmful coal ash pollution that has been
allowed to persist under the 2015 CCR
Rule and that would be remediated
under the proposed rule.
For example, the report analyzes the
Brandywine Ash Management Facility in
Maryland, which has a single landfill that its
operator GenOn has treated as four distinct
CCR dumpsites for purposes of the CCR Rule.
This artificial division of the landfill has
enabled GenOn to claim that three of the four
areas of the landfill are unregulated under
the CCR Rule; to attribute contamination at
the site, such as molybdenum levels eighty
times above the GWPS, to the three
purportedly unregulated areas; and to keep
the site in detection monitoring through
ASDs. The Proposed Rule will compel
GenOn to address all coal ash at the site.
Another site that demonstrates the necessity
of regulating CCRMU under the Proposed
Rule is the Joliet #29 Station owned by
Midwest Generation in Illinois. This site has
one regulated pond, Ash Pond 2, and a
number of additional units that would be
treated as CCRMU under the Proposed Rule.
In fact, the site was used for coal ash disposal
long before it had a power plant, potentially
as early as 1917, indicating the presence of
unlined landfills going back decades.
Midwest Generation has found statistically
significant increases (‘‘SSIs’’) for TDS,
sulfates, chloride, and calcium at the site, but
is only monitoring the groundwater around
Ash Pond 2 and two former ash ponds, and
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not monitoring the groundwater around three
large onsite landfills.
These commenters also described a
facility where, according to the
commenters, two million tons of fill
containing CCR sits behind corroding
steel pilings on the shore of Lake
Michigan, and is leaking arsenic and
other hazardous chemicals into the lake,
as well as into an adjacent creek
commonly used for fishing and boating.
These commenters also pointed to a
facility with an inactive 90-acre unlined
CCR landfill that, according to the
commenter, is contaminating
groundwater with unsafe levels of
sulfate, lithium, radium, cobalt, arsenic,
molybdenum and selenium. Similarly, a
private citizen also provided the
following example of a potential
CCRMU during one of public hearings:
My utility is City Utilities. Once the current
coal ash landfill is full, CU plans to dispose
of future coal ash at a temporarily closed
landfill next to Lake Springfield, which feeds
into the James River. Both dumps are in karst
terrain. This makes them susceptible to
sinkhole collapses and leakage of pollutants
into the James River watershed and the area’s
shallow and deep aquifers. These waters
affect a four-state area, including Table Rock
Lake near Branson where tourism is the main
industry. Safer methods of disposal exist,
although they are more cumbersome and
expensive, In December 2022, CU held a
public meeting regarding the utility’s future.
After questions about pollution, one
representative said he wasn’t aware of any
pollutants coming from the landfill. The
Interdisciplinary Environmental Clinic at
Washington University School of Law
researched this. Twelve rounds of sampling
done by CU from late 2016 to early 2018
showed 387 statistically significant increases
in pollutants in every down-gradient well.
Those increases included 27 out of the 35
monitored parameters. Regarding CU’s dye
tests at the dump site, a 2017 memo from the
Missouri Department of Natural Resources
stated, ‘‘Dye is moving through the karst
system and not being detected by the
monitoring well network.’’
These commenters also pointed to the
high likelihood that many CCRMU have
waste in contact with groundwater, as
many are located in floodplains,
wetlands, or near large rivers and lakes.
According to the commenters, if EPA
does not mandate closure of CCRMU,
aquifer contamination would not be
identified until it is too late to be
prevented—in contravention of RCRA’s
protectiveness standard. These
commenters have also argued that
CCRMU are inactive units with no
practical justification to avoid closure.
A number of other commenters
however argued that a national
requirement to close was not
appropriate for CCRMU and that EPA
should instead determine whether
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closure is warranted at each site based
on a finding that the individual unit at
that particular site poses unacceptable
risks. Many of these commenters
suggested that the risks associated with
CCRMU can be better managed through
corrective action implemented under a
permit program, which the commenters
believed would make the mandate to
close these units unnecessary. For
example, one commenter claimed that
mandating the closure of all CCRMU as
part of the proposed CCR corrective
action regime is more stringent than
what EPA requires under subtitle C for
solid waste management units
(SWMUs), and therefore any final
CCRMU rule cannot impose a
mandatory closure requirement on
CCRMU. According to this commenter,
the subtitle C process does not require
the closure of SWMUs, because EPA
recognizes that addressing the risks
from SWMUs via the site-specific
subtitle C corrective action process
alone is fully protective. Many
commenters also raised concern that
CCRMU at their facilities are located
beneath vital infrastructure, such as
pipelines or transmission lines, active
CCR units, or buildings and that
requiring closure of these CCRMU could
adversely impact grid reliability,
business operations, or other necessary
public services (e.g., military
infrastructure). These commenters
suggested that EPA exempt these units
or at least extend the closure time
frames to allow for closure of the
CCRMU when the other unit or
structure is closed or decommissioned.
Numerous commenters again
requested that EPA exempt any CCRMU
that had been closed in accordance with
State requirements. These commenters
claimed that these closures were
protective and that EPA should only
regulate these CCRMU where the
Agency has affirmative evidence that
the particular unit is contaminating
groundwater or otherwise presents
unacceptable risks. For example, one
commenter stated that a more rational
approach to regulating CCRMU would
be first to determine if the uses are
impacting groundwater before requiring
expensive closure. According to the
commenter,
[i]t is not clear why EPA requires closure
before groundwater data indicates there is a
problem. If groundwater is impacted by the
CCRMU then other corrective action
measures should be taken, but only after data
indicates that groundwater is being affected.
As noted earlier, the 2015 CCR Rule did not
require unlined landfills to close unless they
failed to meet the location restrictions for
unstable areas. In the event an unlined CCR
landfill is the source of groundwater
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contamination, the unit is subject to the CCR
Rule’s corrective action requirements, but
closure is not mandatory.
But many other commenters
characterized the proposed deadline as
infeasible for the reasons discussed in
Unit III.B.2.a.ii, including seasonality,
the need to comply with overlapping
regulatory requirements, labor
shortages, and the limited resources
available to achieve compliance (e.g.,
contractors, laboratories, P.E.s), which
the commenters claimed would become
even more limited as a consequence of
the number of CCR units that would
need to come into compliance at the
same time. Commenters also stated that
compliance with the closure
requirements should not be required
until after the groundwater monitoring
system was installed and baseline
samples collected so that closure could
be informed by the groundwater
monitoring data.
EPA has largely adopted the proposal,
with a few significant revisions. This
final rule requires CCRMU that contain
1,000 tons or greater of CCR to comply
with the existing closure and postclosure care requirements in §§ 257.101
through 257.104, except for the
alternative closure requirements in
§ 257.103(f). The final rule also extends
the existing dewatering requirement in
§ 257.102(d)(2)(i) to any CCR landfill
constructed in groundwater or
otherwise saturated by liquids, and
incorporates a definition of the term
‘‘infiltration’’ in § 257.53.
However, consistent with the
provision adopted for legacy CCR
surface impoundments, EPA is
deferring, in certain cases, the
requirement to demonstrate compliance
with § 257.102 for CCRMU that closed
prior to the effective date of this rule in
accordance with alternative
requirements that are likely to be as
protective as the requirements in
§ 257.102. This is the same provision
that EPA is establishing for legacy CCR
surface impoundments, as EPA is not
aware of a reason to treat CCRMU
differently. In addition, EPA is deferring
the requirement to initiate closure
where the CCRMU is located beneath
critical infrastructure or large buildings
or structures vital to the continuation of
current site activities, such as beneath
high power electric transmission towers,
air pollution control or wastewater
treatment systems, large buildings, or an
electrical substation. In this case, the
potential exists for adverse, localized
impacts on electric reliability (e.g.,
voltage support, local resource
adequacy) from requiring all facilities to
meet these requirements on the same
time frame, and EPA lacks the record to
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determine that such impacts are
unlikely. Consequently, EPA is
deferring the requirement to initiate
closure of such a CCRMU until the
infrastructure is no longer needed, a
permit authority determines closure is
necessary to ensure that there is no
reasonable probability of adverse effects
on human health or the environment, or
the closure or decommissioning of the
facility, whichever occurs first.
Finally, EPA has extended the
deadline to initiate closure to
Wednesday, November 8, 2028, which
is 48 months the effective date of the
final rule to allow groundwater
monitoring data to inform closure,
consistent with the approach for legacy
CCR surface impoundments.
Each of these issues are discussed in
greater detail in subsequent sections of
this preamble.
i. Requirement To Initiate Closure
The final rule requires CCRMU
containing 1,000 tons or greater of CCR
to close. Closure will address the
existing risks associated with these
units. In addition, requiring the closure
of CCRMU is consistent with the
existing regulations, which require
closure of all units that no longer
receive waste as a preventative measure,
whether or not the unit is currently
leaking. See, 40 CFR 257.102(e)(1).
CCRMU, which consist of inactive CCR
landfills and previously closed CCR
surface impoundments and CCR
landfills, meet these criteria as they also
no longer receive waste.
The closure of CCRMU of 1,000 tons
or greater also provides significant risk
mitigation. As laid out in Unit III.A of
this preamble, CCRMU at both active
facilities and inactive facilities with
legacy impoundments pose risks to
human health and the environment that
are at least as significant as the risks
presented by legacy CCR surface
impoundments and the units currently
regulated under the 2015 CCR Rule. In
particular, for highly exposed
individuals off site, landfill CCRMU
were estimated to pose cancer risks as
high as 7 × 10¥6 from arsenic III, while
surface impoundment CCRMU were
estimated to pose cancer risks as high as
8 × 10¥5 from arsenic III and noncancer
HQs as high as two for arsenic III, two
for lithium, and one for molybdenum.
Differences in national risks between
currently regulated units and these
older units are attributed largely to the
proportion of units that were modeled at
the time as lined. However, the risks
associated with these older units may be
even higher than EPA modeled in the
2014 Risk Assessment for active units.
These units have been present onsite
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longer and had more time to leak. In
addition, there are several management
practices that have the potential to
result in higher leakage, but that were
previously modeled either less
frequently for active units—based on a
belief that the practices had declined
over time—or not at all—due to data
constraints on a national scale. These
include: (1) The greater prevalence of
unlined units; (2) The greater likelihood
of co-management of CCR with coal
refuse and other wastes in surface
impoundments, making the overall
waste pH far more acidic and (3) The
potential for the units to be constructed
below the water table or to have become
inundated with groundwater after the
time of construction. As discussed in
Unit III.A, each of these practices
individually have the potential to result
in nationwide risks higher than
previously reported on a national basis
for the currently operating universe of
CCR units. For example, unlined
landfill CCRMU were estimated to pose
cancer risks as high as 1 × 10¥5 from
arsenic III, while unlined surface
impoundment CCRMU were estimated
to pose cancer risks ranging from 2 ×
10¥4 from arsenic III and noncancer
HQs as high as 5 for arsenic III, 3 for
lithium, 2 for molybdenum, and 1 for
thallium. A combination of these
practices could push risks even higher
than modeled.
In addition, the modeling conducted
in 2024 confirms that smaller CCRMU
fills can meaningfully contribute to
groundwater contamination across a
facility. The 90th percentile
concentrations at the waste boundary
exceeded GWPS by factors of 26 for
arsenic III, 19 for arsenic V, 156 for
molybdenum, and 19 for thallium. The
50th percentile concentrations exceeded
GWPS by a factor of two for
molybdenum. EPA’s modeling also
confirms that any prior contamination
from CCRMU is likely to still be present.
EPA calculated, for example, that it
could take around 2,300 years from the
time of first exceedance for high-end
releases of arsenic V to fully dissipate.
Depending on their location, leakage
of Appendix IV constituents from
individual CCRMU fills may not migrate
off-site at levels of concern. However,
according to the commenters it is highly
unlikely that only one CCRMU would
be present on-site. In addition, these
concentrations can combine with
contamination from other CCRMU,
currently regulated CCR units, or legacy
CCR surface impoundments that are also
present on the same site. EPA did not
model the aggregate or cumulative risk
associated with these potential sources
of co-located contamination, which may
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underestimate the risks. At a minimum,
EPA expects that the presence of
multiple sources of potential
contamination at the same facility
would increase the likelihood of a
contaminant plume that could migrate
off-site at levels of concern. In sum, the
record confirms that, at a minimum,
regulation of the smaller sized CCRMU
fills is necessary for any corrective
action to successfully reduce the
concentrations of Appendix IV
constituents in the aquifer to
concentrations below the GWPS.
Available toxicological profiles
indicate that ingestion of arsenic is
linked to increased likelihood of cancer
in the skin, liver, bladder and lungs, as
well as nausea, vomiting, abnormal
heart rhythm, and damage to blood
vessels; ingestion of lithium is linked to
neurological and psychiatric effects,
decreased thyroid function, renal
effects, cardiovascular effects, skin
eruptions, and gastrointestinal effects;
and ingestion of molybdenum is linked
to higher levels of uric acid in the blood,
gout-like symptoms, and anemia. 80 FR
21451. To date, groundwater monitoring
required by the 2015 CCR Rule has
revealed that at least 40% of currently
regulated surface impoundments and
landfills have identified groundwater
contamination and require corrective
action to mitigate the associated risks.
This number is expected to increase as
more facilities come into compliance
with the groundwater monitoring
requirements. Another 23% of existing
CCR units have identified evidence of
leakage and continue to monitor
groundwater to ensure that
contamination does not occur before the
unit can be closed and source controls
put in place. In many cases, CCRMU are
historical landfills and surface
impoundments. Thus, the relevant
release pathways, exposure routes, and
associated harm that can result are the
same.
Given the locations of many CCRMU
(located in floodplains, or wetlands, or
near large surface water bodies), EPA is
also concerned that the base of these
units may intersect with the
groundwater beneath the unit. If such
CCRMU were not required to close, EPA
would not adequately address the risks
from those units that still contain CCR
saturated with free liquids.
In general, EPA considers that closure
is the only effective way to adequately
address the source of potential or
existing releases from these units.
Although, as some commenters
suggested, EPA could rely upon the
existing corrective action requirements
to achieve source reduction, the Agency
is concerned that this will not
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adequately prevent harm, as the statute
requires, because these requirements
would only apply upon a determination
that the CCRMU has contaminated the
aquifer above the GWPS. In addition,
the closure requirements in § 257.102
provide a uniform approach that EPA is
confident will adequately protect
human health and the environment.
Contrary to the commenter’s
contentions the regulation of CCRMU
under RCRA section 4004(a) is not
analogous to the corrective action
requirements applicable to SWMUs
under RCRA section 3004(u). Nor is the
absence of a national mandate to close
SWMUs as part of every corrective
action under section 3004(u) based on
the recognition that closure is
unnecessary because the corrective
action process alone is fully protective.
The closure and corrective action
regulations are distinct and independent
requirements that generally serve
different purposes. The closure
requirements under both subtitle C and
D are largely intended to be prevent
contamination from occurring in the
first place, by ensuring that the closed
unit does not become a source of future
contamination. See, e.g., 47 FR 32318,
32321, 32323. By contrast, corrective
actions are remedial or retrospective in
that they are designed to clean up
contamination that has already
occurred. EPA has previously
promulgated regulations mandating the
closure of disposal units for wastes
under both subtitles C and D for wastes
within each subsection’s jurisdiction.
See, 40 CFR 264, subpart G, 258, subpart
F. But the requirement for corrective
action of solid waste management units
under the provisions applicable to
hazardous wastes under section 3004(u)
is an anomaly; Congress has otherwise
limited subtitle C to the regulation of
hazardous wastes. The appropriate
comparison is thus not to EPA’s
regulation of SWMUs under subtitle C,
but rather to EPA’s regulation of
hazardous waste units under subtitle C,
where the Agency requires hazardous
waste units to comply with both closure
and corrective action requirements.
In sum, the record demonstrates that
closure is warranted for CCRMU, even
for those that are not yet leaking. As the
D.C. Circuit explained, RCRA requires
EPA to set minimum criteria for sanitary
landfills that prevent harm, not merely
to ensure that contamination is
remediated. See, USWAG, 901 F.3d at
430.
Consistent with the requirements for
legacy CCR surface impoundments, EPA
is not requiring previously closed
CCRMU to automatically re-close but
simply to evaluate whether the unit
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meets the requirements of § 257.102(d),
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measures as are necessary to bring the
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ii. Deferral for CCRMU Under Critical
Infrastructure
As noted above, many commenters
stated that some CCRMU are currently
located beneath critical infrastructure.
For example, a number of commenters
stated that CCR has historically been
used on-site at generating stations for
many years as structural fill, including
for utility line bedding, and under site
infrastructure such as switchyards, coal
piles, railroad embankments, and
occupied buildings. Additionally,
commenters pointed to many areas at
their existing facilities with CCR
currently located under existing critical
energy infrastructure such as generating
units, cooling towers, substations,
levees, dikes, on-site wastewater
treatment systems, dams, transmission
towers, gas lines, and solar installations.
These commenters claimed that
requiring closure of CCRMU beneath
infrastructure could adversely impact
grid reliability, business operations, or
other necessary public services and
suggested EPA create exemptions or
extensions for these units. According to
these commenters, attempting to close
any of these areas under the rule’s
closure standards would not only be
impossible, but also would require
disturbing and/or even disassembling
critical components of power plant’s
energy infrastructure, which would only
further exacerbate the pressures on grid
reliability. Other commenters raised
concern that remediation would require
removal of existing infrastructure to
access the CCR, which in some cases
could present significant operational
risk and potential danger. As one
commenter characterized it,
Particularly at active power plants, requiring
closure of CCRMU . . . would cause massive
ripple effects that need to be more carefully
considered. Closure would be incredibly
disruptive for these type of sites—
particularly given the inadequate time for
electricity resource planning—and exacerbate
the grid reliability challenges that co-ops and
other utilities are already facing. Moreover,
EPA must consider and allow for power plant
owners to follow the mandated procedures
put in place by the relevant balancing
authority, such as regional transmission
organizations or electric utilities, and by state
authorities which have a role in ensuring the
reliability of the local grid.
Several commenters also expressed
concern about the closure of CCRMU
located under active CCR landfills,
asserting that such closures pose
complex challenges that EPA did not
fully understand or account for in the
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proposed rule. Many of these
commenters asserted that these closed
landfill or surface impoundment
CCRMU present no risks. For example,
one commenter discussed a closed
surface impoundment located beneath
its active CCR landfill. The commenter
asserted that the permitted, Federally
regulated CCR landfill above the closed
unit, combined with the collective effect
of the CCR landfill liner and leachate
collection system, runoff controls, and
engineered cap, keeps the impoundment
isolated from exposure to stormwater
runoff and other sources of water
infiltration. The commenter further
asserts that there is no evidence that this
former impoundment is impounding or
otherwise contains any significant
amount of free liquids, and that such a
condition is unlikely given the
overlying landfill infrastructure.
By contrast, numerous commenters
supported the proposed mandate to
close due to the substantial risks that
these kinds of ‘‘overfill’’ units can pose.
As one of these commenters explained,
In this situation the underlying CCRMU
serves the function of the foundation of the
overlying CCR unit. The liner of the
overlying CCR unit serves as a cap over the
underlying CCRMU. CCR contaminants
released from either the overlying CCR unit
or underlying CCRMU can adversely impact
groundwater quality with little potential for
distinguishing between contaminants
released from one or the other of these units.
Each of the co-located units must be capable
of containing CCR contaminants if releases to
the environment are to be avoided.
Construction of a CCR unit over a previously
existing CCRMU is known to have the
potential to increase concentrations of CCR
groundwater contaminants. A 2001 study by
the Electric Power Research Institute (EPRI)
showed that reducing the hydraulic gradient
beneath a CCR impoundment can induce
increased contaminant concentrations when
the waste is in contact with groundwater.
EPRI concluded that reducing the hydraulic
gradient by dewatering an impoundment
slowed groundwater flow and increased
contact time between the waste and
groundwater. Contact time between waste
and water is an important variable that
influences concentrations of contaminants
found in groundwater.
Release of contaminants from the overlying
unit, while possible, is not necessary to cause
increasing contaminant concentrations. The
bottom liner of the overlying CCR unit
reduces infiltration of water from above,
reducing the hydraulic gradient and
increasing waste/water contact time. The
increased contact time can increase
contaminant concentrations in downgradient
monitoring wells.
The commenters acknowledged that
where the waste in the CCRMU is dry
and the owner/operator can assure that
separation of the waste from water
(groundwater and/or infiltration from
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above) will be maintained the unit may
be closed in place under the CCR rule
without posing ongoing risks. The
commenter also noted, however, that
where unlined waste units are
continually or periodically in contact
with groundwater, more extensive
closure techniques such as engineering
controls designed to prevent
groundwater from flowing through
waste or to stabilize the waste and fix
contaminants in place may be
attempted, or excavation and clean
closure of the unit may ultimately be
necessary.
Unlike the comments received on
legacy CCR surface impoundments, the
overwhelming majority of commenters
provided concrete examples of concerns
with respect the timing of closure
activities for to CCRMU. In total, these
commenters have provided sufficient
information to raise a legitimate
question whether adverse, localized
impacts on electric reliability (e.g.,
voltage support, local resource
adequacy) could result from a
nationwide requirement to close all
CCRMU within the deadlines under the
regulations.
EPA agrees that closing CCRMU
underlying critical infrastructure at
active generating facilities is very
different and more challenging than
closing disposal units at inactive
utilities. When it was developing the
proposal, EPA was unaware of the
extent to which facilities had
historically used CCR as part of the
foundation supporting generating units,
cooling towers, substations, or on-site
wastewater treatment systems. In some
cases, it appears that in order to close
these CCRMU individual facilities may
need to disturb substantial portions of
the entire site and disassemble critical
components of the power plant’s energy
infrastructure, such as high power
electric transmission towers, and
electrical substations.
EPA agrees that its proposal did not
adequately account for this
circumstance. This is particularly true
in the case of a CCRMU located beneath
infrastructure necessary for energy
production, where the potential exists
for adverse, localized impacts on
electric reliability (e.g., voltage support,
local resource adequacy). This issue
arises whenever multiple facilities need
to take their EGU offline for an extended
period to complete construction or other
compliance activities. The likelihood of
an adverse impact on electric reliability
can be greater if multiple facilities need
to schedule outages simultaneously in
order to comply with EPA’s closure
deadlines. EPA understands that it is
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also possible that in some instances
temporarily taking generating units
(including coal-fired units) offline could
have an adverse, localized impact on
electric reliability (e.g., voltage support,
local resource adequacy). If a generating
asset were needed for local reliability
requirements, the grid operator might
not approve a request for a planned
outage. In such instances, the owners/
operators of the generating unit could
find themselves in the position of either
operating in noncompliance with RCRA
or halting operations and thereby
potentially causing adverse reliability
conditions. In addition, failure of an
electric transmission or generation
system can lead to substantial risks to
human health (e.g., if an outage impairs
the ability of emergency services to
function properly or it causes home
heating or cooling systems to fail, which
increases risk, particularly for
vulnerable populations).
However, such impacts are far less
likely to arise from an individual
facility-specific decisions, and should
normally be adequately managed by the
established RTO processes for
scheduling outages. EPA recognizes that
this final rule provides a substantial
amount of time for facilities to complete
these closures. In contrast with the
proposal, the final rule provides
facilities 54 months to initiate closure,
and depending on the CCRMU, the
facility may have as much as an
additional seven to 15 years to complete
closure. Based on the comments,
however it appears that the
overwhelming majority of CCRMU
below critical energy production
infrastructure are likely to be landfills,
and therefore the seven year deadline is
more likely to be applicable.
Further, this situation is not
analogous to the closure of unlined and
clay lined impoundments in response to
the USWAG vacatur, and thus the
information used to develop the
deadline for those CCR units in the Part
A rule cannot be used to develop a
comparable requirement for these
CCRMU. For example, there appear to
be a greater number of CCRMU at these
sites and the construction estimates EPA
relied upon in 2020 in the Part A final
rule applied exclusively to the six
specific technologies that a facility
might use to develop alternative
disposal capacity. That rulemaking did
not involve the potential effect of
disturbing substantial portions of the
entire site or disassembling critical
components of the power plant’s energy
infrastructure, such as high power
electric transmission towers or electrical
substations, which is what some
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commenters have alleged will be
necessary in this case.
Unfortunately, because EPA only
became aware of these facts after
development of the proposal the Agency
has not had the time to obtain the
information necessary to evaluate—or to
consult with balancing authorities and
other electric reliability authorities (e.g.,
DOE or NERC) on the feasibility of
mandating closure of all CCRMU within
these deadlines, within the time to
complete this rulemaking.145
EPA acknowledges that the risks
associated with CCRMU above the
regulatory threshold are substantial, and
generally warrant a mandate to close in
accordance with § 257.102. Moreover,
the fact that EPA did not model the
aggregate risks associated with the
widespread use of small amounts of
unencapsulated CCR throughout the
entire facility raises questions about
whether EPA may have underestimated
the potential risks associated with these
CCRMU. EPA also agrees that overfills
can present significant risks,
particularly when the closed CCR unit
remains inundated by groundwater or
otherwise continues to contain free
liquids. EPA therefore concludes that
exempting these CCRMU from the
requirement to close in accordance with
§ 257.102 is not appropriate.
Given that EPA has the ability to rely
on the permitting process to address
issues on a case-by-case basis, and
because doing so will allow the Agency
to adequately address both the
competing environmental and reliability
risks presented at individual sites, it is
reasonable for the Agency to choose this
option. Consequently, EPA is deferring
the requirement to initiate closure of
CCRMU located beneath critical
infrastructure until either: (1) The
infrastructure is no longer essential for
the activity to be successful; (2) A
permit authority determines closure is
necessary to ensure there will be no
reasonable probability of adverse effect
on health or the environment; or (3) The
closure or decommissioning of the
facility, whichever occurs first.
The final rule also includes an
additional condition on CCRMU under
active disposal units. In order for these
units to qualify for the deferral, the
facility must document that the CCRMU
meets one of two existing performance
standards: either (1) The standard in
§ 257.60 that the unit was constructed
with a base that is located no less than
1.52 m (5 feet) above the upper limit of
145 EPA is obligated to take final action on the
proposal no later than May 6, 2024, pursuant to
Statewide Organizing for Community eMpowerment
v. EPA, No. 1:22–cv–2562–JDB (D.D.C.).
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the uppermost aquifer, or must
demonstrate that there is no
intermittent, recurring, or sustained
hydraulic connection between any
portion of the CCR unit and the upper
limit of the uppermost aquifer or surface
water; or (2) The dewatering standard in
§ 257.102(d)(2)(i) that all free liquids
have been eliminated. EPA believes the
location standard in § 257.60 is likely to
be more directly applicable to many
CCRMU, as they are landfills that would
not have been constructed or designed
to hold free liquids. EPA has also
included the dewatering standards in
§ 257.102(d)(2)(i) for those closed CCR
surface impoundment CCRMU. Based
on the descriptions provided by
commenters EPA expects that this
requirement will largely be relevant to
closed CCRMU located beneath active
disposal units, rather than CCRMU
located beneath infrastructure vital to
energy production, which are unlikely
to be inundated by groundwater.
Moreover, this requirement directly
addresses the reason that EPA has
concluded that many previously
completed closures do not meet the
standard in RCRA section 4004(a).
To be clear, EPA is not exempting
these CCRMU from the requirement to
close as commenters requested, but
merely extended the deadline for
compliance until the Agency can
address it on an individualized basis as
part of permitting. In addition, these
units will be required to comply with all
other requirements applicable to
CCRMU, including the requirements for
groundwater monitoring and corrective
action, if necessary.
As noted above and discussed in the
next section, in response to public
comments, EPA has extended the
deadline to initiate closure to Tuesday,
May 8, 2029, which is 54 months after
the effective date of this final rule.
Based on its current schedule, EPA
expects to be issuing permits before that
deadline.
EPA is defining ‘‘critical
infrastructure’’ as infrastructure, large
buildings, or other structures vital to the
success or continuation of current site
operations or activities for the public
welfare. This does not include
infrastructure, large buildings, or other
structures that solely provide
commercial or financial benefit to
private entities. Examples of critical
infrastructure include high power
electric transmission towers, large
buildings, and electrical substations.
The structures must be both (1)
necessary for the continued generation
of power or currently used for an
ongoing site activity; and (2) not readily
replaced or relocated. For example, a
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parking lot that could easily be replaced
by a parking lot in a different location
onsite would not qualify as critical
infrastructure; but a lined industrial
stormwater ponds, wind or solar farms,
substations, or military infrastructure
would qualify.
The owner or operator of a CCRMU
located under critical infrastructure
must include information documenting
their eligibility for the deferral in the
FER part 2 in § 257.75(d) that includes
at a minimum a description of the
infrastructure, its current and
anticipated use(s), and the
decommissioning date or anticipated
active lifespan. The documentation
must also demonstrate that the CCRMU
complies with either § 257.60 or
§ 257.102(d)(2)(i). The documentation
must also demonstrate that the
structures are both: (1) Necessary for the
continued generation of power or
currently used for an ongoing site
activity; and (2) Not readily replaced or
relocated.
When it comes time for a permit
authority to evaluate the CCRMU, EPA
intends to rely on the permit application
process as the primary mechanism to
collect the information to allow a
determination to be made as to whether
to require closure of the CCRMU prior
to facility closure. The permit
application process is a well-established
system for reviewing the types of
groundwater, soil and other sampling
and analytical data that will typically be
required in determining the potential
risks associated with the CCRMU.
When the permit application is called
in, the facility must provide sufficient
information, including data on
contaminant levels in groundwater, to
demonstrate that the criteria listed
above for the deferral have been met,
and for the permit authority to be able
to evaluate the risks associated with the
CCRMU. EPA (or other permit authority)
will review the information to
determine whether the criteria for
deferral have been met and whether
closure is necessary to mitigate
unacceptable risks to human health or
the environment from the CCRMU.
Finally, EPA received a substantial
number of comments requesting that the
Agency not require facilities to ‘‘reclose’’ any unit that already completed
closure. This final rule does not
mandate that any previously closed unit
automatically re-close. But as described
in the next section, the final rule does
require all CCRMU to meet the
performance standards in § 257.102,
although as discussed above, some may
not be required to do so until the
permitting process begins for that unit.
EPA does not consider this to be
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equivalent to a requirement to ‘‘reclose’’ as facilities may be able to
implement engineering measures to
address any deficits without removing
the cover system or entirely re-closing
the whole impoundment. Whether any
particular measure will be effective is a
site-specific determination, but some
reasonably available engineering
measures that may be effective and
should be considered include the
installation of physical barriers (e.g.,
slurry walls), groundwater diversion
techniques (e.g., interception trench) or
hydraulic containment systems (e.g.,
groundwater extraction wells) to
prevent groundwater infiltration.
iii. Requirement To Comply With
Performance Standards in § 257.102
As discussed above, this final rule
requires that the closure of CCRMU
meet the performance standards in
either § 257.102(c) or (d). Under this
final rule all closures initiated after the
effective date of this rule, as well as to
those that were not completed prior to
the effective date of this rule, will need
to comply with these requirements.
And in general, the same is true with
respect to closures that were completed
prior to the effective date of this rule. As
discussed previously, a facility that can
certify that prior closure of a unit meets
the performance standards in
§ 257.102(c) only needs to post the
documentation that the closure meets
the standard. Similarly, if a facility can
demonstrate that the closed unit meets
the requirements under § 257.102(d),
EPA will consider the unit to be closed
and the only requirements that will be
applicable are those that apply to closed
units under post closure care—that is
groundwater monitoring, and if
necessary, corrective action. EPA never
intended to require facilities that
otherwise met the closure standards to
go through the process again and reclose the unit. In addition, as discussed
in the next section, where the facility
was subject to standards that are
different than the Federal CCR closure
standards—e.g., if the closure was
conducted as part of a CERCLA
cleanup—but otherwise is equivalent in
terms of mitigating the risks, the
requirement to meet the § 257.102
standards will be deferred to permitting,
where a closure equivalency
determination will be made.
(a) Closure of CCRMU Under State Law
and Deferral of Certain Completed
Closures to Permitting
In response to EPA’s proposal that all
CCRMU comply with § 257.102, many
commenters requested that EPA exempt
any unit that has either completed
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closure or is in the process of closing
pursuant to State law (e.g., solid waste
permit, consent orders or decrees).
Commenters also requested that EPA
exempt any site that closed as part of a
cleanup conducted pursuant to another
Federal requirement, such as CERCLA
or RCRA subtitle C. For the most part,
these commenters simply repeated the
comments that they had made with
respect to legacy CCR surface
impoundments, stating that EPA had
failed to demonstrate that these units
posed any risk as a consequence of the
lack of ponded water, and that ‘‘reclosure’’ of these previously closed
units is consequently unnecessary and
overly burdensome. However, several
commenters also presented individual
examples of CCRMU that had been
closed in accordance with State
requirements, which the commenters
believed would demonstrate the State
closures were equally as protective as
those conducted in accordance with
§ 257.102. These included the following
examples:
[A facility] has an approximately 20-acre dry
stack landfill with 20 plus years of
groundwater monitoring that does not show
groundwater exceedances, zero potential
receptors downstream (from the direction of
groundwater) that use wells for drinking
water (also no potable wells within a twomile radius). The landfill construction using
best practices to minimize erosion potential,
including only placement of stabilized
material in the landfill, perimeter ditch
surrounding the entire landfill to collect any
runoff that is processed before discharge, and
the unit is regulated by the Florida
Department of Environmental Protection that
includes semi-annual groundwater
monitoring results review and yearly on-site
regulatory inspections.
[Another facility] had two CCRMU landfills
that were closed prior to the effective date of
the 2015 CCR Rule and were closed in
accordance with the State of Florida’s
Chapter 62–701, F.A.C., for municipal and
solid waste landfills. Neither landfill was
built on top of a liner system. The closed
landfills were subject to design criteria for
cover systems and stormwater management,
as well as long-term operations and
maintenance provisions. The groundwater
monitoring system requirements for landfills
in Florida are similar to, but not the same as,
those in the 2015 CCR rule. Both closed cells
would be subject to corrective action if
dictated by the monitoring program.
Maintenance, inspections, and repair of the
cover systems, as needed, are also part of the
long-term care program.
[Another facility] reported closing an inactive
CCR landfill in the 1980s. The 20-acre site
was used to dispose of bottom and fly ash,
including scrubber sludge. The owner
performed monitoring of a nearby spring to
demonstrate whether any ponded water was
leaking. Upon visual inspection, it was
determined that the bentonite/clay-lined
pond remained intact throughout the active
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operation of the landfill. However, because of
the age of the site, groundwater monitoring
wells were not required.
In addition, several States provided
information about their existing
programs or individual closures. In
some instances, the information was
intended to demonstrate that the
closures were equally as protective as
§ 257.102, and to provide factual
support for an exemption for CCRMU
that closed in accordance with State
requirements. Other States
acknowledged the risks but urged EPA
to make the CCRMU requirements
‘‘more flexible and allow for practical
alternatives to closure and corrective
action for units that have not impacted
groundwater,’’ or to provide an
opportunity to demonstrate if the
previous closure of the CCRMU is
protective of human health and the
environment.
By contrast, several commenters
supported EPA’s proposal to require all
CCRMU to comply with the
performance standards in § 257.102,
even if the closure was previously
approved by a State regulatory agency.
These commenters also largely made the
same comments they had made with
respect to legacy CCR surface
impoundments, pointing to EPA’s
conclusions in 2015 that significant
gaps remain in many State programs.
These commenters also identified recent
examples of closures approved by
various State agencies that they believed
were not consistent with the Federal
closure standards.
No commenter submitted any
information that would support a
conclusion that different provisions are
warranted for CCRMU that closed prior
to the effective date of this rule than
EPA adopted for similarly situated
legacy CCR surface impoundments.
Even if individual examples were
sufficient to overcome the record with
respect to State programs generally,
none of the examples presented by the
commenters provided sufficient detail
for EPA to actually evaluate the
adequacy of the closures. For instance,
in the three examples presented above,
neither of the first two examples
actually describe the groundwater
monitoring that was required; while the
second states that ‘‘groundwater
monitoring system requirements for
landfills in Florida are similar to, but
not the same as, those in the 2015 CCR
rule’’ it provides no further information.
The third example explains that no
groundwater monitoring at all was
required because of the age of the unit;
it is unclear why the commenter
believes that this supports a finding that
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the State program is as protective as
those in part 257.
More to the point, as EPA explained
in Unit III.B.2.g of this preamble, with
respect to legacy CCR surface
impoundments, EPA lacks the record
necessary to support a broad exemption
for all CCRMU closures under any State
requirement. The limited information
currently available does not
demonstrate that all closures conducted
under State authority, particularly those
completed prior to 2015, ‘‘will ensure
there is no reasonable probability of
adverse effects on health or the
environment.’’ 42 U.S.C. 6944(a).
EPA, however, agrees that there are
examples of closures that are
substantially equivalent to those
conducted in accordance with
§ 257.102. Moreover, EPA has no basis
for concluding that the same
considerations that warrant deferral of
certain legacy CCR surface
impoundments closures are not equally
applicable to comparable CCRMU
closures. Accordingly, EPA is deferring
the requirement for a CCRMU that
closed prior to the effective date of this
rule to demonstrate compliance with
§ 257.102(d) until a permit application
is required to be submitted where the
facility can document that all of the
following conditions have been met.
First, the deferral is limited to
circumstances in which a regulatory
authority played an active role in
overseeing and approving the closure
activities. EPA considers a ‘‘regulatory
authority’’ to include a State or Federal
agency or department that oversaw
implementation of requirements
imposed through a permit, an
administrative order, or consent order
issued after 2015 under CERCLA or by
an EPA-approved RCRA State program.
The permit, order, regulatory or other
authority must have required
groundwater monitoring to ensure there
was no contamination coming from the
unit that is not addressed by corrective
action until cleanup standards are
achieved.
To support deferral of a prior closure
of a CCRMU as substantially equivalent,
the facility must also document that the
CCRMU meets one of two existing
performance standards: either: (1) The
standard in § 257.60 that the unit was
constructed with a base that is located
no less than 1.52 m (5 feet) above the
upper limit of the uppermost aquifer, or
must demonstrate that there is no
intermittent, recurring, or sustained
hydraulic connection between any
portion of the CCR unit and the upper
limit of the uppermost aquifer or surface
water; or (2) The dewatering standard in
§ 257.102(d)(2)(i) that all free liquids
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39075
have been eliminated. This requirement
directly addresses the reason that EPA
has concluded that many previously
completed closures do not meet the
standard in RCRA section 4004(a).
In addition, a facility must document
that it had installed a groundwater
monitoring system and performed
groundwater monitoring that meets a
subset of the performance standards
found in § 257.91(a). Specifically, the
facility must demonstrate that the
groundwater monitoring system was
capable of: (1) Accurately representing
background water quality, (2)
Accurately representing the quality of
water passing the waste boundary, and
(3) Detecting contamination in the
uppermost aquifer. The groundwater
monitoring system must have monitored
all potential contaminant pathways.
Next, a facility would need to
demonstrate that a site-specific risk
assessment was conducted or approved
by the regulatory authority prior to (or
as part of) approving the closure, and
that the closure and any necessary
corrective action has been overseen by
the regulatory authority, pursuant to an
enforceable requirement.
Finally, the facility would be required
to prepare and include documentation
in the applicability report and operating
record, demonstrating that it has met
these criteria and is eligible for deferral.
The documentation must include
specifics including the State permit,
order, data, GWM results, etc. This must
be certified by the owner/operator or an
authorized representative using the
same language in § 257.102(e).
When it comes time for the permit
authority to evaluate the closure, EPA
intends to rely on the permit application
process as the primary mechanism to
collect the information to allow a
determination to be made as to whether
a CCRMU that closed under these
alternative standards did so in
compliance with the requirements of
§ 257.102. The permit application
process is a well-established system for
reviewing the types of groundwater, soil
and other sampling and analytical data
that will typically be required in
determining the ‘‘equivalency’’ of
alternative closures.
When the permit application is called
in, the facility must provide sufficient
information, including data on
contaminant levels in ground water, to
demonstrate that the applicable
§ 257.102 standards have been met. EPA
or an approved State Director (the
permitting authority) will review the
information to determine whether the
‘‘equivalency’’ of the closure has been
successfully demonstrated. If EPA
determines that the closure has met the
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appropriate part 257 closure standard,
EPA or an approved State Director will
issue a post-closure permit. If EPA or an
approved State Director determines that
the closure does not meet the part 257
standards, the owner or operator will be
required to submit a permit application
containing all the applicable
information for an operating permit, and
EPA will issue a permit that contains
the specific requirements necessary for
the unit to achieve compliance with
§ 257.102.
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(b) Revisions to Performance Standards
for Closing With Waste in Place
(1) Expansion of § 257.102(d)(2)(i) to
CCR Landfills
Given the locations of many CCRMU
(located in floodplains, or wetlands, or
near large surface water bodies), EPA is
concerned that the base of these units
may intersect with the groundwater
beneath the unit. As EPA has previously
explained, where the base of a surface
impoundment intersects with
groundwater, the facility will typically
need to include engineering measures
specifically to address any continued
infiltration of groundwater into the
impoundment in order to close with
waste in place consistent with
§ 257.102(d). See, e.g., 87 FR 72989
(November 28, 2022), 85 FR 12456,
12464 (March 3, 2020). The same holds
true for CCRMU that intersect with
groundwater. The existing requirements
in § 257.102(d)(1) and (3) apply to all
CCR units and EPA proposed that these
provisions would also apply to CCRMU
without revision. By contrast, the
existing requirements in § 257.102(d)(2),
which establish performance standards
for drainage and stabilization of the
unit, only apply to CCR surface
impoundments. These performance
standards are critical to ensuring that
units that contain liquids are properly
and safely closed, and therefore should
apply to any unit, including a CCRMU
and a CCR landfill, where free liquids
remain in the unit. Accordingly, EPA
proposed to revise § 257.102(d)(2) so
that it applies to all CCR units and
CCRMU. To assist commenters, the
proposal included a background
discussion of the existing closure
performance standards. Finally, EPA
explained that if there are no liquids in
the unit, the proposed revision would
not require the facility to do anything to
meet the performance standards.
Several commenters supported the
proposed revision. For example, one
commenter provided data about an
unlined CCR landfill that was
constructed above the groundwater table
and was found to be ‘‘impacting
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groundwater with high concentrations
of heavy metals, with particularly high
concentrations of boron fluctuating
between 14 and 30 mg/L.’’ The State of
Michigan required closure of this
landfill due to groundwater impacts and
after the landfill completed closure,
‘‘the boron concentrations returned to
background concentrations
approximately five years later.’’ The
commenter further went on to state,
‘‘this example is provided to
demonstrate that any type of water
contact with CCR disposal areas can
impact groundwater, causing
concentrations to rise to concerning
levels above water quality standards.’’
Another commenter suggested that,
consistent with its statement in the
proposal, EPA should further revise
§ 257.102 to clarify that the performance
standards are met if there is no liquid
in the CCRMU. The commenter
recommended the following revisions to
§ 257.102(d)(1) and (2):
(1) General performance standard. The owner
or operator of a CCR unit or CCR
management unit that contains liquid must
ensure that, at a minimum, the CCR unit or
CCR management unit is closed in a manner
that will: * * *
(2) Drainage and stabilization of CCR units
and CCR management units. The owner or
operator of any CCR unit or CCR management
unit that contains liquid must meet the
requirements of paragraphs (d)(2)(i) and (ii)
of this section prior to installing the final
cover system required under paragraph (d)(3)
of this section.
A few commenters opposed extending
§ 257.102(d)(2) to CCR landfills and
CCRMU, asserting that EPA had failed
to provide a factual basis to justify the
revision. For example, one commenter
stated that:
There are two purposes for free liquids
removal—addressing stability and potential
groundwater contamination. For long-closed
units, stability is demonstrably not a concern.
For groundwater, any potential
contamination can be addressed through
corrective action rather than closure. . . .
EPA does not explain why the existing
corrective action regulations—which would
require corrective action and potentially
source control in the event groundwater
contact causes impacts to groundwater—are
insufficient. In short, the proposed extension
of the requirements is unnecessary and
unsupported by the record.
Another commenter contested the
factual basis for the ‘‘proposed rule’s
assumption’’ that CCR are in contact
with groundwater. According to the
commenter, CCR surface impoundments
and CCR landfills are not located in the
same hydrogeological environments and
requires a site-specific evaluation to
determine, which is beyond the
requirements of the existing CCR
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regulations. One commenter criticized
EPA for failing to identify the 19
landfills ‘‘already regulated under the
2015 CCR final rule, but which have
waste in contact with groundwater,’’
and depriving the public of an
opportunity to comment on the
accuracy of that proposed finding.
Another commenter said it takes a very
long time to eliminate free liquids in a
CCRMU or landfill, which typically
happens during post-closure care.
EPA disagrees that it has failed to
justify the revision. The proposed rule
did not rest on an assumption but on
information (e.g., annual groundwater
monitoring and corrective action
reports, closure plans) posted to facility
CCR websites showing that the bases of
their CCR landfills are in contact with
groundwater. EPA has included a list of
these facilities in the docket for this
final rule. In addition, other
commenters have provided further
examples of landfills that are submerged
in the aquifer. Moreover, while the
commenter is correct that whether
groundwater is infiltrating a particular
unit is a site-specific determination, the
commenter failed to provide any factual
basis for its assertion that CCR surface
impoundments and CCR landfills are
never located in the same
hydrogeological environments. And
contrary to the commenter’s assertion
EPA has repeatedly explained why it is
insufficient to rely on corrective action
rather than closure to address the risks
associated with CCR landfills. The
closure and corrective action regulations
are distinct and independent
requirements, each of which must be
met. The closure in-place standards are
designed to ensure that the waste in the
closed unit has been dried out and is
kept dry so that leachate cannot form in
the closed unit and subsequently be
released to the environment. See, e.g.,
47 FR 32318, 32321, 32323. For
impoundments that are not yet leaking
compliance with these provisions are
largely designed to ensure that the
closed unit does not become a source of
future contamination. In other words,
the closure standards are expressly
designed to prevent groundwater
contamination. By contrast, the
corrective action provisions in §§ 257.96
through 257.98 contain the standards
and procedures for cleaning up the
contamination in the groundwater that
has already leaked out of the unit. See,
e.g., 40 CFR 257.97(b)(2) and (4)
(requiring that clean up remedies
‘‘attain the groundwater protection
standard [in] § 257.95(h)’’ and ‘‘remove
from the environment as much of the
contaminated material as was released
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from the CCR unit as feasible’’). See,
USWAG, 901 F.3d at 429–430, 431.
EPA appreciates the commenter’s
suggested alternative regulatory text;
however, EPA is concerned that the
suggested revision is effectively
redundant of the new definition of
‘‘contains CCR and liquids’’ and would
not clearly communicate the entities
that are subject to the regulation.
Therefore, EPA is finalizing this
requirement as proposed. In addition,
because it can take a significant amount
of time to meet the performance
standards in § 257.102(d)(2), EPA has
extended the closure deadlines
applicable to any CCR landfill that
needs to meet these standards.
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(2) Definition of Infiltration
EPA requested comment on whether
to adopt a regulatory definition of the
term ‘‘infiltration,’’ consistent with
term’s plain meaning and the dictionary
definitions discussed in the preamble.
Several commenters agreed that EPA
should adopt a regulatory definition of
infiltration that explicitly recognizes the
myriad ways that liquids can infiltrate
CCR surface impoundments. Some
commenters supported EPA’s proposed
definition of ‘‘infiltration’’ because
industry has argued that ‘‘the presence
of groundwater in ash ponds is
essentially irrelevant to closure
compliance and that the CCR Rule’s
closure in place requirements are
limited to draining the surface portion
of the pond, constructing a final cover,
and preventing surface water—but not
groundwater—infiltration thereafter.’’
Another commenter stated EPA should
define ‘‘infiltration’’ to make clear that
it is ‘‘a general term that refers to the
migration or movement of liquid into or
through a CCR unit from any direction,
including the top, sides, and bottom of
the unit.’’
Other commenters objected to EPA’s
proposal to adopt a definition, citing ongoing litigation in Electric Energy, Inc.,
et al. v. EPA, Case Nos. 22–1056 and
23–1035. These commenters
complained that EPA makes no mention
of this litigation in the proposed rule,
even as it claims that its interpretation
is ‘‘sufficiently clear that a definition is
not necessary.’’ One commenter further
stated that if EPA ultimately elects to
adopt regulatory definitions of those
terms, it should wait until the court
rules so that the definitions are
informed by and consistent with any
such ruling.
Another commenter asserted that EPA
must acknowledge (and make a good
faith attempt to reconcile) the
competing interpretations of key terms
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of art in the 2015 CCR Rule before
extending them into this final rule.
One commenter argued that even if
EPA adopted its proposed definition,
the rule provides no criteria—in
contrast to the detailed criteria for the
necessary cover system—for how to
‘‘control, minimize or eliminate to the
maximum extent feasible’’ horizontal
groundwater ‘‘infiltration.’’ The
commenter alleged that ‘‘this type of
undefined performance standard would
be void for vagueness, especially when
compared to the great lengths EPA went
to specify the other technical criteria to
address vertical infiltration in the
performance standard.’’
EPA also received numerous
comments recommending that
infiltration be defined by reference to
technical definitions that define
infiltration as exclusively the vertical
flow of water from the surface down
into the unit. These included a
definition provided by the U.S.
Geological Survey (‘‘USGS’’), as ‘‘flow of
water from the land surface into the
subsurface.’’ Also, according to the
USGS: ‘‘Water that infiltrates at land
surface moves vertically downward to
the water table to become ground water.
The ground water then moves both
vertically and laterally within the
ground-water system.’’
As discussed previously, EPA
disagrees that it is necessary to wait
until the court issues its decision in the
pending litigation (Electric Energy, Inc.,
et al. v. EPA, Case Nos. 22–1056 and
23–1035). However, the court may rule
on the procedural question at issue, it
would not resolve the substantive
question EPA posed in the proposal, of
whether the inclusion of a definition
would be useful.
EPA also disagrees that it should
adopt a definition of infiltration as
exclusively the vertical flow of water
from the surface down into the unit. The
purpose of adopting a definition is not
to establish a generic definition of
infiltration, but to assist in the
application of standards to ensure that
a CCR unit closes in a manner that will
protect human health and the
environment. When promulgating
definitions applicable in regulatory
programs, EPA relies not only on
available dictionary definitions, but also
the surrounding context of the
regulation as a whole, as well as what
will best achieve the overall purpose of
the regulation, and the Agency’s
statutory mandate. None of the
commenters address-any of these factors
in recommending that EPA adopt their
various technical definitions. In this
case, the plain language definition of
infiltration best fits within the context
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39077
of the regulation as a whole, and best
achieves both the purpose of the
regulation and the RCRA section 4004(a)
mandate to protect human health and
the environment. This is because under
the commenters’ unnecessarily
restrictive definitions the regulation
would allow a significant number of
sites to continue leaking hazardous
constituents, such as arsenic and
mercury, indefinitely.
Accordingly, the final rule adopts a
definition of infiltration based on the
dictionary definitions discussed in the
proposal. The final rule defines
infiltration to mean ‘‘the migration or
movement of liquid, such as surface
water or ground water, into or through
a CCR unit from any direction,
including from the surface, laterally,
and through the bottom of the unit.’’
This definition also is consistent with
two technical sources that use
infiltration more broadly by
incorporating lateral flow through
continuous porous media. As EPRI
explained in its comments,
Geotechnical Aspects of Landfill Design
and Construction (Qian 2002) does not
contain an explicit definition of
infiltration but does refer to both
‘‘surface water infiltration’’ and
‘‘groundwater infiltration’’ in its
description of landfill leachate.
Similarly, the National Research
Council in Assessment of the
Performance of Engineered Waste
Containment Barriers (National
Research Council 2007) does not
explicitly define infiltration but uses
infiltration to describe surface water and
groundwater movements into waste as
well as soil migration into drainage
systems.
With respect to the comment
requesting EPA to ‘‘acknowledge (and
make a good faith attempt to reconcile)
the competing interpretations of key
terms of art in the 2015 regulation,’’
EPA considers that its adoption of this
definition does this. As noted, the
definition is consistent with both the
plain language meaning of the term, and
with relevant technical sources. Further,
the definition fits within the context of
the regulation as a whole and best
achieves both the purpose of the
regulation and RCRA’s mandate to
protect human health and the
environment.
Finally, EPA disagrees that the
regulation, with or without a regulatory
definition of infiltration, is
unconstitutionally vague. The scope of
the regulatory definition is clear, and
thus regulated parties have adequate
notice of the rule’s requirements.
In point of fact, the commenter’s
complaint is not that it cannot
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determine what is required under the
regulation, but that it dislikes what the
plain language clearly compels. Relying
on the plain language definition of
infiltration simply requires facilities
that want to close an unlined CCR
impoundment with waste in place to
implement engineering measures to
‘‘control, minimize, or eliminate, to the
maximum extent feasible’’ liquid
entering the unit from the sides or the
base of the unit. EPA has previously
identified several reasonably available
engineering measures exist that can
prevent, or at least control, the flow of
groundwater into the unit (and
consequently the releases out of the
unit). For example, EPA’s 1982
guidance on the closure of hazardous
waste surface impoundments, which the
commenter also references, identifies
several engineering controls ‘‘to prevent
the subsurface flow of ground water into
the impounded waste.’’ EPA Office of
Solid Waste, Closure of Hazardous
Waste Surface Impoundments, SW–873,
p 81 (September 1982), Revised Edition
(emphasis added). In other words, the
regulation ‘‘clearly proscribes’’ the
commenter’s preferred conduct of
closing its CCR impoundments without
addressing the groundwater in its unit.
Finally, § 257.102(d)(1)(i) is no more
vague than the corresponding
requirement in § 265.111(a), which has
been in effect since 1982 (requiring
interim status facilities to ‘‘control,
minimize or eliminate to the extent
necessary to protect human health and
the environment, post-closure releases
of leachate . . .). The clarity of this
regulation is shown by the fact that,
over the past 40 years the regulation has
been in effect, interim status hazardous
waste facilities have been able to
adequately determine what the
regulation requires and comply with it.
The commenter has offered nothing to
distinguish the interim status
requirements from those in
§ 257.102(d)(i).
(3) Closure in Place Performance
Standards Under § 257.102(d)
The May 2023 proposal explained
how the performance standards for
closing with waste in place applied to
a CCR surface impoundment that
intersected with groundwater. EPA
received a number of comments that
agreed with the Agency’s explanation,
as well as several that opposed it.
Several commenters raised objections
they had previously presented in the
context of prior decisions. EPA has
previously responded to these
comments in detail in (1) U.S. EPA.
Denial of Alternative Closure Deadline
for General James M. Gavin Plant,
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Cheshire, Ohio (November 18, 2022) in
the docket at EPA–HQ–OLEM–2021–
0590–0100; (2) 88 FR 31982 (May 18,
2023); and (3) 88 FR 55220 (August 14,
2023). EPA continues to be unpersuaded
by the commenters objections and to
avoid any confusion is reiterating below
the explanation provided in the May
2023 proposal.
The CCR closure requirements
applicable to closing with waste in
place include general performance
standards and specific technical
standards that set forth individual
engineering requirements related to the
drainage and stabilization of the waste
and to the final cover system. The
general performance standards and the
technical standards complement each
other, and both must be met at every
unit.
The specific technical standards
related to the drainage of the waste in
the unit require that, ‘‘free liquids must
be eliminated by removing liquid wastes
or solidifying the remaining wastes and
waste residues.’’ 40 CFR
257.102(d)(2)(i). Free liquids are defined
as all ‘‘liquids that readily separate from
the solid portion of a waste under
ambient temperature and pressure,’’
regardless of whether the source of the
liquids is from sluiced water or
groundwater. 40 CFR 257.53.
Consequently, the directive applies to
both the freestanding liquid in the
impoundment and to all readily
separable porewater in the
impoundment, whether the porewater
was derived from sluiced water,
stormwater run-off, or groundwater that
migrates into the impoundment. In
situations where the waste in the unit is
inundated with groundwater, the
requirement to eliminate free liquids
thus obligates the facility to take
engineering measures necessary to
ensure that the groundwater, along with
the other free liquids, has been
permanently removed from the unit
prior to installing the final cover system.
See, 40 CFR 257.102(d)(2)(i).
In addition to the process-specific
technical requirements, all closures
must meet the requirements in the
general performance standard to
‘‘control, minimize or eliminate, to the
maximum extent feasible,’’ both post
closure infiltration of liquids into the
waste and releases of CCR or leachate
out of the unit to the ground or surface
waters, and to ‘‘preclude the probability
of future impoundment of water,
sediment, or slurry.’’ 40 CFR
257.102(d)(1)(i), (ii).
In situations where the groundwater
intersects an unlined CCR unit, water
may infiltrate into the unit from the
sides and/or bottom of the unit because
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the base of the unit is below the water
table. In this scenario, the CCR in the
unit will be in continuous contact with
water. This contact between the waste
and groundwater provides a potential
for waste constituents to be dissolved
and to migrate out of (or away from) the
closed unit. In such a case, the general
performance standard also requires the
facility to take measures, such as
engineering controls, that will ‘‘control,
minimize, or eliminate, to the maximum
extent feasible, post-closure infiltration
of liquids into the waste’’ as well as
‘‘post-closure releases to the
groundwater’’ from the sides and bottom
of the unit. 40 CFR 257.102(d)(1).
Whether any particular unit can meet
these performance standards is a fact
and site-specific determination that will
depend on a number of considerations,
such as the hydrogeology of the site, the
design and construction of the unit, and
the kinds of engineering measures
implemented at the unit. Accordingly,
the fact that prior to closure the base of
a unit intersects with groundwater does
not mean that the unit may not
ultimately be able to meet the
performance standards in § 257.102(d)
for closure with waste in place.
Depending on the site conditions, a
facility may be able to meet these
performance standards by
demonstrating that a combination of
engineering measures and site-specific
circumstances will ensure that as a
consequence of complying with the
closure performance standards, the
groundwater will no longer be in
contact with the waste in the closed
unit. As one example, where
groundwater intersects with only a
portion of an impoundment, the facility
could close that portion of the unit by
removing the CCR from that area of the
unit but leaving waste in place in other
areas. As another example, if the entire
unit sits several feet deep within the
water table, engineering controls can
potentially be implemented to stop the
continued flow of groundwater into and
out of the waste. See, EPA Office of
Solid Waste, Closure of Hazardous
Waste Surface Impoundments, SW–873,
p 81 (September 1982), Revised Edition.
(4) Methods and Tools for the
Identification and Elimination of Free
Liquids
Many commenters requested EPA
provide greater clarity regarding the
closure performance standard that
requires that ‘‘free liquids must be
eliminated by removing liquid wastes or
solidifying the remaining wastes and
waste residues.’’ 40 CFR
257.102(d)(2)(i). Commenters stated that
there continues to be confusion over
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what technical means and methods can
be implemented to meet EPA’s
expectations and, in particular, what
design considerations must be taken
into account to achieve compliance with
the existing closure performance
standards (as applied to both currently
and newly regulated units). The
commenters explained that there are no
regulatory specifications for eliminating
free liquids prior to installing the final
cover system or controlling, minimizing
or eliminating, to the maximum extent
feasible, the post-closure infiltration of
liquids as required by § 257.102(d)(2)(i)
and (d)(1)(i), respectively.
In response to these requests, EPA is
providing further information with this
final rule. EPA has included in the
docket to this rulemaking a document
titled ‘‘Methods and Tools for the
Identification and Elimination of Free
Liquids.’’ A summary of some of the
main points of the guidance are
discussed below.
The document discusses many of the
methods and tools needed to identify
and eliminate free liquids that are
already widely used by industry to
investigate and close surface
impoundments. For example, tools that
may be used to identify free liquids
include soil borings and cone
penetrometers to map the stratigraphy of
the CCR unit and characterize the
geotechnical and hydraulic properties of
the various CCR layers, as well as the
installation of traditional piezometers,
monitoring wells and vibrating wire
piezometers to monitor pore pressures
and water levels. Properly constructed
wells and piezometers screened in the
appropriate locations and depths have a
prominent role in networks of
instruments necessary for assessing free
liquids in that their design directly
measures water levels under ambient
conditions. At the most basic level
water levels in wells and piezometers
are indicative of free liquids.
Conversely, networks of wells and
piezometers could be used as part of a
program used to determine that free
liquids no longer exist. Similarly,
methods and tools to eliminate free
liquids within the CCR, such as rim
ditches, pumping wells, extraction
wellpoints are also currently employed
by industry. These technologies also
provide insights into the presence and
nature of free liquids at a given CCR
unit, e.g., rim ditches and open
excavations enable direct observation of
free liquids.
Finally, the document identifies
considerations useful to developing
successful site-specific strategies and
approaches to identify, measure,
monitor and eliminate free liquids.
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Longer term variables such as potential
groundwater intrusion or other
influences are also discussed. In
summary, full compliance requires
successful sustained attainment of
performance standards over the long
term. Designing successful approaches
will necessarily involve careful
consideration of all potential sources of
free liquids, including groundwater.
Owners or operators of units that
contain CCR in contact with
groundwater will likely need to take
additional actions such as CCR removal
or implement specific engineering
measures applied over time frames
needed to preclude groundwater from
intruding back into CCR units after free
liquids have been initially eliminated.
iv. Preparation of a Written Closure Plan
for CCR Management Units
EPA proposed that owners or
operators of CCRMU comply with the
existing requirements of § 257.102(b)
requiring the preparation of a written
closure plan no later than 12 months
after the effective date of the final rule.
As mentioned in Unit III.C.4.d, aside
from those commenters that disagreed
with requiring CCRMU to comply with
overall closure requirements,
commenters on the proposed rule
agreed that the written closure plan
requirement would generally be
appropriate for CCRMU. One
commenter suggested additional
requirements for the content of the
closure plan including the elevation of
the base of the unit, groundwater
information, and descriptions of
compliance with § 257.102 will be
achieved (e.g., how free liquids would
be eliminated, how waste will be
stabilized, measures to minimize the
need for further maintenance of the CCR
unit). A few commenters supported the
proposed deadline but as summarized
in Units III.C.4.a and III.C.4.d of this
preamble, other commenters stated the
proposed deadline was infeasible and
inappropriate. One commenter
suggested the deadline for the closure
plan be extended to be concurrent with
the initiation of closure. Another
commenter requested EPA create
extension mechanisms for this
requirement based on the number of
CCRMU at the facility. Commenters
suggestions for the deadline for the
completion of the closure plan ranged
from 12 (the 2015 CCR Rule deadline)
to 60 months.
EPA disagrees with the commenter
that additional requirements regarding
the content of the closure plan are
necessary. The information the
commenter requested be included in the
closure plan is 1) already required to be
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in the closure plan pursuant to
§§ 257.102(b) or 2) readily available in
other required reports (e.g., the annual
groundwater monitoring and corrective
action reports). Furthermore, the
commenter failed to fully explain how
compliance with § 257.102(b) does not
provide the information needed to
determine if compliance with the
closure performance standards will be
met.
Regarding the deadline, for the same
reasons in Units III.B.2.g and
III.B.2.g.iv.b for legacy CCR surface
impoundments, EPA concludes that the
deadline for the closure plan should be
extended from the proposed deadline to
allow for owners or operators to
incorporate information about
groundwater quality, groundwater
flows, seasonality impacts, and the
migration of contaminants (if any) into
the plan. Therefore, EPA is finalizing a
deadline of no later than Wednesday,
November 8, 2028, which is 48 months
after the effective date. This final
deadline extends the proposed deadline
by 36 months and EPA expects that this
adequately address the concern
regarding the infeasibility of the
deadline expressed by a commenter
requesting EPA create extension based
on the number of CCRMU at the facility.
This is codified in the regulatory text at
§ 257.102(b)(2)(iii).
However, consistent with the
requirements for legacy CCR surface
impoundments, EPA is not requiring
compliance with the written closure
plan requirement for CCRMU that, by
the effective date of this final rule, have
completed: (1) closure with waste in
place or (2) a closure eligible for deferral
to permitting as described in
§ 257.101(g). Instead, the final rule
requires the owner or operator to
provide information on the completed
closure of the CCRMU, along with
supporting documentation to
demonstrate that the closure meets the
performance standards in § 257.102(d)
or the standards specified in
§ 257.101(g). This is codified in the
regulatory text at § 257.102(b)(2)(v).
Based on comments on the proposed
rule and experience from the 2015 CCR
Rule, EPA expects the incorporation of
this information into the closure plan
will allow facilities to select a closure
method that most appropriately
addresses issues like waste that is in
contact with groundwater, groundwater
contamination, and long-term structural
stability concerns. Closure plans that
adequately address these issues will
result in better protection of human
health and the environment.
The closure plan describes the steps
necessary to close a CCR unit at any
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point during the active life of the unit
based on recognized and generally
accepted good engineering practices. 40
CFR 257.102(b)(1). The plan must set
out whether the closure of the CCR unit
will be accomplished by leaving CCR in
place or through closure by removal and
include a written narrative describing
how the unit will be closed in
accordance with the section, or in other
words, how the closure will meet all the
performance standards in the
regulations. 40 CFR 257.102(b)(1)(i). The
written closure plan must also provide
a schedule for completing all activities
necessary to satisfy the closure criteria
of the rule. See also 80 FR 21410–21425.
If the CCR is left in place, the closure
plan must include a description of the
final cover system and how the final
cover system will achieve the regulatory
performance standards. If the base of the
impoundment intersects with
groundwater, the closure plan would
need to discuss the engineering
measures taken to ensure that the
groundwater had been removed from
the unit prior to the start of installing
the final cover system, as required by
§ 257.102(d)(2)(i). The closure plan
would also need to describe how the
facility plans to meet the requirements
in § 257.102(d)(1) to ‘‘control, minimize
or eliminate, to the maximum extent
feasible, post-closure infiltration of
liquids into the waste and releases of
CCR, leachate, or contaminated run-off
to the ground or surface waters.’’ This
could include, for example, the
installation of engineering controls that
would address the post-closure
infiltration of liquids into the waste
from all directions, as well as any postclosure releases to the groundwater from
the sides and bottom of the unit.
v. Preparation of a Written Post-Closure
Care Plan for CCR Management Units
EPA proposed that owners or
operators of CCRMU would be required
to comply with the existing requirement
in § 257.104(d) regarding the
preparation of a written post-closure no
later than 12 months after the effective
date of the final rule.
As mentioned in Unit III.C.4.d, aside
from those commenters that disagreed
with requiring CCRMU to comply with
overall closure requirements,
commenters on the proposed rule
agreed that the written post-closure care
plan requirement would generally be
appropriate for CCRMU. Overall
commenters requested an extension of
the post-closure care deadline to allow
for a more feasible deadline and the
incorporation of groundwater
monitoring data. Another commenter
requested EPA create extension
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mechanisms for this requirement based
on the number of CCRMU at the facility.
For the same reasons in Units III.B.2.g
and III.B.2.g.iv.c for legacy CCR surface
impoundments, EPA is finalizing a
deadline of no later than Wednesday,
November 8, 2028, which is 48 months
from the effective date of the final rule
to comply with the post-closure care
requirement in § 257.104(d). This final
deadline extends the proposed deadline
by 36 months and EPA expects that this
adequately address the concern
regarding the infeasibility of the
deadline expressed by commenter
requesting EPA create extension based
on the number of CCRMU at the facility.
This is codified in the regulatory text at
§ 257.104(d)(2)(iii).
Section 257.104(d) requires that an
owner or operator of a CCR unit prepare
a written post-closure plan. The
contents of the P.E.-certified plan are
stated in the rule § 257.104(d)(1)(i)
through (iii) and can be summarized as
a description of the monitoring and
maintenance activities required for the
unit, the frequency that these activities
will be performed, information for the
point-of-contact during the post-closure
care period, and planned uses of the
property.
vi. Deadline To Initiate Closure for CCR
Management Units
EPA proposed that owners or
operators of CCRMU initiate closure no
later than 12 months after the effective
date of the final rule. As explained in
the proposed rule, the proposed
deadline was expedited from the 2015
CCR Rule to address the risks posed
from these units and EPA’s estimated
minimum amount of time necessary to
collect the information needed to
determine whether to close the unit in
place or close by removal.
Several commenters expressed
support for the proposed 12-month
deadline to initiate closure, stating that
the shorter deadlines are necessary to
address the increased risk from CCRMU
and likelihood these units are and have
been contaminating groundwater.
However, as mentioned in Unit III.C.4.d,
many other commenters characterized
the proposed deadline as infeasible for
the reasons mentioned in Unit III.C.4.a,
including seasonality, need to comply
with overlapping regulatory
requirements, labor shortages, and the
strain on the limited resources
necessary to achieve compliance (e.g.,
contractors, laboratories, P.E.s) caused
by the number of CCR units coming into
compliance at the same time.
Commenters emphasized the
importance of the groundwater
monitoring data to inform closure,
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stating that compliance with the closure
requirements should not be required
until after the groundwater monitoring
system was installed and baseline
samples collected. These commenters
pointed to recent EPA Part A and Part
B decisions as evidence of the gap
between EPA’s expectations and the
closure and post-closure plans
developed by owners or operators and
best practices; these commenters further
stated that the proposed deadline
precludes the incorporation of
groundwater monitoring data in
developing closure plans and is likely a
contributing factor to the gap between
EPA’s expectation and closure and postclosure care plans submitted by owners
or operators of currently regulated units.
Additionally, as described in Unit
III.C.4.d.ii, several commenters
requested the delays for the initiation of
closure for CCRMU beneath critical
infrastructure until the
decommissioning or closure of the
infrastructure or facility. Finally, a few
commenters suggested EPA create
extensions for the deadline to initiate
closure to address concerns about
comply with overlapping State
permitting requirements or based on the
number of CCRMU present at the
facility. Commenters’ suggestions for
alternative deadlines to initiate closure
ranged from 12 with extensions to 60
months, or at least after the collection of
the baseline groundwater monitoring
samples required by § 257.94.
Consistent with the approach for
legacy CCR surface impoundments
closure, EPA acknowledges the benefit
of allowing owners or operators the time
needed to incorporate groundwater
monitoring data into the closure plan.
Additionally, as stated in the proposed
rule, EPA acknowledges the importance
of using information gained by
compliance with the groundwater
monitoring and corrective action
requirements to inform closure
decisions and therefore the initiation of
closure. For the reasons explained in
Unit III.C.4.c, EPA is extending the
deadline for the groundwater
monitoring and corrective action
requirements to a single deadline of no
later than 42 months from the effective
date of the final rule. As such, the
initiation of closure is being extended as
well. To ensure owners or operators
have enough groundwater monitoring
data to draw conclusions about
seasonality impacts on groundwater
levels and flow and the source of any
potential groundwater contamination in
the area, EPA is finalizing a deadline of
no later than Tuesday, May 8, 2029,
which is 54 months from the effective
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date of the final rule. This is codified in
the regulatory text at § 257.101(f)(1).
This final deadline extends the
proposed deadline by 42 months and
EPA expects that the concerns
expressed by commenters requesting
EPA create extensions (i.e., the need to
comply with State permitting
requirements and the number of
CCRMU at the facility) are addressed by
this overall deadline extension. Finally,
regarding those CCRMU under critical
infrastructure, owners or operators of
these units have the opportunity to
defer the deadline to initiate closure
until the Agency can address these units
on an individual basis as part of
permitting. See Unit III.C.4.d.ii.
vii. Deadline To Complete Closure for
CCR Management Units
EPA proposed to apply the current
CCR surface impoundment closure time
frames at § 257.102(f) to CCRMU. The
existing CCR regulations currently
require an owner or operator of a CCR
surface impoundment generally to
complete closure activities within five
years from initiating closure. The
regulations also establish the conditions
for extending this deadline, upon a
showing that additional time is
necessary. Consistent with the existing
requirements for CCR surface
impoundments, EPA proposed the
amount of additional time that an owner
or operator could obtain would vary
based on the size (using surface area
acreage of the CCR unit as the surrogate
of size) of the CCRMU. For CCRMU 40
acres or smaller, the proposed
maximum time extension is two years.
For CCRMU greater than 40 acres, the
proposed maximum time extension is
five 2-year extensions (10 years), and
the owner or operator must substantiate
the factual circumstances demonstrating
the need for each year extension.
Several commenters expressed
support for the proposed deadlines to
complete closure, citing the increased
risk from CCRMU and likelihood these
units are and have been contaminating
groundwater. However, many
commenters on the proposed rule
requested an extension of the deadline
to complete closure to allow for a more
feasible deadline and to mitigate the
factors mentioned in Unit III.C.4.a.
Some of these commenters stated if the
deadline to initiate closure was
extended to no less than the time
granted for CCR unit closure in the 2015
CCR Rule, then the proposed deadlines
would be feasible. These commenters
supported the ability of CCRMU to seek
extensions of the deadline based on
size. However, a few of the commenters
requested longer extensions or an
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increase in the maximum number of
extensions for CCRMU. These
commenters cited factors mentioned in
Unit III.C.4.a as reasons to allow for
longer or more extensions (i.e., thirdparty availability, need to comply with
State permitting requirements prior to
certain activities, backlogs, number of
CCR units coming into compliance at
the same time). One commenter stated
more extensions were necessary to meet
the closure performance standards in
§ 257.102 (i.e., remove liquid from the
unit and meet the groundwater
protection standards).
For the reasons described throughout
this Unit of the preamble, EPA has
extended the deadline for the initiation
of closure. EPA expects the extension to
the deadlines for the closure plan and
initiation of closure, as well as the
options to defer closure requirements
for CCRMU under critical infrastructure
and those that have completed closure
under a regulatory authority (see Units
III.C.4.d.ii and III.C.4.d.iii.a,
respectively), to address the concerns
commenters expressed with the
infeasibility or inappropriateness of the
deadline to complete closure.
Furthermore, with respect to requests
for longer or more extensions for
CCRMU as compared to the existing
CCR regulations, EPA still concludes
that as explained in the proposed rule,
CCRMU closure will closely resemble
CCR impoundment closures because of
half of these identified potential
CCRMU were associated with former,
Federally unregulated CCR surface
impoundments. Additionally, the
requirements for former impoundments
to be closed with waste in place (i.e.,
procurement, transportation, and
placement of substantial volumes of soil
or borrow material), would also apply to
certain CCR fill placements as well as to
inactive CCR landfills where past waste
disposal did not reach the landfill’s
design capacity (i.e., landfill airspace
was not fully utilized). As such, in these
situations, EPA has determined the time
frames to complete closure for existing
CCR surface impoundments are
appropriate (i.e., 5 years). Finally, as
discussed in proposed rule, the Agency
believes that the base of at least some
CCRMU may intersect with the
groundwater because CCRMU may be
located in floodplains or wetlands, or
near large surface water bodies. EPA’s
experience in implementing the
regulations is that such closures are
generally more complex and take longer
to complete. EPA thus believes the time
frames to complete closure of CCRMU
should be the same as the time frames
provided for existing CCR surface
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39081
impoundments. No commenters
provided factual information or
evidence to support the conclusion that
CCRMU closure, apart from those
CCRMU under critical infrastructure or
closed under a regulatory authority
mentioned above, is different enough
from closure of units regulated under
the 2015 CCR Rule to warrant additional
extensions or separate requirements.
Therefore, EPA is finalizing the
deadline for the completion of closure
of CCRMU as proposed. This is codified
in the regulatory text at § 257.102(f).
viii. Post-Closure Care for CCR
Management Units
EPA proposed to apply the existing
post-closure care requirements at
§ 257.104 to CCRMU without revision.
These criteria are essential to ensuring
the long-term safety of CCRMU.
As mentioned in Unit III.C.4.d, aside
from those commenters that disagreed
with requiring CCRMU to comply with
overall closure requirements, no
commenters raised specific concern
about requiring CCRMU to comply with
the existing requirements in § 257.104.
However, one commenter suggested that
EPA allow units that have closed under
a State program to either continue postclosure care under that State program or
reduce the post-closure care period for
these units by the number of years of
post-closure care completed under the
State program. As described in Unit
III.C.4.d.iii(a), EPA is finalizing a
provision to address closures completed
under other authorities provided the
closure meets specific criteria by
deferring any closure activities to
permitting, including the determination
of when post-closure care is completed.
In instances where the criteria for
deferral to permitting has been met and
units have conducted post-closure care
under a State program for many years,
the permitting authority, once
authorized, will be able to look at the
site-specific information, including the
closure and the specific activities
required by the State’s post-closure care
program, and determine what, if any,
further closure or post-closure activities
would be appropriate. EPA is therefore
finalizing this provision without
revision.
The existing post-closure care criteria
require the monitoring and maintenance
of units that have closed in place for at
least 30 years after closure has been
completed. 40 CFR 257.104. During this
post-closure period, the facility would
be required to continue groundwater
monitoring and corrective action, where
necessary.
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e. Recordkeeping, Notification and
Internet Posting for CCR Management
Units
EPA proposed that, like legacy CCR
surface impoundments, owners or
operators of CCRMU be subject to the
existing recordkeeping, notification and
website reporting requirements in the
CCR regulations found at §§ 257.105
through 257.107. EPA also proposed
changes to add CCRMU to § 257.107(a)
to require the facility to notify the
Agency using the procedures for the
establishment of the website no later
than the effective date of the final rule.
For reasons specified in the 2015 CCR
Rule, the CCR regulations require the
owner or operator of a new or existing
CCR unit to record specific information
in the facility’s operating record,
maintain files of all required
information (e.g., demonstrations, plans,
notifications, and reports) that supports
implementation and compliance with
the rule, notify State Director and Tribal
authorities, and maintain a public CCR
website that hosts this information. 80
FR 21427.
A commenter supported applying
recordkeeping, notification, and internet
posting requirements to CCRMU but
stated that the existing requirements
were ineffective at ensuring compliance
with the CCR regulations or allowing for
meaningful public awareness or
participation. The commenter suggested
that EPA create mechanisms within the
rule to ensure the public has the
opportunity to participate in the
decision-making processes at regulated
CCR units; standardize reporting to
make the report more easily understood
by the public; establish organizational
requirements for the CCR websites;
require public notice and engagement
when notifying the State Director and/
or appropriate Tribal authority as
required by the CCR rule; extend the
period of time the files required by the
CCR rule must be maintained in the
operating record; and require owners or
operators certify compliance
documentation for the CCR units. This
commenter also suggested EPA clarify
what records owners or operators are
required to retain and to publish. Other
commenters suggested the website
requirement not be due until the first
document is required to be posted.
EPA agrees with the commenter on
the importance of meaningful public
participation. The current regulations
allow for public participation by
requiring owner or operators to hold a
public meeting as part of the assessment
of corrective measures in § 257.96,
creating a mechanism for the public to
file dust complaints in § 257.80(b), and
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the ‘‘contact us’’ form or specific email
address on facilities’ public CCR
websites for questions or issues from the
public as required by § 257.107(a).
Public comment periods are also held as
part of the determination process for
Part A and Part B demonstrations;
however, these demonstrations are not
applicable to CCRMU. EPA does not
have evidence to support the claim by
the commenter that these opportunities
for public participation are ineffective.
Furthermore, EPA does not find other
decision-making points in the rule
appropriate for mandatory public
meetings or public comment periods
although facilities are encouraged to
engage with the public and to both
solicit and incorporate public input into
decisions, such as closure methods, as
able and appropriate.
With respect to the commenter’s
suggestions that EPA require the owners
or operators of CCR units to certify
compliance documentation and create
standardized reporting and website
layout requirements, as explained in the
proposed rule, EPA does not have
evidence that CCRMU are sufficiently
different than currently regulated
facilities to necessitate substantially
different requirements. The commenter
provided no factual basis to support the
suggestion that requiring owner or
operator certifications would improve
compliance with the regulations beyond
the certifications currently required by
professional engineers. When justifying
the request for standardized reporting
and website layout requirements, the
commenter failed to explain how
compliance with the public website
posting requirements in § 257.107,
including the requirement to ensure all
information is ‘‘clearly identifiable and
must be able to be immediately printed
and downloaded by anyone accessing
the site’’ is inadequate or a hinderance
to the public accessing the required
information. Therefore, EPA does not
believe additional notification,
certification, or public engagement
requirements for CCRMU would be
appropriate.
EPA agrees with the commenter on
the need to extend the period of time
files required by the CCR rule must be
maintained on the facilities’ public
websites and in the operating records.
As described in Unit III.D.5, EPA is
extending how long files must be
maintained in the operating record and
on the public website. While EPA
believes the regulations at §§ 257.105
and 257.107 clearly lay out what records
must be retained and published, EPA
has included in Unit III.D.5. a table that
details what records are required to be
maintained in the operating record and
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on the public website as well as the
corresponding retention periods. No
commenters raised concerns about
requiring CCRMU to comply with the
existing requirements in §§ 257.105
through 257.107.
Lastly, EPA agrees with the
commenters who suggested the deadline
for the establishment of the website
coincide with the first required
document (i.e., the FER Part 1).
Therefore, EPA is finalizing a deadline
of 15 months after the effective date for
the establishment of the website.
EPA is also finalizing the requirement
that owners or operators of CCRMU
comply with recordkeeping,
notification, and internet posting
requirements at §§ 257.105 through
257.107.
As discussed in Unit III.B.2.h of this
preamble, owners or operators must
document implementation and
compliance with the rule and must
place these files into the facility’s
operating record. Each required file
must be maintained in the operating
record for the entirety of the retention
period specified in § 257.105 following
submittal of the file into the operating
record. Each file must also indicate the
date the file was placed in the operating
record. Files are required to be
submitted into the operating record at
the time the documentation becomes
available or by the compliance deadline
specified in the CCR regulations.
Section 257.105 contains a
comprehensive listing of each
recordkeeping requirement and
corresponding record retention periods.
Furthermore, the owner or operator of
a CCRMU must maintain a CCR website
titled, ‘‘CCR Rule Compliance Data and
Information’’ that hosts the compliance
information so that it may be viewed by
the public. Unless provided otherwise
in the rule (see, Unit III.E.5),
information posted to the CCR website
must be available for a period no less
than five years from the initial posting
date for each submission. Posting of
information must be completed no later
than 30 days from the submittal of the
information to the operating record.
Owners or operators of CCRMU have 15
months from the effective date of this
rule to establish a CCR website and post
the required applicable information.
D. Closure of CCR Units By Removal of
CCR
1. Background
On March 3, 2020, in the Proposed
Rule entitled: Hazardous and Solid
Waste Management System: Disposal of
CCR; A Holistic Approach to Closure
Part B: Alternate Demonstration for
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Unlined Surface Impoundments;
Implementation of Closure, EPA
proposed to revise the 2015 CCR Rule
to, among other things, provide facilities
with an additional option for CCR units
being closed by removal of CCR. 85 FR
12456. Specifically, EPA proposed to
allow a facility to complete the closure
in two stages: first, by completing all
removal and decontamination
procedures; and second, by completing
all groundwater remediation in a
separate post-closure care period. 85 FR
12456. In this final rule, the Agency is
taking final action on this proposal.
The closure by removal regulation
consists of two performance standards.
In the first standard, the owner or
operator must remove all CCR from the
unit and decontaminate all areas
affected by releases from the CCR unit.
In the second standard, the regulation
specifies that closure is complete when
all CCR in the unit and any areas
affected by releases from the CCR unit
have been removed and groundwater
monitoring demonstrates that there are
no exceedances of any groundwater
protection standard. See § 257.102(c).
Importantly, the second performance
standard requires groundwater
corrective action of a unit to be
completed in order for closure of the
unit to be considered complete.
As previously discussed, the CCR
regulations also establish deadlines to
initiate and complete closure activities.
For example, the regulations generally
require owners and operators of CCR
surface impoundments to complete
closure activities within five years of
commencing closure activities, while
closure of CCR landfills must be
completed within six months. See
§ 257.102(f)(1). Notwithstanding these
deadlines to complete closure, the CCR
regulations also allow for additional
time provided the owner or operator can
make the prescribed demonstrations
that are based on site-specific
circumstances beyond the facility’s
control. For CCR surface
impoundments, the amount of
additional time beyond the five years
varies based on the demonstrated need
and the surface area acreage of the
impoundment. For impoundments 40
acres or smaller, the maximum time
extension that can be obtained is two
years. For impoundments greater than
40 acres, the maximum time extension
is five two-year extensions (for a total
extension of ten years). For CCR
landfills, the amount of additional time
beyond the six months does not vary
according to the size of the landfill,
rather the maximum time extension is
two one-year extensions (for a total
extension of two years). To obtain
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additional time, owners or operators of
CCR units must substantiate the factual
circumstances demonstrating the need
for the extension. See § 257.102(f)(2). In
all instances the number of time
extensions is capped to a certain
number of years.
The CCR regulations also require the
owner or operator of the CCR unit to
obtain a certification from a qualified
professional engineer or approval from
the Participating State Director (or EPA
where EPA is the permitting authority)
verifying that closure has been
completed in accordance with the
written closure plan and all applicable
closure requirements of § 257.102. See
§ 257.102(f)(3). In addition, the owner or
operator must prepare a notification
stating that closure of the unit has been
completed. This notification must be
completed within 30 days of completion
of unit closure and must include the
certification required by § 257.102(f)(3).
See § 257.102(h). As the CCR regulations
are currently structured for units closing
by removal of CCR, the closure
certification and notification cannot be
completed until all CCR removal and
decontamination activities, including
groundwater corrective action,146 are
completed. Prior to this final rule,
owners and operators that complete
closure of a unit by removal of CCR
were exempt from any other postclosure care requirements for the unit
and were also exempt from the deed
notation requirements upon certification
that closure by removal of CCR has been
completed.
2. March 2020 Proposed Rule
Under the March 2020 proposal, an
owner or operator that cannot complete
groundwater corrective action by the
time all other closure by removal
activities have been completed (i.e.,
during the active life 147 of the CCR unit)
may complete groundwater corrective
action during a post-closure care period.
Under this option, the owner or operator
must first complete all other removal
and decontamination activities within
the time frames provided for completing
closure. In addition, EPA proposed to
require the owner or operator to have
implemented the remedy selected under
§ 257.97 such that all components of the
remedy are in place and operating as
intended prior to completing all
146 For purposes of this preamble discussion, the
term ‘‘groundwater corrective action: includes those
actions taken to implement the selected remedy
specified in § 257.98(c) to attain the groundwater
protection standards in § 257.95(h).
147 The ‘‘active life’’ of a CCR unit is defined in
§ 257.53 as the period of operation beginning with
the initial placement of CCR in the CCR unit and
ending at completion of closure activities in
accordance with § 257.102.
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removal and decontamination activities.
Upon completion of all removal and
decontamination activities (except for
completion of groundwater corrective
action) and implementation of the
selected remedy, the owner or operator
would be allowed to certify that the CCR
unit has been closed. Thereafter, the
CCR unit would be required to continue
to conduct corrective action in
accordance with the existing
requirements in § 257.98 and would be
subject to the existing post-closure care
requirements in § 257.104 until
completion of groundwater corrective
action. EPA did not propose any
substantive revisions to the current
closure standard when closing by
removal of CCR under § 257.102(c), but
presented the current closure standard
in a slightly revised format to
accommodate the proposed action.
EPA proposed this option because the
Agency received new information
indicating that the closure of CCR units
will likely be more complex than EPA
envisioned in 2015, and that more than
40% of existing CCR surface
impoundments were planned to be
closed by removal of CCR. In addition,
available information indicated that
more than 70% of all CCR surface
impoundments are unlined. EPA
determined that, given the number of
unlined CCR units, many of which have
already reported exceedances of
groundwater protection standards, it
was evident that many CCR units have
released CCR constituents into the
surrounding soils and groundwater.
EPA concluded that this meant that
closure would not simply be a matter of
removing CCR from the unit, but would
likely require a significant undertaking
to remediate impacted soil and
groundwater in order to achieve the
current CCR removal and
decontamination standards. The
proposal explained that based on this
new information EPA concluded that
the existing timelines to complete
closure by removal of CCR were not
designed to also provide sufficient time
to complete groundwater corrective
action. The Agency explained that it
was also concerned that the existing
deadlines in § 257.102(c) may create a
disincentive to close a unit by removal
of CCR.
After considering the comments
received, the same considerations
discussed in the proposal remain
relevant. Moreover, the groundwater
monitoring installed pursuant to the
2015 CCR Rule has documented
groundwater contamination that is more
extensive and more frequent that EPA
had originally estimated. It is now
apparent not only that a greater number
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of facilities are electing to close by
removal than EPA originally estimated,
but also that some facilities may need to
close by removal because they are
unable to meet the standards to close
with waste in place due to the site
conditions. And more critically, EPA is
concerned that, based on the existing
time frames, some facilities could not
comply with either performance
standard because it is not feasible to
remediate the contamination within the
existing deadlines in § 257.102(f). EPA
has therefore incorporated this
provision into this final rule.
Most of the comments EPA received
on this proposal 148 related to the
revised regulatory text in § 257.102, the
requirement to implement the corrective
action remedy during the active life of
the unit and the requirement for deed
notifications. One commenter also
stated that there was nothing in the
record to demonstrate that facilities
were not able to meet the existing
§ 257.102(c) performance standard by
deadlines in § 257.102(f). The
commenter also expressed concern that
the proposed option would allow
exceedances of groundwater protection
standards to continue indefinitely after
an impoundment is closed by removal.
Further, the commenter contended that
the proposed change did not include
any additional requirements for owners
and operators to substantiate the need to
take additional time following removal
activities. This, they stated, could
incentivize the selection of the slowest,
least protective corrective measures
such as ‘‘natural attenuation,’’ allowing
dangerous contamination to persist for
long periods of time when it could have
been stopped decades earlier. They were
concerned that owners or operators
would unreasonably select remedies
that take much longer to achieve
compliance over other available options
that could achieve compliance faster.
The Agency disagrees that there is no
record to support the need for
additional time to complete
groundwater remediation within the
time frames provided in § 257.102(f).
For example, this same commenter
submitted comments on the May 2023
proposed rule providing examples of
numerous plants who have certified the
removal portion of closure by removal
while noting the need for additional
time beyond the existing deadlines in
§ 257.102(f) in order to be able to certify
compliance with GWPS.149 These
facilities include Duke Energy’s Gibson
Station, LG&E–KU’s Ghent Generating
148 See the Response to Comments document
found in the docket for this rule.
149 EPA–HQ–OLEM–2020–0107–0368.
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Station, and Dominion Energy’s Possum
Point Power Station.
Additionally, EPA compiled data on
remediation efforts published in the
Superfund 5-Year Review Reports
conducted pursuant to CERCLA
§ 121(c).150 The data review focused on
sites that presented releases of metals
similar to those expected at CCR
facilities and sites that were likely to
choose remediation technologies that
could also be applicable to CCR
facilities. The compilation included
data for 20 sites with groundwater
remediation remedies in place for at
least 15 years. There were eight sites
that implemented a combination of
remediation strategies (for example,
pump and treat and vertical barrier wall
in the same site). The most common
remedy noted was pump and treat (14
sites), followed by monitored natural
attenuation (MNA) (eight sites), barrier
walls (five sites), in-situ stabilization
(two sites), and permeable reactive
barriers (one site). At the time of this
data compilation, 18 out of 20 remedies
were still ongoing with cleanup
durations ranging from 15 to more than
32 years. 11 of 20 remedies exceeded 20
years of operation.
The Agency also disagrees that the
proposal would allow exceedances to
continue indefinitely, and the owner or
operator to purposely choose the
slowest, least protective groundwater
remediation technology. The facility
would remain subject to the existing
requirements for corrective action,
§§ 257.96 through 257.98, which
prohibit the actions the commenter
describes. Additionally, the facility
must have initiated remedial activities
as required by § 257.98(a) during the
active life of the unit in order to be
eligible for this closure alternative. The
sole exception to this would be where
the facility only triggered corrective
action for the constituent near the end
of the closure process, and the facility
cannot extend the active life of the unit
because it would exceed a deadline in
§ 257.102(f). In such a case, the facility
would be required to document that (1)
it was in compliance with all applicable
requirements in §§ 257.96 through
257.98; and (2) that it could not extend
the active life of the unit, consistent
with § 257.102(f).
150 Memorandum from RTI International to Mary
Jackson, U.S. EPA, Development of Benchmark
Times for Conducting the Closure of CCR Units,
February 29. 2024. Superfund 5-Year Review
Reports conducted pursuant to CERCLA § 121(c).
Available in the docket.
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3. What EPA Is Finalizing Related to the
March 2020 Proposed Rule
EPA is finalizing its proposal with
some limited revisions adopted in
response to public comments. Under
this final rule and consistent with the
proposal an owner or operator would be
able to able to close a CCR unit by
completing removal of all CCR from the
unit and decontamination of all areas
affected by releases from the CCR unit,
except for groundwater, during the
active life of the CCR unit, and
completing the groundwater corrective
action during post-closure care. The
owner or operator will need to meet the
following requirements when closing a
CCR unit under this option. First, the
owner or operator must complete all
removal and decontamination activities,
except groundwater corrective action,
during the active life of the unit.
Second, with one exception, the owner
or operator must have begun to
implement the corrective action remedy
selected in accordance with §§ 257.96
through 257.97 to achieve compliance
with the GWPS during the active life of
the unit (i.e., before completing closure).
Third, groundwater corrective action
must be completed during post-closure
care. Fourth, the owner or operator must
amend the written closure and postclosure plans to reflect this approach to
close the unit. Fifth, the owner or
operator must obtain the certification or
approval of closure completion within
the current time frames for closure in
§ 257.102(f). Finally, prior to the start of
the post-closure care period, the owner
or operator must record the notation on
the deed to the property that the land
has been used as a CCR unit. Each of
these requirements is discussed further
below. EPA is revising the regulatory
text of § 257.102(c) and § 257.104(g) and
(h). The revisions to § 257.104 are to
make it clear that the unit must be in
detection monitoring in order to
complete post closure care.
a. Removal and Decontamination
Activities
EPA proposed to revise the closure
performance standard at § 257.102(c) to
specify all of the various actions that
would be required prior to certifying
that closure is complete. EPA proposed
that this would include removing or
decontaminating all CCR and CCR
residues, containment system
components, contaminated subsoils,
contaminated groundwater, and CCR
unit structures and ancillary equipment.
To qualify for the new closure by CCR
removal option, owners or operators
would need to complete all the
specified removal and decontamination
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activities within the closure time frame
except for completing groundwater
remediation. The proposal specified that
to demonstrate that all CCR has been
removed from the unit, the owner or
operator would need to remove the
entire contents of the CCR unit,
including all CCR and any CCR
residues. This would include, for
example, the removal of any fugitive
dust (CCR) discovered outside the waste
unit boundary. In addition, the proposal
specified that any containment system
components such as a bottom liner,
contaminated subsoils, and unit
structures and equipment (e.g., concrete
outlet structures and ancillary piping)
would have to be removed prior to
closure of the unit. Finally, EPA
proposed that any areas affected by
releases from the CCR unit must have
been removed (e.g., impacted soils
beneath the bottom liner system).
Commenters pointed out that the term
‘‘CCR residues’’ was not a defined term.
They also pointed out that it may not be
necessary or wise to require the removal
of ancillary equipment or structures if
they are not contaminated with CCR.
Further, they pointed out that requiring
the removal of fugitive dust outside the
unit boundary would expand the
closure performance standard.
One commenter was concerned that
the term ‘‘CCR unit structures,’’ appears
to encompass both areas impacted by
CCR disposal (which should be
removed) and non-contaminated
disposal unit structural components,
which, according to the commenter, in
some cases includes CCR that has been
beneficially used in the construction of
the impoundment or other disposal
units (which the commenter asserted
need not be removed). The commenter
further stated that structural
components, including those structures
built with beneficially reused CCR (e.g.,
bottom ash), must be allowed to remain
in place.
The Agency does not agree that
components of the unit that are
constructed with CCR can be left in
place if the unit is in fact closing by
removal of CCR. If the unit is to be
‘‘closed by removal of CCR,’’ consistent
with the existing requirement to remove
all CCR, the final rule requires that any
components of the unit made of or
including CCR must also be removed.
The regulatory text included in this
final rule requires removing all CCR
from the unit, including CCR mixed
with soils or that are included in berms,
liners or other unit structures, and
either removing or decontaminating all
areas affected by releases from the CCR
unit. Although there are no soil cleanup
standards in the CCR regulations, if the
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soil beneath the unit is contaminated
sufficiently to serve as a secondary
source of groundwater contamination,
its removal may be required as part of
the source control portion of a remedy
selected under § 257.97. To clarify,
contaminated groundwater
(groundwater with constituent
concentrations triggering corrective
action) must be remediated through the
corrective action process detailed in
§§ 257.96 through 257.98.
Although the regulatory text now
specifies the removal and
decontamination activities to be
conducted, the Agency does not
consider this to be a substantive
revision to § 257.102(c). The revision is
intended to clearly describe the
activities that must be completed prior
to closure under the new alternative in
§ 257.102(c)(2). The regulation now
expressly describes how EPA
interpreted the original phrase ‘‘CCR
removal and decontamination.’’
Therefore, the regulatory text for
§ 257.102(c) has been revised from what
was proposed:
(c) Closure by removal of CCR. An owner
or operator closing a CCR unit by removal of
CCR must follow the procedures specified in
either paragraph (c)(1) or (c)(2) of this
section. Closure by removal activities include
removing or decontaminating all CCR and
CCR residues, containment system
components such as the unit liner,
contaminated subsoils, contaminated
groundwater, and CCR unit structures and
ancillary equipment.
To what is being finalized:
(c) Closure by removal of CCR. An owner
or operator that elects to close a CCR unit by
removal of CCR must follow the procedures
specified in either paragraph (c)(1) or (c)(2)
of this section. Closure by removal is
complete when CCR has been removed; any
areas affected by releases from the CCR unit
have been removed or decontaminated; and
groundwater monitoring concentrations of
the constituents listed in appendix IV to this
part do not exceed groundwater protection
standards established pursuant to
§ 257.95(h). Removal and decontamination
activities include removing all CCR from the
unit, CCR mixed with soils, and CCR
included in berms, liners or other unit
structures, and removing or decontaminating
all areas affected by releases from the CCR
unit.
Under this provision, the owner or
operator must complete all CCR removal
activities during closure prior to
transitioning to the post-closure care
period which will largely consist of a
groundwater cleanup activity.
b. Implementation of Selected Remedy
Under the existing regulations, if one
or more constituents in Appendix IV to
part 257 are detected at SSLs above the
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GWPS in any sampling event, the owner
or operator must, among other
requirements, initiate a corrective action
program. See § 257.95(g). The corrective
action program includes initiating an
assessment of corrective measures to
prevent further releases, to remediate
any releases, and to restore affected
areas to original conditions, as specified
in § 257.96(a). After the ACM has been
completed, the owner or operator must
select a remedy that meets prescribed
standards, including a requirement that
the remedy attain the GWPS. See
§ 257.97(a) and (b). Finally, the
corrective action program requires the
owner or operator of the CCR unit to
initiate remedial activities within 90
days of selecting a remedy. See
§ 257.98(a). EPA did not propose to
revise any of these requirements as part
of this option. However, under this
closure option, the owner or operator
must have initiated remedial activities
required by § 257.98(a) prior to
certifying that it has completed closure.
This requirement would help ensure
that impacted groundwater is returned
to original conditions as soon as is
feasible.
Several commenters objected to this
requirement. Some of these commenters
suggested that at many sites, it is not
appropriate to implement a remedy
before source removal is complete.
Other commenters claimed that after
excavation is complete at certain sites,
new groundwater flow patterns may be
established and/or groundwater
chemistry may need to stabilize, and in
these cases neither design nor
implementation of a corrective measure
may be practical before CCR removal is
finished. A few commenters went
further yet, stating that it would not be
appropriate to require completion of an
ACM and selection of a remedy until
after CCR removal activities are
complete. Finally, other commenters
state that source control is required by
§ 257.97(b) and may be considered part
of the remedy, therefore,
implementation of the remedy would
commence with closure by removal.
Under the existing regulations, the
closure requirements and the corrective
action requirements operate
independent of one another, and
facilities are required to comply with
both. The commenters cite nothing to
support their claim that closure must be
completed prior to initiating corrective
action. In fact, it would be inconsistent
with the existing mandatory deadlines
for initiating and pursuing corrective
action. For example, § 257.96(a) requires
an ACM to be initiated within 90 days
of determining an SSL has occurred,
and then completed within another 90
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days. An extension, not to exceed 60
days, may be warranted due to sitespecific conditions or circumstances.
EPA did not propose to revise these
deadlines, so comments suggesting
changes to these provisions are outside
the scope of the rulemaking.
Additionally, the commenters provided
no reason why corrective measures
could not be assessed and compared in
an ACM and a remedy could not be
selected. Long before initiating closure
of a CCR unit, the facility was required
to characterize site conditions,
including groundwater flow conditions
and geology to design and install the
groundwater monitoring system. See,
e.g., § 257.91(b). The facility already has
knowledge of the wastestreams and
water volumes it disposes into a CCR
surface impoundment. This information
can be used to develop a groundwater
model to predict groundwater flow
conditions after wastestream disposal
ceases and closure is initiated, which
would provide sufficient
characterization of post-closure
conditions to assess and compare
groundwater cleanup alternatives to
complete an ACM. The commenters
have provided neither reasons nor
explanation why this would not be
feasible.
Once the ACM is complete, a public
meeting has been held, and community
input has been considered, a remedy
must be selected as soon as feasible.
EPA agrees that a selected remedy may
include closure by removal to comply
with source control requirements, and
that this would constitute commencing
implementation of a remedy. However,
the selected groundwater remediation
portion of the remedy must also be
implemented within a reasonable time,
in accordance with the schedule
established in the remedy selection
report. 40 CFR 257.97(d).
Implementation of the source control
measure does not satisfy this separate
requirement.
With respect to commenters’ assertion
that the design and implementation of
the groundwater remediation portion of
the remedy is not feasible until closure
by removal is complete, the commenters
provided no explanation or reasons to
support this claim, although one
commenter identified MNA as an
example of such a remedy. EPA does
not agree that design or implementation
of MNA would need to be delayed due
to closure activities. The ACM would
include identification of attenuation
mechanisms and characterization of site
conditions influencing them. This could
be based on current site conditions and
any modeled future conditions. If MNA
is evaluated more favorably than other
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groundwater remedies and is ultimately
selected, it requires no construction
other than installation of additional
monitoring wells to identify plume
boundaries and monitor performance.
This installation would occur
downgradient of the unit and should not
be affected by unit closure activities.
The data from downgradient wells are
critical to determining if MNA is
working. While groundwater elevations
may decrease after dewatering a surface
impoundment, and therefore additional
wells may need to be installed with
screens at lower elevations later in the
corrective action process, this would be
an expected aspect of implementing
MNA for a CCR unit.
Some commenters mentioned that
geochemical conditions of groundwater
may change during closure. The
commenters did not provide specific
reasons for this or the anticipated effects
of excavation. While removal of CCR is
not expected to remove reactants
available for immobilization reactions
(i.e., any attenuation mechanisms) from
the environment, EPA agrees that
groundwater chemistry could be
impacted, particularly near the
excavation site. However, in the absence
of evidence that permanent
immobilization mechanisms are viable
at the site, either under current
conditions or in modeled future
conditions, MNA would not meet the
§ 257.97(b) criteria for selection as a
remedy.
The CCR regulations establish
independent performance standards for
corrective action and closure. The
regulations do not provide for delaying
corrective action while closure occurs,
or vice versa. In the example of MNA or,
in fact, any groundwater remedy,
delaying remedy implementation until
after closure is complete would be
inconsistent with the requirement in
§ 257.98(d) to complete remedial
activities within a reasonable period.
This is particularly true in this example,
because collecting monitoring data is
the primary action required in an MNA
remedy. When data collection is
delayed, those data are lost. Because
this monitoring can be done during
closure, it is required in order to move
forward with corrective action as soon
as possible.
Additionally, delaying groundwater
remediation would not be protective.
When a release has been detected,
corrective action to clean up the
contamination is necessary to prevent it
from migrating to downgradient
receptors, both human and
environmental. Because Appendix IV
constituents persist in the environment,
delaying corrective action increases the
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amount of the contamination that is
released to the environment and allows
existing contamination to move further
downgradient. To ensure there will be
no reasonable probability of adverse
effect on health or the environment as
EPA is required to do under RCRA
section 4004(a), the final regulation
requires that corrective action be
implemented in accordance with the
requirements of §§ 257.96 through
257.98 without unnecessary or
unreasonable delays.
Further, as one commenter
mentioned, in the event that measures
taken to implement the remedy
following closure are not proving to be
effective, the remedy can be altered
during corrective action. Under the
existing regulations, an owner or
operator is required to ‘‘implement
other methods or techniques that could
feasibly achieve compliance’’ if, after
the remedy is implemented, it is
determined that compliance is not being
achieved. 40 CFR 257.98(b). If such
additional measures are necessary after
certification of closure, an owner/
operator would have the ability to
undertake those measures without
impacting the facility’s closure
certification.
Therefore, EPA is finalizing the
proposal that the owner or operator
must have initiated the remedial
activities as required by § 257.98(a) in
order to be eligible for this closure
alternative.
The sole exception would be if the
facility only triggered corrective action
for a constituent sufficiently late in the
closure process that it would not be
feasible to delay closure until a remedy
could be selected. For example, if a
facility first detected an SSL of
antimony one week before the deadline
to complete closure in § 257.102(f), it
would not be possible to comply with
all of the requirements in §§ 257.96–
257.97 before the deadline. As
explained above, the closure and
corrective action obligations are
independent of one another and run
concurrently. To prevent placing a
facility in such a position, EPA has
incorporated a provision to allow the
facility to demonstrate that it was not
feasible to implement the corrective
action remedy prior to the expiration of
a deadline in § 257.102(f). In such a
case, the facility must document that (1)
it was in compliance with all applicable
requirements in §§ 257.96 through
257.98; and (2) that it could not extend
the active life of the unit, consistent
with § 257.102(f).
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c. Groundwater Corrective Action
For owners and operators that close a
unit under this provision, the CCR unit
would remain subject to the postclosure care requirements under
§ 257.104 until groundwater corrective
action has been completed. These units
would not be subject to the requirement
to conduct post-closure care for 30
years; rather, these units would remain
in post-closure care until all
groundwater monitoring and corrective
action requirements are completed,
which may be longer or shorter than 30
years. EPA proposed that groundwater
corrective action is complete when the
groundwater monitoring concentrations
do not exceed the groundwater
protection standards for constituents
listed in Appendix IV to part 257. EPA
has reconsidered this, as the Agency did
not intend to modify the existing
requirement for completing post-closure
care, which also applies to concluding
post closure care for a unit closed with
waste-in-place. The existing provision
in § 257.104(c) states that post-closure
care ends after 30 years unless at the
end of the post-closure care period the
owner or operator of the CCR unit is
operating under assessment monitoring
in accordance with § 257.95. If the unit
remains in assessment monitoring, the
owner or operator must continue to
conduct post-closure care until the
owner or operator returns to detection
monitoring in accordance with § 257.95.
This means that there can be no
detections of any Appendix IV
constituents for two consecutive
sampling events. Therefore, the final
regulatory text has been revised to
account for this.
The requirement to be in detection
monitoring to conclude the post-closure
care is the same standard currently
specified in the requirements for closure
by leaving waste in place. This rule does
not change any requirements of the
groundwater monitoring and corrective
action program. The owner or operator
would need to conduct groundwater
monitoring and corrective action in
accordance with the requirements of
§§ 257.90 through 257.98. See revised
§ 257.104(c).
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d. Closure and Post-Closure Care Plans
The Agency is finalizing as proposed
the requirement that owners and
operators closing a CCR unit under this
new closure alternative would need to
revise their written closure plan. The
closure plan describes the closure of the
unit and provides a schedule for
implementation of the plan. The owner
or operator would need to revise the
current plan and describe how the CCR
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unit would be closed in accordance
with the revised closure options. The
current CCR regulations already include
procedures to amend written plans
under certain circumstances, including
when there is a change in the operation
of a CCR unit that would substantially
affect the current written plan or when
unanticipated events necessitate a
revision of the plan. See
§ 257.102(b)(3)(ii). EPA expects owners
and operators to revise the current
closure plan according to these existing
procedures. This rule also requires
owners or operators opting for this
approach to prepare an initial postclosure care plan within six months of
the effective date of this final rule. The
post-closure care plan describes how the
CCR unit will be maintained after
closure of the unit is completed. Prior
to this final rule, CCR units that closed
by removal of CCR are exempt from any
post-closure care requirements so the
preparation of a post-closure care plan
will be a new requirement for owners
and operators closing a unit under this
new option. EPA believes that six
months from the effective date of this
final rule, or one year from publication
of this final rule is a reasonable amount
of time to prepare the post-closure care
plan because the owner or operator
should already have prepared the
closure plan for the unit and begun
implementation of the corrective
measures remedy.
EPA is aware that some facilities that
planned to close a unit by removal of
CCR nonetheless completed a postclosure care plan. In this situation, the
CCR regulations already include
requirements to amend written plans
under certain circumstances, including
when there is a change in the operation
of a CCR unit that would substantially
affect the current written plan or when
unanticipated events necessitate a
revision of the plan. See § 257.104(d)(3).
EPA expects that these owners or
operators would revise the existing postclosure care plan according to these
existing procedures.
e. Notation on the Deed to the Property
Under the existing regulations,
following the closure of a CCR unit that
will be subject to post-closure care, the
owner or operator must record a
notation on the deed to the property, or
some other instrument that is normally
examined during title search, notifying
any potential purchaser of the property
in perpetuity that the land has been
used as a CCR unit, and its use is
restricted under the post-closure care
requirements. See § 257.102(i). The
rationale for this requirement is to
ensure that prospective and subsequent
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39087
owners are aware of the presence of a
closed unit on the property and of the
need for continued maintenance of the
cover or of any ongoing corrective
actions. Following that same logic, units
that have closed by removal in
accordance with § 257.102(c) have been
exempt from the deed notation
requirement, both because all waste and
associated contamination have been
removed, and because there is no
continuing post-closure care that needs
to be maintained.
Units closing under this new closure
option will be required to record a deed
notation because they would not have
closed by removal in accordance with
§ 257.102(c)(1) (as corrective action
would not have been completed) and
because post-closure care would be
required. See § 257.102(i)(4). But these
units are not wholly analogous to the
other units subject to a deed notation
(i.e., those closing with waste in place).
Units falling under this new closure
option will have already had all waste
removed in its entirety and so would
require no continued maintenance.
However, groundwater remediation
actions would be continuing, raising
concern about potential exposures.
Therefore, EPA proposed that the
owner or operator record a notation on
the deed to the property (or some other
instrument normally examined during a
title search) until all groundwater
corrective action has been completed—
that is, when groundwater monitoring
concentrations do not exceed the
groundwater protection standard
established pursuant to § 257.95(h) for
constituents listed in appendix IV to
part 257. EPA proposed the deed
notation because all removal and
decontamination actions have not been
completed. Given that groundwater
corrective action may continue for years
or decades, the deed restrictions are a
practical way of limiting human
exposure during a period when
contamination is still present, and
thereby ensuring that the statutory
standard under RCRA section 4004(a)
continues to be met.
As part of the post-closure care
provisions under § 257.104, EPA
proposed to allow removal of the deed
notation, or the addition of a second
notation reflecting the inapplicability of
the first notation, as may be applicable
under existing State or local law, when
groundwater corrective action is
completed for the CCR unit. Under this
closure option, completion of
groundwater corrective action would
indicate that all removal and
decontamination actions have been
completed. To remove the deed notation
(or add a second notation), the owner or
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operator would need to complete two
actions. First, the owner or operator
would need to demonstrate that
groundwater monitoring concentrations
no longer exceed any groundwater
protection standard established
pursuant to § 257.95(h) for constituents
listed in Appendix IV to part 257. See
§ 257.104(g). Second, the owner or
operator would need to complete the
notification stating the post-closure care
requirements have been met as required
in § 257.104(e). Removing the deed
notation upon completion of all removal
and decontamination activities is
consistent with the current procedures
for CCR units that close by removal
under § 257.102(i)(4).
The existing CCR regulations require
a specific type of control (i.e., deed
notations) to communicate use
limitations to present and future users
of the land with the closed CCR unit.
The Agency solicited comments on
whether the use of deed restriction
controls is too narrow under this new
closure option and whether the CCR
regulations should allow for the use of
different legal mechanisms and controls
to communicate limits on the activities
that can safely take place at the site.
Some commenters supported inclusion
of more flexibility and alternative
instruments to accomplish this purpose.
For example, one commenter pointed
out that in Colorado, the State routinely
uses Environmental Use Restrictions/
Environmental Covenants. Other
commenters asserted that EPA should
allow the owner or operator to
determine which instrument to use or
allow the Participating State Director to
decide. ASTSWMO commented that the
proposed language requiring the use of
deed restriction controls appears to be
consistent with language in 40 CFR
258.60(i) as applicable to Municipal
Solid Waste (MSW) Landfills, and that
it might be helpful for States that the
language between CCR and MSW
landfills aligns.
Other commenters mentioned the
importance of deed notations is that it
compels impoundment owners to create
a publicly accessible record attached to
a property deed noting that the property
is subject to ongoing groundwater
corrective action requirements.
Attaching such a note to the deed also
ensures any subsequent owner of the
property would be on notice of ongoing
cleanup obligations and would be liable
for following through on them. The
commenter stated that any alternative to
deed notification that EPA may be
considering (i.e., other approaches
under private property law) should only
be considered if they also provide these
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benefits of the deed notification
requirement.
The Agency has decided to finalize
the proposal to require that the owner
or operator record a notation on the
deed to the property until all
groundwater corrective action has been
completed. EPA agrees that a deed
notation performs an important function
to ensure any subsequent owner of the
property is on notice of the ongoing
cleanup obligations and of the liability
of any subsequent owner until those
obligations are completed. None of the
commenters provided sufficient
information for EPA to conclude that
the alternative measures that they
suggested would provide the same level
of assurance as a deed notation.
Moreover, the use of a deed notation is
consistent with the requirements for
MSW landfills and with CCR units
closing by leaving waste in place, and
therefore EPA expects the public and
regulated entities will be familiar with
them. Additionally, as discussed above,
once the closure by removal is
complete, the owner or operator can
remove the deed notification.
f. Closure Certification or Approval
The Agency is adopting without
revision the proposal that the owner or
operator will continue to be subject to
the same certification or approval
requirement that is currently applicable
to all CCR units as specified in
§ 257.102(f)(3). Under this requirement,
the owner or operator must obtain a
certification from a qualified P.E. or
approval from the Participating State
Director (or EPA where EPA is the
permitting authority) verifying that
closure has been completed in
accordance with the written closure
plan and all applicable closure
requirements of § 257.102. Under this
provision, the certification or approval
would reflect that all removal and
decontamination activities, except for
groundwater corrective action, have
been completed. The certification or
approval would not address the
remediation of the impacted
groundwater because groundwater
corrective action will be completed
during the post-closure care period,
including applicable post-closure care
certification and approval requirements.
E. Technical Corrections
Through the implementation of the
2015 CCR Rule, the Agency identified
several minor errors and
inconsistencies. Therefore, EPA is
amending the CCR regulations to clarify
definitions, accurately reference the
definition of wetlands, and use
consistent language when referring to
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publicly accessible internet sites. The
Agency is also amending an incorrect
reference to § 257.99 in the groundwater
monitoring scope section. Finally, EPA
is extending the period for certain
document retention and posting.
1. Definitions of ‘‘Technically Feasible’’
and ‘‘Technically Infeasible’’
EPA proposed to revise the definition
of technically feasible to clarify that the
terms technically feasible and feasible
have the same meaning in the
regulations. The existing regulations
define technically feasible as ‘‘possible
to do in a way that would likely be
successful.’’ EPA codified this
definition in 2020 when amending the
alternative closure requirements for
landfills and impoundments. 85 FR
53542 (August 28, 2020). As EPA
explained, the definition was based on
two dictionary definitions of ‘‘feasible’’:
‘‘capable of being done or carried out’’
(Merriam website (https://
www.merriam-webster.com/dictionary/
feasible)) and ‘‘possible to do and likely
to be successful’’ (Cambridge English
Dictionary (https://dictionary.
cambridge.org/us/dictionary/english/
feasible)). Id.
However, some rule provisions use
the term feasible. EPA never intended to
distinguish between these terms. See,
e.g., 80 FR 21422–21423, 85 FR 53542.
Therefore, EPA proposed to add the
term feasible to the existing definition of
technically feasible to make clear that
both terms have the same meaning in
the regulations. This definition revision
would be accomplished by adding ‘‘or
feasible’’ to the existing definition so
that the definition would read
‘‘Technically feasible or feasible means
possible to do in a way that would
likely be successful.’’ For similar
reasons, EPA proposed to also revise the
definition of technically infeasible to
clarify that the terms technically
infeasible and infeasible have the same
meaning in the regulations.
EPA received comments on this issue
that opposed adding ‘‘feasible’’ and
‘‘infeasible’’ as definitions. The
commenters said the term ‘‘feasible’’ is
used in the § 257.102(f)(2)(i) standard
for obtaining extensions to the closure
time frames, and that if EPA finalizes
the provision as proposed, the change
should not be applied retroactively to
facilities that used the closure
extension. Other commenters said this
is not how EPA should correct
regulatory errors and there is a lack of
discussion on all situations and
regulatory history regarding these terms.
EPA disagrees that these terms have
different meanings under the CCR
regulations or that this clarification will
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negatively impact implementation of the
requirements by regulated entities. See,
85 FR 53542 (relying on dictionary
definitions of ‘‘feasible’’ to define
‘technically feasible’). EPA is simply
clarifying the meaning of these
synonymous terms. Id. Therefore, EPA
is finalizing these changes as proposed.
This is codified in the regulatory text at
§ 257.53.
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2. Wetlands Reference Correction
When the 2015 CCR Rule was
finalized in April 2015, § 257.61(a)
referenced § 232.2, which contained a
definition of wetlands. An EPA and
United States Army Corps of Engineers
joint final rule published June 29, 2015
(80 FR 37053) amended § 232.2 by
removing the definition of wetlands.
However, the reference to § 232.2 in
§ 257.61(a) of the 2015 CCR Rule was
not updated. EPA proposed an
amendment that would correct the CFR
reference for the wetlands definition by
referring to 40 CFR 230.41(a) (December
24, 1980, 45 FR 85344). EPA received
one comment on this issue about the
U.S. Supreme Court decision in Sackett
v. EPA, 21–454, in which the Court
substantially narrowed the scope of
wetlands subject to Federal jurisdiction
under the Clean Water Act. EPA
reviewed the Sackett decision and
determined that the wetlands definition
contained in § 257.61(a) remains valid
after that decision. EPA is therefore
finalizing this provision as proposed.
This is codified in the regulatory text at
§ 257.61.
3. Groundwater Monitoring and
Corrective Action Applicability
EPA proposed to correct a
typographical error in the initial
applicability paragraph of the
groundwater monitoring and corrective
action regulations. In § 257.90(a), the
existing regulations refer to the
‘‘groundwater monitoring and corrective
action requirements under §§ 257.90
through 257.99’’; however, there are no
requirements codified under § 257.99.
This was brought to EPA’s attention by
a State interested in permit program
approval. To avoid confusion with the
regulations, EPA proposed to revise the
section references in § 257.90(a) to read
‘‘groundwater monitoring and corrective
action requirements under §§ 257.90
through 257.98.’’ EPA did not receive
any comments on this issue and is
therefore finalizing this provision as
proposed.
4. Publicly Accessible Internet Site
EPA proposed to change several
provisions using the term ‘‘CCR
website’’ to ‘‘CCR website,’’ which is the
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term used in § 257.107(a). The
inconsistent spelling of CCR website
was brought to our attention by a State
interested in permit program approval.
To avoid confusion with the regulations,
EPA proposed to correct such references
in §§ 257.100(e)(1)(iii) and 257.107(b)
through (j). EPA did not receive any
comments on this issue and is therefore
finalizing these provisions as proposed.
EPA is also revising § 257.107(b) to
provide owners and operators the
flexibility to maintain one website for
multiple electric power sector rules.
This new provision allows an owner or
operator to document the facility’s
compliance with the requirements of
other environmental rules on the same
website that is used for CCR units. In
order to use a combined website, the
final rule requires that the owner or
operator delineate the postings for each
regulatory program under a separate
heading on the website. For example,
the required CCR rule postings must be
placed under a ‘‘CCR Rule Compliance
Data and Information’’ heading, while
postings required by the ELG rule would
be posted under a separate heading
‘‘ELG Rule Compliance Data and
Information.’’ 151 EPA is providing this
flexibility to reduce paperwork burden
and make it easier for communities to
access this information.
5. Document Retention
The CCR regulations require the
production of many documents that
provide information on many aspects of
regulated CCR units, for example from
history of construction to periodic
inspections, as well as closure activity
and groundwater sampling and cleanup,
if necessary. These documents must be
retained in the facility operating record
as well as posted on the facility CCR
website, generally for a five-year period.
In the proposed rule, EPA requested
comment on potential revision of
document posting and retention times
currently in the regulations. EPA raised
the concern that some of the current
retention times may be too short to
accomplish the goals underlying the
posting requirement, namely
transparency and information
availability. This concern stems from
the fact that information that is still
relevant for CCR units may reach the
original retention time limit while the
availability of the documents would still
serve the purposes of transparency and
information availability after the
original retention deadline.
The comments received were largely
in favor of revising the document
151 See § 423.19 for ELG rule posting
requirements.
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39089
retention periods, though those
commenters who provided suggested
approaches or examples of longer
retention periods were not entirely
consistent in the approaches offered.
One commenter opposed the concept
of expanding the retention time for any
documents that are required to be
posted on facility websites. This
commenter stated the current retention
period provides clear guidance to the
regulated community and that
extending the retention period could
add to additional redundant or outdated
material on the websites. This
commenter also said that the purpose of
the website posting requirement has
been obviated by the passage of the
WIIN Act. For several reasons, EPA
disagrees with this comment. First, the
regulations already include provisions
to decrease or eliminate redundancy or
outdated postings. See, for example,
§ 257.107(g)(1), which requires only the
most recent dust suppression plan to be
maintained on the website. Second, the
core principle of the website posting
requirement is relevance: facilities are
required to post information relevant to
the operation and closure of CCR units
and cleanup of any releases from those
units. It is clear that a five-year retention
period may not be adequate for
documents that remain relevant well
beyond that length of time, which is
proving to be true for many of the
required documents. Third, while it is
true that website posting is one of
several measures EPA implemented in
the original rule before the WIIN Act
was enacted, nothing in the WIIN Act
makes the goals of transparency and
information availability for
communities and other interested
parties obsolete.
The other commenters all agree that
extensions to the website posting and
retention time periods are warranted.
Those comments that included actual
time frame suggestions based those
suggestions on the type of document
and relevance to the operation, closure,
and cleanup requirements of the
regulations, though they varied in the
exact approach and length of
extensions.
EPA has decided that to accomplish
the regulatory goals underlying the
document preparation and retention
requirements, longer retention times are
required. Therefore, EPA is revising the
retention periods as provided in this
final rule. EPA does agree that the
approach for extensions should be based
on the nature of each document and the
relevance of each document to
demonstrating compliance with
regulatory milestones. This approach
was already employed in the 2015 CCR
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Rule for numerous documents (e.g., the
groundwater remedy selection
document is currently required to be
retained until remedy completion). See
§ 257.107(h)(9). In this rule, EPA is
applying this same approach to other
documents prepared under the
regulations.
There are several related issues that
are involved in the document
preparation, retention and posting
requirements that deserve discussion
here. First, the website posting
regulations in § 257.107 are companions
to, and cross-reference, the operating
record regulations in subpart § 257.105.
The interrelation of these sections
means that this revisiting of the website
posting regulations necessitates a review
of those regulations that address the
placing and retaining of documents in
the facility operating record.
Accordingly, EPA is including
accompanying retention time period
changes to § 257.105 as appropriate and
relevant to the changes to § 257.107.
Additionally, as suggested by several
commenters, the retention of the
documents in the operating record for a
longer period than retention on the
website not only makes sense for some
documents, but supports the Agency not
requiring that every prepared document
remain on the website. This is
particularly true for documents that are
either periodically updated or result
from recurring assessments. In
implementing this approach, the
Agency is mindful of and in agreement
with the comments that urged the
Agency to not require the posting of all
documents out of concern that the
websites would become cluttered and
confusing.
Second, a related issue arises where
there may be more than one version of
a document, which version of a required
document must be posted or retained in
the operating record. This situation
arises, for example, when a required
document is updated or a document is
required to be prepared for recurring
assessments. Where appropriate, the
regulations are being revised to ensure
they are clear about what version or
versions of documents must be posted
and retained.
A third issue is that, for some
documents, the five-year retention and
posting duration requirements may have
expired. However, some of these
documents are still relevant to an
operating or closing unit, or a unit in
post-closure care status or undergoing
groundwater cleanup. For these
documents, the purposes of retaining
and posting them are still viable and
there are compelling reasons to ensure
these documents are available on the
facility website and in the facility
operating record. EPA is, therefore,
requiring that documents that may have
been taken down and removed from
operating records are placed back in the
operating records and reposted on the
website. Although it is unlikely that
documents that were required to be
prepared under the CCR regulations,
placed in the operating record, and
posted on the website were destroyed or
discarded after the applicable retention
time ran, this requirement nonetheless
includes such documents. In other
words, any required documents that
have been destroyed or discarded must
be reproduced and placed in the
operating record and reposted on the
facility website. Otherwise, there could
be inconsistencies among the required
facility websites totally dependent upon
whether a facility had elected to remove
documents from the website and
operating record and not otherwise
retain the documents in any facility
files. EPA believes that allowing this
inconsistency across facility websites is
an unacceptable approach to ensuring
information relevant to each CCR unit is
publicly available.
Finally, while the approach adopted
here links retention and posting times to
document relevance and the status of
the CCR unit and work undertaken at
the unit, EPA does not believe that the
interest in information availability ends
at the moment a unit’s status changes or
required work ends (e.g., completion of
closure). Therefore, EPA is requiring
that documents remain available for a
reasonable time period after related
milestones are reached. For many
documents, EPA has chosen five years
as the reasonable time period for
document posting and retention after
work is completed or the unit’s status
changes. This is also consistent with
timeframes offered by commenters
where specific timeframes were
suggested.
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TABLE 3—DOCUMENT RETENTION IN THE OPERATING RECORD AND CCR WEBSITE
Document
Operating record
CCR website
Location restrictions demonstration as specified
in §§ 257.60–257.64.
Landfill
liner
and
leachate
collection
preconstruction design certification and post
construction certification as specified in
§ 257.70(e) and (f).
Documentation of liner type as specified in
§ 257.71(a).
Surface impoundment liner preconstruction design certification and postconstruction certification as specified in § 257.72(c) and (d).
Documentation that permanent identification
marker was installed as specified in
§§ 257.73(a)(1) and 257.74(a)(1).
The initial and periodic hazard potential classification assessments as specified in
§§ 257.73(a)(2) and 257.74(a)(2).
§ 257.105(e): 5 years after: closure by removal (CBR) or post-closure care ends.
§ 257.105(f)(1): 5 years after: CBR or postclosure care ends.
§ 257.107(e): 5 years after: CBR or post-closure care ends.
§ 257.107(f)(1): 5 years after: CBR or postclosure care ends.
§ 257.105(f)(2): 5 years after: CBR or postclosure care ends.
§ 257.105(f)(3): 5 years after: CBR or postclosure care ends.
§ 257.107(f)(3): 5 years after: unit ends post
closure care OR liner is removed.
§ 257.107(f)(2): 5 years after: CBR or postclosure care ends OR liner is removed.
§ 257.105(f)(4): 5 years after: CBR or postclosure care ends.
N/A.
§ 257.105(f)(5): Retain all versions ..................
CBR Until closure is complete not including
meeting GWPS.
Closure in place (CIP): until post-closure care
is complete.
§ 257.105(f)(6): Retain all ................................
5 years after: CBR not including meeting
GWPS or unit ends post-closure care.
§ 257.107(f)(4): Current and previous one.
CBR Until closure is complete not including
meeting GWPS.
CIP: Until post closure care is complete.
The emergency action plan, and any revisions
of it, as specified in §§ 257.73(a)(3) and
257.74(a)(3).
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TABLE 3—DOCUMENT RETENTION IN THE OPERATING RECORD AND CCR WEBSITE—Continued
Document
Operating record
CCR website
Documentation prepared by the owner or operator recording the annual face-to-face meeting or exercise between representatives of
the owner or operator of the CCR unit and
the local emergency responders, as specified
in §§ 257.73(a)(3)(i)(E) and 257.74(a)(3)(i)(E).
Documentation prepared by the owner or operator recording any activation of the emergency action plan, as specified in
§§ 257.73(a)(3)(v) and 257.74(a)(3)(v).
The history of construction, and any revisions
of it as specified in § 257.73(c).
§ 257.105(f)(7): Retain all ................................
5 years after: CBR or unit ends post closure
care.
§ 257.107(f)(6): Current version, if EAP is required.
§ 257.105(f)(8): Retain all ................................
5 years after: CBR or unit ends post closure
care.
The initial and periodic structural stability assessments as specified in §§ 257.73(d) and
257.74(d).
§ 257.105(f)(10): Retain all ..............................
CBR Until closure is complete not including
meeting GWPS.
CIP: Until post closure care is complete .........
§ 257.105(f)(11): Retain all ..............................
5 years after: CBR or unit ends post closure
care.
§ 257.107(f)(7): Any documentation prepared
in the last five years; if no activation in the
last 5 years, a statement posted relating
that information.
§ 257.107(f)(8): Only most recent and any revisions from the last 5 years.
5 years after: CBR or unit ends post closure
care.
§ 257.107(f)(9): Current and previous one.
CBR Until closure is complete not including
meeting GWPS.
CIP: Until post closure care is complete.
§ 257.107(f)(10): Current and any corrective
measures.
5 years after: CBR or unit ends post closure
care.
The documentation detailing the corrective
measures taken to remedy the structural stability deficiency for existing or new surface
impoundments as specified in §§ 257.73(d)(2)
and 257.74(d)(2).
The initial and periodic safety factor assessments as specified in §§ 257.73(e) and
257.74(e).
The design and construction plans of the unit,
and any revisions of the plans as specified in
§ 257.74(c).
The application and any supplemental materials
submitted in support of the alternative liner
demonstration application as specified in
§ 257.71(d)(1)(i)(E).
CCRMU Facility Evaluation Report Document
Part 1 as specified in § 257.75(c).
CCRMU Facility Evaluation Report Document
Part 2 as specified in § 257.75(d).
The decision on the alternative liner application
as specified in § 257.71(d)(2)(iii)(F).
The CCR fugitive dust control plan, or any subsequent amendment of the plan as specified
in § 257.80(b).
The annual CCR fugitive dust control report as
specified in § 257.80(c).
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The initial and periodic run-on and run-off control system CCR landfill plans as specified in
§ 257.81(c).
§ 257.105(f)(9): Retain all ................................
5 years after: CBR or unit ends post closure
care.
§ 257.105(f)(12): Retain all ..............................
5 years after: CBR or unit ends post closure
care.
§ 257.105(f)(13): Retain all ..............................
5 years after: CBR or unit ends post closure
care.
§ 257.105(f)(14): 5 years after: CBR or unit
ends post closure care.
§ 257.107(f)(11): Current and previous
5 years after: CBR or unit ends post
care.
§ 257.107(f)(12): Current and previous
5 years after: CBR or unit ends post
care.
§ 257.107(f)(13): 5 years after: CBR
ends post closure care.
one.
closure
§ 257.105(f)(25): 5 years after: CBR or unit
ends post closure care.
§ 257.105(f)(26): 5 years after: CBR or unit
ends post closure care.
§ 257.105(f)(19): 5 years after: CBR or unit
ends post closure care.
§ 257.105(g)(1): Retain all until last CCR unit
at the facility completes post closure care
or CBR.
§ 257.105(g)(2): Retain all until last CCR unit
at the facility completes post closure care
or CBR.
§ 257.105(g)(3): Only most recent ...................
Until 5 years after closure of the landfill is
complete not including achievement of
GWPS.
§ 257.107(f)(24): 5 years after: CBR or unit
ends post closure care.
§ 257.107(f)(25): 5 years after: CBR or unit
ends post closure care.
§ 257.107(f)(18): 5 years after: CBR or unit
ends post closure care.
§ 257.107(g)(1): Only most recent.
Retain until last unit completes post closure
care or CBR.
§ 257.107(g)(2): Current plus last 5 years.
Retain until last unit completes post closure
care or CBR.
§ 257.107(g)(3): Current plus any other
versions from the last 5 years (if updated).
Until 5 years after closure of the landfill is
complete not including achievement of
GWPS.
§ 257.107(g)(4): Current plus any other
versions from the last 5 years (if updated).
Until 5 years after closure of the landfill is
complete not including achievement of
GWPS.
N/A.
one.
closure
or unit
Initial and periodic inflow design flood control
system CCR surface impoundment plans as
specified in § 257.82(c).
§ 257.105(g)(4): Only most recent ...................
Until 5 years after closure of the landfill is
complete not including achievement of
GWPS.
Documentation recording the results of each
CCR surface impoundment inspection and
monitoring as specified in § 257.83(a).
Annual CCR surface impoundment inspection
reports as specified in § 257.83(b)(2).
§ 257.105(g)(5): Retain all
closure is complete not
ment of GWPS.
§ 257.105(g)(6): Retain all
closure is complete not
ment of GWPS.
§ 257.105(g)(7): Retain all
closure is complete not
ment of GWPS.
until 5 years after
including achieve-
§ 257.105(g)(8): Retain all
closure is complete not
ment of GWPS.
§ 257.105(g)(9): Retain all
closure is complete not
ment of GWPS.
until 5 years after
including achieve-
N/A.
until 5 years after
including achieve-
§ 257.107(g)(7): Current plus last 5.
Retain until 5 years after closure is complete
not including achievement of GWPS.
The documentation detailing the corrective
measures taken to remedy the deficiency or
release as specified in §§ 257.83(b)(5) and
257.84(b)(5).
Documentation recording the results of weekly
landfill structural weakness inspection as
specified in § 257.84(a).
Annual landfill inspection reports as specified in
§ 257.84(b)(2).
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including achieve-
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§ 257.107(g)(5): Current plus last 5.
Retain until 5 years after closure is complete
not including achievement of GWPS.
§ 257.107(g)(6): Any corrective measures until
5 years after closure is complete not including achievement of GWPS.
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TABLE 3—DOCUMENT RETENTION IN THE OPERATING RECORD AND CCR WEBSITE—Continued
Document
Operating record
CCR website
Annual groundwater monitoring and corrective
action report as specified in § 257.90(e).
§ 257.105(h)(1): Retain all until 5 years after
the last CCR unit at the facility completes
post-closure care or completion of CBR including achieving GWPS for 3 consecutive
years.
Documentation of design, installation, development, and decommissioning of any monitoring wells, piezometers and other devices
as specified in in § 257.91(e)(1).
Groundwater monitoring system certification as
specified in § 257.91(f).
§ 257.105(h)(2): 5 years after CBR and
GWPS have been met or 5 years after
completion of post-closure care.
§ 257.107(h)(1): Current plus previous 5
years.
Retain until 5 years after last unit completes
post-closure care or completion of CBR including achieving GWPS for 3 consecutive
years.
N/A.
Selection of a statistical method certification as
specified in § 257.93(f)(6).
Assessment of corrective measures as specified in § 257.96(d).
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Documentation recording the public meeting for
the corrective measures assessment as
specified in § 257.96(e).
Notification that the remedy has been completed specified under in § 257.98(e).
Demonstration supporting the suspension of
groundwater monitoring activities as specified
in § 257.90(g).
Written closure plan, and any amendment of
the plan as specified in § 257.102(b).
Demonstration(s) for a time extension for initiating
closure
as
specified
in
§ 257.102(e)(2)(ii) and (iii).
Demonstration(s) for a time extension for completing
closure
as
specified
in
§ 257.102(f)(2)(i) and (iii).
Notification of intent to close a CCR unit as
specified in § 257.102(g).
Notification of completion of closure of a CCR
unit as specified in § 257.102(h).
Notification recording a notation on the deed as
specified in § 257.102(i).
Notification of intent to comply with the alternative closure requirements for landfills as
specified in § 257.103(c)(1).
Annual progress reports under the alternative
closure requirements for landfills as specified
in § 257.103(c)(2).
Written post-closure plan, and any amendment
of the plan as specified in § 257.104(d).
Notification of completion of post-closure care
as specified in § 257.104(e).
Notification of intent to comply with the sitespecific alternative to initiation of closure due
to development of alternative capacity infeasible as specified in § 257.103(f)(1)(ix)(A).
Approved or denied demonstration for the sitespecific alternative to initiation of closure due
to development of alternative capacity infeasible as specified in § 257.103(f)(1)(ix)(B).
Notification for requesting additional time to the
alternative cease receipt of waste deadline
as specified in § 257.103(f)(1)(ix)(C).
Semi-annual progress reports for the site-specific alternative to initiation of closure due to
development of alternative capacity infeasible
as specified in § 257.103(f)(1)(xi).
Notification of intent to comply with the sitespecific alternative to initiation of closure due
to permanent cessation of a coal-fired boiler(s) by a date certain as specified in
§ 257.103(f)(1)(viii).
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§ 257.105(h)(3): 5 years after CBR and
GWPS have been met or 5 years after
completion of post-closure care.
§ 257.105(h)(4): 5 years after CBR and
GWPS have been met or 5 years after
completion of post-closure care.
§ 257.105(h)(10): 5 years after CBR and
GWPS have been met or 5 years after
completion of post-closure care.
§ 257.105(h)(11): 5 years after CBR and App
IV GWPS have been met or 5 years after
completion of post-closure care.
§ 257.105(h)(13): 5 years after completion of
remedy.
§ 257.105(h)(14): 5 years after last unit ends
post closure care.
§ 257.107(h)(2): 5 years after
GWPS have been met or 5
completion of post-closure care.
§ 257.107(h)(3): 5 years after
GWPS have been met or 5
completion of post-closure care.
§ 257.107(h)(8): 5 years after
GWPS have been met or 5
completion of post-closure care.
N/A.
§ 257.105(i)(4): Only the most recent ..............
5 years after CBR or 5 years after post-closure care is complete.
§ 257.105(i)(5): Until notice of closure completion is posted.
§ 257.107(i)(4): Only the most recent.
5 years after CBR or 5 years after post-closure care is complete.
§ 257.107(i)(5): Until notice of closure completion is posted.
§ 257.105(i)(6): 5 years after closure is complete.
§ 257.107(i)(6): 5 years after closure is complete.
§ 257.105(i)(7): 5 years after closure complete
§ 257.105(i)(8): 5 years after unit ends post
closure care or CBR.
§ 257.105(i)(9): 5 years after unit ends post
closure care.
§ 257.105(i)(10): 5 years after the unit completes closure.
§ 257.107(i)(7): 5 years after closure complete.
§ 257.107(i)(8): 5 years after unit ends post
closure care or CBR
§ 257.107(i)(9): 5 years after unit ends post
closure care.
§ 257.107(i)(10): 5 years after the unit completes closure.
§ 257.105(i)(11): 5 years after the unit completes closure.
§ 257.107(i)(11): 5 years after the unit completes closure.
§ 257.105(i)(12): 5 years after unit ends post
closure care.
§ 257.105(i)(13): 5 years after unit ends post
closure care.
§ 257.105(i)(14): 5 years after: CBR or unit
ends post closure care.
§ 257.107(i)(12): 5 years after unit ends post
closure care.
§ 257.107(i)(13): 5 years after unit ends post
closure care.
§ 257.107(i)(14): 5 years after: CBR or unit
ends post closure care.
§ 257.105(i)(15): 5 years after: CBR or unit
ends post closure care.
§ 257.107(i)(15): 5 years after: CBR or unit
ends post closure care.
§ 257.105(i)(16): 5 years after: CBR or unit
ends post closure care.
§ 257.107(i)(16): 5 years after: CBR or unit
ends post closure care.
§ 257.105(i)(17): 5 years after: CBR or unit
ends post closure care.
§ 257.107(i)(17): 5 years after: CBR or unit
ends post closure care.
§ 257.105(i)(18): 5 years after: CBR or unit
ends post closure care.
§ 257.107(i)(18): 5 years after: CBR or unit
ends post closure care.
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CBR and
years after
CBR and
years after
CBR and
years after
§ 257.107(h)(10): 5 years after completion of
remedy.
§ 257.107(h)(11): 5 years after posting.
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TABLE 3—DOCUMENT RETENTION IN THE OPERATING RECORD AND CCR WEBSITE—Continued
Document
Operating record
CCR website
Approved or denied demonstration for the sitespecific alternative to initiation of closure due
to permanent cessation of a coal-fired boiler(s) by a date certain as specified in
§ 257.103(f)(2)(ix).
Annual progress report for the site-specific alternative to initiation of closure due to permanent cessation of a coal-fired boiler(s) by a
date certain as specified in § 257.103(f)(2)(x).
Legacy Applicability Report as specified in
§ 257.100(f)(1)(i).
§ 257.105(i)(19): 5 years after: CBR or unit
ends post closure care.
§ 257.107(i)(19): 5 years after: CBR or unit
ends post closure care.
§ 257.105(i)(20): 5 years after: CBR or unit
ends post closure care.
§ 257.107(i)(20): 5 years after: CBR or unit
ends post closure care.
§ 257.105(k)(1): 5 years after: CBR or unit
ends post closure care.
§ 257.107(k)(1): 5 years after: CBR or unit
ends post closure care.
certain portions of this final rule, when
EPA establishes a Federal CCR permit
program, EPA will begin issuing permits
for CCR units, legacy CCR surface
impoundments, and CCRMU in
nonparticipating States.
As discussed in Units III.A. and III.B
of this preamble, EPA is establishing
requirements for legacy CCR surface
impoundments and CCRMU. Because
legacy CCR surface impoundments and
CCRMU are new types of Federally
regulated units, no State is currently
approved to issue State CCR permits to
such units in lieu of the Federal CCR
regulations. Thus, any State that wants
approval to issue permits to such units
will be required to update the State CCR
regulations and go through the State
CCR permit program approval process
set forth in RCRA section 4005(d).
As discussed in Units III.B.g and III.D
of this preamble, EPA is also revising
requirements under the existing CCR
regulations. The revised requirements
will directly apply to affected facilities
except to the extent EPA has already
approved the State to issue permits for
the original requirement. In such a case,
the State requirement will apply in lieu
of the new Federal requirement until the
State program is revised. certain
provisions (i.e., the requirement to
expand § 257.102(d)(2) to landfills that
are inundated with groundwater,
document retention timeframes) to be
more protective
One commenter asked if a State can
adopt regulations for either legacy CCR
surface impoundments or CCRMU, but
not both. EPA issued the Coal
Combustion Residuals State Permit
Program Guidance Document; Interim
Final (82 FR 38685, August 15, 2017)
(the ‘‘Guidance Document’’) to advise
States interested in developing a State
CCR permit program for approval by
EPA. The Guidance Document explains
the process for developing a State CCR
permit program and expressly
contemplates a State requesting partial
approval of such a program. Thus, a
State may request approval of the final
rule provisions applicable to either or
both the legacy CCR surface
impoundments and the CCRMU
requirements.
Some commenters discussed the
process for approving State CCR permit
programs and inquired about the
number of States that EPA is currently
working with and the timeframe for
approval of a State program package. As
noted above, the Guidance Document
explains the process for States to
develop of State CCR permit program.
The time it takes to develop an
approvable State program depends on a
number of factors, including the time it
takes for a State to promulgate or enact
regulations that are as protective as the
Federal CCR regulations. Once the State
has a complete and approvable program,
EPA will issue the final program
determination within 180 days of
determining that the State’s submission
is complete. EPA commits to working
with States to adopt regulations that are
at least as protective as the Federal CCR
regulations and to review any draft
application materials and provide
comments to ensure the final
application package can go through
EPA’s approval process in a timely
manner. The process for approving
program modifications is the same as for
the initial program approval: EPA will
propose to approve or deny the program
modification and hold a public hearing
during the comment period. EPA will
then issue the final program
determination within 180 days of
determining that the State’s submission
is complete.
Finally, EPA received comments
saying that EPA seems to be finalizing
these regulations under the selfimplementing regulatory scheme that
existed when the 2015 CCR rule was
promulgated. The comments further say
that since then, Congress enacted the
WIIN Act, which fundamentally
changed the regulatory landscape and
now requires implementation through
IV. Effect on State CCR Permit
Programs
In the proposed rule, EPA discussed
the effect of the amended regulations on
State CCR permit programs. The
revisions to the CCR regulations both
establish standards for new types of
units and revise existing requirements
for CCR units defined in and subject to
the 2015 CCR Rule. For this reason, the
requirements for approval and retention
of a State CCR permit program in
accordance with RCRA section 4005(d)
will change. How these revisions will
affect States depends on whether the
State has received approval for the
provisions that are ultimately included
in any final rule and whether the State
is seeking full or partial approval of its
permit program.
EPA received several comments
asking for clarification on what States
need to do to adopt these revisions. As
EPA explained in the proposed rule, if
a State has an approved program
pursuant to RCRA section 4005(d), that
State program will continue to operate
in lieu of the portions of the Federal
program adopted by the State, even if
EPA revised the Federal analog of that
regulation in this final action. See 42
U.S.C. 6945(d)(1)(A), (3). This means
that the applicable revisions to the
Federal CCR regulations will only take
effect in an approved State when the
State revises its program to adopt them.
For this reason, RCRA requires a State
to revise its program within three years
of any applicable revision to the Federal
CCR regulation that is more protective
than the existing State program in order
to maintain approval. See, 42 U.S.C.
6945(d)(1)(D)(i)(II). Conversely, the
Federal requirements continue to apply
directly to CCR facilities in States
without an approved CCR program and
in States with a partial CCR program.
EPA will work with each State that is
interested in adopting these regulations
to ensure the State CCR permit program
is at least as protective as the Federal
program. If a State chooses not to adopt
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State and Federal permit programs. EPA
acknowledges this Congressional
mandate and is working to finalize the
Federal CCR permit program in addition
to approving State permit programs.
States have requested that EPA finalize
the legacy CCR surface impoundment
provisions and other provisions that
were remanded back to the Agency to
allow States to apply for full program
approval. EPA disagrees that the selfimplementing rule is inappropriate in
lieu of the WIIN Act requirements
because all owners and operators of CCR
units and CCRMU will need to follow
the self-implementing rule until they
obtain a State or Federal permit. Lastly,
any permits that are issued by EPA will
refer to the regulatory requirements in
40 CFR part 257, subpart D, or the
equivalent State regulation in the case of
State permits.
V. The Projected Economic Impact of
This Action
A. Introduction
EPA estimated the costs and benefits
of this action in a Regulatory Impact
Analysis (RIA), which is available in the
docket for this action.
B. Affected Universe
The universe of facilities and units
affected by the final rule includes four
categories. The first is comprised of
facilities with legacy CCR surface
impoundments. The RIA identifies 194
legacy CCR surface impoundments
located at 84 facilities. The second
component of the affected universe is
composed of CCRMU. The RIA
identifies 195 CCRMU at 104 facilities.
The third component of the affected
universe is composed of CCRMU at
‘‘other active facilities,’’ or OAFUs. The
RIA identifies 15 OAFUs at six facilities.
The final component of the universe is
comprised of CCR landfills that are
already regulated under the 2015 CCR
Rule, but which have waste in contact
with groundwater. The RIA identifies 39
such landfills at 33 facilities.
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C. Baseline Costs
The RIA examines the extent to which
baseline practices at legacy CCR surface
impoundments and CCRMU address
contamination in a manner consistent
with the requirements of the final rule.
To the extent that legacy CCR surface
impoundments and CCRMU are already
sufficiently addressing contamination,
they are assumed to not incur costs or
realize benefits under the final rule. To
estimate the proportion of legacy CCR
surface impoundments addressing
contamination in the baseline, the RIA
examines relevant Federal and State
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programs and determines that about
9.8% of legacy CCR surface
impoundments are addressing site
contamination. To estimate the
proportion of CCRMU addressing
contamination, the RIA examines
publicly available filings from owners
and operators of regulated coal-fired
power plants. The RIA estimates that
about 20.8% of CCRMU are undergoing
sitewide corrective action and closure in
a manner sufficient to meet the
requirements of the final rule.
D. Costs and Benefits of the Final Rule
The RIA estimates that the annualized
costs of this action will be
approximately $214–$240 million per
year when discounting at 2%. Of this,
$123–$135 million is attributable to the
requirements for legacy CCR surface
impoundments, which are subject to the
D.C. Circuit’s order in USWAG, $79–$92
million is attributable to the
requirements for CCRMU, $8–$9 million
is attributable to the requirements for
OAFUs, and $4 million is attributable to
requirements for landfills. The costs of
this final rule are discussed further in
the RIA and include the costs of unit
closure, corrective action, fugitive dust
controls, structural integrity
inspections, and recordkeeping and
reporting.
The RIA estimates that the annualized
monetized benefits attributable to this
action will be approximately $53–$80
million per year when discounting at
2%. Of this, $43–$57 million is
attributable to the requirements for
legacy CCR surface impoundments, $9–
$21 million is attributable to the
requirements for CCRMU, $1–$2 million
is attributable to the requirements for
CCRMU at ‘‘other active facilities,’’ or
OAFUs. Requirements for landfills
account for a de minimis amount of
benefits. The monetized benefits of this
proposed rule are discussed further in
the RIA, and include reduced incidents
of cancer from the consumption of
arsenic in drinking water, avoided
intelligence quotient (IQ) losses from
mercury and lead exposure, non-market
benefits of water quality improvements,
and the protection of threatened and
endangered species. EPA also
monetized the benefits of avoided
impoundment failures, including both
‘‘catastrophic’’ failures and smallervolume releases. One example of a
severe impoundment failure is the Dan
River Steam Station failure that
occurred in 2014, when a stormwater
drainage pipe under the inactive surface
impoundments at the Dan River Steam
Station caused the inadvertent release of
39,000 tons of CCR directly into the
nearby Dan River. The resulting high-
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end estimate of the costs of this
impoundment failure is $300 million.
The monetized benefits in the RIA are
incomplete and omit categories of
benefits that are known to be significant.
One such category of benefits is avoided
cases of lung and bladder cancers due
to exposure to arsenic III and arsenic V.
Inorganic arsenic is known to occur in
CCRs, and can leach into drinking water
from leaking CCR disposal units. The
EPA IRIS Toxicological Review of
Inorganic Arsenic (CASRN 7440–38–2)
draft, published in October 2023,
provides updated toxicity values for
cancer outcomes associated with
inorganic arsenic exposure. From these
values the benefits of avoided cancer
cases can be monetized. The RIA does
not consider these avoided cancer
benefits in the main analysis because
the IRIS report underlying them is still
draft and subject to revision. These
benefits are instead monetized in a
sensitivity analysis and are estimated to
be $19 million per year when
discounting at 2%. As these benefits are
but two health endpoints from a single
contaminant, they point to the possible
true magnitude of benefits attributable
to the final rule.
The RIA also describes a number of
important benefits that cannot currently
be quantified or monetized due to data
limitations or limitations in current
methodologies. These benefits include
reducing the baseline risk of unit
leakage and failure attributable to
climate-change driven severe weather
events. Many legacy CCR surface
impoundments and CCRMU are situated
close to rivers or are located along the
coast. These units are vulnerable to
inland or coastal flooding, which may
occur at an increased frequency due to
the effects of climate change. Flooding
events may cause these units to overtop
or catastrophically collapse, releasing
CCR into the environment, exposing
nearby communities to toxic
contamination and necessitating
potentially costly cleanup and
remediation. EPA has identified 62
legacy CCR impoundments at medium
or high risk from climate change-driven
flooding, and 74 CCRMU at medium or
high risk from climate change drivenflooding.
Another set of benefits outside the
scope of quantification include reducing
the instance of negative human health
impacts such as cardiovascular
mortality, neurological effects, and
cancers (separate from the quantified
cancer benefits) brought on by exposure
to toxins found in coal ash. Either
through leaking impoundment sites or
release events, many pollutants from
legacy CCR surface impoundments are
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likely to contaminate nearby water
bodies, affecting surface waters, local
fish populations, and drinking water
reservoirs. Because known transport
pathways exist between these release
events and human health endpoints,
EPA expects the proposed rule to cause
risk reductions for various categories
that are not yet quantifiable. Toxins
such as thallium, molybdenum, and
lithium, while all present in CCR, lack
the data to create dose-response
relationships between ingestion rates
and specific health endpoints, and thus
precludes EPA from quantifying
associated benefits.
The RIA describes several surface
water quality benefits such as the
improved health of ecosystems
proximate to CCR disposal units, and
the avoided costs of treating public
drinking water impacted by CCR
contamination. EPA expects leakages or
releases of effluent from any CCR
surface impoundment site to
contaminate nearby surface waters and
environments. Introduction of arsenic,
selenium, and other heavy metals
associated with CCR surface
impoundment contents are shown to
accumulate in sediments of nearby
stream and lake beds, posing risks and
injury to organisms and consequently
ecosystems. Although surface waters are
broadly protected from high levels of
contaminants under EPA’s regulations
and Water Quality Criteria (WQC),
complex interactions from trace
amounts of heavy metals and other
toxins known to be released from legacy
CCR surface impoundment sites have
displayed measurable impact to aquatic
animals and ecosystems.152
The RIA discusses how the final rule
may result in avoided drinking water
treatment costs and drinking water
quality improvements at public water
systems. First, by reducing the risk of
CCR leakage events and impoundment
failures, the proposed rule will help
avoid costs of water quality treatment at
public intake sources. Second, by
preventing release events the proposed
rule has the potential to reduce the
incidence of eutrophication in source
waters for public drinking supplies.
Eutrophication is primarily caused by
an overabundance of nitrogen and
phosphorus. It causes foul tastes and
odors, which require additional
treatment, and commensurate
expenditure, to remove.
The RIA discusses potential impacts
on the market for the beneficial use of
152 Brandt, Jessica E., et al. ‘‘Beyond selenium:
coal combustion residuals lead to multielement
enrichment in receiving lake food webs.’’
Environmental science & technology 53.8 (2019):
4119–4127.
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CCR as a substitute for virgin materials.
Future uses of CCR are unknown.
Research on the recovery of rare earth
elements and yttrium from coal fly ash
is ongoing but currently only at
laboratory scale. It is possible that in the
future, the availability of additional CCR
may reach an equilibrium price that
encourages demand, particularly as coal
plants retire and the supply of ‘‘new’’
CCR falls. However, the quality of CCR
in legacy CCR surface impoundments
and CCRMU may limit their value.
Older, closed impoundments or other
CCR storage areas are less likely to have
CCR material of a known and reliable
composition.
The RIA also discusses potential
reductions in fugitive dust emanating
from legacy CCR surface
impoundments, which will benefit
fence line communities by reducing the
amount of resuspended ash from legacy
CCR surface impoundments that could
otherwise lead to respiratory health
hazards for communities surrounding a
given legacy impoundment.
The RIA discusses the benefits of
improved property values near closed
and remediated sites. Neighborhoods
located near hazardous waste sites often
experience depressed property values
due to health risks posed by
contaminant exposure pathways,
potential reductions in ecological
services, unsightly aesthetics of the
disposal unit site, and potential stigma
associated with proximity to a disposal
site. Almost a million households, and
over 2.5 million people are located
within three miles of legacy CCR surface
impoundments and CCRMU.
Approximately 75,000 households and
200,000 people are located within a
mile. Improvements in home values
resulting from the proposed rule have
the potential to bestow welfare gains to
homeowners located near legacy CCR
surface impoundments and CCRMU.
The RIA also discusses the value of
reusing land formerly occupied by
legacy CCR surface impoundments, and
CCRMU. Once legacy CCR surface
impoundments and CCRMU are closed
by removal, landfills are properly
capped, or corrective action activities
are completed, the land is more likely
to move into alternative, economically
productive purposes. For example, these
land reuse projects might include
industrial redevelopment or
implementation of green energy
generation which can utilize the
existing electricity grid infrastructure.
Finally, based on the demographic
composition and environmental
conditions of communities within one
and three miles of legacy CCR surface
impoundments, the final rule will
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reduce existing disproportionate and
adverse effects on economically
vulnerable communities, as well as
those that currently face environmental
burdens. For example, in Illinois the
population living within one mile of
legacy CCR surface impoundment sites
is over three times as likely compared
to the State average to have less than a
high school education (35.66%
compared to 10.10%, see RIA exhibit
ES.14), and that population already
experiences higher than average
exposures to particulate matter, ozone,
diesel emissions, lifetime air toxics
cancer risks, and proximity to traffic,
Superfund sites, Risk Management Plan
sites, and hazardous waste facilities (see
RIA exhibit ES.15).
The RIA also discusses the interaction
of the CCR rules with Office of Air rules
governing emissions at power plants.
Following on the significant progress
EPA has made over many decades to
reduce dangerous pollution from coalfired electric utilities’ stack emissions
and effluents, this proposed rule will
help EPA further ensure that the
communities and ecosystems closest to
coal facilities are sufficiently protected
from harm from groundwater
contamination, surface water
contamination, fugitive dust, floods and
impoundment overflows, and threats to
wildlife. The volume and toxicity of
CCR at many sites persisted or increased
over past decades even as coal-fired
units’ air and water emissions
decreased, and this proposed rule will
help EPA fulfill the promise of
substantial public health and welfare
gains from its full suite of regulations
aimed at reducing the harms from coalcombustion pollution.
As noted previously, EPA establishes
the requirements under RCRA sections
1008(a)(3) and 4004(a) without taking
cost into account. See, USWAG, 901
F.3d at 448–49. Although EPA has
accordingly designed its proposal based
on its statutory factors and court
precedent and has not relied on this
benefit-cost analysis in the selection of
its proposed alternative, EPA believes
that after considering all unquantified
and distributional effects, the public
health and welfare gains that will result
from the proposed alternative would
justify the rule’s costs.
VI. Statutory and Executive Order
Reviews
Additional information about these
statutes and Executive Orders can be
found at https://www.epa.gov/lawsregulations/laws-and-executive-orders.
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A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 14904: Modernizing Regulatory
Review
This action is a ‘‘significant regulatory
action’’ under section 3(f)(1) of
Executive Order 12866, as amended by
Executive Order 14094. Accordingly,
the EPA submitted this action to the
Office of Management and Budget
(OMB) for review. Any changes made in
response to recommendations received
as part Executive Order 12866 review
have been documented in the docket.
The EPA prepared an analysis of the
potential costs and benefits associated
with this action. This analysis,
Regulatory Impact Analysis: Hazardous
and Solid Waste Management System:
Disposal of Coal Combustion Residuals
from Electric Utilities; Legacy CCR
Surface Impoundments, is available in
the docket and is briefly summarized in
Unit V.
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B. Paperwork Reduction Act (PRA)
The information collection activities
in this rule will be submitted for
approval to the Office of Management
and Budget (OMB) under the PRA. EPA
submitted the proposed rule ICR to
OMB for approval on March 25th, 2024,
triggering a 30-day public comment
period for this proposed information
collection. EPA anticipates the final ICR
will be approved by the effective date of
this final rule. If EPA receives any new
and substantive comments on proposed
collection, i.e., substantive comments
that were not received during the 60 day
public comment period on the rule
(from May 18, 2023–July 17, 2023), EPA
will address those comments in a
revision to the ICR via the standard PRA
approval process. The Information
Collection Request (ICR) document that
the EPA prepared has been assigned
EPA ICR number 2761.01. Due to the
concurrent timing of this rulemaking
and the timing of the renewal of the
collection of information 2050–0223,
Disposal of Coal Combustion Residuals
From Electric Utilities, EPA is
requesting a temporary OMB control
number for this rulemaking collection,
which will be assigned upon approval
of the proposed ICR by OMB. EPA will
submit a request to merge this
rulemaking collection into the existing
ICR for the program, 2050–0223, once
the final rulemaking ICR and renewal
for 2050–0223 are approved by OMB.
You can find a copy of the ICR in the
docket for this rule, and it is briefly
summarized here. The information
collection requirements are not
enforceable until OMB approves them.
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The final rule requires legacy CCR
surface impoundments to comply with
the reporting and recordkeeping
requirements already in place for
regulated CCR units. Many of these
requirements are one-time requirements
that will occur soon after the
promulgation of the rule, while several
are ongoing. The final rule also requires
legacy CCR surface impoundments to
submit an applicability report, unique to
this universe of units, which will
provide stakeholders with essential site
characteristic and contact information
for the unit.
Respondents/affected entities:
Inactive electric utility plants with
inactive CCR surface impoundments
(legacy CCR surface impoundments),
electric utility plants with CCRMU,
electric utility plants with OAFUs, and
electric utility plants with landfills
already subject to regulation under the
2015 final CCR rule, but which have
waste in contact with groundwater.
Respondent’s obligation to respond:
The recordkeeping, notification, and
posting are mandatory as part of the
minimum national criteria promulgated
under Sections 1008(a), 2002(a), 4004,
and 4005(a) and (d) of RCRA.
Estimated number of respondents:
2,083.
Frequency of response: one-time and
annually.
Total estimated burden: 172,909
hours (per year). Burden is defined at 5
CFR 1320.3(b).
Total estimated cost: $11.2 million
(per year), includes $11.2 million
annualized capital or operation and
maintenance costs.
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid OMB
control number. The OMB control
numbers for the EPA’s regulations in 40
CFR are listed in 40 CFR part 9. When
OMB approves this ICR, the Agency will
announce that approval in the Federal
Register and publish a technical
amendment to 40 CFR part 9 to display
the OMB control number for the
approved information collection
activities contained in this final rule.
C. Regulatory Flexibility Act (RFA)
I certify that this action will not have
a significant economic impact on a
substantial number of small entities
under the RFA. The small entities
subject to the requirements of this
action are owners and operators of coal
fired electric utility plants in NAICS
code 221112 and firms that own
property on which an inactive/retired
coal fired power plant is located. The
Agency has identified 175 small entities
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subject to the final rule. The Agency
estimates that the average annual cost to
a small entity will be approximately
$0.31 million; the vast majority of these
entities do not own legacy CCR surface
impoundments, CCRMU, or OAFUs,
and must only complete the evaluation
report requirements of the final rule.
EPA has identified 15 small entities
owning legacy CCR surface
impoundments, CCRMU, and/or
OAFUs; EPA assumes that small entities
will not be able to pass on any
compliance costs to ratepayers. This
assumption, in EPA’s opinion,
constitutes a high-end scenario. In total,
these 15 small entities are estimated to
incur approximately $52.1 million in
annual costs. The Agency has
determined that five small entities may
experience an impact greater than 3% of
annual revenues. Details of this analysis
are presented in the Regulatory Impact
Analysis, which can be found in the
docket for this action.
D. Unfunded Mandates Reform Act
(UMRA)
This action contains a Federal
mandate under UMRA, 2 U.S.C. 1531–
1538, 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 one year.
Accordingly, the EPA has prepared a
written statement required under
section 202 of UMRA. The statement is
included in the docket for this action
and briefly summarized here.
The RIA estimates that the proposed
rule may affect 194 legacy CCR surface
impoundments at 84 facilities, 195
CCRMU at 104 facilities, 15 OAFUs at
six facilities, and 39 landfills already
regulated under the 2015 final rule. The
final rule will extend the existing
requirements of the 2015 CCR final rule,
found in 40 CFR part 257, subpart D, to
these units.
In preparing the 2015 CCR final rule,
and consistent with the
intergovernmental consultation
provisions of section 204 of the UMRA,
EPA initiated pre-proposal
consultations with governmental
entities affected by the rule. In
developing the regulatory options for
the 2015 CCR Rule, EPA consulted with
small governments according to EPA’s
UMRA interim small government
consultation plan developed pursuant to
section 203 of UMRA. The details of this
consultation can be found in the
preamble to the 2015 CCR final rule.
Consistent with section 205 of UMRA,
EPA identified and considered a
reasonable number of regulatory
alternatives, and adopted the leastcostly approach (i.e., a modified version
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of the ‘‘D Prime’’ least costly approach
presented in the 2010 proposed CCR
rule). The final rule merely extends the
provisions of the 2015 final rule to four
additional classes of facilities.
This action is not subject to the
requirements of section 203 of UMRA
because it contains no regulatory
requirements that might significantly or
uniquely affect small governments. The
threshold amount established for
determining whether regulatory
requirements could significantly affect
small governments is $100 million
annually. The RIA estimates annual
average costs of $7 million total for the
four local governments identified as
owning units subject to the final rule.
These estimates are well below the $100
million annual threshold established
under UMRA. There are no known
Tribal owner entities of facilities that
would incur substantial direct costs
under the final rule.
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.
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F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have Tribal
implications as specified in Executive
Order 13175. For the ‘‘Final Rule:
Hazardous and Solid Waste
Management System; Disposal of Coal
Combustion Residuals from Electric
Utilities’’ published April 17, 2015 (80
FR 21302), EPA identified three of the
414 coal-fired electric utility plants (in
operation as of 2012) as being located on
Tribal lands. To the extent that these
plants contain CCRMU subject to the
proposed rule, the impacts to Tribes
will be limited to document review and
walking the site. As these are not
substantial direct costs, this action does
not impose substantial direct
compliance costs or otherwise have a
substantial direct effect on one or more
Indian Tribes, to the best of EPA’s
knowledge. Neither will it have
substantial direct effects 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. Thus,
Executive Order 13175 does not apply
to this action.
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G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
Executive Order 13045 directs Federal
agencies to include an evaluation of the
health and safety effects of the planned
regulation on children in Federal health
and safety standards and explain why
the regulation is preferable to
potentially effective and reasonably
feasible alternatives. This action is
subject to E.O. 13045 (62 FR 19885,
April 23, 1997) because it is a
significant regulatory action under
section 3(f)(1) of E.O. 12866, and EPA
believes that the environmental health
or safety risks addressed by this action
may have a disproportionate effect on
children. In addition, EPA’s Policy on
Children’s Health applies. Accordingly,
EPA evaluated the environmental health
or safety effects of CCR constituents of
potential concern on children. The
results of this evaluation are contained
in the Human and Ecological Risk
Assessment of Coal Combustion Wastes
available in the docket for this action.
As ordered by E.O. 13045 Section 1–
101(a), EPA identified and assessed
environmental health risks and safety
risks that may disproportionately affect
children in the revised risk assessment.
Pursuant to U.S. EPA’s Guidance on
Selecting Age Groups for Monitoring
and Assessing Childhood Exposures to
Environmental Contaminants, children
are divided into seven distinct age
cohorts: 1 to <2 yr, 2 to <3 yr, 3 to <6
yr, 6 to <11 yr, 11 to <16 yr, 16 to <21
yr, and infants (<1 yr). Using exposure
factors for each of these cohorts, EPA
calculated cancer and non-cancer risk
results in both the screening and
probabilistic phases of the assessment.
In general, risks to infants tended to be
higher than other childhood cohorts,
and also higher than risks to adults.
However, for drinking water cancer
risks, the longer exposure periods for
adults led to the highest risks over a
standard adult lifetime. Screening risks
exceeded EPA’s human health criteria
for children exposed to contaminated
air, soil, and food resulting from fugitive
dust emissions and run-off. Similarly,
90th percentile child cancer and noncancer risks exceeded the human health
criteria for the groundwater to drinking
water pathway under the full
probabilistic analysis (Table 5–17 in the
Human and Ecological Risk Assessment
of Coal Combustion Wastes). The
closure, groundwater monitoring and
corrective action required by the rule
will reduce risks from currently
unregulated legacy CCR surface
impoundments, and CCRMU. Thus,
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EPA believes that this rule will be
protective of children’s health.
In general, because the pollution
control requirements under the CCR
rule will reduce health and
environmental exposure risks at all coalfired electric utility plants, the CCR rule
is not expected to create additional or
new risks to children.
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 is not likely to
have a significant adverse effect on the
supply, distribution or use of energy.
Because the final rule addresses
management of CCR and pertains
mainly to inactive CCR units (legacy
CCR surface impoundments at inactive
facilities and CCRMU at facilities
already regulated under the 2015 CCR
rule), this final rule will have no effect
on the production of crude oil, coal,
fuel, or natural gas. In addition, the final
rule will have no direct effect on
electricity production, generating
capacity, or on foreign imports or
exports of energy.
Electricity price effects on the price of
energy are only possible because in
some cases, utilities may attempt to pass
the costs of managing CCR under the
proposed rule on to ratepayers in the
form of increased electricity rates
through Public Utility Commissions
(PUCs). As a result, the final rule may
indirectly affect electricity prices within
the energy sector. To estimate what the
electricity price effects of this final rule
may be on a national level, EPA
compared the expected costs of this rule
to the expected costs and effects
resulting from three previously
conducted IPM runs for three previous
RIAs, the 2015 CCR Rule, the 2015 ELG
Rule (which included the costs of the
2015 CCR Rule in its baseline), and the
2019 ELG Rule, which was a
deregulatory rule. Extrapolating from
these IPM runs, EPA estimates that the
effect of the current action on electricity
prices will be between 0.060% and
0.156%. Since these effects fall below
the 1% threshold, EPA concludes that
this rule is not expected to generate
significant adverse energy effects. The
full energy impacts analysis is available
in the Regulatory Impact Analysis that
accompanies this action.
I. National Technology Transfer and
Advancement Act (NTTAA)
This rulemaking involves technical
standards. The EPA has decided to use
technical standards in this rule as the
existing CCR regulations rely on the
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following: (1) RCRA Subpart D, Section
257.70 liner design criteria for new CCR
landfills and any lateral expansion of a
CCR landfill includes voluntary
consensus standards developed by
ASTM International and EPA test
methods such as SW–846, (2) Section
257.71 liner design criteria for existing
CCR surface impoundments includes
voluntary consensus standards
developed by ASTM International and
EPA test methods such as SW–846, (3)
Section 257.72 liner design criteria for
new CCR surface impoundments and
any lateral expansion of a CCR surface
impoundment includes voluntary
consensus standards developed by
ASTM International and EPA test
methods such as SW–846, and (4)
Section 257.73 structural stability
standards for new and existing surface
impoundments use the ASTM D 698
and 1557 standards for embankment
compaction. In this rulemaking, EPA
expands the application of § 257.73
structural stability standards, which as
noted, rely on the ASTM D 698 and
1557 standards for embankment
compaction, to facilities with legacy
CCR surface impoundments. This
rulemaking does not adopt or otherwise
involve any additional technical
standards.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations and Executive
Order 14096: Revitalizing Our Nation’s
Commitment to Environmental Justice
for All
EPA believes that the human health or
environmental conditions that exist
prior to this action result in or have the
potential to result in disproportionate
and adverse human health or
environmental effects on communities
with environmental justice concerns.
EPA conducted a demographic
screening analysis for all facilities
subject to the rule to determine the
composition of populations living
within one and three miles of facilities
with these units. Specifically, EPA
looked at the percentages of the relevant
populations that are identified as
minority/people of color, households
below the Federal poverty level,
population with less than high school
education (among those 25 years and
older), and populations characterized by
linguistic isolation. EPA chose to look at
radii of one and three miles because
they represent the areas most likely to
be affected by groundwater
contamination and surface water
impacts from legacy CCR surface
impoundments and CCRMU. EPA
compared the demographic profile
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within these radii to national and State
averages to assess the extent to which
marginalized groups are
disproportionately affected by CCRrelated contamination in the baseline.
To more fully explore the conditions
in communities and populations
surrounding facilities subject to the
2024 final rule, EPA expanded the
demographic proximity analysis to
include a suite of metrics that represent
baseline health and social factors that
are likely to be affected by, or interact
with, changes in the management of
facilities as a result of the rule. This
analysis also focuses on populations
within one mile of legacy CCR surface
impoundments and CCRMU sites, but
includes a combination of eight baseline
indicators from the CDC Environmental
Justice Index (EJI) and EPA’s EJScreen
that document community conditions
that (a) suggest potential environmental
justice concerns and (b) are relevant to
actions resulting from the 2024 final
rule. These include:
• CDC EJI Indicators: Lack of internet
access, prevalence of disabilities,
cancer, poor mental health, high blood
pressure, asthma, and diabetes.
• EJScreen Indicators: PM2.5
concentrations and low life expectancy.
This specific subset of indicators
captures health-related risks,
environmental burdens, and access to
information that affect a substantial
number of communities living near the
universe of facilities to provide a clearer
picture of the baseline conditions. To
assess the extent to which facilities
affected by the final rule are located
within communities with high baseline
risks, the analysis specifically identifies,
for each indicator, communities that fall
in the highest (most at risk) 40 percent,
or top two quintiles of communities
nationwide. In other words, the analysis
only identifies instances where a
community is more at risk or more
burdened than 60 percent of all
communities in the U.S. For each
indicator, the analysis calculates the
number of communities within one mile
of legacy CCR surface impoundments,
CCRMU, and OAFU facilities that are in
the top two quintiles.
Many of the health-related indicators
appeared in communities with high
percentiles for other health-related
indicators, especially combinations of
high blood pressure, diabetes, and
asthma. Communities with high
populations of people with disabilities
were also likely to have high prevalence
of high blood pressure, asthma,
diabetes, poor mental health, and
cancer. Additionally, high prevalence of
poor mental health and lack of internet
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accompanied prevalence of morbidities
besides cancer.
EPA also identified lack of internet
access, which is generally associated
with poverty but also is a distinct factor
in ensuring that information about
regulated facilities and units that is
required by the 2024 final rule is
accessible to the people in surrounding
communities. Half of the facilities with
a lack of internet access in surrounding
communities were also above two times
the State average for households below
the national poverty level, but the other
half are not, suggesting that this barrier
to information may be more widespread
and less predictable in the 2024 rule
context. In addition to the incomerelated implications, lack of internet
access has consequences for information
access that are pertinent to the 2024
final rule, which requires facilities to
publish information online for public
access. Therefore, a lack of internet
access is a key barrier for communities
who may be unable to receive important
information.
These analyses found that of the
roughly 182 sites in the regulated
universe, more than half are located in
areas with environmental justice
concerns in surrounding communities.
These communities are likely to face
existing environmental burdens,
economic stressors, and health
conditions that put their residents and
ecosystems at greater cumulative risk
from the impacts associated with
proximity to legacy impoundments.
Because the final rule is designed to
both prevent future contamination and
eliminate existing contamination from
CCR units that are near these alreadyvulnerable communities, EPA believes
that the rule is likely to incrementally
reduce existing disproportionate and
adverse effects on communities with EJ
concerns. EPA believes that the rule is
particularly likely to reduce
disproportionate and adverse effects on
people of color and populations who
experience low income. The rule
improves overall environmental quality
for all exposed communities and
populations by ensuring protection and
remediation of groundwater, resulting in
avoided health effects (including
cancer) from drinking water exposures
to arsenic and other contaminants, and
by reducing releases of CCR from
impoundments into the surface waters,
ecosystems, and air surrounding the
facilities. The final rule is equityenhancing in that it addresses EJ
concerns present in the communities
and populations near many of the
facilities by reducing environmental and
health burdens that contribute to the
cumulative impacts experienced by
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these communities, including the oftencostly burdens associated with health
effects. Moreover, the rule requires that
facilities make information about their
contamination and remediation actions
available on public websites; this
provides all interested members of the
public, including communities with EJ
concerns, improved access to
information related to their environment
or health, supporting effective
community involvement.
Overall, EPA found that facilities
affected by the rule are often located
near populations of color with higher
rates of poverty and linguistic isolation,
and lower levels of education. Of the
roughly 182 sites in the regulated
universe, more than half are located in
areas with environmental justice
concerns in surrounding communities.
These communities are likely to face
existing environmental burdens,
economic stressors, and health
conditions that put their residents and
ecosystems at greater cumulative risk
from the impacts associated with
proximity to legacy impoundments.
Because the final rule is designed to
both prevent future contamination and
eliminate existing contamination from
CCR units that are near these alreadyvulnerable communities, EPA believes
that the rule is likely to incrementally
reduce existing disproportionate and
adverse effects on communities with EJ
concerns. EPA believes that the rule is
particularly likely to reduce
disproportionate and adverse effects on
people of color and populations who
experience low income.
The information supporting this
Executive Order review is contained in
the accompanying Regulatory Impact
Analysis, which can be found in the
docket for this action.
K. Congressional Review Act (CRA)
This action is subject to the CRA, and
the EPA will submit a rule report to
each House of the Congress and to the
Comptroller General of the United
States. This action meets the criteria set
forth in 5 U.S.C. 804(2).
List of Subjects
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40 CFR Part 9
Environmental protection, Reporting
and recordkeeping requirements.
40 CFR Part 257
Environmental protection, Beneficial
use, Coal combustion products, Coal
combustion residuals, Coal combustion
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waste, Disposal, Hazardous waste,
Landfill, Surface impoundment.
Michael S. Regan,
Administrator.
For the reasons set out in the
preamble, title 40, chapter I, of the Code
of Federal Regulations is amended as
follows:
PART 9—OMB APPROVALS UNDER
THE PAPERWORK REDUCTION ACT
1. The authority citation for part 9
continues to read as follows:
■
Authority: 7 U.S.C. 135 et seq., 136–136y;
15 U.S.C. 2001, 2003, 2005, 2006, 2601–2671;
21 U.S.C. 331j, 346a, 31 U.S.C. 9701; 33
U.S.C. 1251 et seq., 1311, 1313d, 1314, 1318,
1321, 1326, 1330, 1342, 1344, 1345 (d) and
(e), 1361; E.O. 11735, 38 FR 21243, 3 CFR,
1971–1975 Comp. p. 973; 42 U.S.C. 241,
242b, 243, 246, 300f, 300g, 300g–1, 300g–2,
300g–3, 300g–4, 300g–5, 300g–6, 300j–1,
300j–2, 300j–3, 300j–4, 300j–9, 1857 et seq.,
6901–6992k, 7401–7671q, 7542, 9601–9657,
11023, 11048.
39099
criteria in subpart A of this part do not
apply to CCR units, as that term is
defined in subpart D of this part. CCR
units are instead subject to subpart D of
this part.
Subpart D [Amended]
5. Amend subpart D by removing the
phrase ‘‘Web site’’ and adding in its
place the word ‘‘website’’ wherever it
appears.
■ 6. Amend § 257.50 by revising
paragraph (c), (d), and (e) to read as
follows:
■
§ 257.50
Scope and purpose.
*
*
*
*
(c) This subpart also applies to
inactive CCR surface impoundments at
active electric utilities or independent
power producers, regardless of how
electricity is currently being produced
at the facility.
(d) (1) This subpart applies to CCR
management units containing 1,000 tons
or greater of CCR, located at active
■ 2. Amend § 9.1 by adding an
facilities or facilities with a legacy CCR
undesignated center heading and an
surface impoundment.
entry for ‘‘257.50–257.107’’ in
(2) CCR management units containing
numerical order to read as follows:
greater than or equal to 1 ton and less
§ 9.1 OMB approvals under the Paperwork than 1,000 tons of CCR, located at active
Reduction Act
facilities or facilities with a legacy CCR
surface impoundment, are subject only
*
*
*
*
*
to the requirements of the facility
OMB
control
evaluation report in § 257.75 until a
40 CFR citation
No.
permitting authority determines that
regulation of these units, either
individually or in the aggregate, is
*
*
*
*
*
warranted and determines the
applicable requirements.
Disposal of Coal Combustion Residuals
From Electric Utilities
(e) This subpart applies to electric
utilities or independent power
257.50–257.107 ....................
2050–0223 producers that ceased producing
electricity prior to October 19, 2015 and
*
*
*
*
*
have a legacy CCR surface
impoundment onsite.
*
*
*
*
*
*
*
*
*
*
PART 257—CRITERIA FOR
§ 257.51 [Removed and Reserved]
CLASSIFICATION OF SOLID WASTE
■ 7. Amend subpart D by removing and
DISPOSAL FACILITIES AND
reserving § 257.51.
PRACTICES
■ 8. Revise § 257.52 to read as follows:
■ 3. The authority citation for part 257
is revised to read as follows:
§ 257.52 Applicability of other regulations.
(a) Compliance with the requirements
Authority: 42 U.S.C. 6907(a)(3), 6912(a)(1),
6927, 6944, 6945(a) and (d); 33 U.S.C.
of this subpart does not affect the need
1345(d) and (e).
for the owner or operator of a CCR unit
to comply with all other applicable
Subpart A [Amended]
federal, state, tribal, or local laws or
other requirements.
■ 4. Amend § 257.1 by revising
(b) Any CCR unit continues to be
paragraph (c)(12) to read as follows:
subject to the requirements in §§ 257.3–
1, 257.3–2, and 257.3–3.
§ 257.1 Scope and purpose.
■ 9. Amend § 257.53 by:
*
*
*
*
*
(c) * * *
■ a. Revising the definition of ‘‘Active
(12) Except as otherwise specifically
facility or active electric utilities or
provided in subpart D of this part, the
independent power producers’’;
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b. Adding in alphabetical order the
definition of ‘‘Closed prior to October
19, 2015’’;
■ c. Revising the definition of ‘‘CCR
landfill or landfill’’;
■ d. Adding in alphabetical order the
definition of ‘‘CCR management unit’’;
■ e. Revising the definitions of ‘‘CCR
surface impoundment or
impoundment’’ and ‘‘CCR unit’’;
■ f. Adding in alphabetical order the
definitions of ‘‘Critical infrastructure’’,
‘‘Contains both CCR and liquids’’ and
‘‘Inactive CCR landfill’’;
■ g. Revising the definition of ‘‘Inactive
CCR surface impoundment’’;
■ h. Adding in alphabetical order the
definitions of ‘‘Inactive facility or
inactive electric utility or independent
power producer’’, ‘‘Infiltration’’,
‘‘Legacy CCR surface impoundment’’,
and ‘‘Liquids’’;
■ i. Revising the definitions of
‘‘Operator’’ and ‘‘Owner’’;
■ j. Adding in alphabetical order the
definition of ‘‘Regulated CCR unit’’;
■ k. Revising the definition of ‘‘State
Director’’;
■ l. Removing the definitions of
‘‘Technically feasible’’ and ‘‘Technically
infeasible’’; and
■ m. Adding in alphabetical order the
definitions of ‘‘Technically feasible or
feasible’’ and ‘‘Technically infeasible or
infeasible’’.
The revisions and additions read as
follows:
■
§ 257.53
Definitions.
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*
*
*
*
*
Active facility or active electric
utilities or independent power
producers means any facility subject to
the requirements of this subpart that is
in operation on or after October 19,
2015. An electric utility or independent
power producer is in operation if it is
generating electricity that is provided to
electric power transmission systems or
to electric power distribution systems
on or after October 19, 2015. An off-site
disposal facility is in operation if it is
accepting or managing CCR on or after
October 19, 2015.
*
*
*
*
*
Closed prior to October 19, 2015
means the CCR landfill or surface
impoundment completed closure of the
unit in accordance with state law prior
to October 19, 2015.
*
*
*
*
*
CCR landfill or landfill means an area
of land or an excavation that contains
CCR and which is not a surface
impoundment, an underground
injection well, a salt dome formation, a
salt bed formation, an underground or
surface coal mine, or a cave. For
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purposes of this subpart, a CCR landfill
also includes sand and gravel pits and
quarries that receive CCR, CCR piles,
and any practice that does not meet the
definition of a beneficial use of CCR.
CCR management unit means any
area of land on which any
noncontainerized accumulation of CCR
is received, is placed, or is otherwise
managed, that is not a regulated CCR
unit. This includes inactive CCR
landfills and CCR units that closed prior
to October 19, 2015, but does not
include roadbed and associated
embankments in which CCR is used
unless the facility or a permitting
authority determines that the roadbed is
causing or contributing to a statistically
significant level above the groundwater
protection standard established under
§ 257.95(h).
*
*
*
*
*
CCR surface impoundment or
impoundment means a natural
topographic depression, man-made
excavation, or diked area, designed to
hold an accumulation of CCR and
liquids, and the unit treats, stores, or
disposes of CCR.
CCR unit means any CCR landfill,
CCR surface impoundment, or lateral
expansion of a CCR landfill or CCR
surface impoundment, or a combination
of more than one of these units, based
on the context of the paragraph(s) in
which it is used. This term includes
both new and existing units, unless
otherwise specified. This term includes
CCR management units and legacy CCR
surface impoundments.
Contains both CCR and liquids means
that both CCR and liquids are present in
a CCR surface impoundment, except
where the owner or operator
demonstrates that the standard in
§ 257.102(d)(2)(i) has been met.
Critical infrastructure means physical
structures, such as buildings, railways,
bridges, or tunnels, that are not readily
replaced or relocated and are either:
(1) Necessary for the continued
generation of power, or
(2) Vital to the success or
continuation of other on-going site
activity for the public welfare. Examples
of critical infrastructure include high
power electric transmission towers, air
pollution control or wastewater
treatment systems, active CCR units,
buildings, or an electrical substation.
Buildings or other structures that
exclusively provide commercial or
financial benefit to private entities are
not critical infrastructure.
*
*
*
*
*
Inactive CCR landfill means an area of
land or an excavation that contains CCR
but that no longer receives CCR on or
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after October 19, 2015 and that is not a
surface impoundment, an underground
injection well, a salt dome formation, a
salt bed formation, an underground or
surface coal mine, or a cave. This term
also includes sand and gravel pits that
contain CCR and CCR piles, which have
not received CCR on or after October 19,
2015, and abandoned or inactive CCR
piles.
Inactive CCR surface impoundment
means a CCR surface impoundment
located at an active facility that no
longer receives CCR on or after October
19, 2015, and still contains both CCR
and liquids on or after October 19, 2015.
Inactive facility or inactive electric
utility or independent power producer
means any electric utility or
independent power producer that
ceased providing power to electric
power transmission systems or to
electric power distribution systems
before October 19, 2015. An off-site
disposal facility is inactive if it ceased
accepting or managing CCR prior to
October 19, 2015.
*
*
*
*
*
Infiltration means the migration or
movement of liquid, such as surface
water or ground water, into or through
a CCR unit from any direction,
including from the surface, laterally,
and through the bottom of the unit.
*
*
*
*
*
Legacy CCR surface impoundment
means a CCR surface impoundment that
no longer receives CCR but contained
both CCR and liquids on or after
October 19, 2015, and that is located at
an inactive electric utility or
independent power producer.
*
*
*
*
*
Liquids means any fluid (such as
water) that has no independent shape
but has a definite volume and does not
expand indefinitely and that is only
slightly compressible. This encompasses
all of the various types of liquids that
may be present in a CCR unit, including
water that was sluiced into an
impoundment along with CCR,
precipitation, surface water,
groundwater, and any other form of
water that has migrated into the
impoundment, which may be found as
free water or standing water ponded
above CCR or porewater intermingled
with CCR.
*
*
*
*
*
Operator means the person(s)
responsible for the overall operation of
a CCR unit. This term includes those
person(s) or parties responsible for
disposal or otherwise actively engaged
in the solid waste management of CCR.
It also includes those responsible for
directing or overseeing groundwater
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monitoring, closure or post-closure
activities at a CCR unit.
*
*
*
*
*
Owner means the person(s) who owns
a CCR unit or part of a CCR unit, or a
facility, whether in full or in part.
*
*
*
*
*
Regulated CCR unit means any new
CCR landfill, existing CCR landfill, new
CCR surface impoundment, existing
CCR surface impoundment, inactive
CCR surface impoundment, or legacy
CCR surface impoundment. This term
does not include CCR management
units.
*
*
*
*
*
State Director means the chief
administrative officer of the lead state
agency responsible for implementing
the state program regulating disposal in
CCR units.
*
*
*
*
*
Technically feasible or feasible means
possible to do in a way that would
likely be successful.
Technically infeasible or infeasible
means not possible to do in a way that
would likely be successful.
*
*
*
*
*
■ 10. Amend § 257.61 by revising the
introductory text of paragraph (a) to
read as follows:
§ 257.61
Wetlands.
(a) New CCR landfills, existing and
new CCR surface impoundments, and
all lateral expansions of CCR units must
not be located in wetlands, as defined
in § 230.41(a) of this chapter, unless the
owner or operator demonstrates by the
dates specified in paragraph (c) of this
section that the CCR unit meets the
requirements of paragraphs (a)(1)
through (5) of this section.
*
*
*
*
*
■ 11. Amend § 257.73 by revising the
introductory text of paragraph (a) to
read as follows:
§ 257.73 Structural integrity criteria for
existing CCR surface impoundments.
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(a) The requirements of paragraphs
(a)(1) through (4) of this section apply
to all existing CCR surface
impoundments and legacy CCR surface
impoundments, except for those that are
incised CCR surface impoundments.
*
*
*
*
*
■ 12. Add § 257.75 to read as follows:
§ 257.75 Requirements for identifying CCR
management units.
(a) Applicability. The requirements of
this section apply to owners and
operators of active facilities or facilities
with a legacy CCR surface
impoundment.
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(b) Facility evaluation. The owner or
operator of an active facility or a facility
with a legacy CCR surface
impoundment must conduct a facility
evaluation to identify all CCR
management units at the facility in
accordance with paragraphs (c) through
(e) of this section. At a minimum, the
presence or absence of CCR
management units at the facility must be
confirmed and documented through a
thorough evaluation of reasonably and
readily available records that contain
the information needed to prepare the
Facility Evaluation Reports Part 1 and
Part 2 required by paragraphs (c) and (d)
of this section. The facility evaluation
must also include a physical inspection
of the facility. Where necessary, the
physical inspection must include field
investigation activities to fill data gaps,
such as conducting exploratory soil
borings, geophysical assessments, or any
other similar physical investigation
activities to establish the location and
boundaries of potential or likely CCR
management units, and to affirmatively
rule out other areas of potential CCR
placement at the facility that were
identified during the information review
or physical inspection. The facility
evaluation must identify all CCR
management units at the facility
regardless of when the CCR
management unit came into existence.
(c) Facility Evaluation Report Part 1.
(1) No later than Monday, February 9,
2026, the owner or operator of an active
facility or a facility with a legacy CCR
surface impoundment must prepare a
Facility Evaluation Report Part 1, which
shall contain, to the extent reasonably
and readily available, the information
specified in paragraphs (c)(1)(i) through
(xiv) of this section. The owner or
operator has prepared the Facility
Evaluation Report Part 1 when the
report has been placed in the facility’s
operating record as required by
§ 257.105(f)(25).
(i) The name and address of the
person(s) owning and operating the
facility; the unit name associated with
each regulated CCR unit and CCR
management unit at the facility; and the
identification number of each regulated
CCR unit and CCR management unit if
any have been assigned by the state or
by the owner.
(ii) The location of any CCR
management unit identified on the most
recent U.S. Geological Survey (USGS)
71⁄2 minute or 15-minute topographic
quadrangle map, or a topographic map
of equivalent scale if a USGS map is not
available. The location of each regulated
CCR unit at the facility must also be
identified in the same manner.
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39101
(iii) A statement of the purpose(s) for
which each CCR management unit at the
facility is or was used.
(iv) A description of the physical and
engineering properties of the foundation
and abutment materials on which each
CCR management unit is constructed.
(v) A discussion of any known spills
or releases of CCR, including any
associated remediation activities, from
each CCR management unit and
whether the spills or releases were
reported to state or federal agencies.
(vi) Any record or knowledge of
structural instability of each CCR
management unit.
(vii) Any record or knowledge of
groundwater contamination associated
or potentially associated with each CCR
management unit.
(viii) The size of each CCR
management unit, including the general
lateral and vertical dimensions and an
estimate of the volume of waste
contained within the unit.
(ix) Dates when each CCR
management unit first received CCR and
when each CCR management unit
ceased receiving CCR.
(x) Identification of all types of CCR
in each CCR management unit at the
facility.
(xi) A narrative description of any
closure activities that have occurred,
including any applicable engineering
drawings or reports.
(xii) A narrative that documents the
data reviewed as part of the facility
evaluation process, and that lists all
data and information indicating the
presence or absence of CCR
management units at the facility.
(xiii) Any supporting information
used to identify and evaluate CCR
management units at the facility,
including but not limited to any
construction diagrams, engineering
drawings, permit documents,
wastestream flow diagrams, aerial
photographs, satellite images, historical
facility maps, any field or analytical
data, groundwater monitoring data or
reports, inspection reports,
documentation of interviews with
current or former facility workers, and
other documents used to identify and
evaluate CCR management units at the
facility.
(xiv) A narrative description of any
data gaps for information in paragraphs
(c)(i) through (xiii) of this section, not
available in existing information
collection records and a plan for
remedying identified data gaps through
a physical examination of the facility,
including any field or laboratory work
needed to remedy data gaps in the
Facility Evaluation Report Part 1 record.
The plan must include the major
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milestones needed to fill the identified
data gaps (e.g., a physical examination
of the facility, sampling of media,
measurements of CCR concentrations in
and around the unit or physical
presence, delineation of CCR
management unit(s)) and dates to
complete such needed tasks. Also, as
necessary and timely, any updates to
data gap remedy plans must be added to
the public record during the Facility
Evaluation Report Part 1.
(2) The owner or operator of any
facility regulated under this subpart
must obtain a certification from a
qualified professional engineer stating
that the Facility Evaluation Report Part
1 meets the requirements of paragraph
(c)(1) of this section.
(3) The owner or operator of any
facility regulated under this subpart
must certify the Facility Evaluation
Report Part 1 required by paragraph
(c)(1) of this section with the following
statement signed by the owner or
operator or an authorized
representative:
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I certify under penalty of law that I have
personally examined and am familiar with
the information submitted in this
demonstration and all attached documents,
and that, based on my inquiry of those
individuals immediately responsible for
obtaining the information, I believe that the
submitted information is true, accurate, and
complete. I am aware that there are
significant penalties for submitting false
information, including the possibility of fine
and imprisonment.
(4) No later than Monday, February 9,
2026, the owner or operator must notify
the Agency of the establishment of a
CCR website using the procedures in
§ 257.107(a) via the ‘‘contact us’’ form
on EPA’s CCR website.
(5) The owner or operator of any
facility regulated under this subpart that
does not contain any CCR management
unit must submit Facility Evaluation
Report Part 1 documenting the steps
taken during the facility evaluation to
determine the absence of any CCR
management unit. The Facility
Evaluation Report Part 1 must include
the certifications required under
paragraph (c)(3) of this section.
(d) Facility evaluation report part 2.
(1) No later than Monday, February 8,
2027, the owner or operator of an active
facility or a facility with a legacy CCR
surface impoundment must prepare a
facility evaluation report part 2, which
shall contain, to the extent not provided
in the Facility Evaluation Report Part 1
under paragraph (c) of this section, the
information specified in paragraphs
(d)(1)(i) through (xiii) of this section
obtained from a physical evaluation of
the facility, including where necessary
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field sampling. The owner or operator
has prepared the facility evaluation
report part 2 when the report has been
placed in the facility’s operating record
as required by § 257.105(f)(26).
(i) The name and address of the
person(s) owning and operating the
facility; the unit name associated with
each regulated CCR unit and CCR
management unit at the facility; and the
identification number of each regulated
CCR unit and CCR management unit if
any have been assigned by the state or
by the owner.
(ii) The location of any CCR
management unit identified on the most
recent U.S. Geological Survey (USGS)
71⁄2 minute or 15-minute topographic
quadrangle map, or a topographic map
of equivalent scale if a USGS map is not
available. The location of each regulated
CCR unit at the facility must also be
identified in the same manner.
(iii) A statement of the purpose(s) for
which each CCR management unit at the
facility is or was used.
(iv) A description of the physical and
engineering properties of the foundation
and abutment materials on which each
CCR management unit was constructed.
(v) Any further evidence of known
spills or releases, including any
associated remediation activities, of
CCR from each CCR management unit
and whether the spills or releases were
reported to state or federal agencies.
(vi) Any further evidence of structural
instability of each CCR management
unit.
(vii) Any further evidence of
groundwater contamination associated
or potentially associated with each CCR
management unit.
(viii) The size of each CCR
management unit, including the general
lateral and vertical dimensions and an
estimate of the volume of CCR
contained within the unit.
(ix) Identification of the types of CCR
in each CCR management unit.
(x) A narrative description of any
closure activities that have occurred,
including any applicable engineering
drawings or reports.
(xi) A narrative that documents the
nature and extent of field oversight
activities and data reviewed as part of
the facility evaluation process, and that
lists all data and information that was
reviewed indicating the presence or
absence of CCR management units at the
facility.
(xii) Any additional supporting
information used to identify and
evaluate CCR management units at the
facility, including but not limited to any
construction diagrams, engineering
drawings, permit documents,
wastestream flow diagrams, aerial
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photographs, satellite images, historical
facility maps, any field or analytical
data, groundwater monitoring data or
reports, inspection reports, and other
documents used to identify and assess
CCR management units at the facility.
Additionally, as necessary and timely,
any updates to the part 1 data gap
remedy plan must be added to the
record during the facility evaluation
report part 2 timeframe.
(xiii) The Facility Evaluation Report
Part 2 must explain how each data gap
identified in Facility Evaluation Report
Part 1 was addressed.
(xiv) A description of each CCR
management unit for which regulation
under this subpart is deferred for
allowable reasons as specified in
§ 257.101(g) or (h). The owner or
operator must provide documentation in
the Facility Evaluation Report Part 2 to
substantiate that the requirements
§ 257.101(g) or (h) have been met.
(2) The owner or operator of any
facility regulated under this subpart
must obtain a certification from a
qualified professional engineer stating
that the Facility Evaluation Report Part
2 meets the requirements of paragraph
(d)(1) of this section.
(3) The owner or operator of any
facility regulated under this subpart
must certify the Facility Evaluation
Report Part 2 required by paragraph
(d)(1) of this section with the following
statement signed by the owner or
operator or an authorized
representative:
I certify under penalty of law that I have
personally examined and am familiar with
the information submitted in this
demonstration and all attached documents,
and that, based on my inquiry of those
individuals immediately responsible for
obtaining the information, I believe that the
submitted information is true, accurate, and
complete. I am aware that there are
significant penalties for submitting false
information, including the possibility of fine
and imprisonment.
(4) The owner or operator of any
facility regulated under this subpart that
does not contain any CCR management
unit must submit Facility Evaluation
Report Part 2 documenting the steps
taken during the facility evaluation to
determine the absence of any CCR
management unit. The Facility
Evaluation Report Part 2 must include
the certifications required under
paragraph (d)(3) of this section.
(e) The owner or operator of the
facility must comply with the
recordkeeping requirements specified in
§ 257.105(f), the notification
requirements specified in § 257.106(f),
and the internet requirements specified
in § 257.107(f).
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13. Amend § 257.80 by revising
paragraphs (a) and (b)(6) to read as
follows:
■
§ 257.80
Air criteria.
(a) The owner or operator of a CCR
unit must adopt measures that will
effectively minimize CCR from
becoming airborne at the facility,
including CCR fugitive dust originating
from CCR units, roads, and other CCR
management and material handling
activities.
(b) * * *
(6) Amendment of the plan. The
owner or operator subject to the
requirements of this section may amend
the written CCR fugitive dust control
plan at any time provided the revised
plan is placed in the facility’s operating
record as required by § 257.105(g)(1).
The owner or operator must amend the
written plan no later than 30 days
whenever there is a change in
conditions that would substantially
affect the written plan in effect, such as
the construction and operation of a new
CCR unit.
*
*
*
*
*
■ 14. Amend § 257.82 by revising the
introductory text of paragraph (a) to
read as follows:
§ 257.82 Hydrologic and hydraulic
capacity requirements for CCR surface
impoundments.
(a) The owner or operator of an
existing or new CCR surface
impoundment, legacy CCR surface
impoundment, or any lateral expansion
of a CCR surface impoundment must
design, construct, operate, and maintain
an inflow design flood control system as
specified in paragraphs (a)(1) and (2) of
this section.
*
*
*
*
*
■ 15. Amend § 257.83 by revising the
introductory text of paragraphs (a)(1)
and (b)(1) to read as follows:
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§ 257.83 Inspection requirements for CCR
surface impoundments.
(a) * * *
(1) All CCR surface impoundments,
including legacy CCR surface
impoundments, and any lateral
expansion of a CCR surface
impoundment must be examined by a
qualified person as follows:
*
*
*
*
*
(b) * * *
(1) If the existing or new CCR surface
impoundment or any lateral expansion
of the CCR surface impoundment or
legacy CCR surface impoundments is
subject to the periodic structural
stability assessment requirements under
§ 257.73(d) or § 257.74(d), the CCR unit
must additionally be inspected on a
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periodic basis by a qualified
professional engineer to ensure that the
design, construction, operation, and
maintenance of the CCR unit is
consistent with recognized and
generally accepted good engineering
standards. The inspection must, at a
minimum, include:
*
*
*
*
*
■ 16. Revise and republish § 257.90 to
read as follows:
§ 257.90
Applicability.
(a) Applicability. All CCR units are
subject to the groundwater monitoring
and corrective action requirements
under §§ 257.90 through 257.98, except
as provided in paragraph (g) of this
section.
(b) Initial timeframes—(1) Existing
CCR landfills and existing CCR surface
impoundments. No later than October
17, 2017, the owner or operator of the
CCR unit must be in compliance with
the following groundwater monitoring
requirements:
(i) Install the groundwater monitoring
system as required by § 257.91;
(ii) Develop the groundwater
sampling and analysis program to
include selection of the statistical
procedures to be used for evaluating
groundwater monitoring data as
required by § 257.93;
(iii) Initiate the detection monitoring
program to include obtaining a
minimum of eight independent samples
for each background and downgradient
well as required by § 257.94(b); and
(iv) Begin evaluating the groundwater
monitoring data for statistically
significant increases over background
levels for the constituents listed in
appendix III of this part as required by
§ 257.94.
(2) New CCR landfills, new CCR
surface impoundments, and all lateral
expansions of CCR units. Prior to initial
receipt of CCR by the CCR unit, the
owner or operator must be in
compliance with the groundwater
monitoring requirements specified in
paragraph (b)(1)(i) and (ii) of this
section. In addition, the owner or
operator of the CCR unit must initiate
the detection monitoring program to
include obtaining a minimum of eight
independent samples for each
background well as required by
§ 257.94(b).
(3) CCR management units. No later
than Monday, May 8, 2028, the owner
or operator of the CCR management unit
must be in compliance with the
following groundwater monitoring
requirements:
(i) Install the groundwater monitoring
system as required by § 257.91.
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39103
(ii) Develop the groundwater
sampling and analysis program to
include selection of the statistical
procedures to be used for evaluating
groundwater monitoring data as
required by § 257.93.
(iii) Initiate the detection monitoring
program to include obtaining a
minimum of eight independent samples
for each background and downgradient
well, as required by § 257.94(b).
(iv) Begin evaluating the groundwater
monitoring data for statistically
significant increases over background
levels for the constituents listed in
appendix III of this part, as required by
§ 257.94.
(v) Begin evaluating the groundwater
monitoring data for statistically
significant levels over groundwater
protection standards for the constituents
listed in appendix IV of this part as
required by § 257.95.
(c) Requirement to conduct
groundwater monitoring and corrective
action. Once a groundwater monitoring
system and groundwater monitoring
program has been established at the CCR
unit as required by this subpart, the
owner or operator must conduct
groundwater monitoring and, if
necessary, corrective action throughout
the active life and post-closure care
period of the CCR unit.
(d) Responding to a release from a
CCR unit. In the event of a release from
a CCR unit, the owner or operator must
immediately take all necessary measures
to control the source(s) of releases so as
to reduce or eliminate, to the maximum
extent feasible, further releases of
contaminants into the environment. The
owner or operator of the CCR unit must
comply with all applicable requirements
in §§ 257.96, 257.97, and 257.98.
(e) Annual groundwater monitoring
and corrective action report. For
existing CCR landfills and existing CCR
surface impoundments, no later than
January 31, 2018, and annually
thereafter, the owner or operator must
prepare an annual groundwater
monitoring and corrective action report.
For new CCR landfills, new CCR surface
impoundments, and all lateral
expansions of CCR units, the owner or
operator must prepare the initial annual
groundwater monitoring and corrective
action report no later than January 31 of
the year following the calendar year a
groundwater monitoring system has
been established for such CCR unit as
required by this subpart, and annually
thereafter. For CCR management units,
the owner or operator must prepare the
initial annual groundwater monitoring
and corrective action report no later
than January 31, 2029, and annually
thereafter. For the preceding calendar
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year, the annual report must document
the status of the groundwater
monitoring and corrective action
program for the CCR unit, summarize
key actions completed, describe any
problems encountered, discuss actions
to resolve the problems, and project key
activities for the upcoming year. For
purposes of this section, the owner or
operator has prepared the annual report
when the report is placed in the
facility’s operating record as required by
§ 257.105(h)(1). At a minimum, the
annual groundwater monitoring and
corrective action report must contain
the following information, to the extent
available:
(1) A map, aerial image, or diagram
showing the CCR unit and all
background (or upgradient) and
downgradient monitoring wells, to
include the well identification numbers,
that are part of the groundwater
monitoring program for the CCR unit;
(2) Identification of any monitoring
wells that were installed or
decommissioned during the preceding
year, along with a narrative description
of why those actions were taken;
(3) In addition to all the monitoring
data obtained under §§ 257.90 through
257.98, a summary including the
number of groundwater samples that
were collected for analysis for each
background and downgradient well, the
dates the samples were collected, and
whether the sample was required by the
detection monitoring or assessment
monitoring programs;
(4) A narrative discussion of any
transition between monitoring programs
(e.g., the date and circumstances for
transitioning from detection monitoring
to assessment monitoring in addition to
identifying the constituent(s) detected at
a statistically significant increase over
background levels); and
(5) Other information required to be
included in the annual report as
specified in §§ 257.90 through 257.98.
(6) A section at the beginning of the
annual report that provides an overview
of the current status of groundwater
monitoring and corrective action
programs for the CCR unit. At a
minimum, the summary must specify all
of the following:
(i) At the start of the current annual
reporting period, whether the CCR unit
was operating under the detection
monitoring program in § 257.94 or the
assessment monitoring program in
§ 257.95;
(ii) At the end of the current annual
reporting period, whether the CCR unit
was operating under the detection
monitoring program in § 257.94 or the
assessment monitoring program in
§ 257.95;
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(iii) If it was determined that there
was a statistically significant increase
over background for one or more
constituents listed in appendix III to
this part pursuant to § 257.94(e):
(A) Identify those constituents listed
in appendix III to this part and the
names of the monitoring wells
associated with such an increase; and
(B) Provide the date when the
assessment monitoring program was
initiated for the CCR unit.
(iv) If it was determined that there
was a statistically significant level above
the groundwater protection standard for
one or more constituents listed in
appendix IV to this part pursuant to
§ 257.95(g) include all of the following:
(A) Identify those constituents listed
in appendix IV to this part and the
names of the monitoring wells
associated with such an increase;
(B) Provide the date when the
assessment of corrective measures was
initiated for the CCR unit;
(C) Provide the date when the public
meeting was held for the assessment of
corrective measures for the CCR unit;
and
(D) Provide the date when the
assessment of corrective measures was
completed for the CCR unit.
(v) Whether a remedy was selected
pursuant to § 257.97 during the current
annual reporting period, and if so, the
date of remedy selection; and
(vi) Whether remedial activities were
initiated or are ongoing pursuant to
§ 257.98 during the current annual
reporting period.
(f) Recordkeeping, notification, and
internet requirements. The owner or
operator of the CCR unit must comply
with the recordkeeping requirements
specified in § 257.105(h), the
notification requirements specified in
§ 257.106(h), and the internet
requirements specified in § 257.107(h).
(g) Suspension of groundwater
monitoring requirements.(1) The
Participating State Director or EPA
where EPA is the permitting authority
may suspend the groundwater
monitoring requirements under
§§ 257.90 through 257.95 for a CCR unit
for a period of up to ten years, if the
owner or operator provides written
documentation that, based on the
characteristics of the site in which the
CCR unit is located, there is no potential
for migration of any of the constituents
listed in appendices III and IV to this
part from that CCR unit to the
uppermost aquifer during the active life
of the CCR unit and the post-closure
care period. This demonstration must be
certified by a qualified professional
engineer and approved by the
Participating State Director or EPA
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where EPA is the permitting authority,
and must be based upon:
(i) Site-specific field collected
measurements, sampling, and analysis
of physical, chemical, and biological
processes affecting contaminant fate and
transport, including at a minimum, the
information necessary to evaluate or
interpret the effects of the following
properties or processes on contaminant
fate and transport:
(A) Aquifer Characteristics, including
hydraulic conductivity, hydraulic
gradient, effective porosity, aquifer
thickness, degree of saturation,
stratigraphy, degree of fracturing and
secondary porosity of soils and bedrock,
aquifer heterogeneity, groundwater
discharge, and groundwater recharge
areas;
(B) Waste Characteristics, including
quantity, type, and origin;
(C) Climatic Conditions, including
annual precipitation, leachate
generation estimates, and effects on
leachate quality;
(D) Leachate Characteristics,
including leachate composition,
solubility, density, the presence of
immiscible constituents, Eh, and pH;
and
(E) Engineered Controls, including
liners, cover systems, and aquifer
controls (e.g., lowering the water table).
These must be evaluated under design
and failure conditions to estimate their
long-term residual performance.
(ii) Contaminant fate and transport
predictions that maximize contaminant
migration and consider impacts on
human health and the environment.
(2) The owner or operator of the CCR
unit may renew this suspension for
additional ten year periods by
submitting written documentation that
the site characteristics continue to
ensure there will be no potential for
migration of any of the constituents
listed in Appendices III and IV of this
part. The documentation must include,
at a minimum, the information specified
in paragraphs (g)(1)(i) and (ii) of this
section and a certification by a qualified
professional engineer and approved by
the State Director or EPA where EPA is
the permitting authority. The owner or
operator must submit the
documentation supporting their renewal
request for the state’s or EPA’s review
and approval of their extension one year
before the groundwater monitoring
suspension is due to expire. If the
existing groundwater monitoring
extension expires or is not approved,
the owner or operator must begin
groundwater monitoring according to
paragraph (a) of this section within 90
days. The owner or operator may
continue to renew the suspension for
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ten-year periods, provided the owner or
operator demonstrate that the standard
in paragraph (g)(1) of this section
continues to be met for the unit. The
owner or operator must place each
completed demonstration in the
facility’s operating record.
(3) The owner or operator of the CCR
unit must include in the annual
groundwater monitoring and corrective
action report required by § 257.90(e) or
§ 257.100(e)(5)(ii) any approved no
migration demonstration.
■ 17. Amend § 257.95 by revising
paragraph (b) to read as follows:
§ 257.95
Assessment monitoring program.
*
*
*
*
*
(b) (1) Within 90 days of triggering an
assessment monitoring program, and
annually thereafter:
(i) Except as provided by paragraph
(b)(1)(ii) of this section, the owner or
operator of the CCR unit must sample
and analyze the groundwater for all
constituents listed in appendix IV to
this part.
(ii) The owner or operator of a CCR
management unit must sample and
analyze the groundwater for all
constituents listed in appendix IV to
this part no later than Monday, May 8,
2028.
(2) The number of samples collected
and analyzed for each well during each
sampling event must be consistent with
§ 257.93(e), and must account for any
unique characteristics of the site, but
must be at least one sample from each
well.
*
*
*
*
*
■ 18. Revise and republish § 257.100 to
read as follows:
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§ 257.100 Inactive CCR surface
impoundments and Legacy CCR surface
impoundments.
(a) General. (1) Inactive CCR surface
impoundments are subject to all of the
requirements of this subpart applicable
to existing CCR surface impoundments,
except that an active electric utility or
independent power producer that
generates electricity without the use of
fuel is subject to the compliance
deadlines applicable to legacy CCR
surface impoundments, provided the
facility has not generated electricity
using fuels on or after October 19, 2015.
(2) Legacy CCR surface
impoundments are subject to all of the
requirements of this subpart applicable
to existing CCR surface impoundments,
except for the requirements in §§ 257.60
through 257.64 and 257.71.(b) through
(d) [Reserved]
(e) Timeframes for certain inactive
CCR surface impoundments. (1) An
inactive CCR surface impoundment for
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which the owner or operator has
completed the actions by the deadlines
specified in paragraphs (e)(1)(i) through
(iii) of this section is eligible for the
alternative timeframes specified in
paragraphs (e)(2) through (6) of this
section. The owner or operator of the
CCR unit must comply with the
applicable recordkeeping, notification,
and internet requirements associated
with these provisions. For the inactive
CCR surface impoundment:
(i) The owner or operator must have
prepared and placed in the facility’s
operating record by December 17, 2015,
a notification of intent to initiate closure
of the inactive CCR surface
impoundment pursuant to
§ 257.105(i)(1);
(ii) The owner or operator must have
provided notification to the State
Director and/or appropriate Tribal
authority by January 19, 2016, of the
intent to initiate closure of the inactive
CCR surface impoundment pursuant to
§ 257.106(i)(1); and
(iii) The owner or operator must have
placed on its CCR website by January
19, 2016, the notification of intent to
initiate closure of the inactive CCR
surface impoundment pursuant to
§ 257.107(i)(1).
(2) Location restrictions. (i) No later
than April 16, 2020, the owner or
operator of the inactive CCR surface
impoundment must:
(A) Complete the demonstration for
placement above the uppermost aquifer
as set forth by § 257.60(a), (b), and (c)(3);
(B) Complete the demonstration for
wetlands as set forth by § 257.61(a), (b),
and (c)(3);
(C) Complete the demonstration for
fault areas as set forth by § 257.62(a), (b),
and (c)(3);
(D) Complete the demonstration for
seismic impact zones as set forth by
§ 257.63(a), (b), and (c)(3); and
(E) Complete the demonstration for
unstable areas as set forth by § 257.64(a),
(b), (c), and (d)(3).
(ii) An owner or operator of an
inactive CCR surface impoundment who
fails to demonstrate compliance with
the requirements of paragraph (e)(2)(i) of
this section is subject to the closure
requirements of § 257.101(b)(1).
(3) Design criteria. The owner or
operator of the inactive CCR surface
impoundment must:
(i) No later than April 17, 2018,
complete the documentation of liner
type as set forth by § 257.71(a) and (b).
(ii) No later than June 16, 2017, place
on or immediately adjacent to the CCR
unit the permanent identification
marker as set forth by § 257.73(a)(1).
(iii) No later than October 16, 2018,
prepare and maintain an Emergency
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39105
Action Plan as set forth by
§ 257.73(a)(3).
(iv) No later than April 17, 2018,
compile a history of construction as set
forth by § 257.73(b) and (c).
(v) No later than April 17, 2018,
complete the initial hazard potential
classification, structural stability, and
safety factor assessments as set forth by
§ 257.73(a)(2), (b), (d), (e), and (f).
(4) Operating criteria. The owner or
operator of the inactive CCR surface
impoundment must:
(i) No later than April 18, 2017,
prepare the initial CCR fugitive dust
control plan as set forth in § 257.80(b).
(ii) No later than April 17, 2018,
prepare the initial inflow design flood
control system plan as set forth in
§ 257.82(c).
(iii) No later than April 18, 2017,
initiate the inspections by a qualified
person as set forth by § 257.83(a).
(iv) No later than July 19, 2017,
complete the initial annual inspection
by a qualified professional engineer as
set forth by § 257.83(b).
(5) Groundwater monitoring and
corrective action. The owner or operator
of the inactive CCR surface
impoundment must:
(i) No later than April 17, 2019,
comply with groundwater monitoring
requirements set forth in §§ 257.90(b)
and 257.94(b); and
(ii) No later than August 1, 2019,
prepare the initial groundwater
monitoring and corrective action report
as set forth in § 257.90(e).
(6) Closure and post-closure care. The
owner or operator of the inactive CCR
surface impoundment must:
(i) No later than April 17, 2018,
prepare an initial written closure plan
as set forth in § 257.102(b); and
(ii) No later than April 17, 2018,
prepare an initial written post-closure
care plan as set forth in § 257.104(d).
(f) Timeframes for legacy CCR surface
impoundments. Owners and operators
of legacy CCR surface impoundments
are subject to the requirements of
paragraphs (f)(1) through (5) of this
section, except as provided in
paragraphs (g) through (i) of this section.
(1) Legacy CCR surface impoundment
applicability report. (i) Except as
provided in paragraph (f)(1)(iii) of this
section, owners and operators of legacy
CCR surface impoundments must
prepare a report for each legacy CCR
surface impoundment no later than
Friday, November 8, 2024. The owner or
operator has prepared the applicability
report when the report has been placed
in the facility’s operating record as
required by § 257.105(k)(1). At a
minimum, the report for each legacy
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CCR surface impoundment must
contain:
(A) The name and address of the
person(s) owning and operating the
legacy CCR surface impoundment with
their business phone number and email
address.
(B) The name associated with the
legacy CCR surface impoundment.
(C) Information to identify the legacy
CCR surface impoundment, including a
figure of the facility and where the unit
is located at the facility, facility address,
and the latitude and longitude of the
facility.
(D) The identification number of the
legacy CCR surface impoundment if one
has been assigned by the state. (E) A
description of the current site
conditions, including the current use of
the inactive facility.
(ii) (A) The owner or operator of any
legacy CCR surface impoundment must
certify the applicability report required
by paragraph (f)(1)(i) of this section with
the following statement signed by the
owner or operator or an authorized
representative:
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I certify under penalty of law that I have
personally examined and am familiar with
the information submitted in this
demonstration and all attached documents,
and that, based on my inquiry of those
individuals immediately responsible for
obtaining the information, I believe that the
submitted information is true, accurate, and
complete. I am aware that there are
significant penalties for submitting false
information, including the possibility of fine
and imprisonment.
(B) The owner or operator must notify
the Agency of the establishment of the
facility’s CCR website and the
applicability of the rule, using the
procedures in § 257.107(a) via the
‘‘contact us’’ form on EPA’s CCR
website.
(iii) (A) Notwithstanding the deadline
to complete the applicability report
under paragraph (f)(1)(i) of this section,
an owner or operator may secure
additional time to complete the report
for the sole reason of determining
through a field investigation whether
the unit contains both CCR and liquids.
The amount of additional time that can
be secured is limited as specified in
paragraph (f)(1)(iii)(B) of this section.
For owners and operators following the
procedures of this paragraph (f)(1)(iii),
the compliance timeframes for the
requirements specified under
paragraphs (f)(2) through (5) of this
section are adjusted by the length of the
extension(s) justified under this
paragraph (f)(1)(iii). To qualify for
additional time, the owner or operator
must prepare an applicability extension
report consisting of the following:
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(1) The information specified in
paragraph (f)(1)(i)(A) through (C) of this
section;
(2) A statement by the owner or
operator that to the best of their
knowledge or belief, existing and
available information does not provide
a sufficient basis to determine that the
unit contained free liquids on or after
October 19, 2015; and
(3) The details of a written field
investigation work plan, including of
the following:
(i) A detailed description of the
approach to characterize the physical,
topographic, geologic, hydrogeologic,
and hydraulic properties of the CCR in
the unit and native geologic materials
beneath and surrounding the unit, and
how those properties will be used to
investigate for the presence of free
liquids in the CCR unit.
(ii) A detailed description of the
methods and tools that will be
employed to determine whether the unit
contains free liquids, the rationale for
choosing these methods and tools, how
these methods and tools will be
implemented, and at what level of
spatial resolution at the CCR unit to
identify and monitor for the presence of
free liquids.
(iii) A detailed description of how
groundwater elevations will be
determined, and at what level of spatial
resolution, in relation to the sides and
bottom of the CCR unit and how any
intersection of the groundwater table
with the CCR unit will be evaluated,
and at what level of spatial resolution.
(iv) A plan for evaluating stormwater
flow over the surface of the unit,
stormwater drainage from the unit, and
stormwater infiltration into the unit and
how those processes may result in the
formation of free liquids in the CCR
unit. This plan must include a current
topographic map showing surface water
flow and any pertinent natural or manmade features present relevant to
stormwater drainage, infiltration and
related processes.
(v) An estimated timeline to complete
the workplan and make a determination
if the CCR unit contains free liquids.
(vi) A narrative discussion of how the
results from implementing the workplan
will determine whether the unit
contains free liquids specified.
(vii) A narrative discussion describing
any anticipated problems that may be
encountered during implementation of
the workplan and what actions will be
taken to resolve the problems, and
anticipated timeframes necessary for
such a contingency.
(viii) The owner or operator of the
CCR unit must obtain a written
certification from a qualified
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professional engineer stating that the
field investigation work plan meets the
requirements of paragraph
(f)(1)(iii)(A)(3) of this section.
(B) The maximum amount of
additional time that can be secured
under paragraph (f)(1)(iii) of this section
is 18 months, secured in 6-month
increments, provided each 6-month
increment is supported by an
applicability extension report.
(C) Owners and operator must prepare
the initial applicability extension report
no later than Friday, November 8, 2024.
Subsequent applicability extension
reports must be prepared no later than
6 months after completing the preceding
applicability extension report. The
owner or operator has prepared the
applicability extension report when the
report is placed in the facility’s
operating record as required by
§ 257.105(k)(2).
(D) No later than Friday, November 8,
2024, the owner or operator must notify
the Agency of the establishment of a
CCR website using the procedures in
§ 257.107(a) via the ‘‘contact us’’ form
on EPA’s CCR website.
(E) If the owner or operator
determines that the unit contains free
liquids during implementation of the
written field investigation workplan, the
owner or operator must cease operating
under these extension provisions and
prepare the applicability report required
by paragraph (f)(1) of this section within
14 days of determining that the unit
contains free liquids. The owner or
operator must comply with the
requirements specified under
paragraphs (f)(2) through (5) of this
section under new timeframes. The new
timeframes are determined by adding
the total length of the extension(s)
justified under paragraph (f)(1)(iii) of
this section to each of the deadlines
specified under paragraphs (f)(2)
through (5) of this section.
(F) If the owner or operator
determines that the unit does not
contain both CCR and liquids during
implementation of the written field
investigation work plan, the owner or
operator must prepare a notification
stating that the field investigation has
concluded and that the owner or
operator has determined that the unit
does not contain both CCR and liquids
and does not meet the definition of a
legacy CCR surface impoundment. The
owner or operator has prepared the
notification when the report is placed in
the facility’s operating record as
required by § 257.105(k)(3).
(G) If the owner or operator does not
complete the field investigation work
within the timeframes specified in
paragraph (f)(1)(iii)(B) of this section,
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the unit shall be considered a legacy
CCR surface impoundment and must
comply with the requirements under
paragraphs (f)(2) through (5) of this
section pursuant to the timeframes
specified under paragraph (f)(1)(iii)(E) of
this section.
(2) Design criteria. The owner or
operator of a legacy CCR surface
impoundment must:
(i) Except for legacy CCR surface
impoundments that are incised, no later
than Wednesday, January 8, 2025, place
on or immediately adjacent to the CCR
unit the permanent identification
marker as set forth by § 257.73(a)(1).
(ii) Except for legacy CCR surface
impoundments that do not exceed the
height and/or storage volume thresholds
under § 257.73(b), no later than
Monday, February 9, 2026, compile a
history of construction as set forth by
§ 257.73(c).
(iii) Except for legacy CCR surface
impoundments that are incised, no later
than Friday, May 8, 2026, complete the
initial hazard potential classification
assessment as set forth by § 257.73(a)(2)
and (f).
(iv) Except for legacy CCR surface
impoundments that do not exceed the
height and/or storage volume thresholds
under § 257.73(b), no later than Friday,
May 8, 2026, complete the structural
stability and safety factor assessments as
set forth by § 257.73(d), (e), and (f).
(v) Except for legacy CCR surface
impoundments that are incised, no later
than Friday, May 8, 2026, prepare and
maintain an Emergency Action Plan as
set forth by § 257.73(a)(3).
(3) Operating criteria. The owner or
operator of the legacy CCR surface
impoundment must:
(i) No later than Friday, November 8,
2024, prepare the initial CCR fugitive
dust control plan as set forth in
§ 257.80(b).
(ii) No later than Friday, November 8,
2024, prevent the unknowing entry, and
minimize the possibility for the
unauthorized entry, of persons or
livestock onto the legacy CCR surface
impoundment.
(iii) No later than Friday, November 8,
2024, initiate the inspections by a
qualified person as set forth by
§ 257.83(a).
(iv) No later than Monday, February
10, 2025, complete the initial annual
inspection by a qualified professional
engineer as set forth by § 257.83(b).
(v) No later than Friday, May 8, 2026,
prepare the initial inflow design flood
control system plan as set forth in
§ 257.82(c).
(vi) No later than Thursday, January 8,
2026, prepare the initial annual fugitive
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dust control report as set forth in
§ 257.80(c).
(4) Groundwater monitoring and
corrective action. No later than Monday,
May 10, 2027, the owner or operator of
the legacy CCR surface impoundment
must:
(i) Install the groundwater monitoring
system as required by § 257.91.
(ii) Develop the groundwater
sampling and analysis program,
including the selection of the statistical
procedures, that will be used for
evaluating groundwater monitoring data
as required by § 257.93.
(iii) Be in compliance with the
following groundwater monitoring
requirements:
(A) Initiate the detection monitoring
program to include obtaining a
minimum of eight independent samples
for each background and downgradient
well, as required by § 257.94(b).
(B) Begin evaluating the groundwater
monitoring data for statistically
significant increases over background
levels for the constituents listed in
appendix III of this part, as required by
§ 257.94.
(C) Begin evaluating the groundwater
monitoring data for statistically
significant levels over groundwater
protection standards for the constituents
listed in appendix IV of this part as
required by § 257.95.
(iv) No later than January 31, 2027,
prepare the initial groundwater
monitoring and corrective action report
as set forth in § 257.90(e).
(5) Closure and post-closure care.
Except as provided in § 257.102(g), the
owner or operator of the legacy CCR
surface impoundment must:
(i) No later than Monday, November
8, 2027, prepare an initial written
closure plan as set forth in § 257.102(b);
and
(ii) No later than Monday, November
8, 2027, prepare an initial written postclosure care plan as set forth in
§ 257.104(d).
(g) For owners and operators of legacy
CCR surface impoundments that
completed closure of the CCR unit by
removal of waste prior to Friday,
November 8, 2024, no later than Friday,
November 8, 2024, complete a closure
certification that includes the following
supporting information:
(1) The type and volume of CCR and
all other materials in the unit prior to
closure;
(2) The methods used to verify
complete removal of all CCR and other
contaminated materials from the unit,
including any post-removal sampling
and analysis;
(3) Documentation that all CCR and
other contaminated materials were
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39107
removed from the unit, including, the
results of any post-removal sampling
and analysis that was conducted;
(4) The methods used to verify
complete decontamination of all areas
affected by releases from the unit,
including but not limited to postdecontamination sampling and analysis;
(5) Documentation that all areas
affected by releases from the unit were
decontaminated and that all
groundwater affected by releases has
achieved groundwater protection
standards; and
(6) Document that groundwater
monitoring concentrations do not
exceed the groundwater protection
standards established pursuant to
§ 257.95(h) for constituents listed in
appendix IV to this part. The
documentation must also include a
demonstration that the groundwater
monitoring system has met all of the
following:
(i) Was capable of accurately
representing background water quality
unaffected by a CCR unit;
(ii) Was capable of accurately
representing the quality of water passing
the waste boundary of the unit;
(iii) Was capable of detecting
contamination in the uppermost aquifer;
(iv) Monitored all potential
contaminant pathways;
(v) Established groundwater
background concentrations for appendix
IV constituents and compared samples
to those background concentrations;
(vi) Monitoring wells must have been
cased in a manner that maintains the
integrity of the monitoring well
borehole. This casing must have been
screened or perforated and packed with
gravel or sand, where necessary, to
enable collection of groundwater
samples. The annular space (i.e., the
space between the borehole and well
casing) above the sampling depth must
have been sealed to prevent
contamination of samples and the
groundwater; and
(vii) The last groundwater monitoring
sample used to document that the
standard in paragraph (g)(3) of this
section has been met must have been
collected no earlier than one year prior
to the initiation of closure.
(h) If the owner or operator of a legacy
CCR surface impoundment is unable to
complete the closure by removal
certification by the date listed in
paragraph (f)(1)(i) of this section, they
may elect to conduct groundwater
monitoring in accordance with
§§ 257.90 through 257.95 to demonstrate
there are no exceedances of the
groundwater protection standards. If the
owner or operator meets all the
requirements of paragraph (h)(1) of this
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section, no further requirements under
this subpart apply. If the owner or
operator does not meet the requirements
of paragraph (h)(1) of this section by
Monday, May 8, 2028 or if one or more
constituents in appendix IV to this part
are detected at statistically significant
levels above the groundwater protection
standard established under § 257.95(h),
they must proceed in accordance with
paragraph (h)(2) of this section.
(1) In order to comply with this
paragraph (h)(1), the owner or operator
must complete all of the following:
(i) Prepare a notification of intent to
certify closure no later than Friday,
November 8, 2024. The owner or
operator has prepared the notification
when the report is placed in the
facility’s operating record as required by
§ 257.105(k)(4).
(ii) Conduct groundwater monitoring
in accordance with §§ 257.90–257.95 for
at least two consecutive sampling events
to demonstrate that all constituents in
appendix IV of this part have
concentrations that do not exceed the
groundwater protection standards listed
in § 257.95(h).
(iii) Complete a closure by removal
certification documenting compliance
with paragraphs (g)(1) through (5) and
(h)(1)(ii) of this section no later than
Monday, May 8, 2028.
(2) If the owner or operator does not
meet the requirements of paragraph
(h)(1) of this section (e.g., by the date or
they detect an SSL of an appendix IV
constituent), they must comply with all
of the following:
(i) If a statistically significant level is
detected, the corrective action
provisions and proceed in accordance
with § 257.102(c)(2).
(ii) The permanent marker
requirements in § 257.73(a)(1) no later
than 8 months from the date they
became subject to this requirement.
(iii) The applicability report
requirements of paragraph (f)(1)(i) of
this section no later than 6 months from
the date they became subject to this
requirement.
(iv) The facility evaluation provisions
for CCR management units under
§ 257.75 no later than 33 months from
the date they became subject to this
requirement.
(v) If any CCR management unit is
discovered after completing the facility
evaluation report, the fugitive dust
requirements of § 257.80(b) no later than
6 months from the date of the facility
evaluation report.
(vi) The groundwater monitoring
requirements for CCR management units
under § 257.90(b)(3)(i) through (iv) no
later than 48 months from the date they
became subject to this requirement.
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(vii) The requirement to prepare an
initial written closure plan for CCR
management units consistent with the
requirements specified in
§ 257.102(b)(1) no later than 54 months
from the date they became subject to
this requirement.
(viii) The requirement to prepare an
initial post-closure plan for CCR
management units consistent with the
requirements specified in
§ 257.104(d)(2)(iii) no later than 54
months from the date they became
subject to this requirement.
(ix) The requirement to initiate the
closure of CCR management units in
accordance with the requirements of
§ 257.102 no later than 60 months from
the date they became subject to this
requirement.
(i) Owners and operators of legacy
CCR surface impoundments that
completed closure of the unit in
accordance with § 257.102(d) or that
meet the requirements in § 257.101(g)
prior to Friday, November 8, 2024 must
only:
(1) Prepare the applicability report as
set forth by § 257.100(f)(1);
(2) Prevent the unknowing entry, and
minimize the possibility for the
unauthorized entry, of persons or
livestock onto the legacy CCR surface
impoundment as set forth in
§ 257.100(f)(3)(ii);
(3) Place on or immediately adjacent
to the unit the permanent identification
marker as set forth by § 257.73(a)(1);
(4) Compile a history of construction
as set forth by § 257.73(c);
(5) Prepare the initial CCR fugitive
dust control plan as set forth in
§ 257.80(b);
(6) Prepare the initial annual fugitive
dust control report as set forth in
§ 257.80(c);
(7) (i) Install the groundwater
monitoring system as required by
§ 257.91;
(ii) Develop the groundwater
sampling and analysis program,
including the selection of the statistical
procedures, that will be used for
evaluating groundwater monitoring data
as required by § 257.93;
(iii) Be in compliance with the
following groundwater monitoring
requirements:
(A) Initiate the detection monitoring
program to include obtaining a
minimum of eight independent samples
for each background and downgradient
well, as required by § 257.94(b);
(B) Begin evaluating the groundwater
monitoring data for statistically
significant increases over background
levels for the constituents listed in
appendix III of this part, as required by
§ 257.94;
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(C) Begin evaluating the groundwater
monitoring data for statistically
significant levels over groundwater
protection standards for the constituents
listed in appendix IV of this part as
required by § 257.95;
(8) Include in the applicability report
specified in § 257.100(f)(1) information
on the completed closure, along with
supporting documentation to
demonstrate that the closure meets the
performance standards in § 257.102(d)
or the standards specified in
§ 257.101(g);
(9) Prepare an initial written postclosure care plan as set forth in
§ 257.104(d);
(10) Conduct post-closure care as set
forth in § 257.104(b); and
(11) Comply with applicable
recordkeeping, notification, and website
posting requirements as set forth by
§§ 257.105 through 257.107.
(j) The owner or operator of the legacy
CCR surface impoundment must comply
with the recordkeeping requirements
specified in § 257.105(k), the
notification requirements specified in
§ 257.106(k), and the internet
requirements specified in § 257.107(k).
■ 19. Amend § 257.101 by adding
paragraphs (e), (f), (g) and (h) to read as
follows:
§ 257.101
Closure or retrofit of CCR units.
*
*
*
*
*
(e) Except as provided in paragraph
(g) of this section, the owner or operator
of a legacy CCR surface impoundment is
subject to the requirements of
paragraphs (e)(1) and (2) of this section.
(1) No later than Monday, May 8,
2028, an owner or operator of a legacy
CCR surface impoundment must initiate
the closure of the legacy CCR surface
impoundment in accordance with the
requirements of § 257.102.
(2) An owner or operator of a legacy
CCR surface impoundment that closes
in accordance with paragraph (e)(1) of
this section must include a statement in
the notification required under
§ 257.102(g) that the legacy CCR surface
impoundment is closing under the
requirement of paragraph (e)(1) of this
section.
(f) Except as provided in paragraphs
(g) and (h) of this section, the owner or
operator of a CCR management unit
must comply with the requirements of
paragraphs (f)(1) and (2) of this section.
(1) No later than Tuesday, May 8,
2029, an owner or operator of a CCR
management unit must initiate the
closure of the CCR management unit in
accordance with the requirements of
§ 257.102.
(2) An owner or operator of a CCR
management unit that closes in
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accordance with paragraph (f)(1) of this
section must include a statement in the
notification required under § 257.102(g)
that the CCR management unit is closing
under the requirements of paragraph
(f)(1) of this section.
(g) Deferral to permitting for closures
conducted under substantially
equivalent regulatory authority.
Notwithstanding the provisions of
paragraphs (e) and (f) of this section, the
owner or operator of a CCR management
unit or a legacy CCR surface
impoundment need not demonstrate
compliance with the performance
standards in § 257.102(c) or (d) provided
they demonstrate that the closure of the
CCR unit met the standards specified in
paragraphs (g)(1) through (g)(6) of this
section.
(1) The owner or operator of the CCR
unit must document that a regulatory
authority played an active role in
overseeing and approving the closure
and any necessary corrective action,
pursuant to an enforceable requirement.
This includes a State or Federal permit,
an administrative order, or consent
order issued after 2015 under CERCLA
or by an EPA-approved RCRA State
program.
(2) The owner or operator of the CCR
unit must document that the regulatory
authority required or conducted a sitespecific risk assessment prior to (or as
part of) approving the closure and any
necessary corrective action.
(3) The owner or operator of the CCR
unit must document that it installed a
groundwater monitoring system and
performed groundwater monitoring that
meets all of the following:
(i) Was capable of accurately
representing background water quality;
(ii) Was capable of accurately
representing the quality of water passing
the waste boundary;
(iii) Was capable of detecting
contamination in the uppermost aquifer;
and
(iv) Monitored all potential
contaminant pathways.
(4) Must document that the closed
unit meets either:
(i) The performance standard in
§ 257.60; or
(ii) The performance standard in
§ 257.102(d)(2)(i).
(5) The owner or operator must
include the following statement, signed
by the owner or operator or an
authorized representative, in the facility
evaluation report for CCR management
units specified in § 257.75 or
applicability report for legacy CCR
surface impoundments specified in
§ 257.100(f)(1) along with all
information required by paragraphs
(g)(1) through (4) of the section:
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I certify under penalty of law that I have
personally examined and am familiar with
the information submitted in this
demonstration and all attached documents,
and that, based on my inquiry of those
individuals immediately responsible for
obtaining the information, I believe that the
submitted information is true, accurate, and
complete. I am aware that there are
significant penalties for submitting false
information, including the possibility of fine
and imprisonment.
(6) Closure equivalency determination
at permitting. The owner or operator
must submit the following
documentation to the permit authority.
(i) A permit application that contains
sufficient information, including data
on contaminant levels in groundwater,
to demonstrate that the applicable
§ 257.102 standards have been met.
(ii) EPA will review the information
to determine whether the ‘‘equivalency’’
of the closure has been successfully
demonstrated. If EPA or a Participating
State Director determines that the
closure has met the appropriate part 257
closure standard, EPA or a Participating
State Director will issue a permit to
require compliance with applicable
post-closure requirements. If EPA or a
Participating State Director determines
that the closure does not meet the part
257 standards, the owner or operator
will be required to submit a complete
permit application and obtain a permit
that contains the specific requirements
necessary for the closed unit to achieve
compliance with § 257.102.
(h) Deferral for CCR management
units under critical infrastructure.
Notwithstanding the provisions of
paragraph (f)(1) of this section, the
owner or operator of a CCR management
unit located beneath critical
infrastructure need not initiate closure
until the infrastructure is no longer
needed, EPA or a Participating State
Director determines closure is necessary
to ensure that there is no reasonable
probability of adverse effects on human
health or the environment, or the
closure or decommissioning of the
facility, whichever occurs first. Owners
and operators of CCR management units
under active disposal units must meet
either:
(1) Demonstrate that the CCR
management unit complies with the
performance standard in § 257.60; or
(2) Demonstrate that the CCR
management unit complies with the
performance standard in
§ 257.102(d)(2)(i).
20. Revise and republish§ 257.102 to
read as follows:
■
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§ 257.102 Criteria for conducting the
closure or retrofit of CCR units and closure
of CCR management units.
(a) General. Closure of a CCR unit
must be completed either by leaving the
CCR in place and installing a final cover
system or through removal of the CCR
and decontamination of the CCR unit, as
described in paragraphs (b) through (j)
of this section. Retrofit of a CCR surface
impoundment must be completed in
accordance with the requirements in
paragraph (k) of this section.
(b) Written closure plan—(1) Content
of the plan. The owner or operator of a
CCR unit must prepare a written closure
plan that describes the steps necessary
to close the CCR unit at any point
during the active life of the CCR unit
consistent with recognized and
generally accepted good engineering
practices. The written closure plan must
include, at a minimum, the information
specified in paragraphs (b)(1)(i) through
(vi) of this section.
(i) A narrative description of how the
CCR unit will be closed in accordance
with this section.
(ii) If closure of the CCR unit will be
accomplished through removal of CCR
from the CCR unit, a description of the
procedures to remove the CCR and
decontaminate the CCR unit in
accordance with paragraph (c) of this
section.
(iii) If closure of the CCR unit will be
accomplished by leaving CCR in place,
a description of the final cover system,
designed in accordance with paragraph
(d) of this section, and the methods and
procedures to be used to install the final
cover. The closure plan must also
discuss how the final cover system will
achieve the performance standards
specified in paragraph (d) of this
section.
(iv) An estimate of the maximum
inventory of CCR ever on-site over the
active life of the CCR unit.
(v) An estimate of the largest area of
the CCR unit ever requiring a final cover
as required by paragraph (d) of this
section at any time during the CCR
unit’s active life.
(vi) A schedule for completing all
activities necessary to satisfy the closure
criteria in this section, including an
estimate of the year in which all closure
activities for the CCR unit will be
completed. The schedule should
provide sufficient information to
describe the sequential steps that will be
taken to close the CCR unit, including
identification of major milestones such
as coordinating with and obtaining
necessary approvals and permits from
other agencies, the dewatering and
stabilization phases of CCR surface
impoundment closure, or installation of
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the final cover system, and the
estimated timeframes to complete each
step or phase of CCR unit closure. When
preparing the written closure plan, if the
owner or operator of a CCR unit
estimates that the time required to
complete closure will exceed the
timeframes specified in paragraph (f)(1)
of this section, the written closure plan
must include the site-specific
information, factors and considerations
that would support any time extension
sought under paragraph (f)(2) of this
section.
(2) Timeframes for preparing the
initial written closure plan—(i) Existing
CCR landfills and existing CCR surface
impoundments. No later than October
17, 2016, the owner or operator of the
CCR unit must prepare an initial written
closure plan consistent with the
requirements specified in paragraph
(b)(1) of this section.
(ii) New CCR landfills and new CCR
surface impoundments, and any lateral
expansion of a CCR unit. No later than
the date of the initial receipt of CCR in
the CCR unit, the owner or operator
must prepare an initial written closure
plan consistent with the requirements
specified in paragraph (b)(1) of this
section.
(iii) CCR management units. Except as
provided for in paragraph (b)(2)(v) of
this section, no later than November 8,
2028, the owner or operator of the CCR
management unit must prepare an
initial written closure plan consistent
with the requirements specified in
paragraph (b)(1) of this section.
(iv) Recordkeeping. The owner or
operator has completed the written
closure plan when the plan, including
the certification required by paragraph
(b)(4) of this section, has been placed in
the facility’s operating record as
required by § 257.105(i)(4).
(v) Closure documentation for certain
CCR management units. Owners and
operators of a CCR management unit
that completed closure of the unit in
accordance with § 257.102(d) prior to
Friday, November 8, 2024 or that meet
the requirements in § 257.101(g) must
include in the facility evaluation report
specified in § 257.75 information on the
completed closure, along with
supporting documentation to
demonstrate that the closure meets the
performance standards in § 257.102(d)
or the standards specified in
§ 257.101(g).
(3) Amendment of a written closure
plan. (i) The owner or operator may
amend the initial or any subsequent
written closure plan developed
pursuant to paragraph (b)(1) of this
section at any time.
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(ii) The owner or operator must
amend the written closure plan
whenever:
(A) There is a change in the operation
of the CCR unit that would substantially
affect the written closure plan in effect;
or
(B) Before or after closure activities
have commenced, unanticipated events
necessitate a revision of the written
closure plan.
(iii) The owner or operator must
amend the closure plan at least 60 days
prior to a planned change in the
operation of the facility or CCR unit, or
no later than 60 days after an
unanticipated event requires the need to
revise an existing written closure plan.
If a written closure plan is revised after
closure activities have commenced for a
CCR unit, the owner or operator must
amend the current closure plan no later
than 30 days following the triggering
event.
(4) Certification or approval. The
owner or operator of the CCR unit must
obtain a written certification from a
qualified professional engineer or
approval from the Participating State
Director or approval from EPA where
EPA is the permitting authority that the
initial and any amendment of the
written closure plan meets the
requirements of this section.
(c) Closure by removal of CCR. An
owner or operator that elects to close a
CCR unit by-removal of CCR must
follow the procedures specified in either
paragraph (c)(1) or (2) of this section.
Closure by removal is complete when
CCR has been removed; any areas
affected by releases from the CCR unit
have been removed or decontaminated;
and groundwater monitoring
concentrations of the constituents listed
in appendix IV to this part do not
exceed groundwater protection
standards established pursuant to
§ 257.95(h). Removal and
decontamination activities include
removing all CCR from the unit, CCR
mixed with soils, and CCR included in
berms, liners or other unit structures,
and removing or decontaminating all
areas affected by releases from the CCR
unit.
(1) Complete all removal and
decontamination activities during the
active life of the CCR unit. Within the
timeframes specified in paragraph (f) of
this section the owner or operator must
do all of the following:
(i) Complete removal of CCR and
decontamination of all areas affected by
releases from the CCR unit;
(ii) Document that the standards in
paragraph (c) of this section have been
met. Documentation that groundwater
protection standards have been met for
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the constituents listed in appendix IV to
this part must consist of groundwater
monitoring results that show no
constituents were detected at
statistically significant levels above the
groundwater protection standards for
either:
(A) Two consecutive monitoring
events; or
(B) Three years, in accordance with
§ 257.98(c); and
(iii) Obtain the completion of closure
certification or approval required by
paragraph (f)(3) of this section.
(2) Complete removal and
decontamination activities during the
active life and post-closure care period
of the CCR unit. The owner or operator
may close a CCR unit by completing all
removal and decontamination activities,
except for groundwater corrective
action, during the active life of the CCR
unit and by completing groundwater
corrective action during the post-closure
care period pursuant to the following
procedures:
(i) Within the timeframes specified in
paragraph (f) of this section, document
that CCR has been removed from the
unit and any areas affected by releases
from the CCR unit have been removed
or decontaminated;
(ii) Within the timeframes specified in
paragraph (f) of this section, begin
implementation of the remedy selected
in accordance with § 257.97 such that
all components of the remedy are
constructed, or otherwise in place, and
operating as intended unless the owner
or operator documents both that:
(A) All applicable requirements in
§§ 257.96 through 257.98 have been
met; and
(B) The active life of the unit could
not be extended until implementation of
the remedy consistent with § 257.102(f);
(iii) Complete groundwater corrective
action as a post-closure care
requirement as specified in § 257.104(g);
(iv) Amend the written closure plan
required by paragraph (b) of this section
and the written post-closure care plan
required by § 257.104(d);
(v) Within the timeframes specified in
paragraph (f) of this section, obtain the
completion of closure certification or
approval required by paragraph (f)(3) of
this section; and
(vi) Within the timeframes specified
in paragraph (f) of this section, record
the notation on the deed to the property
required by paragraph (i) of this section.
(d) Closure performance standard
when leaving CCR in place—
(1) General performance standard.
The owner or operator of a CCR unit
must ensure that, at a minimum, the
CCR unit is closed in a manner that will:
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(i) Control, minimize or eliminate, to
the maximum extent feasible, postclosure infiltration of liquids into the
waste and releases of CCR, leachate, or
contaminated run-off to the ground or
surface waters or to the atmosphere;
(ii) Preclude the probability of future
impoundment of water, sediment, or
slurry;
(iii) Include measures that provide for
major slope stability to prevent the
sloughing or movement of the final
cover system during the closure and
post-closure care period;
(iv) Minimize the need for further
maintenance of the CCR unit; and
(v) Be completed in the shortest
amount of time consistent with
recognized and generally accepted good
engineering practices.
(2) Drainage and stabilization of CCR
units. The owner or operator of any CCR
unit must meet the requirements of
paragraphs (d)(2)(i) and (ii) of this
section prior to installing the final cover
system required under paragraph (d)(3)
of this section.
(i) Free liquids must be eliminated by
removing liquid wastes or solidifying
the remaining wastes and waste
residues.
(ii) Remaining wastes must be
stabilized sufficient to support the final
cover system.
(3) Final cover system. If a CCR unit
is closed by leaving CCR in place, the
owner or operator must install a final
cover system that is designed to
minimize infiltration and erosion, and
at a minimum, meets the requirements
of paragraph (d)(3)(i) of this section, or
the requirements of the alternative final
cover system specified in paragraph
(d)(3)(ii) of this section.
(i) The final cover system must be
designed and constructed to meet the
criteria in paragraphs (d)(3)(i)(A)
through (D) of this section. The design
of the final cover system must be
included in the written closure plan
required by paragraph (b) of this section.
(A) The permeability of the final cover
system must be less than or equal to the
permeability of any bottom liner system
or natural subsoils present, or a
permeability no greater than 1 × 10¥5
cm/sec, whichever is less.
(B) The infiltration of liquids through
the closed CCR unit must be minimized
by the use of an infiltration layer that
contains a minimum of 18 inches of
earthen material.
(C) The erosion of the final cover
system must be minimized by the use of
an erosion layer that contains a
minimum of six inches of earthen
material that is capable of sustaining
native plant growth.
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(D) The disruption of the integrity of
the final cover system must be
minimized through a design that
accommodates settling and subsidence.
(ii) The owner or operator may select
an alternative final cover system design,
provided the alternative final cover
system is designed and constructed to
meet the criteria in paragraphs
(d)(3)(ii)(A) through (C) of this section.
The design of the final cover system
must be included in the written closure
plan required by paragraph (b) of this
section.
(A) The design of the final cover
system must include an infiltration
layer that achieves an equivalent
reduction in infiltration as the
infiltration layer specified in paragraphs
(d)(3)(i)(A) and (B) of this section.
(B) The design of the final cover
system must include an erosion layer
that provides equivalent protection from
wind or water erosion as the erosion
layer specified in paragraph (d)(3)(i)(C)
of this section.
(C) The disruption of the integrity of
the final cover system must be
minimized through a design that
accommodates settling and subsidence.
(iii) The owner or operator of the CCR
unit must obtain a written certification
from a qualified professional engineer or
approval from the Participating State
Director or approval from EPA where
EPA is the permitting authority that the
design of the final cover system meets
the requirements of this section.
(e) Initiation of closure activities.
Except as provided for in paragraph
(e)(4) of this section and § 257.103, the
owner or operator of a CCR unit must
commence closure of the CCR unit no
later than the applicable timeframes
specified in either paragraph (e)(1) or (2)
of this section.
(1) The owner or operator must
commence closure of the CCR unit no
later than 30 days after the date on
which the CCR unit either:
(i) Receives the known final receipt of
waste, either CCR or any non-CCR waste
stream; or
(ii) Removes the known final volume
of CCR from the CCR unit for the
purpose of beneficial use of CCR.
(2)(i) Except as provided by paragraph
(e)(2)(ii) of this section, the owner or
operator must commence closure of a
CCR unit that has not received CCR or
any non-CCR waste stream or is no
longer removing CCR for the purpose of
beneficial use within two years of the
last receipt of waste or within two years
of the last removal of CCR material for
the purpose of beneficial use.
(ii) Notwithstanding paragraph
(e)(2)(i) of this section, the owner or
operator of the CCR unit may secure an
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39111
additional two years to initiate closure
of the idle unit provided the owner or
operator provides written
documentation that the CCR unit will
continue to accept wastes or will start
removing CCR for the purpose of
beneficial use. The documentation must
be supported by, at a minimum, the
information specified in paragraphs
(e)(2)(ii)(A) and (B) of this section. The
owner or operator may obtain two-year
extensions provided the owner or
operator continues to be able to
demonstrate that there is reasonable
likelihood that the CCR unit will accept
wastes in the foreseeable future or will
remove CCR from the unit for the
purpose of beneficial use. The owner or
operator must place each completed
demonstration, if more than one time
extension is sought, in the facility’s
operating record as required by
§ 257.105(i)(5) prior to the end of any
two-year period.
(A) Information documenting that the
CCR unit has remaining storage or
disposal capacity or that the CCR unit
can have CCR removed for the purpose
of beneficial use; and
(B) Information demonstrating that
that there is a reasonable likelihood that
the CCR unit will resume receiving CCR
or non-CCR waste streams in the
foreseeable future or that CCR can be
removed for the purpose of beneficial
use. The narrative must include a best
estimate as to when the CCR unit will
resume receiving CCR or non-CCR waste
streams. The situations listed in
paragraphs (e)(2)(ii)(B)(1) through (4) of
this section are examples of situations
that would support a determination that
the CCR unit will resume receiving CCR
or non-CCR waste streams in the
foreseeable future.
(1) Normal plant operations include
periods during which the CCR unit does
not receive CCR or non-CCR waste
streams, such as the alternating use of
two or more CCR units whereby at any
point in time one CCR unit is receiving
CCR while CCR is being removed from
a second CCR unit after its dewatering.
(2) The CCR unit is dedicated to a
coal-fired boiler unit that is temporarily
idled (e.g., CCR is not being generated)
and there is a reasonable likelihood that
the coal-fired boiler will resume
operations in the future.
(3) The CCR unit is dedicated to an
operating coal-fired boiler (i.e., CCR is
being generated); however, no CCR are
being placed in the CCR unit because
the CCR are being entirely diverted to
beneficial uses, but there is a reasonable
likelihood that the CCR unit will again
be used in the foreseeable future.
(4) The CCR unit currently receives
only non-CCR waste streams and those
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non-CCR waste streams are not
generated for an extended period of
time, but there is a reasonable
likelihood that the CCR unit will again
receive non-CCR waste streams in the
future.
(iii) In order to obtain additional time
extension(s) to initiate closure of a CCR
unit beyond the two years provided by
paragraph (e)(2)(i) of this section, the
owner or operator of the CCR unit must
include with the demonstration
required by paragraph (e)(2)(ii) of this
section the following statement signed
by the owner or operator or an
authorized representative:
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I certify under penalty of law that I have
personally examined and am familiar with
the information submitted in this
demonstration and all attached documents,
and that, based on my inquiry of those
individuals immediately responsible for
obtaining the information, I believe that the
submitted information is true, accurate, and
complete. I am aware that there are
significant penalties for submitting false
information, including the possibility of fine
and imprisonment.
(3) For purposes of this subpart,
closure of the CCR unit has commenced
if the owner or operator has ceased
placing waste and completes any of the
following actions or activities:
(i) Taken any steps necessary to
implement the written closure plan
required by paragraph (b) of this section;
(ii) Submitted a completed
application for any required state or
agency permit or permit modification;
or
(iii) Taken any steps necessary to
comply with any state or other agency
standards that are a prerequisite, or are
otherwise applicable, to initiating or
completing the closure of a CCR unit.
(4) The timeframes specified in
paragraphs (e)(1) and (2) of this section
do not apply to any of the following
owners or operators:
(i) [Reserved]
(ii) An owner or operator of an
existing unlined CCR surface
impoundment closing the CCR unit as
required by § 257.101(a);
(iii) An owner or operator of an
existing CCR surface impoundment
closing the CCR unit as required by
§ 257.101(b);
(iv) An owner or operator of a new
CCR surface impoundment closing the
CCR unit as required by § 257.101(c); or
(v) An owner or operator of an
existing CCR landfill closing the CCR
unit as required by § 257.101(d).
(f) Completion of closure activities.
(1) Except as provided for in
paragraph (f)(2) of this section, the
owner or operator must complete
closure of the CCR unit:
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(i) For existing and new CCR landfills
and any lateral expansion of a CCR
landfill, within six months of
commencing closure activities.
(ii) For existing and new CCR surface
impoundments and any lateral
expansion of a CCR surface
impoundment, within five years of
commencing closure activities.
(iii) For CCR management units,
within five years of commencing closure
activities.
(2)(i) Extensions of closure
timeframes. The timeframes for
completing closure of a CCR unit
specified under paragraphs (f)(1) of this
section may be extended if the owner or
operator can demonstrate that it was not
feasible to complete closure of the CCR
unit within the required timeframes due
to factors beyond the facility’s control.
If the owner or operator is seeking a
time extension beyond the time
specified in the written closure plan as
required by paragraph (b)(1) of this
section, the demonstration must include
a narrative discussion providing the
basis for additional time beyond that
specified in the closure plan. The owner
or operator must place each completed
demonstration, if more than one time
extension is sought, in the facility’s
operating record as required by
§ 257.105(i)(6) prior to the end of any
two-year period. Factors that may
support such a demonstration include:
(A) Complications stemming from the
climate and weather, such as unusual
amounts of precipitation or a
significantly shortened construction
season;
(B) Time required to dewater a CCR
unit due to the volume of CCR
contained in the CCR unit or the
characteristics of the CCR in the unit;
(C) The geology and terrain
surrounding the CCR unit will affect the
amount of material needed to close the
CCR unit; or
(D) Time required or delays caused by
the need to coordinate with and obtain
necessary approvals and permits from a
state or other agency.
(ii) Maximum time extensions. (A)
CCR surface impoundments of 40 acres
or smaller may extend the time to
complete closure by no longer than two
years.
(B) CCR surface impoundments larger
than 40 acres may extend the timeframe
to complete closure of the CCR unit
multiple times, in two-year increments.
For each two-year extension sought, the
owner or operator must substantiate the
factual circumstances demonstrating the
need for the extension. No more than a
total of five two-year extensions may be
obtained for any CCR surface
impoundment.
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(C) Except as provided in paragraph
(f)(2)(ii)(D) of this section, CCR landfills
may extend the timeframe to complete
closure of the CCR unit multiple times,
in one-year increments. For each oneyear extension sought, the owner or
operator must substantiate the factual
circumstances demonstrating the need
for the extension. No more than a total
of two one-year extensions may be
obtained for any CCR landfill.
(D) CCR landfills that intersect with
groundwater are eligible for the time
extensions available to CCR units in
paragraph (f)(2)(ii)(B) of this section,
provided the owner or operator
documents that groundwater intersects
the CCR unit in the closure plan.
(E) CCR management units of 40 acres
or smaller may extend the time to
complete closure by no longer than two
years.
(F) CCR management units larger than
40 acres may extend the timeframe to
complete closure of the CCR
management unit multiple times, in
two-year increments. For each two-year
extension sought, the owner or operator
must substantiate the factual
circumstances demonstrating the need
for the extension. No more than a total
of five two-year extensions may be
obtained for any CCR management unit.
(iii) In order to obtain additional time
extension(s) to complete closure of a
CCR unit beyond the times provided by
paragraph (f)(1) of this section, the
owner or operator of the CCR unit must
include with the demonstration
required by paragraph (f)(2)(i) of this
section the following statement signed
by the owner or operator or an
authorized representative:
I certify under penalty of law that I have
personally examined and am familiar with
the information submitted in this
demonstration and all attached documents,
and that, based on my inquiry of those
individuals immediately responsible for
obtaining the information, I believe that the
submitted information is true, accurate, and
complete. I am aware that there are
significant penalties for submitting false
information, including the possibility of fine
and imprisonment.
(3) Upon completion, the owner or
operator of the CCR unit must obtain a
certification from a qualified
professional engineer or approval from
the Participating State Director or
approval from EPA where EPA is the
permitting authority verifying that
closure has been completed in
accordance with the closure plan
specified in paragraph (b) of this section
and the requirements of this section.
(g) Notification of intent to close. No
later than the date the owner or operator
initiates closure of a CCR unit, the
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owner or operator must prepare a
notification of intent to close a CCR
unit. The notification must include the
certification by a qualified professional
engineer or the approval from the
Participating State Director or the
approval from EPA where EPA is the
permitting authority for the design of
the final cover system as required by
§ 257.102(d)(3)(iii), if applicable. The
owner or operator has completed the
notification when it has been placed in
the facility’s operating record as
required by § 257.105(i)(7).
(h) Notification of completion of
closure. Within 30 days of completion
of closure of the CCR unit, the owner or
operator must prepare a notification of
closure of a CCR unit. The notification
must include the certification by a
qualified professional engineer or the
approval from the Participating State
Director or the approval from EPA
where EPA is the permitting authority
as required by § 257.102(f)(3). The
owner or operator has completed the
notification when it has been placed in
the facility’s operating record as
required by § 257.105(i)(8).
(i) Deed notations. (1) Except as
provided by paragraph (i)(4) of this
section, following closure of a CCR unit,
the owner or operator must record a
notation on the deed to the property, or
some other instrument that is normally
examined during title search.
(2) The notation on the deed must in
perpetuity notify any potential
purchaser of the property that:
(i) The land has been used as a CCR
unit; and
(ii) Its use is restricted under the postclosure care requirements as provided
by § 257.104(d)(1)(iii).
(3) Within 30 days of recording a
notation on the deed to the property, the
owner or operator must prepare a
notification stating that the notation has
been recorded. The owner or operator
has completed the notification when it
has been placed in the facility’s
operating record as required by
§ 257.105(i)(9).
(4) An owner or operator that closes
a CCR unit in accordance with
paragraph (c)(1) of this section is not
subject to the requirements of
paragraphs (i)(1) through (3) of this
section.
(j) Recordkeeping, notification, and
internet requirements. The owner or
operator of the CCR unit must comply
with the closure recordkeeping
requirements specified in § 257.105(i),
the closure notification requirements
specified in § 257.106(i), and the closure
internet requirements specified in
§ 257.107(i).
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(k) Criteria to retrofit an existing CCR
surface impoundment. (1) To retrofit an
existing CCR surface impoundment, the
owner or operator must:
(i) First remove all CCR, including
any contaminated soils and sediments
from the CCR unit; and
(ii) Comply with the requirements in
§ 257.72.
(iii) A CCR surface impoundment
undergoing a retrofit remains subject to
all other requirements of this subpart,
including the requirement to conduct
any necessary corrective action.
(2) Written retrofit plan—(i) Content
of the plan. The owner or operator must
prepare a written retrofit plan that
describes the steps necessary to retrofit
the CCR unit consistent with recognized
and generally accepted good
engineering practices. The written
retrofit plan must include, at a
minimum, all of the following
information:
(A) A narrative description of the
specific measures that will be taken to
retrofit the CCR unit in accordance with
this section.
(B) A description of the procedures to
remove all CCR and contaminated soils
and sediments from the CCR unit.
(C) An estimate of the maximum
amount of CCR that will be removed as
part of the retrofit operation.
(D) An estimate of the largest area of
the CCR unit that will be affected by the
retrofit operation.
(E) A schedule for completing all
activities necessary to satisfy the retrofit
criteria in this section, including an
estimate of the year in which retrofit
activities of the CCR unit will be
completed.
(ii) Timeframes for preparing the
initial written retrofit plan. (A) No later
than 60 days prior to date of initiating
retrofit activities, the owner or operator
must prepare an initial written retrofit
plan consistent with the requirements
specified in paragraph (k)(2) of this
section. For purposes of this subpart,
initiation of retrofit activities has
commenced if the owner or operator has
ceased placing waste in the unit and
completes any of the following actions
or activities:
(1) Taken any steps necessary to
implement the written retrofit plan;
(2) Submitted a completed application
for any required state or agency permit
or permit modification; or
(3) Taken any steps necessary to
comply with any state or other agency
standards that are a prerequisite, or are
otherwise applicable, to initiating or
completing the retrofit of a CCR unit.
(B) The owner or operator has
completed the written retrofit plan
when the plan, including the
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39113
certification required by paragraph
(k)(2)(iv) of this section, has been placed
in the facility’s operating record as
required by § 257.105(j)(1).
(iii) Amendment of a written retrofit
plan. (A) The owner or operator may
amend the initial or any subsequent
written retrofit plan at any time.
(B) The owner or operator must
amend the written retrofit plan
whenever:
(1) There is a change in the operation
of the CCR unit that would substantially
affect the written retrofit plan in effect;
or
(2) Before or after retrofit activities
have commenced, unanticipated events
necessitate a revision of the written
retrofit plan.
(C) The owner or operator must
amend the retrofit plan at least 60 days
prior to a planned change in the
operation of the facility or CCR unit, or
no later than 60 days after an
unanticipated event requires the
revision of an existing written retrofit
plan. If a written retrofit plan is revised
after retrofit activities have commenced
for a CCR unit, the owner or operator
must amend the current retrofit plan no
later than 30 days following the
triggering event.
(iv) Certification or approval. The
owner or operator of the CCR unit must
obtain a written certification from a
qualified professional engineer or an
approval from the Participating State
Director or an approval from EPA where
EPA is the permitting authority that the
activities outlined in the written retrofit
plan, including any amendment of the
plan, meet the requirements of this
section.
(3) Deadline for completion of
activities related to the retrofit of a CCR
unit. Any CCR surface impoundment
that is being retrofitted must complete
all retrofit activities within the same
time frames and procedures specified
for the closure of a CCR surface
impoundment in § 257.102(f) or, where
applicable, § 257.103.
(4) Certification or approval. Upon
completion, the owner or operator must
obtain a written certification from a
qualified professional engineer or an
approval from the Participating State
Director or an approval from EPA where
EPA is the permitting authority
verifying that the retrofit activities have
been completed in accordance with the
retrofit plan specified in paragraph
(k)(2) of this section and the
requirements of this section.
(5) Notification of intent to retrofit. No
later than the date the owner or operator
initiates the retrofit of a CCR unit, the
owner or operator must prepare a
notification of intent to retrofit a CCR
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unit. The owner or operator has
completed the notification when it has
been placed in the facility’s operating
record as required by § 257.105(j)(5).
(6) Notification of completion of
retrofit activities. Within 30 days of
completing the retrofit activities
specified in paragraph (k)(1) of this
section, the owner or operator must
prepare a notification of completion of
retrofit activities. The notification must
include the certification from a qualified
professional engineer or an approval
from the Participating State Director or
an approval from EPA where EPA is the
permitting authority has is required by
paragraph (k)(4) of this section. The
owner or operator has completed the
notification when it has been placed in
the facility’s operating record as
required by § 257.105(j)(6).
(7) Cease retrofit and initiation of
closure. At any time after the initiation
of a CCR unit retrofit, the owner or
operator may cease the retrofit and
initiate closure of the CCR unit in
accordance with the requirements of
§ 257.102.
(8) Recordkeeping, notification, and
internet requirements. The owner or
operator of the CCR unit must comply
with the retrofit recordkeeping
requirements specified in § 257.105(j),
the retrofit notification requirements
specified in § 257.106(j), and the retrofit
internet requirements specified in
§ 257.107(j).
■ 21. Amend § 257.104 by:
■ a. Revising paragraphs (a) and (c)(1);
■ b. Adding paragraph (c)(3);
■ c. Revising paragraph (d)(2); and
■ d. Adding paragraph (g).
The additions and revisions read as
follows:
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§ 257.104
Post-closure care requirements.
(a) Applicability. (1) Except as
provided by paragraph (a)(2) of this
section, § 257.104 applies to the owners
or operators of CCR units that are
subject to the closure criteria under
§ 257.102.
(2) An owner or operator of a CCR
unit that elects to close a CCR unit by
removing CCR as provided by
§ 257.102(c)(1) is not subject to the postclosure care criteria under this section.
*
*
*
*
*
(c) * * *
(1) Except as provided by paragraph
(c)(2) and (3) of this section, the owner
or operator of the CCR unit must
conduct post-closure care for 30 years.
*
*
*
*
*
(3) An owner or operator closing a
unit pursuant to § 257.102(c)(2) must
complete groundwater corrective action
in accordance with § 257.98(c).
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(d) * * *
(2) Deadline to prepare the initial
written post-closure plan—(i) Existing
CCR landfills and existing CCR surface
impoundments. No later than October
17, 2016, the owner or operator of the
CCR unit must prepare an initial written
post-closure plan consistent with the
requirements specified in paragraph
(d)(1) of this section.
(ii) New CCR landfills, new CCR
surface impoundments, and any lateral
expansion of a CCR unit. No later than
the date of the initial receipt of CCR in
the CCR unit, the owner or operator
must prepare an initial written postclosure plan consistent with the
requirements specified in paragraph
(d)(1) of this section.
(iii) CCR management units. No later
than Wednesday, November 8, 2028, the
owner or operator of a CCR management
unit must prepare an initial written
post-closure care plan as set forth in
paragraph (d)(1) of this section.
(iv) Recordkeeping. The owner or
operator has completed the written postclosure plan when the plan, including
the certification required by paragraph
(d)(4) of this section, has been placed in
the facility’s operating record as
required by § 257.105(i)(4).
*
*
*
*
*
(g) Removal of a deed notation. The
owner or operator of a CCR unit closed
pursuant to §§ 257.102(c)(2) and
257.104 may remove the notation from
the deed specified in § 257.102(i) upon:
(1) Completion of groundwater
corrective action demonstrating that any
areas affected by releases from the CCR
unit do not exceed the groundwater
protection standards established
pursuant to § 257.95(h) for constituents
listed in appendix IV to this part; and
(2) Completion of the notification of
completion of post-closure care period
required by paragraph (e) of this section.
*
*
*
*
*
■ 22. Revise § 257.105 to read as
follows:
§ 257.105
Recordkeeping requirements.
(a) Operating Record. Each owner or
operator of a CCR unit subject to the
requirements of this subpart must date
and maintain files of all information
required by this section in a written
operating record at their facility. Each
file must indicate the date the file was
placed in the operating record.
(b) Document Retention. Unless
specified otherwise, each file must be
retained for at least five years following
the date of each occurrence,
measurement, maintenance, corrective
action, report, record, or study.
(c) Recordkeeping for multiple CCR
units. An owner or operator of more
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than one CCR unit subject to the
provisions of this subpart may comply
with the requirements of this section in
one recordkeeping system provided the
system identifies each file by the name
of each CCR unit. The files may be
maintained on microfilm, on a
computer, on computer disks, on a
storage system accessible by a computer,
on magnetic tape disks, or on
microfiche.
(d) State Director and/or appropriate
Tribal authority notification. The owner
or operator of a CCR unit must submit
to the State Director and/or appropriate
Tribal authority any demonstration or
documentation required by this subpart,
if requested, when such information is
not otherwise available on the owner or
operator’s CCR website.
(e) Location restrictions. The owner or
operator of a CCR unit subject to this
subpart must place the demonstrations
documenting whether or not the CCR
unit is in compliance with the
requirements under §§ 257.60(a),
257.61(a), 257.62(a), 257.63(a), and
257.64(a), as it becomes available, in the
facility’s operating record, except each
location restrictions demonstration must
be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g).
(f) Design criteria. The owner or
operator of a CCR unit subject to this
subpart must place the following
information, as it becomes available, in
the facility’s operating record:
(1) The design and construction
certifications as required by § 257.70(e)
and (f), except each certification must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(2) The documentation of liner type as
required by § 257.71(a), except each
liner type documentation must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(3) The design and construction
certifications as required by § 257.72(c)
and (d), except each certification must
be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
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accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(4) Documentation prepared by the
owner or operator stating that the
permanent identification marker was
installed as required by §§ 257.73(a)(1)
and 257.74(a)(1), except each document
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or until
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(5) The initial and periodic hazard
potential classification assessments as
required by §§ 257.73(a)(2) and
257.74(a)(2), except each hazard
potential classification must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(6) The emergency action plan (EAP),
and any amendment of the EAP, as
required by §§ 257.73(a)(3) and
257.74(a)(3), except each EAP must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(7) Documentation prepared by the
owner or operator recording the annual
face-to-face meeting or exercise between
representatives of the owner or operator
of the CCR unit and the local emergency
responders as required by
§§ 257.73(a)(3)(i)(E) and
257.74(a)(3)(i)(E), except each document
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(8) Documentation prepared by the
owner or operator recording all
activations of the emergency action plan
as required by §§ 257.73(a)(3)(v) and
257.74(a)(3)(v), except each
documentation of EAP activations must
be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
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irrespective of the time requirement
specified in paragraph (b) of this
section.
(9) The history of construction, and
any revisions of it, as required by
§ 257.73(c), except each history of
construction must be maintained for
five years after completion of closure by
removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(10) The initial and periodic
structural stability assessments as
required by §§ 257.73(d) and 257.74(d),
except each structural stability
assessment must be maintained for five
years after completion of closure by
removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(11) Documentation detailing the
corrective measures taken to remedy the
deficiency or release as required by
§§ 257.73(d)(2) and 257.74(d)(2), except
each document must be maintained for
five years after completion of closure by
removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(12) The initial and periodic safety
factor assessments as required by
§§ 257.73(e) and 257.74(e), except each
safety factor assessment must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(13) The design and construction
plans, and any revisions of it, as
required by § 257.74(c), except the
design and construction plans must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(14) The application and any
supplemental materials submitted in
support of the application as required
by § 257.71(d)(1)(i)(E), except each
application and supplemental materials
must be maintained for five years after
completion of closure by removal in
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39115
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(15) The alternative liner
demonstration as required by
§ 257.71(d)(1)(ii)(D).
(16) The alternative liner
demonstration extension request as
required by § 257.71(d)(2)(ii)(D).
(17) The documentation prepared for
the preliminary demonstration as
required by § 257.71(d)(2)(ii)(E).
(18) The notification of an incomplete
application as required by
§ 257.71(d)(2)(iii)(B).
(19) The decision on the application
as required by § 257.71(d)(2)(iii)(F),
except each decision must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(20) The final decision on the
alternative liner demonstration as
required by § 257.71(d)(2)(vii).
(21) The alternative source
demonstration as required under
§ 257.71(d)(2)(ix)(A)(4).
(22) The final decision on the
alternative source demonstration as
required under § 257.71(d)(2)(ix)(A)(5).
(23) The final decision on the trend
analysis as required under
§ 257.71(d)(2)(ix)(B)(3).
(24) The decision that the alternative
source demonstration has been
withdrawn as required under
§ 257.71(d)(2)(ix)(C).
(25) The facility evaluation report part
1 as required by § 257.75(c), except the
facility evaluation report part 1 must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(26) The facility evaluation report part
2 as required by § 257.75(d), except the
facility evaluation report part 2 must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(g) Operating criteria. The owner or
operator of a CCR unit subject to this
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subpart must place the following
information, as it becomes available, in
the facility’s operating record:
(1) The CCR fugitive dust control
plan, and any subsequent amendment of
the plan, required by § 257.80(b), except
each fugitive dust control plan must be
maintained for five years after closure
by removal in accordance with
§ 257.102(c)(1) or (2) or completes postclosure care in accordance with
§ 257.104(e) or (g) is completed at the
last CCR unit at the facility irrespective
of the time requirement specified in
paragraph (b) of this section.
(2) The annual CCR fugitive dust
control report required by § 257.80(c),
except each fugitive dust control report
must be maintained for five years after
closure by removal in accordance with
§ 257.102(c)(1) or (2) or post-closure
care in accordance with § 257.104(e) or
(g) is completed at the last CCR unit at
the facility irrespective of the time
requirement specified in paragraph (b)
of this section.
(3) The initial and periodic run-on
and run-off control system plans as
required by § 257.81(c), except each
plan must be maintained for five years
after completion of closure by removal
in accordance with § 257.102(c)(1) or (2)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(4) The initial and periodic inflow
design flood control system plan as
required by § 257.82(c), except each
plan must be maintained for five years
after completion of closure by removal
in accordance with § 257.102(c)(1) or (2)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(5) Documentation recording the
results of each inspection and
instrumentation monitoring by a
qualified person as required by
§ 257.83(a), except each document must
be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(6) The periodic inspection report as
required by § 257.83(b)(2), except each
inspection report must be maintained
for five years after completion of closure
by removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
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time requirement specified in paragraph
(b) of this section.
(7) Documentation detailing the
corrective measures taken to remedy the
deficiency or release as required by
§§ 257.83(b)(5) and 257.84(b)(5), except
each document must be maintained for
five years after completion of closure by
removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(8) Documentation recording the
results of the weekly inspection by a
qualified person as required by
§ 257.84(a), except each inspection
report must be maintained for five years
after completion of closure by removal
in accordance with § 257.102(c)(1) or (2)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(9) The periodic inspection report as
required by § 257.84(b)(2), except each
inspection report must be maintained
for five years after completion of closure
by removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(h) Groundwater monitoring and
corrective action. The owner or operator
of a CCR unit subject to this subpart
must place the following information, as
it becomes available, in the facility’s
operating record:
(1) The annual groundwater
monitoring and corrective action report
as required by § 257.90(e), except each
annual groundwater monitoring and
corrective action report must be
maintained for five years after the last
CCR unit at the facility either completes
closure by removal in accordance with
§ 257.102(c)(1) or completes postclosure care in accordance with
§ 257.104(e) irrespective of the time
requirement specified in paragraph (b)
of this section.
(2) Documentation of the design,
installation, development, and
decommissioning of any monitoring
wells, piezometers and other
measurement, sampling, and analytical
devices as required by § 257.91(e)(1),
except each document must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
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specified in paragraph (b) of this
section.
(3) The groundwater monitoring
system certification as required by
§ 257.91(f), except each certification
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(4) The selection of a statistical
method certification as required by
§ 257.93(f)(6), except each certification
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(5) Within 30 days of establishing an
assessment monitoring program, the
notification as required by
§ 257.94(e)(3).
(6) The results of appendices III and
IV to this part constituent
concentrations measured as required by
§ 257.95(d)(1).
(7) Within 30 days of returning to a
detection monitoring program, the
notification as required by § 257.95(e).
(8) Within 30 days of detecting one or
more constituents in appendix IV to this
part at statistically significant levels
above the groundwater protection
standard, the notifications as required
by § 257.95(g).
(9) Within 30 days of initiating the
assessment of corrective measures
requirements, the notification as
required by § 257.95(g)(5).
(10) The completed assessment of
corrective measures as required by
§ 257.96(d), except each certification
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(11) Documentation prepared by the
owner or operator recording the public
meeting for the corrective measures
assessment as required by § 257.96(e),
except each certification must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
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(12) The semiannual report describing
the progress in selecting and designing
the remedy and the selection of remedy
report as required by § 257.97(a), except
that the selection of remedy report must
be maintained until the remedy has
been completed.
(13) Within 30 days of completing the
remedy, the notification as required by
§ 257.98(e), except each notification
must be maintained for five years after
completion of the remedy selected
pursuant to § 257.97 irrespective of the
time requirement specified in paragraph
(b) of this section.
(14) The demonstration, including
long-term performance data, supporting
the suspension of groundwater
monitoring requirements as required by
§ 257.90(g), except each document must
be maintained for five years after the
last unit at the facility completes postclosure care in accordance with
§ 257.104(e) irrespective of the time
requirement specified in paragraph (b)
of this section.
(i) Closure and post-closure care. The
owner or operator of a CCR unit subject
to this subpart must place the following
information, as it becomes available, in
the facility’s operating record:
(1) The notification of intent to
initiate closure of the CCR unit as
required by § 257.100(c)(1).
(2) The annual progress reports of
closure implementation as required by
§ 257.100(c)(2)(i) and (ii).
(3) The notification of closure
completion as required by
§ 257.100(c)(3).
(4) The written closure plan, and any
amendment of the plan, as required by
§ 257.102(b), except that only the most
recent closure plan must be maintained
for five years after completion of closure
by removal in accordance with
§ 257.102(c)(1) or completion of postclosure care in accordance with
§ 257.104(e) irrespective of the time
requirement specified in paragraph (b)
of this section.
(5) The written demonstration(s),
including the certification required by
§ 257.102(e)(2)(iii), for a time extension
for initiating closure as required by
§ 257.102(e)(2)(ii), except each
demonstration must be maintained until
notice of completion of closure is placed
in the operating record in accordance
with § 257.102(h) irrespective of the
time requirement specified in paragraph
(b) of this section.
(6) The written demonstration(s),
including the certification required by
§ 257.102(f)(2)(iii), for a time extension
for completing closure as required by
§ 257.102(f)(2)(i), except each
demonstration must be maintained for
five years after completion of closure in
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accordance with § 257.102(c) or (d)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(7) The notification of intent to close
a CCR unit as required by § 257.102(g),
except each notification must be
maintained for five years after
completion of closure in accordance
with § 257.102(c) or (d) irrespective of
the time requirement specified in
paragraph (b) of this section.
(8) The notification of completion of
closure of a CCR unit as required by
§ 257.102(h), except each notification
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(9) The notification recording a
notation on the deed as required by
§ 257.102(i), except each notification
must be maintained for five years after
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(10) The notification of intent to
comply with the alternative closure
requirements as required by
§ 257.103(c)(1), except each notification
must be maintained for five years after
completion of closure in accordance
with § 257.102(c) or (d) irrespective of
the time requirement specified in
paragraph (b) of this section.
(11) The annual progress reports
under the alternative closure
requirements as required by
§ 257.103(c)(2), except each report must
be maintained for five years after
completion of closure in accordance
with § 257.102(c) or (d) irrespective of
the time requirement specified in
paragraph (b) of this section.
(12) The written post-closure plan,
and any amendment of the plan, as
required by § 257.104(d), except that
only the most recent post-closure plan
must be maintained for five years after
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(13) The notification of completion of
post-closure care period as required by
§ 257.104(e), except each notification
must be maintained for five years after
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (b) of this
section.
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(14) The notification of intent to
comply with the site-specific alternative
to initiation of closure due to
development of alternative capacity
infeasible as required by
§ 257.103(f)(1)(ix)(A), except each
notification must be maintained for five
years after completion of closure by
removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(15) The approved or denied
demonstration for the site-specific
alternative to initiation of closure due to
development of alternative capacity
infeasible as required by
§ 257.103(f)(1)(ix)(B), except each
approval or denial must be maintained
for five years after completion of closure
by removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(16) The notification for requesting
additional time to the alternative cease
receipt of waste deadline as required by
§ 257.103(f)(1)(ix)(C), except each
notification must be maintained for five
years after completion of closure by
removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(17) The semi-annual progress reports
for the site-specific alternative to
initiation of closure due to development
of alternative capacity being infeasible
as required by § 257.103(f)(1)(xi), except
each semi-annual progress report must
be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(18) The notification of intent to
comply with the site-specific alternative
to initiation of closure due to permanent
cessation of a coal-fired boiler(s) by a
date certain as required by
§ 257.103(f)(2)(viii), except each
notification must be maintained for five
years after completion of closure by
removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
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(19) The approved or denied
demonstration for the site-specific
alternative to initiation of closure due to
permanent cessation of a coal-fired
boiler(s) by a date certain as required by
§ 257.103(f)(2)(ix), except each
demonstration must be maintained for
five years after completion of closure by
removal in accordance with
§ 257.102(c)(1) or (2) or until completion
of post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(b) of this section.
(20) The annual progress report for
the site-specific alternative to initiation
of closure due to permanent cessation of
a coal-fired boiler(s) by a date certain as
required by § 257.103(f)(2)(x), except
each annual progress report must be
maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or (2) or
until completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(k) Legacy CCR surface
impoundments. In addition to the
information specified in paragraphs (e)
through (j) of this section, the owner or
operator of a legacy CCR surface
impoundment subject to this subpart
must place the following information, as
it becomes available, in the facility’s
operating record:
(1) The applicability report required
by § 257.100(f)(1), including the
certification required by
§ 257.100(f)(1)(i), except each report
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(2) The applicability extension reports
required by § 257.100(f)(1)(iii)(C), except
each report must be maintained for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (b) of this
section.
(3) The notification of field
investigation conclusion required by
§ 257.100(f)(1)(iii)(F), except the
notification must be maintained for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
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specified in paragraph (b) of this
section.
(4) The notification of intent to certify
closure required by § 257.100(h)(1)(i),
except the notification must be
maintained for five years after
completion of closure by removal in
accordance with § 257.100(h)(1) or
§ 257.102(c)(2) irrespective of the time
requirement specified in paragraph (b)
of this section.
■ 23. Amend § 257.106 by:
■ a. Revising paragraphs (a), (b), (c), and
(d);
■ b. Adding paragraphs (f)(24) and (25)
and (k).
The revisions and additions read as
follows:
§ 257.106
Notification requirements.
(a) Deadline to submit notification to
the relevant State Director and/or
appropriate Tribal authority. The
notifications required under paragraphs
(e) through (i) of this section must be
sent to the relevant State Director and/
or appropriate Tribal authority before
the close of business on the day the
notification is required to be completed.
For purposes of this section, before the
close of business means the notification
must be postmarked or sent by
electronic mail (email). If a notification
deadline falls on a weekend or federal
holiday, the notification deadline is
automatically extended to the next
business day.
(b) Notifications to Tribal authority. If
any CCR unit is located in its entirety
within Indian Country, the notifications
of this section must be sent to the
appropriate Tribal authority. If any CCR
unit is located in part within Indian
Country, the notifications of this section
must be sent both to the appropriate
State Director and Tribal authority.
(c) Combining notifications.
Notifications may be combined as long
as the deadline requirement for each
notification is met.
(d) Notification deadline after
placement in operating record. Unless
otherwise required in this section, the
notifications specified in this section
must be sent to the State Director and/
or appropriate Tribal authority within
30 days of placing in the operating
record the information required by
§ 257.105.
*
*
*
*
*
(f) * * *
(24) Provide notification of the
availability of the facility evaluation
report part 1 as specified by
§ 257.105(f)(25).
(25) Provide notification of the
availability of the facility evaluation
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report part 2 as specified by
§ 257.105(f)(26).
*
*
*
*
*
(k) Legacy CCR surface
impoundments. In addition to the
information specified in paragraphs (e)
through (j) of this section, the owner or
operator of a legacy CCR surface
impoundment subject to this subpart
must notify the State Director and/or
appropriate Tribal authority when
information has been placed in the
operating record and on the owner or
operator’s publicly accessible internet
site. The owner or operator must:
(1) Provide notification of the
availability of the applicability
documentation as specified under
§ 257.105(k)(1).
(2) Provide notification of the
availability of the applicability
extension report as specified under
§ 257.105(k)(2).
(3) Provide notification of the
availability of the notification as
specified under § 257.105(k)(3).
(4) Provide notification of the
availability of the intent to certify
closure by removal certification as
specified under § 257.105(k)(4).
■ 24. Revise and republish § 257.107 to
read as follows:
§ 257.107 Publicly accessible internet site
requirements.
(a) CCR website requirement. Each
owner or operator of a CCR unit subject
to the requirements of this subpart must
maintain a publicly accessible internet
site (CCR website) containing the
information specified in this section.
The owner or operator’s website must be
titled ‘‘CCR Rule Compliance Data and
Information.’’ The website must ensure
that all information required to be
posted is immediately available to
anyone visiting the site, without
requiring any prerequisite, such as
registration or a requirement to submit
a document request. All required
information must be clearly identifiable
and must be able to be immediately
printed and downloaded by anyone
accessing the site. If the owner/operator
changes the web address (i.e., Uniform
Resource Locator (URL)) at any point,
they must notify EPA via the ‘‘contact
us’’ form on EPA’s CCR website and the
state director within 14 days of making
the change. The facility’s CCR website
must also have a ‘‘contact us’’ form or
a specific email address posted on the
website for the public to use to submit
questions and issues relating to the
availability of information on the
website.
(b) CCR website for multiple CCR
units or combined websites for multiple
regulatory programs.
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(1) An owner or operator of more than
one CCR unit subject to the provisions
of this subpart may comply with the
requirements of this section by using the
same internet site for multiple CCR
units provided the CCR website clearly
delineates information by the name or
identification number of each unit.
(2) An owner or operator may
maintain one website combining the
postings required under this subpart
with the postings required by other
regulatory programs (e.g., the ‘‘ELG Rule
Compliance Data and Information’’
website required pursuant to § 423.19 of
this chapter), provided the postings
required for each regulatory program are
delineated under a separate heading on
the website.
(c) Document retention on a CCR
website. Unless otherwise required in
this section, the information required to
be posted to the CCR website must be
made available to the public for at least
five years following the date on which
the information was first posted to the
CCR website.
(d) Website posting deadline after
placement in operating record. Unless
otherwise required in this section, the
information must be posted to the CCR
website within 30 days of placing the
pertinent information required by
§ 257.105 in the operating record.
(e) Location restrictions. The owner or
operator of a CCR unit subject to this
subpart must place each demonstration
specified under § 257.105(e) on the
owner or operator’s CCR website except
each location restrictions demonstration
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(f) Design criteria. The owner or
operator of a CCR unit subject to this
subpart must place the following
information on the owner or operator’s
CCR website:
(1) Within 60 days of commencing
construction of a new unit, the design
certification specified under
§ 257.105(f)(1) or (3), except each
certification must be posted for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(2) No later than the date of initial
receipt of CCR by a new CCR unit, the
construction certification specified
under § 257.105(f)(1) or (3), except each
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certification must be posted for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g),
or until the liner is removed irrespective
of the time requirement specified in
paragraph (c) of this section, whichever
is later.
(3) The documentation of liner type
specified under § 257.105(f)(2), except
each document must be posted for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g),
or until the liner is removed irrespective
of the time requirement specified in
paragraph (c) of this section, whichever
is later.
(4) The initial and periodic hazard
potential classification assessments
specified under § 257.105(f)(5), except
only the two most recent hazard
potential classification assessments
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(5) The emergency action plan (EAP)
specified under § 257.105(f)(6), except
that only the most recent EAP must be
maintained on the CCR website
irrespective of the time requirement
specified in paragraph (c) of this
section.
(6) Documentation prepared by the
owner or operator recording the annual
face-to-face meeting or exercise between
representatives of the owner or operator
of the CCR unit and the local emergency
responders specified under
§ 257.105(f)(7), except only the most
recent documentation must be posted
on the CCR website irrespective of the
time requirement specified in paragraph
(c) of this section.
(7) Documentation prepared by the
owner or operator recording any
activation of the emergency action plan
specified under § 257.105(f)(8); if no
activation in the last five years,
documentation that includes that
information irrespective of the time
requirement specified in paragraph (c)
of this section.
(8) The history of construction, and
any revisions of it, specified under
§ 257.105(f)(9), except the history of
constructions, and any revisions of it,
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
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irrespective of the time requirement
specified in paragraph (c) of this
section.
(9) The initial and periodic structural
stability assessments specified under
§ 257.105(f)(10), except only the two
most recent structural stability
assessments must be posted for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(10) The documentation detailing the
corrective measures taken to remedy the
deficiency or release specified under
§ 257.105(f)(11), except each document
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(11) The initial and periodic safety
factor assessments specified under
§ 257.105(f)(12), except only the two
most recent safety factor assessments
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(12) The design and construction
plans, and any revisions of them,
specified under § 257.105(f)(13), except
each plan must be posted for five years
after completion of closure by removal
in accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(13) The application and any
supplemental materials submitted in
support of the application specified
under § 257.105(f)(14), except each
application must be posted for five years
after completion of closure by removal
in accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(14) The alternative liner
demonstration specified under
§ 257.105(f)(15).
(15) The alternative liner
demonstration specified under
§ 257.105(f)(16).
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(16) The documentation prepared for
the preliminary demonstration specified
under § 257.105(f)(17).
(17) The notification of an incomplete
application specified under
§ 257.105(f)(18).
(18) The decision on the application
specified under § 257.105(f)(19), except
each decision must be posted for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(19) The final decision on the
alternative liner demonstration
specified under § 257.105(f)(20).
(20) The alternative source
demonstration specified under
§ 257.105(f)(21).
(21) The final decision on the
alternative source demonstration
specified under § 257.105(f)(22).
(22) The final decision on the trend
analysis specified under
§ 257.105(f)(23).
(23) The decision that the alternative
source demonstration has been
withdrawn specified under
§ 257.105(f)(24).
(24) The facility evaluation report part
1 as specified under § 257.105(f)(25),
except each report must be posted for
five years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(25) The facility evaluation report part
2 as specified under § 257.105(f)(26),
except each report must be posted for
five years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(g) Operating criteria. The owner or
operator of a CCR unit subject to this
subpart must place the following
information on the owner or operator’s
CCR website:
(1) The CCR fugitive dust control
plan, or any subsequent amendment of
the plan, specified under § 257.105(g)(1)
except that only the most recent plan
must be maintained on the CCR website
irrespective of the time requirement
specified in paragraph (c) of this section
until the last CCR unit at the facility
completes closure by removal in
accordance with § 257.102(c) or
completes post-closure care in
accordance with § 257.104(e) or (g)
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irrespective of the time requirement
specified in paragraph (c) of this
section.
(2) The annual CCR fugitive dust
control report specified under
§ 257.105(g)(2). Each report must be
posted for the duration specified in
paragraph (c) of this section, except that
the final report must be posted for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(3) The initial and periodic run-on
and run-off control system plans
specified under § 257.105(g)(3), except
each plan must be posted for five years
after completion of closure by removal
in accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(4) The initial and periodic inflow
design flood control system plans
specified under § 257.105(g)(4), except
each plan must be posted for five years
after completion of closure by removal
in accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(5) The periodic inspection reports
specified under § 257.105(g)(6). Each
report must be posted for the duration
specified in paragraph (c) of this
section, except that the final report must
be posted for five years after completion
of closure by removal in accordance
with § 257.102(c) or until completion of
post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(c) of this section.
(6) The documentation detailing the
corrective measures taken to remedy the
deficiency or release specified under
§ 257.105(g)(7). Each report must be
posted for the duration specified in
paragraph (c) of this section, except that
the final documentation must be posted
for five years after completion of closure
by removal in accordance with
§ 257.102(c) or until completion of postclosure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(c) of this section.
(7) The periodic inspection reports
specified under § 257.105(g)(9). Each
report must be posted for the duration
specified in paragraph (c) of this
section, except that the final report must
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be posted for five years after completion
of closure by removal in accordance
with § 257.102(c) or until completion of
post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(c) of this section.
(h) Groundwater monitoring and
corrective action. The owner or operator
of a CCR unit subject to this subpart
must place the following information on
the owner or operator’s CCR website:
(1) The annual groundwater
monitoring and corrective action report
specified under § 257.105(h)(1). Each
report must be posted for the duration
specified in paragraph (c) of this
section, except that the final report must
be posted for five years after completion
of closure by removal in accordance
with § 257.102(c) or until completion of
post-closure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(c) of this section.
(2) The groundwater monitoring
system certification specified under
§ 257.105(h)(3), except each certification
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(3) The selection of a statistical
method certification specified under
§ 257.105(h)(4), except each certification
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(4) The notification that an
assessment monitoring programs has
been established specified under
§ 257.105(h)(5).
(5) The notification that the CCR unit
is returning to a detection monitoring
program specified under § 257.105(h)(7).
(6) The notification that one or more
constituents in appendix IV to this part
have been detected at statistically
significant levels above the groundwater
protection standard and the
notifications to land owners specified
under § 257.105(h)(8).
(7) The notification that an
assessment of corrective measures has
been initiated specified under
§ 257.105(h)(9).
(8) The assessment of corrective
measures specified under
§ 257.105(h)(10), except each
assessment must be posted for five years
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after completion of closure by removal
in accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(9) The semiannual reports describing
the progress in selecting and designing
remedy and the selection of remedy
report specified under § 257.105(h)(12),
except that the selection of the remedy
report must be maintained until the
remedy has been completed.
(10) The notification that the remedy
has been completed specified under
§ 257.105(h)(13), except each
notification must be posted for five
years after completion of the remedy
selected pursuant to in § 257.97
irrespective of the time requirement
specified in paragraph (c) of this
section.
(11) The demonstration supporting
the suspension of groundwater
monitoring requirements specified
under § 257.105(h)(14), except each
demonstration must be posted for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(i) Closure and post-closure care. The
owner or operator of a CCR unit subject
to this subpart must place the following
information on the owner or operator’s
CCR website:
(1) The notification of intent to
initiate closure of the CCR unit specified
under § 257.105(i)(1).
(2) The annual progress reports of
closure implementation specified under
§ 257.105(i)(2).
(3) The notification of closure
completion specified under
§ 257.105(i)(3).
(4) The written closure plan, and any
amendment of the plan, specified under
§ 257.105(i)(4), except that only the
most recent closure plan must be posted
on the CCR website irrespective of the
time requirement specified in paragraph
(c) of this section and each closure plan
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(5) The demonstration(s) for a time
extension for initiating closure specified
under § 257.105(i)(5), except each
demonstration must be posted until
notice of completion of closure is placed
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in the operating record in accordance
with § 257.102(h) irrespective of the
time requirement specified in paragraph
(c) of this section.
(6) The demonstration(s) for a time
extension for completing closure
specified under § 257.105(i)(6), except
each demonstration must be posted for
five years after completion of closure in
accordance with § 257.102(c) or (d)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(7) The notification of intent to close
a CCR unit specified under
§ 257.105(i)(7), except each notification
must be posted for five years after
completion of closure in accordance
with § 257.102(c) or (d) irrespective of
the time requirement specified in
paragraph (c) of this section.
(8) The notification of completion of
closure of a CCR unit specified under
§ 257.105(i)(8), except each notification
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(9) The notification recording a
notation on the deed as required by
§ 257.105(i)(9), except each notification
must be posted for five years after
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(10) The notification of intent to
comply with the alternative closure
requirements as required by
§ 257.105(i)(10), except the notification
must be posted for five years after
completion of closure in accordance
with § 257.102(c) or (d) irrespective of
the time requirement specified in
paragraph (c) of this section.
(11) The annual progress reports
under the alternative closure
requirements as required by
§ 257.105(i)(11), except the notification
must be posted for five years after
completion of closure in accordance
with § 257.102(c) or (d) irrespective of
the time requirement specified in
paragraph (c) of this section.
(12) The written post-closure plan,
and any amendment of the plan,
specified under § 257.105(i)(12), except
that only the most recent post-closure
plan must be maintained for five years
after completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (c) of this
section.
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39121
(13) The notification of completion of
post-closure care specified under
§ 257.105(i)(13), except that only the
most recent post-closure plan must be
maintained for five years after
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(14) The notification of intent to
comply with the site-specific alternative
to initiation of closure due to
development of alternative capacity
infeasible as specified under
§ 257.105(i)(14), except each notification
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c)(1) or
completion of post-closure care in
accordance with § 257.104(e)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(15) The approved or denied
demonstration for the site-specific
alternative to initiation of closure due to
development of alternative capacity
infeasible as required by as specified
under § 257.105(i)(15), except each
approval or denial must be maintained
for five years after completion of closure
by removal in accordance with
§ 257.102(c) or until completion of postclosure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(c) of this section.
(16) The notification for requesting
additional time to the alternative cease
receipt of waste deadline as required by
§ 257.105(i)(16), except the notification
must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(17) The semi-annual progress reports
for the site-specific alternative to
initiation of closure due to development
of alternative capacity infeasible as
specified under § 257.105(i)(17), except
the progress report must be maintained
for five years after completion of closure
by removal in accordance with
§ 257.102(c) or until completion of postclosure care in accordance with
§ 257.104(e) or (g) irrespective of the
time requirement specified in paragraph
(c) of this section.
(18) The notification of intent to
comply with the site-specific alternative
to initiation of closure due to permanent
cessation of a coal-fired boiler(s) by a
date certain as specified under
§ 257.105(i)(18), except the notification
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must be maintained for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(19) The approved or denied
demonstration for the site-specific
alternative to initiation of closure due to
permanent cessation of a coal-fired
boiler(s) by a date certain as required by
§ 257.105(i)(19), except the approval or
denial must be maintained for five years
after completion of closure by removal
in accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(20) The annual progress report for
the site-specific alternative to initiation
of closure due to permanent cessation of
a coal-fired boiler(s) by a date certain as
required by § 257.105(i)(20), except the
progress reports must be maintained for
five years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(j) Retrofit criteria. The owner or
operator of a CCR unit subject to this
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subpart must place the following
information on the owner or operator’s
CCR website:
(1) The written retrofit plan, and any
amendment of the plan, specified under
§ 257.105(j)(1).
(2) The notification of intent to
comply with the alternative retrofit
requirements as required by
§ 257.105(j)(2).
(3) The annual progress reports under
the alternative retrofit requirements as
required by § 257.105(j)(3).
(4) The demonstration(s) for a time
extension for completing retrofit
activities specified under § 257.105(j)(4).
(5) The notification of intent to retrofit
a CCR unit specified under
§ 257.105(j)(5).
(6) The notification of completion of
retrofit activities specified under
§ 257.105(j)(6).
(k) Legacy CCR surface
impoundments. In addition to the
information specified in paragraphs (e)
through (j) of this section, the owner or
operator of a legacy CCR surface
impoundment subject to this subpart
must place the following information on
the owner or operator’s CCR website:
(1) The applicability report as
specified under § 257.105(k)(1), except
each report must be posted for five years
after completion of closure by removal
in accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
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specified in paragraph (c) of this
section.
(2) The applicability extension reports
as specified under § 257.105(k)(2),
except each report must be posted for
five years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(3) The notification of field
investigation conclusion as specified
under § 257.105(k)(3), except each
notification must be posted for five
years after completion of closure by
removal in accordance with § 257.102(c)
or until completion of post-closure care
in accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
(4) The notification of intent to certify
closure as specified under
§ 257.105(k)(4), except each notification
must be posted for five years after
completion of closure by removal in
accordance with § 257.102(c) or until
completion of post-closure care in
accordance with § 257.104(e) or (g)
irrespective of the time requirement
specified in paragraph (c) of this
section.
[FR Doc. 2024–09157 Filed 5–7–24; 8:45 am]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 89, Number 90 (Wednesday, May 8, 2024)]
[Rules and Regulations]
[Pages 38950-39122]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2024-09157]
[[Page 38949]]
Vol. 89
Wednesday,
No. 90
May 8, 2024
Part II
Environmental Protection Agency
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40 CFR Parts 9 and 257
Hazardous and Solid Waste Management System: Disposal of Coal
Combustion Residuals From Electric Utilities; Legacy CCR Surface
Impoundments; Final Rule
Federal Register / Vol. 89, No. 90 / Wednesday, May 8, 2024 / Rules
and Regulations
[[Page 38950]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 9 and 257
[EPA-HQ-OLEM-2020-0107; FRL-7814-04-OLEM]
RIN 2050-AH14
Hazardous and Solid Waste Management System: Disposal of Coal
Combustion Residuals From Electric Utilities; Legacy CCR Surface
Impoundments
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: On April 17, 2015, the Environmental Protection Agency (EPA or
the Agency) promulgated national minimum criteria for existing and new
coal combustion residuals (CCR) landfills and existing and new CCR
surface impoundments. On August 21, 2018, the United States Court of
Appeals for the District of Columbia Circuit vacated the exemption for
inactive surface impoundments at inactive facilities (legacy CCR
surface impoundments) and remanded the issue back to EPA to take
further action consistent with its opinion in Utility Solid Waste
Activities Group, et al. v. EPA. This action responds to that order and
establishes regulatory requirements for legacy CCR surface
impoundments. EPA is also establishing requirements for CCR management
units at active CCR facilities and at inactive CCR facilities with a
legacy CCR surface impoundment. Finally, EPA is making several
technical corrections to the existing regulations, such as correcting
certain citations and harmonizing definitions.
DATES: This final rule is effective on November 4, 2024.
ADDRESSES: EPA has established a docket for this action under Docket ID
No. EPA-HQ-OLEM-2020-0107. All documents in the docket are listed on
the https://www.regulations.gov website. Although listed in the index,
some information is not publicly available, e.g., 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 form. Publicly
available docket materials are available electronically through https://www.regulations.gov.
FOR FURTHER INFORMATION CONTACT: For questions concerning this
proposal, contact Michelle Lloyd, Office of Resource Conservation and
Recovery, Materials Recovery and Waste Management Division,
Environmental Protection Agency, 1200 Pennsylvania Avenue NW, MC:
5304T, Washington, DC 20460; telephone number: (202) 566-0560; email
address: [email protected], or Taylor Holt, Office of Resource
Conservation and Recovery, Materials Recovery and Waste Management
Division, Environmental Protection Agency, 1200 Pennsylvania Avenue NW,
MC: 5304T, Washington, DC 20460; telephone number: (202) 566-1439;
email address: [email protected]. For more information on this
rulemaking, please visit https://www.epa.gov/coalash.
SUPPLEMENTARY INFORMATION:
Table of Contents
I. General Information
A. Does this action apply to me?
B. What action is the Agency taking?
C. What is the Agency's authority for taking this action?
D. What are the incremental costs and benefits of this action?
II. Background
A. 2015 CCR Rule
B. 2018 USWAG Decision
C. 2020 Part B Proposed Rule
D. 2020 Advance Notice of Proposed Rulemaking
E. 2023 Proposed Rule and Comments
F. 2023 Notice of Data Availability
III. What is EPA finalizing?
A. Risks From Legacy CCR Surface Impoundments and CCR Management
Units
1. Summary of May 2023 Proposal
2. 2023 Draft Risk Assessment
3. Response to Comments on the Proposal and the NODA
4. 2024 Final Risk Assessment
B. Legacy CCR Surface Impoundment Requirements
1. Definition of a ``Legacy CCR Surface Impoundment''
2. Applicable Requirements for Legacy CCR Surface Impoundments
and Compliance Deadlines
C. CCR Management Unit Requirements
1. Damage Cases
2. Applicability and Definitions Related to CCR Management Units
3. Facility Evaluation for Identifying CCR Management Units
4. Applicable Requirements for CCR Management Units and
Compliance Deadlines
D. Closure of CCR Units by Removal of CCR
1. Background
2. March 2020 Proposed Rule
3. What is EPA Finalizing Related to the March 2020 Proposed
Rule
E. Technical Corrections
IV. Effect on State CCR Permit Programs
V. The Projected Economic Impact of This Action
A. Introduction
B. Affected Universe
C. Baseline Costs
D. Costs and Benefits of the Final Rule
VI. Statutory and Executive Order Reviews
Regulatory Text
List of Acronyms
ACM Assessment of Corrective Measures
ANPRM Advance Notice of Proposed Rulemaking
ARAR applicable or relevant and appropriate requirements
ASD alternative source demonstration
CAA Clean Air Act
CBI Confidential Business Information
CBR closure by removal
CCR coal combustion residuals
CCRMU coal combustion residuals management unit
CERCLA Comprehensive Environmental Response, Compensation, and
Liability Act
CIP closure in place
CFR Code of Federal Regulations
COALQUAL U.S. Geological Survey coal quality database
CWA Clean Water Act
DOE Department of Energy
EAP Emergency Action Plan
EIA Energy Information Administration
EIP Environmental Integrity Project
EJ environmental justice
ELG Effluent Limitation Guidelines
EPA Environmental Protection Agency
EPACMTP EPA Composite Model for Leachate Migration with
Transformation Products
EPRI Electric Power Research Institute
FER Facility Evaluation Report
FERC Federal Energy Regulatory Commission
FGD flue gas desulfurization
FR Federal Register
GWMCA groundwater monitoring and corrective action
GWPS groundwater protection standard
HQ hazard quotient
HSWA Hazardous and Solid Waste Amendments
ICR Information Collection Request
IRIS Integrated Risk Information System
LEAF Leaching Environmental Assessment Framework
MCL maximum contaminant level
MDE Maryland Department of the Environment
MNA monitored natural attenuation
MODFLOW-USG Modular Three-Dimension Finite-Difference Ground-Water
Flow Model
MSW Municipal Solid Waste
MW Megawatts
NAICS North American Industry Classification System
NERC North American Electric Reliability Corporation
NODA notice of data availability
NPDES National Pollution Discharge Elimination System
NPL National Priorities List
NTTAA National Technology Transfer and Advancement Act
OAFU Other Active Facilities
OLEM Office of Land and Emergency Management
OMB Office of Management and Budget
OSHA Occupational Safety and Health Administration
[[Page 38951]]
P.E. Professional Engineer
PM particulate matter
PRA Paperwork Reduction Act
PRG preliminary remediation goal
PUC Public Utility Commission
QA/QC quality assurance/quality control
RCRA Resource Conservation and Recovery Act
RIA Regulatory Impact Analysis
RME reasonable maximum exposure
RTO Regional Transmission Organizations
SMCL secondary maximum contaminant level
SSI statistically significant increase
SSL statistically significant level
TDS total dissolved solids
TSCA Toxic Substances Control Act
TSDF Transportation Storage and Disposal Facility
TVA Tennessee Valley Authority
UMRA Unfunded Mandates Reform Act
USGS U.S. Geological Survey
USWAG Utility Solid Waste Activities Group
WIIN Water Infrastructure Improvements for the Nation
WQC water quality criteria
I. General Information
A. Does this action apply to me?
This rule applies to and may affect all CCR generated by electric
utilities and independent power producers that fall within the North
American Industry Classification System (NAICS) code 221112. The
reference to NAICS code 221112 is not intended to be exhaustive, but
rather provides a guide for readers regarding entities likely to be
regulated by this action. This discussion lists the types of entities
that EPA is now aware could potentially be regulated by this action.
Other types of entities not described here could also be regulated. To
determine whether your entity is regulated by this action, you should
carefully examine the applicability criteria found in 40 CFR 257.50 of
title 40 of the Code of Federal Regulations. If you have questions
regarding the applicability of this action to a particular entity,
consult the person listed in the FOR FURTHER INFORMATION CONTACT
section.
B. What action is the Agency taking?
EPA is amending the regulations governing the disposal of CCR in
landfills and surface impoundments, codified in subpart D of part 257
of Title 40 of the Code of Federal Regulations (CFR) (CCR regulations).
Specifically, the Agency is establishing regulatory requirements for
inactive CCR surface impoundments at inactive utilities (``legacy CCR
surface impoundment'' or ``legacy impoundment''). This action is being
taken in response to the August 21, 2018, opinion by the U.S. Court of
Appeals for the District of Columbia Circuit in Utility Solid Waste
Activities Group v. EPA, 901 F.3d 414 (D.C. 2018) (``USWAG decision''
or ``USWAG'') that vacated and remanded the provision exempting legacy
impoundments from the CCR regulations. This action includes adding a
definition for legacy CCR surface impoundments and other terms relevant
to this rulemaking. It also requires that legacy CCR surface
impoundments comply with certain existing CCR regulations with tailored
compliance deadlines.
While this action is responsive to the D.C. Circuit's order, it is
also driven by the record, which clearly demonstrates that regulating
legacy CCR surface impoundments will have significant quantified and
unquantified public health and environmental benefits. As EPA concluded
in 2015, the risks posed by unlined CCR surface impoundments are
substantial, and the risks from legacy impoundments are at least as
significant. EPA's 2014 Risk Assessment concluded that the cancer risks
from unlined surface impoundments ranged from 3 x 10-\4\ for
trivalent arsenic to 4 x 10-\5\ for pentavalent arsenic.
Non-cancer risks from these same units also significantly exceeded
EPA's level of concern, with estimated Hazard Quotients (HQ) of two for
thallium, three for lithium, four for molybdenum and eight for
trivalent arsenic. In addition, as described in Unit III.A.1 of this
preamble, information obtained since 2015 indicates that the risks for
legacy CCR surface impoundments are likely to be greater than EPA
originally estimated. Finally, based on the demographic composition and
environmental conditions of communities within one and three miles of
legacy CCR surface impoundments, this final rule will reduce existing
disproportionate and adverse effects on economically vulnerable
communities, as well as those that currently face environmental
burdens. For example, in Illinois the population living within one mile
of legacy CCR surface impoundment sites is over three times as likely
compared to the State average to have less than a high school education
(35.66% compared to 10.10%, see Regulatory Impact Analysis (RIA)
exhibit ES.14), and that population already experiences higher than
average exposures to particulate matter, ozone, diesel emissions,
lifetime air toxics cancer risks, and proximity to traffic, Superfund
sites, Risk Management Plan sites, and hazardous waste facilities (see
RIA exhibit ES.15). Consistent with the directive in section 4004(a) to
ensure that the statutory standard is met at all regulated sites,
including the most vulnerable, this final rule will help EPA further
ensure that the communities and ecosystems closest to coal facilities
are sufficiently protected from harm from groundwater contamination,
surface water contamination, fugitive dust, floods and impoundment
overflows, and threats to wildlife.
EPA is also establishing requirements to address the risks from
currently exempt solid waste management that involves the direct
placement of CCR on the land. EPA is extending a subset of the existing
requirements in 40 CFR part 257, subpart D to CCR surface impoundments
and landfills that closed prior to the effective date of the 2015 CCR
Rule, inactive CCR landfills, and other areas where CCR is managed
directly on the land. In this action, EPA refers to these as CCR
management units, or CCRMU. The final rule expands the CCRMU
requirements to a set of active facilities that were not regulated by
the 2015 CCR rule because they had ceased disposing of CCR in their on-
site disposal units, and they did not have an inactive surface
impoundment. Accordingly, this rule applies to all CCRMU at active CCR
facilities and inactive facilities with a legacy CCR surface
impoundment.
EPA is also finalizing alternative closure provisions to allow a
facility to complete the closure by removal in two stages: first, by
completing all removal and decontamination procedures; and second, by
completing all groundwater remediation in a separate post closure care
period.
Finally, EPA is making a number of technical corrections to the
existing regulations, such as correcting certain citations and
harmonizing definitions.
EPA intends the provisions of the rule to be severable. In the
event that any individual provision or part of the rule is invalidated,
EPA intends that this would not render the entire rule invalid, and
that any individual provisions that can continue to operate will be
left in place. For example, EPA intends that the provisions governing
each class of facilities--legacy CCR inactive surface impoundments, CCR
management units, other active facility units, and regulated CCR
landfills containing waste in contact with groundwater--to be
independently severable from one another as each set of requirements
operates independently from the other.
Likewise, the provisions regulating existing units at active
facilities, including those units at non-fossil-fuel-fired facilities
generating energy, are severable from the other substantive
requirements--each provision may continue operating even if one of the
others is invalidated. EPA also intends
[[Page 38952]]
that, within each set of provisions for legacy CCR surface impoundments
and for CCR management units, the substantive requirements be severable
from each other. For example, if any of the closure requirements were
to be set aside (e.g., the requirement that CCRMU initiate closure
within 48 months of publication), the groundwater monitoring and
corrective action requirements can continue to fully and effectively
operate. These requirements function independently from each other,
address environmental concerns through different means, and are not
dependent on the others; they are therefore severable from each other.
Lastly, as set forth below, EPA has deferred the dates by when some
units in some circumstances must comply with the substantive standards
governing legacy CCR surface impoundments and CCR management units. If
any of the deferrals were to be set aside, EPA intends that the
substantive standards would remain in place because the rationale for
and effectiveness of each set of substantive standards is not dependent
on any of the deferrals.
For the reader's convenience, EPA has provided a background
description of existing requirements in several places throughout this
preamble.
C. What is the Agency's authority for taking this action?
EPA is publishing this notice under the authority of sections
1008(a), 2002(a), 3007, 4004, and 4005(a) and (d) of the Solid Waste
Disposal Act of 1970, as amended by the Resource Conservation and
Recovery Act of 1976 (RCRA), as amended by the Hazardous and Solid
Waste Amendments of 1984 (HSWA) and the Water Infrastructure
Improvements for the Nation (WIIN) Act of 2016, 42 U.S.C. 6907(a),
6912(a), 6927, 6944, 6945(a) and (d).
RCRA section 1008(a) authorizes EPA to publish ``suggested
guidelines for solid waste management.'' 42 U.S.C. 6907(a). RCRA
defines solid waste management as ``the systematic administration of
activities which provide for the collection, source separation,
storage, transportation, transfer, processing, treatment, and disposal
of solid waste.'' 42 U.S.C. 6903(28).
Pursuant to section 1008(a)(3), the guidelines are to include the
minimum criteria to be used by the States to define the solid waste
management practices that constitute the open dumping of solid waste or
hazardous waste and are prohibited as ``open dumping'' under section
4005. Only those requirements promulgated under the authority of
section 1008(a)(3) are enforceable under section 7002 of RCRA.
RCRA section 4004(a) generally requires EPA to promulgate
regulations containing criteria distinguishing ``sanitary landfills,''
which may continue to operate, from ``open dumps,'' which are
prohibited. 42 U.S.C. 6944(a); see id. 6903(14), (26); 6945(a). The
statute directs that, ``at a minimum, the criteria are to ensure that
units are classified as sanitary landfills only if there is no
reasonable probability of adverse effects on health or the environment
from disposal of solid wastes at such facility.'' 42 U.S.C. 6944(a).
RCRA section 4005(a), entitled ``Closing or upgrading of existing
open dumps,'' prohibits any solid waste management practices or
disposal of solid waste that does not comply with EPA regulations
issued under RCRA section 1008(a) and 4004(a). 42 U.S.C. 6945(a). See
also 42 U.S.C. 6903(14) (definition of ``open dump''). This prohibition
takes effect ``upon promulgation'' of any rules issued under section
1008(a)(3) and is enforceable either through a citizen suit brought
pursuant to section 7002, or through an EPA enforcement action brought
pursuant to section 4005(d)(4)(A). See 42 U.S.C. 6945(a), (d)(4)(A)
(authorizing EPA to use the authority under RCRA section 3008(a) to
enforce the open dumping prohibition for CCR). RCRA section 4005(a)
also directs that open dumps (i.e., facilities out of compliance with
EPA's criteria), must be closed or upgraded. See 42 U.S.C. 6945(a).
RCRA section 4005(d)(3) specifies that the regulations in 40 CFR
part 257, subpart D ``(or successor regulations promulgated pursuant to
sections 6907(a)(3) and 6944(a) of this title), shall apply to each CCR
unit'' unless a permit issued by an approved State or by EPA is in
effect. Similarly, section 4005(d)(6) \1\ provides that:
---------------------------------------------------------------------------
\1\ 42 U.S.C. 6945(d)(6).
a CCR unit shall be considered to be a sanitary landfill for
purposes of this chapter, including subsection (a), only if the coal
combustion residuals unit is operating in accordance with [a permit
issued by EPA or an approved State] or the applicable criteria for
coal combustion residuals units under part 257 of title 40, Code of
Federal Regulations (or successor regulations promulgated pursuant
---------------------------------------------------------------------------
to sections 6907(a)(3) and 6944(a) of this title).
1. Regulation of Solid Wastes Under RCRA Subtitle D
Solid wastes that are neither a listed nor characteristic hazardous
waste are subject to the requirements of RCRA subtitle D. Subtitle D of
RCRA establishes a framework for Federal, State, and local government
cooperation in controlling the management of nonhazardous solid waste.
The Federal role is to establish the overall regulatory direction by
providing minimum nationwide standards that will protect human health
and the environment. States may, but are not required to, adopt these
requirements into their State programs.
Under RCRA section 4005(a), upon promulgation of criteria under
section 1008(a)(3), any solid waste management practice or disposal of
solid waste that constitutes the ``open dumping'' of solid waste is
prohibited. The Federal standards apply directly to the facility (are
self-implementing) and facilities are directly responsible for ensuring
that their operations comply with these requirements.
RCRA section 4005(d) establishes an additional regulatory
structure, applicable exclusively to the solid waste management of CCR,
that builds on the provisions in sections 1008(a)(3), 4004, and
4005(a), without restricting the scope of EPA's authority under those
sections. See, 42 U.S.C. 6945 (d)(7). Under 4005(d), States may seek
EPA approval of a State permitting program under which individualized
facility permits would ``operate in lieu of [EPA] regulation of coal
combustion residuals units in the State.'' 42 U.S.C. 6945(d)(1)(A). EPA
is also directed to ``implement a permit program,'' which would operate
in absence of an approved State program. 42 U.S.C. 6945(d)(2). However,
the statute makes clear that facilities must continue to comply with
the Federal regulations until a permit issued by either EPA or an
approved State is in effect. 42 U.S.C. 6945(d)(3), (6).
RCRA sections 1008(a)(3) and 4004(a) delegate broad authority to
EPA to establish regulations governing the management of solid waste.
Under section 4004(a) EPA is charged with establishing requirements to
ensure that facilities will be classified as sanitary landfills and not
an open dump ``only if there is no reasonable probability of adverse
effects on health or the environment from the disposal of solid waste''
at the facility. Or in other words, under section 4004(a) EPA is
charged with issuing regulations to address all ``reasonable
probabilities of adverse effects'' (i.e., all reasonably anticipated
risks) to health and the environment from the disposal of solid waste.
Section 1008(a)(3) expands EPA's authority to address the risks from
any of the activities identified as ``solid waste management'' in RCRA
section
[[Page 38953]]
1004(28). Specifically, EPA is authorized to establish requirements
applicable to ``storage, transportation, transfer, processing,
treatment, and disposal of solid waste.'' (42 U.S.C. 6907(a),
6903(28)). Under RCRA, EPA sets these requirements without taking cost
into account as a factor. See USWAG et al. v. EPA, 901 F.3d at 448-49
(citing RCRA section 4004(a)).
The statute is clear that EPA is authorized to issue regulations to
address the current risks from previous solid waste management
activities. EPA explained at length the basis for this conclusion as
part of the Agency's rationale for regulating inactive impoundments.
See, 80 FR 21344--21347. See also USWAG, 901 F.3d at 440. Among other
provisions, the statutory definition of an ``open dump'' conclusively
resolves the question. RCRA defines an ``open dump'' as ``any facility
or site where solid waste is disposed of . . . .'' 42 U.S.C. 6903(14).
As the D.C. Circuit explained,
Importantly, while the ``is'' retains its active present tense,
the ``disposal'' takes the form of a past participle (``disposed'').
In this way, the disposal itself can exist (it ``is''), even if the
act of disposal took place at some prior time . . . . Properly
translated then, an open dump includes any facility (other than a
sanitary landfill or hazardous waste disposal facility), where solid
waste still ``is deposited,'' ``is dumped,'' ``is spilled,'' ``is
leaked,'' or ``is placed,'' regardless of when it might have
originally been dropped off. See 42 U.S.C. 6903(3), (14). In other
words, the waste in inactive impoundments ``is disposed of'' at a
site no longer receiving new waste in just the same way that it ``is
disposed of'' at a site that is still operating.
901 F.3d at 440. See also In re Consolidated Consol. Land Disposal
Regulation Litig., 938 F.2d 1386, 1389 (D.C. Cir. 1991) (EPA's reading
of the term ``disposal'' in RCRA's subtitle C, 42 U.S.C. 6924, to
include ``the continuing presence of waste'' was reasonable); USWAG,
901 F.3d at 453-54 (Henderson, J., concurring) (same). By the same
logic, these provisions would authorize EPA to regulate closed units
that continue to pose risks to health or the environment, for example
by requiring the owners or operators of such units to remediate any
contamination from these units, or to take action to prevent such
contamination.
The 2016 amendments further confirm EPA's authority over these
activities. In section 4005, Congress referenced the 2015 regulations
in the statute, and expressly stated that the amendments in 4005(d)
were not intended to limit or restrict the authority already provided
under sections 1008(a)(3) and 4004(a). See, 42 U.S.C. 6945(d)(3), (6),
(7). By incorporating the rule into the statute without modification,
Congress has affirmed the Agency's authority to impose the kind of
requirements established in part 257 (e.g., corrective action to
remediate groundwater contamination). Moreover, Congress made clear
that EPA retains the authority to modify or expand these requirements
as necessary to ensure that the standard in section 4004(a) will
continue to be met. See, e.g., 42 U.S.C. 6945(d)(1)(A)(i), (3), (6)
(referencing ``or successor regulations promulgated pursuant to
sections 6907(a)(3) and 6944(a) of this title'').
EPA interprets the standard in section 4004(a) to apply equally to
criteria issued under sections 1008(a)(3) and 4004(a); namely that the
criteria must ensure that a facility is to be classified as a sanitary
landfill, and thus allowed to continue to operate, ``only if there is
no reasonable probability of adverse effects on health or the
environment'' from either the disposal or other solid waste management
practices at the facility. Thus, under the combined authority conferred
by sections 1008(a)(3) and 4004(a), a facility is an ``open dump'' if
it engages in any activity involving the management of solid waste that
does not meet the standard in section 4004(a); or in other words, any
activity involved with the management of solid waste that presents a
reasonable probability of causing adverse effects on health or the
environment. EPA also interprets these provisions to authorize the
establishment of criteria that define the manner in which facilities
upgrade or close, consistent with the standard in section 4004(a), to
ensure there will be no reasonable probability of adverse effects on
health or the environment.
D. What are the incremental costs and benefits of this action?
As noted previously, EPA establishes the requirements under RCRA
sections 1008(a)(3) and 4004(a) without taking cost into account. See,
USWAG, 901 F.3d at 448-49. The following cost estimates are presented
in the RIA and summarized in this preamble for compliance with OMB
Circular A-4, E.O. 12866, and E.O. 14094. The requirements in this rule
do not rely on these cost estimates.\2\
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\2\ Although EPA did not consider costs in developing this rule,
if the Agency had considered costs, the final rule would not have
been different. As discussed in greater detail later in this
preamble and in the RIA, the monetized benefits are based on only a
subset of adverse health effects from a single constituent. EPA
monetized the benefit from two additional human health endpoints
associated with that single constituent in a sensitivity analysis
and estimated an additional $19 million per year when discounting at
2% from that single contaminant. The RIA also describes a number of
important benefits that cannot currently be quantified or monetized
due to data limitations or limitations in current methodologies.
Based on these estimates EPA believes that after considering all
unquantified and distributional effects, the public health and
welfare gains that will result from the proposed alternative would
justify the rule's costs.
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The RIA estimates that the annualized monetized costs of this
action will be approximately $214-$240 million per year when
discounting at 2%. Of this, $123-$135 million is attributable to the
requirements for legacy CCR surface impoundments, which are subject to
the D.C. Circuit's order in USWAG, $79-$92 million is attributable to
the requirements for CCRMU, an additional $8-$9 million is attributable
to the requirements for CCRMU at Other Active Facilities (OAFUs) (a
term used in the RIA) that are discussed in Unit III.C.2.e of the
preamble, and $4 million is attributable to requirements for landfills.
The costs of this final rule are discussed further in the RIA and
include the costs of unit closure, corrective action, fugitive dust
controls, structural integrity inspections, and recordkeeping and
reporting.
The RIA estimates that the annualized monetized benefits
attributable to this action will be approximately $53-$80 million per
year when discounting at 2%. Of this, $43-$57 million is attributable
to the requirements for legacy CCR surface impoundments, $9-$21 million
is attributable to the requirements for CCRMU, $1-$2 million is
attributable to the requirements for CCRMU at ``other active
facilities,'' or OAFUs. Requirements for landfills account for a de
minimis amount of benefits.
In addition to monetized benefits, the RIA describes ten categories
of non-monetized benefits. These include human health effects from lead
exposure such as ADHD, cardiovascular mortality, and increased cancer
risk. They also include ecosystem benefits from avoided exposure to the
heavy metals in CCR effluent. The RIA describes several property-
related benefits including increased property values near closed and
remediated CCR units, and option values for remediated land. The RIA
also contextualizes the final rule within EPA's broader efforts to
regulate air and surface water pollution from coal fired power plants.
Further information on the economic effects of this action can be
found in Unit V of this preamble.
[[Page 38954]]
II. Background
A. 2015 CCR Rule
On April 17, 2015, EPA finalized national minimum criteria for the
disposal of CCR as solid waste under Subtitle D of RCRA titled,
``Hazardous and Solid Waste Management System; Disposal of Coal
Combustion Residuals from Electric Utilities'' (80 FR 21302) (2015 CCR
Rule). The 2015 CCR Rule, codified in 40 CFR part 257, subpart D,
established regulations for existing and new CCR landfills, as well as
existing and new CCR surface impoundments (including all lateral
expansions of CCR units). The criteria consist of location
restrictions, design and operating criteria, groundwater monitoring and
corrective action requirements, closure and post-closure care
requirements, recordkeeping, notification, and internet posting
requirements.
The 2015 CCR Rule also imposed requirements on inactive surface
impoundments at active facilities. A CCR surface impoundment is a
natural topographic depression, man-made excavation, or diked area,
which is designed to hold an accumulation of CCR and liquids, and the
unit treats, stores, or disposes of CCR. The 2015 CCR Rule defined an
``inactive CCR surface impoundment'' as ``a CCR surface impoundment
that no longer receives CCR on or after October 19, 2015, and still
contains both CCR and liquids on or after October 19, 2015.'' 40 CFR
257.53. The rule defined ``active facility or active electric utilities
or independent power producers'' as ``any facility subject to the
requirements of this subpart that is in operation on October 19, 2015.
An electric utility or independent power producer is in operation if it
is generating electricity that is provided to electric power
transmission systems or to electric power distribution systems on or
after October 19, 2015. An off-site disposal facility is in operation
if it is accepting or managing CCR on or after October 19, 2015.'' 40
CFR 257.53.
The 2015 CCR Rule did not impose any requirements on inactive
facilities. EPA explained that this was consistent with past decisions
under RCRA subtitle C. See, 80 FR 21344 (April 17, 2015). EPA further
raised concerns that it would be difficult to identify the owners or
other parties responsible for such facilities, as well as concerns that
the present owner of the land on which an inactive facility was located
might have no connection (other than present ownership of the land)
with the prior disposal activities. Id. Consequently, EPA exempted
those units at Sec. 257.50(e).
B. 2018 USWAG Decision
The 2015 CCR Rule was challenged by several parties, including
coalitions of regulated entities and environmental organizations
(``Environmental Petitioners''). See USWAG et al. v. EPA, 901 F.3d 414
(D.C. Cir. 2018). Environmental Petitioners raised two challenges that
are relevant to this final rule. First, they challenged the provision
at Sec. 257.101(a)(1) that allowed existing, unlined surface
impoundments to continue to operate until they exceeded the groundwater
protection standard. They contended that EPA failed to show how
continued operation of unlined impoundments met RCRA's baseline
requirement that any solid waste disposal site pose ``no reasonable
probability of adverse effects on health or the environment.'' 42
U.S.C. 6944(a). Second, Environmental Petitioners challenged the
exemption at Sec. 257.50(e) for inactive surface impoundments at
inactive power plants (i.e., ``legacy ponds''). Environmental
Petitioners argued that legacy ponds are at risk of unmonitored leaks
and catastrophic structural failures.
On August 21, 2018, the U.S. Court of Appeals for the D.C. Circuit
upheld most of the 2015 CCR Rule but decided in favor of Environmental
Petitioners on these two claims. The Court held that EPA acted
``arbitrarily and capriciously and contrary to RCRA'' in failing to
require the closure of unlined surface impoundments \3\ and in
exempting inactive surface impoundments at inactive power plants from
regulation. The Court vacated these provisions and remanded the matter
back to the Agency for further action consistent with its opinion.
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\3\ After the Court's ruling, the closure of unlined CCR surface
impoundments was addressed in a separate regulatory action that was
published on August 28, 2020 (85 FR 53516).
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In overturning the exemption for legacy ponds, the Court evaluated
the evidence in the rulemaking record and reached specific conclusions
about the risks that legacy ponds pose based on the record for the 2015
CCR Rule. The Court pointed to evidence that legacy ponds are most
likely to be unlined and unmonitored and that such units have been
shown to be more likely to leak than units at utilities still in
operation. 901 F.3d at 432. The Court also determined that legacy
ponds:
. . . pose the same substantial threats to human health and the
environment as the riskiest Coal Residuals disposal methods,
compounded by diminished preventative and remediation oversight due
to the absence of an onsite owner and daily monitoring. See 80 FR at
21343 through 21344 (finding that the greatest disposal risks are
``primarily driven by the older existing units, which are generally
unlined''). Notably, this very Rule was prompted by a catastrophic
legacy pond failure that resulted in a ``massive'' spill of 39,000
tons of coal ash and 27 million gallons of wastewater into North
Carolina's Dan River. . . .
[T]here is no gainsaying the dangers that unregulated legacy
ponds present. The EPA itself acknowledges the vital importance of
regulating inactive impoundments at active facilities. That is
because, if not properly closed, those impoundments will
``significant[ly]'' threaten ``human health and the environment
through catastrophic failure'' for many years to come. 75 FR at
35,177; see also 80 FR at 21,344 n. 40.
The risks posed by legacy ponds are at least as substantial as
inactive impoundments at active facilities. See 80 FR at 21,343-21,
344 (finding ``no [ ] measurabl[e] differen[ce]'' in risk of
catastrophic events between active and inactive impoundments). And
the threat is very real. Legacy ponds caused multiple human and
environmental disasters in the years leading up to the Rule's
promulgation. See 75 FR at 35,147 (proposed rule discusses multiple
serious incidents). For example, a pipe break at a legacy pond at
the Widows Creek plant in Alabama caused 6.1 million gallons of
toxic slurry to deluge local waterways. Id. Another legacy pond in
Gambrills, Maryland caused the heavy metal contamination of local
drinking water. Id. And the preamble to the Rule itself specifically
points to the catastrophic spill at the Dan River legacy pond in
North Carolina. 80 FR at 21,393-21,394.
Id. at 432-433. Relying on this evidence, the Court concluded there was
no logical basis for distinguishing between the inactive impoundments
at active facilities that were regulated and the legacy impoundments
that were exempt. Id. at 434. Consequently, the Court vacated the
provision of the 2015 CCR Rule (Sec. 257.50(e)) that specifically
exempted inactive impoundments at inactive facilities from regulation
and remanded the matter back to EPA for further action consistent with
its opinion. Notwithstanding the vacatur of Sec. 257.50(e), until EPA
amended the regulations to effectuate the Court's order, facilities
were not legally obliged to take any action to comply with the Federal
CCR regulations. This is because, as originally drafted, legacy CCR
surface impoundments did not fall within the scope of the rule, as
defined in Sec. 257.50. The specific provision in Sec. 257.50(e)
exempting legacy impoundments merely identified the units that were not
covered by Sec. 257.50(b). Because the vacatur of Sec. 257.50(e) did
not amend Sec. 257.50(b), legacy impoundments remained exempt.
[[Page 38955]]
C. 2020 Part B Proposed Rule
In the March 3, 2020 proposed rule, Hazardous and Solid Waste
Management System: Disposal of CCR; A Holistic Approach to Closure Part
B: Alternate Demonstration for Unlined Surface Impoundments;
Implementation of Closure (85 FR 12456), EPA proposed revisions to the
2015 CCR Rule, including: procedures to allow facilities to request
approval to use an alternate liner for CCR surface impoundments; two
alternative proposed options to allow the use of CCR during unit
closure; an additional closure option for CCR units being closed by
removal of CCR; and requirements for annual closure progress reports.
On November 12, 2020, EPA finalized the procedures to allow facilities
to request approval to use an alternate liner for CCR surface
impoundments. 85 FR 72506. In this final rule, the Agency is taking
final action on the proposed closure option for units being closed by
removal of CCR, which action is discussed in Unit III.D of this
preamble. EPA is still considering provisions from the proposed rule
that are not addressed in this rule and may be addressed in a
subsequent action.
D. 2020 Advance Notice of Proposed Rulemaking
On October 14, 2020, EPA published an Advance Notice of Proposed
Rulemaking (ANPRM) (85 FR 65015). In that action, EPA requested
information related to legacy CCR surface impoundments to inform a
future rulemaking. The Agency requested input on its regulatory
authority, input on a potential definition of a legacy CCR surface
impoundment and specific information on the types of inactive surface
impoundments at inactive facilities that might be considered legacy CCR
surface impoundments. Specifically, EPA requested information on how
many of these units exist, the current status of these units (e.g.,
capped, dry, closed according to State requirements, still holding
water), and the names, locations, and closure dates of former power
plants that may have these units. Finally, the Agency took comment on
which CCR regulations should apply to legacy CCR surface impoundments
and on suggestions for compliance deadlines.
During the 60-day public comment period, the Agency received over
15,000 comments from environmental groups, four States, one Tribe,
individual utilities, and industry trade associations. The topics
raised in comments included a potential definition of a legacy CCR
surface impoundment, EPA's regulatory authority, the scope and
applicability of the legacy impoundment rule, and regulatory
requirements to propose. Moreover, the comments generally agreed that
EPA must prescribe timeframes for coming into compliance with the
regulations and they recommended timeframes that are shorter than
compliance timeframes in the 2015 CCR Rule.
As noted in the ANPRM, EPA took comment on whether, in light of the
Court's opinion in USWAG, the Agency could reconsider whether it has
the authority to regulate inactive impoundments under RCRA subtitle D.
85 FR 65017-65018 (October 14, 2020). The general consensus from
commenters on the ANPRM was that, because the Court resolved the
question based on the plain meaning of the statute, EPA does not have
the discretion to reinterpret its authority. In addition, no commenter
identified a factual basis for not regulating legacy CCR surface
impoundments that addressed the Court's concern about the risks these
units pose. Id. at 65018. Consequently, EPA is not revisiting the
question of whether it may regulate inactive or legacy CCR surface
impoundments.
E. 2023 Proposed Rule and Comments
On May 18, 2023, EPA proposed revisions to the CCR regulations (88
FR 31982) (``the proposed rule'' or ``2023 proposed rule''). These
revisions included establishing regulations specifying that legacy CCR
surface impoundments are subject to 40 CFR part 257, subpart D and
specifying that owners or operators of legacy CCR surface impoundments
comply with all the appropriate requirements applicable to inactive CCR
surface impoundments at active facilities. In addition, EPA proposed to
establish requirements to address the risks from currently exempt solid
waste management that involves the direct placement of CCR on the land.
EPA proposed to extend a subset of the existing requirements in part
257, subpart D to CCRMU, which was proposed to include CCR surface
impoundments and landfills that closed prior to the effective date of
the 2015 CCR Rule, inactive CCR landfills, and other areas where CCR is
managed directly on the land. This proposal would apply to all active
CCR facilities and all inactive facilities with legacy CCR surface
impoundments. Lastly, EPA proposed to make several technical
corrections to the CCR regulations. These are: (1) To clarify the
definitions of ``feasible'' and ``technically feasible''; (2) To
correct the CFR reference in the definition of wetlands at Sec.
257.61(a); (3) To correct a reference in the groundwater monitoring
scope section; (4) To standardize the references to CCR websites
throughout the CCR regulations; and (5) EPA requested comment on
extending the period for document retention and posting.
The Agency received over 33,500 comments on the proposed rule, with
over 600 unique comments. Commenters included individual electric
utilities and independent power producers, national trade associations,
State agencies, public interest and environmental groups, private
citizens, and entities involved with the beneficial use of CCR. All
public comments submitted in response to the proposal can be found in
the docket for this action. Most commenters focused on the scope of the
proposed rule, definitions, compliance deadlines, and EPA's statutory
authority to regulate CCRMU. Most commenters also requested that EPA
adopt additional requirements to address the risks from CCR units.
EPA's responses to the comments on the proposed rule are addressed
either in this preamble or in a response to comment document available
in the docket to this final rule.
EPA conducted two public hearings on the proposed rule. EPA held an
in-person public hearing in Chicago, Illinois on June 28, 2023. At this
hearing there were 87 speakers and a total of 150 registered attendees.
EPA also held a virtual public hearing on July 12, 2023, using an
internet-based software platform. The platform allowed the public
hearing participants to provide oral testimony using a microphone and
speakers connected to their computers or using a phone. It provided the
ability for any person to listen to the public hearing via their
computer. At the virtual hearing, there were 93 speakers and a total of
353 registered attendees. Testimony at both public hearings focused
generally on EPA's proposed amendments, and on the following topics:
whether to further expand regulation to all CCR, regardless if it was
onsite of a regulated facility; whether to regulate structural fill and
other beneficial uses; enforcement of the CCR regulations; requests for
more engagement with communities; and requests for EPA to amend other
regulations to strengthen corrective action and limit the use of
alternative source demonstrations (ASD). Finally, some commenters
discussed site-specific concerns of facilities near their homes, or
health effects witnessed in communities close to CCR sites, and general
concerns about the health and environmental risks from CCR.
[[Page 38956]]
Transcripts for both public hearings are included in the docket for
this action.
F. 2023 Notice of Data Availability
On November 14, 2023, EPA published a notice of data availability
(NODA), to solicit comments on additional information and statistics
developed in response to comments on the Agency's May 18, 2023 proposed
rule. 88 FR 77941. Some of the information contains data or analysis
obtained directly from comments submitted during the May 18, 2023
proposed rule's comment period, which might aid in the formulation of
the final rule. EPA also solicited comments on a supplemental risk
assessment EPA conducted in response to comments raised on the proposed
rule. This risk assessment builds on the findings of the previous Human
and Ecological Risk Assessment of Coal Combustion Residuals (2014 Risk
Assessment) \4\ and better quantifies the specific risks that may
result from placement of CCR in legacy CCR surface impoundments and
CCRMU. EPA requested comment on all aspects of the assessment including
the validity and propriety of relying on the new information, data, and
analyses contained in the updated risk assessment to inform the final
rule.
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\4\ U.S. EPA. 2014. ``Human and Ecological Risk Assessment of
Coal Combustion Residuals.'' RIN 2050-AE81. Office of Solid Waste
and Emergency Response. Washington, DC. December.
---------------------------------------------------------------------------
EPA also sought further information on legacy CCR surface
impoundments and CCRMU, including information on the location,
presence, condition, history, and risk associated with any of the
potential legacy CCR surface impoundments or any of the potential CCRMU
within the docket. EPA also requested any information regarding the
presence of water, distance to surface water bodies, proximity to
floodplains, unit size, CCR volume, depth to groundwater, date of CCR
placement, closure status, any corrective action associated with the
unit, and any groundwater monitoring data. EPA also requested comment
on the accuracy of the information that was submitted regarding
potential legacy CCR surface impoundments or potential CCRMU.
Furthermore, EPA sought similar information on any other potential
legacy CCR surface impoundments or potential CCRMU of which EPA may not
be aware or for which we may have incomplete information.
EPA accepted public comment on the NODA until December 11, 2023.
The Agency received over 70 comments on the NODA. Commenters included
individual electric utilities and independent power producers, national
trade associations, State agencies, public interest and environmental
groups, private citizens, and entities involved with the beneficial use
of CCR. All public comments submitted in response to the NODA can be
found in the docket for this action. The majority of commenters focused
on the supplemental risk assessment; some focused on the request for
additional information on the universe of legacy CCR surface
impoundments and CCRMU. EPA's responses to comments received on the
NODA are addressed either in an updated risk assessment (the 2024 Risk
Assessment), this preamble, or in the response to comment document
available in the docket to this final rule.
III. What final action is the Agency taking?
In response to the USWAG decision, EPA is finalizing a provision at
Sec. 257.50(e), specifying that legacy CCR surface impoundments are
subject to 40 CFR part 257, subpart D. EPA is also requiring owners or
operators of legacy CCR surface impoundments to comply with the
following existing requirements in the CCR regulations: installation of
a permanent marker, history of construction, hazard potential
classification, structural stability and factors of safety assessments,
emergency action plan (EAP), air criteria, inspections, groundwater
monitoring and corrective action, closure and post-closure care,
recordkeeping, and notification and CCR website requirements. EPA
further is establishing new compliance deadlines for these newly
applicable regulatory requirements to ensure the owners or operators of
these units have time to come into compliance.
In addition to the revisions EPA proposed to address the USWAG
decision, EPA is establishing requirements to address the risks from
currently exempt solid waste management that involves the direct
placement of CCR on the land. EPA is extending a subset of the existing
requirements in 40 CFR part 257, subpart D to CCRMU, which are CCR
surface impoundments and landfills that closed prior to the effective
date of the 2015 CCR Rule, inactive CCR landfills, and other areas
where CCR is managed directly on the land. These additional
requirements apply to all active CCR facilities, all inactive
facilities with legacy CCR surface impoundments subject to this final
rule, and those active facilities (i.e., facilities producing
electricity for the grid as of October 19, 2015) that ceased placing
CCR in onsite CCR units prior to the effective date of the 2015 CCR
Rule.
EPA is also finalizing alternative closure provisions to allow a
facility to complete the closure by removal in two stages: first, by
completing all removal and decontamination procedures; and second, by
completing all groundwater remediation in a separate post closure care
period.
Lastly, EPA is finalizing several technical corrections to the CCR
regulations. These are: (1) to clarify the definitions of ``feasible''
and ``technically feasible''; (2) to correct the CFR reference in the
definition of wetlands at Sec. 257.61(a); (3) to correct a reference
in the groundwater monitoring scope section; (4) to standardize the
references to CCR websites throughout the CCR regulations; and (5) to
extend the period for document retention and posting.
A. Risks From Legacy CCR Surface Impoundments and CCR Management Units
1. Summary of May 2023 Proposal
The proposal largely relied on the model results from the 2014 Risk
Assessment, as EPA considered the results were equally applicable to
legacy CCR surface impoundments and CCRMU.\5\ This determination was
based on the fact that many of these unregulated units are similarly
constructed, manage the same types of ash, and are frequently located
either at the same or nearby facilities as their regulated
counterparts. In particular, some unregulated units are known to be
located directly adjacent to or beneath currently regulated units.
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\5\ U.S. EPA. 2014. ``Human and Ecological Risk Assessment of
Coal Combustion Residuals.'' RIN 2050-AE81. Office of Solid Waste
and Emergency Response. Washington, DC. December.
---------------------------------------------------------------------------
The 2014 Risk Assessment concluded that the management practices
that EPA believed were generally in use in 2014 at surface impoundments
and landfills were likely to pose risks to human health through
groundwater exposure within the range that EPA typically considers
warrants regulation. For highly exposed individuals, the cancer risks
from arsenic due to the operation of surface impoundments were as high
as 2 x 10-\4\, while noncancer risks were as high as an HQ
of 5 for arsenic, 2 for lithium, and 2 for molybdenum. Cancer risks
associated with the operation of landfills were estimated to be as high
as 5 x 10-\6\ from the ingestion of arsenic-contaminated
drinking water. In 2015, EPA relied on this risk assessment to support
the regulation of both active CCR units and inactive CCR surface
[[Page 38957]]
impoundments at active facilities. The 2014 Risk Assessment reported
risks for the units that were anticipated to be subject to the 2015 CCR
Rule and therefore drew no conclusions about the older units excluded
from the scope of that rule. Nevertheless, information available in the
record supports the conclusion that these older units can pose risks at
least as high as reported in the 2014 Risk Assessment.
EPA further proposed to find that the risks associated with legacy
impoundments and CCRMU may be even higher than EPA modeled on a
national scale in the 2014 Risk Assessment for active units. First, the
proposal explained that these units have been present onsite for longer
and had more time to leak. In addition, EPA explained that there are
several management practices that have the potential to result in
higher leakage, but that were previously modeled either less frequently
for active units--based on a belief that the practices had declined
over time--or not at all--due to data constraints on a national scale.
These include: (1) The greater prevalence of unlined units; (2) The
greater likelihood of co-management of CCR with coal refuse and other
wastes in surface impoundments, making the overall waste pH far more
acidic and (3) The potential for the units to be constructed below the
water table or to have become inundated with groundwater after
construction. The proposal estimated that the solid waste management
practices associated with legacy impoundments and CCRMU could pose
lifetime cancer risks from arsenic as high as 2 x 10-\5\ to
1 x 10-\3\ (i.e., 2 to 100 cases of cancer for every 100,000
individuals exposed), and non-cancer risks for cobalt as high as an HQ
of 13, mercury up to an HQ of 13, lithium up to an HQ of 3, molybdenum
up to an HQ of 4, and thallium up to an HQ of 2, depending on the
specific management practice. Finally, EPA explained that each of these
practices individually can pose greater risks than those previously
modeled for the currently regulated universe of CCR units, and a
combination of these practices could push risks even higher.
2. 2023 Draft Risk Assessment
A number of commenters claimed that the 2014 Risk Assessment did
not adequately capture various factors associated with legacy CCR
surface impoundments and CCRMU that the commenters believed will result
in significantly different risks than those posed by currently
regulated units. In response to these comments, EPA conducted a
supplemental risk assessment to determine the potential for some of
these factors to affect national risks. This risk assessment built on
the findings of the 2014 Risk Assessment and better quantified the
specific risks that may result from placement of CCR in legacy CCR
surface impoundments and CCRMU.
The 2023 draft supplemental assessment consisted of: (1) Additional
modeling of inactive and closed CCR landfills and surface impoundments
that was actually conducted in 2014 using the same methodology and
data. These results were ultimately not included in the original 2014
Risk Assessment because the units were not regulated under the final
2015 rule, and (2) Some further model runs relying on some updated
data. In addition, EPA modeled the placement of CCR in smaller
quantities than would typically be found in a CCR surface impoundments
or landfill (i.e., smaller CCRMU placements or CCRMU fills) to
determine the potential for these smaller CCRMU placements to
contaminate groundwater. Through this modeling, EPA identified
potential for these fills to contaminate onsite groundwater. Model
results indicated potential for exceedance of groundwater protection
standards (GWPS) at the fill boundary under both high-end and moderate
conditions. These results also showed potential for substantial spread
of the resulting groundwater plume. Under high-end conditions, these
plumes are large and persistent enough to sustain exposures for over a
century or more at average risks of 2 x 10-5 or higher.
Finally, EPA assessed the potential for exposure to radiation from
CCR remaining in the soil (subsurface). EPA found the amount of radon
emitted by CCR is not distinguishable from background soil and so did
not retain this pathway for further consideration. EPA also found
greater potential for risk from gamma radiation as CCR comes to be
located closer to the ground surface due to a reduction in shielding.
An additional sensitivity analysis identified potential for further
risk if CCR becomes mixed with surface soil. Accumulation of CCR can
result in elevated cancer risk from incidental ingestion of arsenic and
radium, in addition to direct exposure to gamma radiation from radium.
For high-end waste concentrations, an eight percent mixture of CCR in
surface soil was found to result in risk on the order of 1 x
10-4.
The 2023 draft risk assessment was made available for public
comment as part of a NODA released on November 14, 2023.
3. Response to Comments on the Proposal and the NODA
The following subsection provides a summary of comments received on
either the proposed rule or NODA that are germane to the risk record
for legacy impoundments and CCRMU. EPA considered these comments as it
worked to finalize the supplemental risk assessment (``2024 Risk
Assessment''). The Agency also received a number of general comments,
which were either editorial in nature or expressed general support or
disapproval for the risk assessment methodology, data, or results.
However, these comments did not provide any specific technical
recommendations or data that could otherwise be used to update the risk
assessment. These general comments did not provide EPA with a basis to
alter or otherwise re-evaluate the risk assessment in response.
a. Comments Related to Applicability of 2014 Risk Assessment
Comment: Several commenters generally affirmed the Agency's risk
basis for regulating historical and inactive disposal units. However,
other commenters argued the Agency's risk record is inadequate to
support regulation of certain legacy impoundments or any CCRMU. Others
contended that because the 2014 Risk Assessment supported regulation of
active landfills and surface impoundments, it is not appropriate to
apply that record to disposal units that previously ceased receipt of
waste. In particular, commenters pointed to the current lack of ponded
water and/or the presence of a cap and vegetative cover that would
reduce infiltration through certain units. Some commenters noted that
State programs may include requirements for unit design, monitoring,
and closure that ensure a cover is present. Commenters stated these
factors must be accounted for through an updated risk assessment.
EPA Response: Claims that the results of the 2014 Risk Assessment
are applicable only to active units represent a fundamental
misunderstanding of scope of the 2014 Risk Assessment. EPA did not only
model units during operation. Instead, the risk assessment modeled the
specific stage of the unit lifecycle anticipated to contribute the most
to long-term risk. For surface impoundments this was during operation,
but for landfills it was after closure. EPA modeled the leakage that
occurred over this one lifecycle stage and tracked the subsequent
migration through groundwater over time. The risks to downgradient
receptors
[[Page 38958]]
resulting from the modeled leakage were used to represent risk over the
entire unit lifecycle. Consideration of a single lifecycle stage was
necessary because of model constraints and the high computational
burden of tracking shifting configurations for every single unit.
Both landfills and surface impoundments progress through similar
lifecycle stages from construction to closure. Thus, the fact that some
historical and inactive units may no longer contain ponded water or may
have installed a soil cover only places these units in a different
stage of that lifecycle. That does not differentiate the long-term
risks of those units from those previously modeled. In particular,
existing groundwater contamination does not vanish once a unit ceases
operation. As one State commenter noted, ``[g]roundwater contamination
is an important aspect to legacy impoundment closure and should not be
overlooked simply because the impoundment does not contain liquid or
CCR at the date of the final rule.''
By contrast, the 2014 Risk Assessment only modeled landfills after
closure; in other words, EPA assumed that no leakage occurred prior to
closure, while the landfill was operating. EPA only modeled landfills
after closure because based on the assumption that this stage of the
landfill lifecycle would have the greatest contribution to long-term
risk for offsite receptors because the unit would be filled to capacity
and the post closure stage represented the greater period of time over
which leakage can occur. EPA modeled unlined units with a soil cap and
vegetative cover equivalent to the surrounding native soils and found
risks from arsenic as high as 2 x 10-5 for receptors up to a
mile away. Even assuming some landfills have been closed in a manner
more consistent with the existing CCR regulations (i.e., with some kind
of composite cover system), this is unlikely to change the overall
conclusions of the risk assessment. This is because, regardless of the
cover that is ultimately installed, higher leakage can occur throughout
the active life of the unit when the landfill face is open and able to
intercept more precipitation. This conclusion is reinforced by the fact
that facility monitoring reports document that around 20% of currently
active landfills have triggered corrective action. Additionally, EPA
has seen no evidence to suggest that the closure of older units has
been consistently more protective than EPA modeled in 2014. As
discussed in Unit III.B.2.g.iii(a) of the preamble, as part of
developing the 2015 CCR Rule, EPA reviewed State statutes and
regulations, with a more detailed focus on the 16 States responsible
for approximately 74% of the CCR generated in 2009. See 80 FR 21324.
The Agency's review of State programs prior to 2015 found that
oversight of these wastes and the overall protectiveness of particular
programs varied widely. For example, EPA estimated that in 2015,
approximately 20% of the net disposable CCR was entirely exempt from
State regulatory oversight. Similarly, a 2006 joint Department of
Energy (DOE) and EPA study reported that only 19% (three out of 19) of
the surveyed surface impoundment permits included requirements
addressing GWPS (i.e., contaminant concentrations that cannot be
exceeded) or closure/post-closure care. Furthermore, some of the
photographs and descriptions of these older units provided by
commenters indicate extensive growth of trees and other woody
vegetation that can compromise the integrity of any cap present and
increase the rate of infiltration into the unit. For these reasons, the
2014 Risk Assessment is equally representative of the national risks
from historical and inactive landfills.
The 2014 Risk Assessment modeled all surface impoundments during
the active stage of their lifecycle. This was based on the presumption
that the highest rates of leakage would occur while wastewater is
ponded above the ash, because this water creates a large and sustained
hydraulic head that serves to drive leachate into the subsurface.
Although the current configuration of historical and legacy
impoundments may vary, all these units previously held ponded water
during the active stage of their lifecycle. And, in the case of legacy
impoundments, ponded water may still be present. As a result, the
current configuration of the unit is immaterial to the releases that
occurred during operation. For this reason, the modeling approach
relied upon in the 2014 Risk Assessment is equally applicable to
historical and legacy impoundments.
The 2014 Risk Assessment also accurately represents the potential
risks that remains for units that were closed consistent with the 2015
CCR Rule. If the cover system is not adequately maintained after
closure, degradation over time from human or animal activity, natural
settling, freeze-thaw cycles, flooding and other extreme weather
events, and other factors can result in greater leakage from the unit
than designed. In some cases, groundwater monitoring may provide the
only clear evidence the cap is not performing as designed. Thus, the
2014 Risk Assessment accurately describes the risks that can result if
these units are not adequately maintained and monitored in line with
regulatory requirements.
Comment: Multiple commenters argued that historical and inactive
disposal units will generally have a smaller footprint than those
modeled in the 2014 Risk Assessment. For example, some commenters noted
the average sizes of landfills and surface impoundments modeled in the
2014 Risk Assessment were around 120 acres and 50 acres, respectively,
while the estimated average sizes of CCRMU and legacy impoundments in
the proposed rule were both closer to 30 acres. Others cited to the
sizes of individual units that at their facilities to contend that
these units are much smaller than average. These commenters contended
that a smaller footprint would result in a lower mass loading of
groundwater and lower associated risk.
EPA Response: EPA disagrees that the referenced data indicate that
older disposal units are significantly smaller in size than the units
EPA modeled in 2014. The 2014 Risk Assessment relied on data submitted
by facilities in the EPA Surveys to estimate an average active landfill
size of around 120 acres from over 310 landfills and an average active
impoundment size of around 50 acres from over 735 impoundments. The RIA
summary referenced by commenters relies only on data that could be
independently verified by data from posted facility reports and recent
public comments. From the final list of 195 CCRMU and 194 legacy
impoundments, EPA identified data for only one landfill with a size of
90 acres and 47 historical or legacy impoundments with an average size
of 44 acres. Thus, when CCRMU are separately grouped as landfills and
impoundments, the differences in size are not as substantial as
indicated by commenters.
EPA also disagrees that any differences that do exist would result
in substantially lower risks than previously modeled. As part of the
2014 Risk Assessment, EPA modeled 122 landfills and 163 impoundments
that were excluded from the reported risk results because these units
were determined to not be subject to that rule. These excluded units
represent some combination of legacy impoundments, inactive landfills,
and historical disposal units. The average sizes of these previously
excluded units are 77 acres for the landfills and 28 acres for the
impoundments. These sizes are approximately half the size of the units
[[Page 38959]]
identified in the 2014 Risk Assessment or more recent data collection
efforts. However, as discussed in Section 3 of the 2024 Risk
Assessment, the risks associated with these older units are
substantially the same as those for currently regulated units.
Therefore, there is no evidence that these differences in size have a
meaningful impact on national risks, or that the results of the 2014
Risk Assessment are nor equally applicable to legacy impoundments and
CCRMU. While there may be individual disposal units at these sites that
are smaller than average, the model results summarized in the 2024 Risk
Assessment model include landfills as small as 2 acres and impoundments
as small as 0.01 acres. Therefore, there is no indication based on the
data provided that the overall distribution of unit sizes has not been
adequately reflected in the national model.
Finally, EPA notes that individual unit size is not necessarily a
reliable metric to draw conclusions about the overall risk from CCR
disposal at electric utilities. The 2014 Risk Assessment modeled the
risks from each landfill and impoundment separately because it was
difficult to confirm the relative locations and orientations of
different units with data from the EPA Surveys. However, the Agency is
now aware of many sites where multiple units, both landfills and
impoundments, are located immediately adjacent to one another. As a
result, there is potential the 2014 Risk Assessment underestimated site
risk to some degree by not evaluating the combined leakage over the
full contributing area of these adjacent disposal units.
Comment: One commenter stated the 2014 Risk Assessment did not
specifically characterize the risks from impoundments that do not
contain fly ash. This commenter argued that historical and legacy
impoundments are more likely to only contain bottom ash or boiler slag,
as the process of capturing fly ash was not common prior to the 1970s.
Therefore, this commenter concluded that the 2014 Risk Assessment does
not adequately characterize the risks for these older units.
EPA Response: EPA disagrees that the 2014 Risk Assessment does not
address the risks associated with these impoundments. The risk
assessment incorporated porewater data from impoundments that contained
only bottom ash, but EPA did not separately break out risks for this
subset of units because the amount of data available was inconsistent
across the set of modeled constituents. However, available porewater
data show the potential for certain constituents, such as molybdenum,
to leach from bottom ash at levels as high as from fly ash.
Additionally, available monitoring reports for currently regulated
units posted on facility websites document that these units have a
similar potential to contaminate groundwater as units containing other
types of CCR. Of the units designated as managing bottom ash, 32% of
surface impoundments and 38% of landfills have triggered corrective
action. Of the units designated as managing slag, 38% of surface
impoundments have triggered corrective action. No landfills were
identified as dedicated to slag. For comparison, 48% of remaining
surface impoundments and 21% of remaining landfills have triggered
corrective action. Therefore, there is no indication that these types
of units are overall less likely to result in groundwater
contamination.
Comment: One commenter claimed that a nationwide assessment should
not be used to make determinations about the risks at individual sites
or to support national requirements. This commenter stated that, unlike
individual damage cases, the Agency's groundwater model does not
adequately represent the specific conditions at each individual unit.
However, this commenter provided no data to support their broad claims.
One other commenter pointed to data they had identified to contend that
the model does not reflect the specific environmental conditions at
their facility.
EPA Response: The modeling conducted for both the 2014 and 2024
Risk Assessments utilized a probabilistic, site-based approach that
combined site-specific data with more regional and national data
sources. The model incorporated data about the specific location,
dimensions, and liner status of individual disposal units where
available. The aim of this approach is not to assign an exact risk to
each individual unit, but to provide an overall accurate picture of the
potential risks posed by these types of units on a national scale.
Indeed, many of the findings from the 2014 Risk Assessment were
supported by available damage cases. The commenters did not articulate
why they believe the risks associated with individual units fall far
outside the broader distribution of modeled units. But as acknowledged
by the one commenter who did submit data, there is overlap between the
range of conditions modeled and those they identified as present at
their particular facility. EPA does acknowledge that there are some
site conditions that the 2014 and 2024 Risk Assessments were not able
to adequately model, such as waste below the water table. However, this
is why the Agency separately relied on damage cases to identify
additional constituents of potential concern for groundwater
monitoring.
Comment: One commenter stated that EPA should not rely on the
findings of the Environmental Integrity Project's report, ``Poisonous
Coverup: The Widespread Failure of the Power Industry to Clean Up Coal
Ash Dumps'' without independently validating the quality of analyses
conducted for each site.
EPA Response: EPA recognizes that the method used in the cited
report to identify potential exceedances of GWPS is not the same as the
regulatory standard for triggering corrective action. For this and
other reasons, the Agency does not rely on the report as a primary
basis for the current rulemaking or to draw any conclusions about the
monitoring status of any individual unit. Instead, EPA previously
referenced the report as a supplementary source of information that
further supports the findings of the 2014 Risk Assessment.
Specifically, the fact that the constituents identified as risk drivers
in the 2014 Risk Assessment are the same ones detected most frequently
above GWPS indicates that the fate and transport modeling conducted by
EPA was able to correctly identify the constituents most likely to be
released and migrate at environmentally significant concentrations.
While high background concentrations may be present at some of these
sites, many have already triggered corrective action and the Agency
believes that number will increase as more facilities come into
compliance with the rule requirements. Because this report does not
form a basis for the rule, it is not discussed further in the preamble
to the rule or the 2024 Risk Assessment outside of responses to other
comments that cite to the same or similar reports.
b. Comments Related to Draft 2023 Supplemental Risk Assessment
Conceptual Model
Comment: Multiple commenters broadly argued that the draft 2023
risk assessment relied on data and assumptions that represent maximum
values or otherwise reflect worst-case scenarios that could never
occur, and therefore do not represent a ``reasonable probability'' of
adverse impacts and so is not an appropriate basis for regulatory
action.
EPA Response: EPA disagrees that the design of the risk assessment
is inappropriately conservative. Consistent
[[Page 38960]]
with EPA's long-standing practice under RCRA (as well as other agency
programs), an individual with reasonable maximum exposure (RME)
provides the principal basis for evaluating potential human health
risks. An RME scenario is intended to be conservative, while remaining
within the range of possible high-end exposures.\6\ Specifically,
``high end'' has been defined as the part of the exposure distribution
that falls above the 90th percentile, but below the 99.9th
percentile.\7\ Reliance on this type of scenario is intended to protect
sensitive populations. Selection of the data and assumptions
incorporated in the 2024 Risk Assessment is in line with this
objective. Further critiques about the potential for the specific data
and assumptions to overestimate risk are addressed in subsequent
responses.
---------------------------------------------------------------------------
\6\ U.S. EPA. 1989. ``Risk Assessment Guidance for Superfund
Volume I--Part A, Human Health Evaluation Manual.'' EPA/540/1-89/
002. Prepared by the Office of Emergency and Remedial Response,
Washington, DC. December.
\7\ U.S. EPA. 2004. ``An Examination of EPA Risk Assessment
Principles and Practices.'' EPA/100/B-04/00. Prepared by the Office
of the Science Advisor. Washington, DC. March.
---------------------------------------------------------------------------
Comment: Multiple commenters argued that it was inappropriate for
EPA to consider future onsite residential exposures as a basis for
evaluating the potential risks associated with onsite CCR disposal. One
commenter claimed that the estimates of existing populations living
near these facilities used in the 2024 Risk Assessment was both
overestimated and inconsistent with estimates from the Agency's RIA.
One commenter acknowledged that older units tend to be located closer
to population centers. However, others argued that this proximity to
existing populations or water bodies would not make them overall more
likely to become residential in the future. One commenter stated that
EPA should have surveyed the intended land use for facilities or
otherwise directly assessed the likelihood of residential land use.
EPA Response: EPA disagrees that consideration of a population
within a five-mile radius overstates the likelihood of residential
development. Five miles away from a population center is a small
distance for residential development to expand, even in the near
future. Nevertheless, the Agency has updated the population estimates
in the 2024 Risk Assessment to more closely align with reporting in the
RIA and to include both one- and three-mile radii. EPA also disagrees
that consideration of a future residential land use scenario is
inappropriate or unrealistic. The substantial populations already
living near many facilities and the generally higher property value of
land near water bodies are two indicators of the potential for land to
be attractive for future residential land use. Facilities do not
dictate the ultimate use of a property after the land has been sold for
redevelopment. These types of facilities can include considerable
tracts of land beyond that dedicated to waste disposal that may be
considered for a range of different uses. EPA is currently aware of 22
examples in which former electric utilities have been proposed for
residential development, 19 of which are known to have burned coal.\8\
Thus, there is evidence of community interest in residential land use
at these types of facilities.
---------------------------------------------------------------------------
\8\ Memorandum to the Docket: Compilation of News Articles on
Future Land Uses for Electric Utilities.
---------------------------------------------------------------------------
Although future residential use is considered as the RME scenario
in the 2024 Risk Assessment, that does not mean it is the only scenario
EPA considered or on which this final rule is based. Depending on their
location, leakage of Appendix IV constituents from individual CCRMU
fill may migrate off-site at levels of concern. In addition, even if
the constituents from a single CCRMU do not migrate off-site, the
modeling conducted in 2024 confirms that smaller CCRMU fills can
meaningfully contribute to groundwater contamination across a facility.
Concentrations from a single CCRMU can combine with contamination from
other CCRMU, currently regulated CCR units, or legacy CCR surface
impoundments that are also present on the same site. Although EPA did
not model the aggregate or cumulative risk associated with these
potential sources of co-located contamination, at a minimum, EPA
expects that the presence of multiple sources of potential
contamination at the same facility would increase the likelihood of a
contaminant plume that could migrate off-site at levels of concern.
Nor is residential use the only scenario where exposures present
concern. One commenter described donating property to a local
government for recreational uses. Several other commenters described
redeveloping sites as nature preserves. Even under these non-
residential land uses, the is a reasonable potential for exposure (and
consequently risk) to human and ecological receptors if the ash is
subsequently disturbed. For example, as discussed in Section 6 the 2024
Risk Assessment, concentrations of certain contaminants may also pose
risk to wildlife if ash becomes intermingled with surface soil.
Comment: Commenters asserted that consideration of residential land
use is inconsistent with various EPA guidance documents
9 10 11 and Agency cleanup programs. These commenters argued
such guidance instructs EPA to assume that facilities surrounded by
operating industrial facilities will remain industrial unless there is
clear evidence otherwise. These commenters further argued that guidance
instructs EPA to account for institutional controls, such as State or
local zoning laws, that would make residential development or resulting
exposures at individual sites unlikely. Some commenters cited to
specific State requirements they assert would prevent residential land
use or prohibit future use of site groundwater as a source of drinking
water. Others claimed that due diligence reviews would be adequate to
identify and address any remaining sources of contamination before
exposures could occur.
---------------------------------------------------------------------------
\9\ U.S. EPA. 1989. ``Risk Assessment Guidance for Superfund
Volume I Human Health Evaluation Manual (Part A).'' EPA/540/1-89/
002. Prepared by the Office of Emergency and Remedial Response,
Washington, DC. December.
\10\ U.S. EPA. 1991. ``Risk Assessment Guidance for Superfund
Volume I Human Health Evaluation Manual (Part B, Development of
Risk-based Preliminary Remediation Goals).'' Publication 9285.7-01B.
Prepared by the Office of Emergency and Remedial Response,
Washington, DC. December.
\11\ U.S. EPA. 1995. ``Land Use in the CERCLA Remedy Selection
Process.'' OSWER Directive No. 9355.7-04. Prepared by the Office of
Solid Waste and Emergency Response. Washington, DC. May.
---------------------------------------------------------------------------
EPA Response: EPA disagrees that consideration of future
residential land use at these facilities is inconsistent with
applicable guidance and cleanup programs. First, the risk assessment
was conducted to establish minimum national criteria rather than to
clean up an individual site. To determine whether the section 4004(a)
standard will be met at all sites nationwide, as the statute requires,
the Agency needs to evaluate the risks associated with full range of
reasonable scenarios. As discussed in the previous response, there are
numerous examples in the record of instances in which these kinds of
sites have been redeveloped for residential use.
Moreover, as the commenters have acknowledged, the Comprehensive
Environmental Response, Compensation, and Liability Act (CERCLA) and
other cleanup programs only address contamination that has already
occurred. In contrast, national standards for waste management
developed under RCRA section 4004(a) are to prevent environmental
releases
[[Page 38961]]
before they occur. See, USWAG, 901 F.3d at 429-431. As EPA has
previously explained, groundwater contamination is a concern, even if
the aquifer is not currently used as a source of drinking water.
Sources of drinking water are finite, and future users' interests must
also be protected. See, 44 FR 53445-53448.
EPA further disagrees that the risk assessment failed to
appropriately account for existing State and local requirements for
institutional controls that would limit residential exposure. The
purpose of a baseline risk assessment is to provide ``. . . an analysis
of the potential adverse health effects (current or future) caused by
hazardous substance releases from a site in the absence of any actions
to control or mitigate these releases (i.e., under an assumption of no
action).'' \12\ Thus, the intent of the risk assessment is to
characterize the harm that could result if institutional and other
controls are not implemented. This provides a consistent basis to
understand the risks to be controlled and define appropriate national
requirements such as a national requirement for deed restrictions at
all sites at which CCRMU fills will remain in place. The Agency did not
assume that all facilities will ultimately be used for residential
purposes as a consequence of these factors in developing this final
rule.
---------------------------------------------------------------------------
\12\ U.S. EPA. 1989. ``Risk Assessment Guidance for Superfund
Volume I Human Health Evaluation Manual (Part A).'' EPA/540/1-89/
002. Prepared by the Office of Emergency and Remedial Response,
Washington, DC. December.
---------------------------------------------------------------------------
Furthermore, as several commenters have acknowledged, facilities
have not historically been required to identify smaller placements of
ash as a form of disposal and consequently have not maintained reliable
records of where such placements are located. Indeed, most commenters
have acknowledged that they are currently unable to identify all CCRMU
at their existing facilities. These commenters do not explain how due
diligence assessments would reliably identify such placements in the
absence of such records, as such assessments typically rely on
available site records to guide further investigation. Nor do
commenters explain how existing State programs would reliably identify
such placements or otherwise prevent exposures, when the facilities
themselves cannot identify the presence of the ash on-site. This is
reinforced by EPA's review of State programs, which found that the
specific requirements, level of oversight over these wastes, and the
overall protectiveness of individual programs varied widely among
States. See, 80 FR 21324. As a result, EPA currently lacks a record to
conclude that currently unidentified CCRMU fills located across a
facility would be subject to the same institutional controls that are
required for the disposal units the commenters reference. Given the
current absence of national requirements, and that commenters have
generally acknowledged that they have not reliably kept records of the
existence of CCRMU, it is appropriate to evaluate the risks that can
reasonably arise in the absence of institutional controls.
Comment: One commenter argued that EPA had already considered the
practice of disposal below the water table because it had been
discussed in previous risk assessments. Another commenter asserted the
Agency's conceptual model assumed all legacy impoundments were in
contact with the water table. Another commenter stated that EPA cannot
use information about active units to make assumptions about which
historical and inactive units at the same sites are in contact with the
water table, due to differences in unit construction and location. By
contrast, a number of other commenters agreed that because EPA cannot
model the effects of waste below the water table, EPA had previously
underestimated the risks associated with CCR units. Other commenters
argued the conceptual model for surface impoundments did not adequately
distinguish between the types of water that may be present in an
impoundment. These commenters asserted that any residual water
remaining after the unit has been initially drained would not exert the
same hydraulic head within the unit that would drive leachate into the
subsurface during unit operation, and so leakage would more closely
resemble a landfill.
EPA Response: The conceptual models for landfills and surface
impoundments in the 2014 and 2024 Risk Assessments did not evaluate
contact with groundwater. Although these assessments both acknowledged
that this could occur, the scenario could not be incorporated into
groundwater fate and transport modeling as a result of data and model
constraints. Because the 2014 and 2024 Risk Assessments did not
directly model the effects of disposal below the water table, neither
assessment incorporates any assumptions about the prevalence of this
practice in the conceptual model. EPA has acknowledged that its
inability to reliably model the effects of this practice means that its
risk estimates on a national scale underestimate the risks associated
with higher rates of leaching and/or formation of strongly reducing
conditions.
EPA acknowledges the rates of leakage from surface impoundments
will generally decrease after ponded wastewater has been allowed to
drain, reducing the overall hydraulic head across the unit. As such,
discussion in the 2024 Risk Assessment has been updated to clarify the
distinction between water ponded above the ash and porewater within an
impoundment. However, any free liquids that remain within the unit can
still result in higher leakage than would occur if the unit were fully
dewatered. And the amount of ``residual water remaining'' can sometimes
be substantial; in some cases, closed impoundments remain saturated by
20-54 feet of groundwater. See, e.g., 88 FR 31982-319873, 55236.
In addition, regardless of the current configuration of an
impoundment, it is appropriate for the conceptual models in the 2024
Risk Assessment to consider the stage of the unit lifecycle anticipated
to contribute the most to long-term risk. For surface impoundments,
this is when the units are in operation due to the presence of
wastewater ponded above the ash. Subsequent draining of the unit does
nothing to remediate any adverse impacts that occurred during
operation. Furthermore, to the extent that impoundments leak at rates
more similar to landfills after ponded wastewater has been drained, EPA
notes the 2014 Risk Assessment previously modeled the risks from dry
management in landfills and found the potential for unacceptable risk
from these units. Therefore, continued leakage from drained units still
has the potential to sustain releases.
Comment: One commenter affirmed that ``EPA is likely correct in its
observations and assumptions that CCRMU fills `will remain in place
when ownership of the property changes,' and that, `in the absence of
land use restrictions, there is no guarantee [that] engineering
controls will remain in place when the property is redeveloped.' ''
However, multiple commenters argued the conceptual model for CCRMU
fills does not adequately account for the full diversity of CCRMU that
may be present onsite. Various commenters stated that a conceptual
model for fills does not adequately address specific types of
placements, such as use in the construction or closure of CCR disposal
units, storage in waste piles, construction of roadways and railroads,
or spreading on roadways for snow and ice control. Another asserted
that reliance on the similar conceptual models in the 2014 Risk
Assessment to
[[Page 38962]]
evaluate the disposal units and CCRMU fills is inappropriate because
the CCRMU fills will tend to be smaller than the disposal units modeled
in 2014.
EPA Response: EPA disagrees that the conceptual model for CCRMU
fills does not adequately address the configurations of these units.
The majority of the units described by commenters have a concentrated
footprint, such as placement beneath a parking lot. Some of the
specific alternate examples raised by commenters are either already
regulated under the existing regulations (e.g., waste piles) or are
outside the scope of the current rulemaking. For others, there is
little to no information available about the manner or frequency of
such placements that could be used to characterize the units.
Therefore, these types of placements are not considered as part of the
conceptual model for CCRMU fills in the 2024 Risk Assessment.
The commenters do not explain how placement of CCR in a landfill or
impoundment in service of construction or closure of that unit would be
substantially different than the disposal scenarios previously modeled
and found to pose risk. Finally, EPA has proposed and is finalizing the
definition of CCRMU to exclude CCR used in roadbed and associated
embankments.
There is little data that could be used to develop a conceptual
model for diffuse placements, which may occur on a periodic basis. Nor
do commenters provide any data on the manner or frequency of such
placements. As a result, the 2024 Risk Assessment did not model these
types of placements. This represents a source of uncertainty in the
assessment. However, EPA notes that even small placements of CCR can
contribute to broader leakage and have the potential to leak Appendix
III constituents and influence nearby groundwater monitoring.
Therefore, it is still necessary to identify where these types of
onsite placements have occurred.
EPA also disagrees that applying a similar conceptual model for CCR
landfills and CCRMU fills is inappropriate. Specifically, the
conceptual model does not make any upfront assumptions regarding the
sizes of these fills. As described in Section 4 of the 2024 Risk
Assessment, EPA considered a range of potential sizes for these fills
that were smaller than landfills reported in the EPA Surveys.
Comment: One commenter stated that it is inappropriate for the 2024
Risk Assessment to rely on similar data sources as the 2014 Risk
Assessment to characterize environmental parameters, claiming these
data are outdated. Another argued that the conceptual model does not
adequately account for the presence of alternative liners, such as
thick natural clay beneath the units.
EPA Response: First, EPA notes that the 2024 Risk Assessment does
incorporate more recent weather data available from the most recent
version of the Hydrologic Evaluation of Landfill Performance Model,
updated in 2020. As explained in the 2014 Risk Assessment, EPA found
the remaining data sources provide the most recent and representative
data to characterize environmental conditions on a national basis.
Commenters provide no explanation why these data should be considered
outdated. For example, why the soil type present at a site would have
changed substantially since 2014. EPA notes that to the extent that
there is natural clay soil present in the vicinity of a facility, that
would already be reflected through the environmental data.
c. Comments Related to Supplemental Risk Assessment Groundwater Model
Comment: Some commenters asserted that modeled leachate
concentrations are unrealistically high. One commenter specifically
argued that the LEAF data is unable to accurately reflect field
leaching concentrations, citing two EPRI reports comparing LEAF and
field leachate data both collected from the same units.13 14
They separately compared the leachate concentrations modeled in the
risk assessment to field samples collected from around a number of
different landfills. Based on this comparison, the commenter asserted
that the high-end concentrations modeled in the risk assessment were
substantially higher than measured in the field and so unrepresentative
of actual leaching behavior. For these reasons, this commenter
concluded that porewater data provide better representation of leaching
in the field and so EPA should rely on that type of data to model
leakage from CCRMU fills.
---------------------------------------------------------------------------
\13\ EPRI. 2020. ``Leaching, Geotechnical, and Hydrologic
Characterization of Coal Combustion Products from a Closed Coal Ash
Impoundment.'' Palo Alto, CA. June.
\14\ EPRI. 2021. ``Leaching, Geotechnical, and Hydrologic
Characterization of Coal Combustion Products from an Active Coal Ash
Management Unit.'' Palo Alto, CA. February.
---------------------------------------------------------------------------
EPA Reponse: EPA disagrees that leachate concentrations modeled in
the 2024 Risk Assessment are unrealistically high. EPA has previously
demonstrated that the LEAF laboratory leaching tests are ``effective
for estimating the field leaching behavior for a wide range of
materials under both disposal and use conditions.'' \15\ The two
studies cited by commenters do not contradict these findings. Indeed,
one of the cited reports concludes that LEAF Method 1313 measurements
tended to only underestimate porewater concentrations of lithium and
molybdenum and did not consistently overestimate or underestimate
porewater concentrations of arsenic and thallium. These conclusions are
consistent with previous Agency findings that LEAF Method 1313
measurements (1) can underestimate leakage of highly soluble
constituents, such as lithium and molybdenum, if not adjusted to
properly account for the sample liquid to solid ratio and (2) can over
or underestimate leakage of redox sensitive contaminants, such as
arsenic, if not further adjusted with geochemical speciation modeling.
In response to these findings, the Agency has established general
recommendations for how to address these issues.\16\ Modeling of highly
soluble constituents in both the 2014 and 2024 Risk Assessment are
consistent with these recommendations. Sufficient data are not yet
available on the prevalence or magnitude of reducing conditions to
allow EPA to adequately model the effects of these conditions on
leaching behavior at a national scale. However, given that the 2024
Risk Assessment identified potential for extensive groundwater
contamination with overall risks as high as 1 x 10-4 for the
less mobile pentavalent speciation of arsenic, this uncertainty is
unlikely to affect the conclusions of the risk assessment.
---------------------------------------------------------------------------
\15\ U.S. EPA. 2014. ``Leaching Test Relationships, Laboratory-
to-Field Comparisons and Recommendations for Leaching Evaluation
using the Leaching Environmental Assessment Framework.'' EPA 600/R-
14/061. EPA Office of Research and Development. Research Triangle
Park, NC. October.
\16\ U.S. EPA. 2019. ``Leaching Environmental Assessment
Framework (LEAF) How-To Guide: Understanding the LEAF Approach and
How and When to Use It.'' SW-846 Update VII. Prepared by the EPA
Office of Land and Emergency Management. Washington, DC. May.
---------------------------------------------------------------------------
EPA also disagrees that the field data presented by commenters
demonstrates that the modeled concentrations are unrealistic. As a
general matter, these commenters did not make available the underlying
data for the graphs presented or the reports from which the graphs were
drawn. Therefore, it is not possible to fully evaluate these graphs, as
EPA cannot determine how and where these data were collected, how many
individual samples are represented, and how the data were compiled.
Based on
[[Page 38963]]
the limited description provided, it appears that the graphs summarize
data on the average leachate concentrations collected from around
different landfills. Thus, the cited median values would represent a
median of the average measurements from each landfill. This type of
summary does not provide a meaningful understanding of the leaching
potential of CCR. For example, landfills can contain mixtures of
different CCR types and other wastes, which may result in variable
leaching profiles over the footprint of the unit. An average of
measured leachate concentrations can mask regions of higher leaching
potential over many acres. This potential for variable leaching is one
reason why groundwater monitoring wells are required to be spaced along
the entire downgradient boundary of these units. In contrast, CCRMU
fills are smaller in size and more likely to be constructed with a
single source of ash. Additionally, there is no indication of how long
the waste has been present in these landfills prior to sampling. More
soluble constituents can become depleted over time. For example,
Modular Three-Dimension Finite-Difference Ground-Water Flow Model
(MODFLOW) runs conducted for the 2024 Risk Assessment showed that
molybdenum can deplete from the ash anywhere from several years to a
few decades after leaching first began. Thus, these graphs could
understate the full leaching potential of CCR.
Commenters also mischaracterize the results of the probabilistic
analysis. The 90th percentile of all model inputs for leachate
concentration is not the same as the 90th percentile of modeled risks.
There are a number of other model parameters that will influence
contaminant release and subsurface transport. As a result, the model
runs with the highest initial leachate concentrations are not always
the same as those with the highest downgradient concentrations. EPA
reviewed a subset of model runs around the 90th percentile risk result
reported in the 2024 Risk Assessment, representing 1% of all model runs
at 1,000 feet from the waste boundary. This review found the median
leachate concentration representative of these runs was closer to 0.31
mg/L for arsenic and 35 mg/L for molybdenum. There are multiple samples
in the record of porewater or leaching tests with concentrations of the
same order-of magnitude or higher than these concentrations. Therefore,
EPA concludes that the methods used to generate model inputs do not
result in unrealistically high leachate concentrations.
EPA maintains that LEAF leachate provides the most realistic
estimate of long-term leaching potential from CCR placed in fills.
There is little field leachate data for dry-managed CCR available in
the record, as it can be difficult to collect representative samples
from landfills. Additionally, field samples would reflect the specific
waste mixtures and chemistry of these disposal units. Instead, LEAF
provides data on the leaching behavior of individual CCR under a range
of relevant environmental conditions. EPA did consider using
impoundment porewater data to supplement the data on leaching of
lithium because of the lack of LEAF data for this contaminant, and
because lithium is a highly soluble, monovalent ion expected to be less
influenced by specific impoundment chemistry. However, this constituent
was not modeled in the 2024 Risk Assessment due to other data
limitations. The uncertainties associated with exclusion of lithium are
discussed in Section 6 of the 2024 Risk Assessment.
Comment: One commenter asserted that the distribution of leachate
pH values used to represent CCRMU fills is unrepresentative. In
particular, the commenter took issue with the prevalence at which
acidic conditions were modeled within CCR fills. This commenter pointed
to field data collected from CCR landfills to assert that leachate from
fills would rarely be acidic.
EPA Response: EPA disagrees that the modeled leachate pH is
unrepresentative of conditions at smaller CCRMU fills. Modeled leachate
pH is based on the natural pH (or ``own pH'') of the ash sample
measured with LEAF. Thus, these data represent the properties of real
ash samples. Landfills can contain a mixture of different CCR types and
other related waste streams and so it is reasonable that the average pH
of larger landfills may differ from that of individual CCR. At the same
time, regions of individual landfills can be more acidic than average,
which can be masked by consideration of only average values. The
potential for such variations is part of the reason that placement of
monitoring wells is required across the full downgradient boundary of
these landfills. Smaller CCRMU fills are more likely to be constructed
with a single ash type and so it is most appropriate to consider the pH
of individual ash samples, rather than broader landfill conditions. The
uncertainties associated with the modeling of pH are discussed in
Section 6 of the 2024 Risk Assessment.
Comment: One commenter stated that use of a five-mile radius to
draw environmental data for purposes of groundwater modeling is not
adequately justified and inconsistent with both the 2014 Risk
Assessment and Draft 2023 RIA.
EPA Reponse: EPA has reviewed and updated the sampling radius for
environmental and population data. Based on this review, EPA
established the sampling radius for environmental data at two
kilometers (1.2 miles). This is consistent with the methodology applied
in the 2014 Risk Assessment, which the Agency previously found
adequately represented the environmental conditions near units for
which a more precise location at the facility property could not be
determined. EPA established the sampling radii for population data to
be consistent with the rationale outlined in the 2024 RIA.
Comment: Multiple commenters criticized the Agency's use of soil-
water partitioning coefficients (i.e., Kd values) to model contaminant
sorption in the subsurface. These commenters argued that use of
individual Kd values was inappropriate and unable to reflect the
variability of subsurface transport conditions. They also stated that
the Kd values used in the risk assessment for arsenic were biased low
and likely to underestimate retention on soil. These commenters cited
field measurements collected at various locations to assert that actual
values for arsenic are likely to be higher. One commenter cited an
alternative set of Kd values they had calculated to contend that actual
values for arsenic would be orders-of-magnitude different than used in
the risk assessment.
EPA Response: These commenters are incorrect; EPA did not rely only
on individual Kd values for the risk assessment. As part of the 2014
Risk Assessment, EPA previously developed sorption isotherms for each
modeled constituent, which represent the distribution of individual Kd
values calculated and reflect the range of anticipated subsurface
conditions and specific CCR waste characteristics. Each individual
model run in the EPA Composite Model for Leachate Migration with
Transformation Products (EPACMTP) samples from that distribution based
on the key factors for that run (e.g., leachate concentration, pH,
ionic strength). No individual model run will precisely represent
conditions at a particular site. Instead, the model runs collectively
capture the variability of conditions that can occur across sites.
Thus, EPA relies on the model runs in aggregate to draw
[[Page 38964]]
conclusions about the potential for risk nationwide.
EPA also disagrees that the specific Kd values used in MODFLOW are
unrepresentative. The limited number of MODFLOW runs are intended to
further characterize the subset of high-end scenarios modeled in
EPACMTP. Thus, it is entirely reasonable that these model runs are
those more likely to reflect scenarios where pentavalent arsenic is
more mobile in the environment.
The field data shared by commenters for specific CERCLA sites or
agricultural fields are not representative of conditions at CCR
disposal units. As previously noted, the calculated sorption isotherms
reflect the properties of CCR leachate, which can be vastly different
from precipitation infiltrating through soil. In particular, both the
high ionic strength and variable pH of this leachate are expected to
result in different sorption behavior. EPA is also unable to fully
review the Kd values calculated by commenters or compare them with
Agency values because the commenters provided insufficient information
regarding whether and how specific key environmental factors were
considered. Nevertheless, EPA notes that the range of values presented
by commenters falls within the full distribution of Kd values developed
for arsenic in 2014. The full distribution of values is summarized in
Appendix H of the 2014 Risk Assessment, and is the full range of values
EPA sampled from to model groundwater transport in the 2024 Risk
Assessment.
Comment: One commenter stated that any CCR material placed beneath
the soil would become naturally compacted. Another commenter asserted
that the pozzolanic nature of some ash would result in far lower
hydraulic conductivity than EPA modeled.
EPA Response: In the absence of periodic inspections and a well-
maintained cap, there is no guarantee that any ash placed in the ground
will remain undisturbed by human or animal activity, natural settling
or freeze-thaw cycles, flooding and other extreme weather events, or
other unforeseen factors. Given that such disturbances can result in
increased permeability, it was not possible to develop a fixed
probabilistic distribution of conductivities. Instead, EPA modeled
conductivity based on the dominant soil megatexture as described in
Appendix B of the 2014 Risk Assessment. As such, the model assumes the
ash has been subjected to a similar degree of compaction as the
surrounding soil. EPA acknowledges that some fly ash is pozzolanic in
nature. Yet, the commenter provided no information that would indicate
how common it is for this type of ash, which can be marketed for use in
concrete, to be placed in CCRMU fills. EPA is also not aware of any
information that could be used to represent the long-term conductivity
of this ash when left in the field and exposed to the elements.
Comment: One commenter contended that EPA had not adequately
demonstrated that consideration of more recent weather data drawn from
the latest version of the Hydrologic Evaluation of Landfill Performance
model would result in consistently higher infiltration rates than
previously modeled in 2014 for CCR landfills.
EPA Response: The 2023 Draft Risk Assessment proposed that the
higher rates of infiltration modeled for certain soil types with the
new HELP data indicates the potential for higher leaching and risk to
groundwater than previously modeled in 2014. However, because EPA found
that the model results from the 2014 Risk Assessment are sufficient to
support the current rulemaking, the Agency did not conduct the
additional modeling that would be necessary to refine this draft
analysis. As a result, EPA does not rely on this particular analysis to
support the final rule and so it is not included in the 2024 Risk
Assessment.
Comment: Several commenters stated that consideration of a limited
subset of contaminants for groundwater modeling would result in an
underestimation of risk. These commenters further assert that EPA
further underestimated risk by not accounting for the effects of
cumulative exposure to multiple contaminants.
EPA Response: EPA disagrees that the selection of constituents for
groundwater modeling resulted in lower risks than would have otherwise
been identified. The constituents selected for groundwater modeling
were those found to be risk drivers for unlined surface impoundments in
the 2014 Risk Assessment, as these are considered the most likely to
also result in the greatest risks for unlined landfills and comparable
management units. EPA notes that some of the additional constituents
raised by commenters had been previously identified as risk drivers
only for specific CCR types, such as flue gas desulfurization (FGD)
wastes, which are considered far less likely to be used in CCRMU fills.
The commenters presented no new information that could alter the
previous model results and so there is no expectation that inclusion of
these additional constituents would identify risks higher than those
already modeled for the relevant CCR types. Some other additional
constituents raised by commenters lack health benchmarks within the
Office of Land and Emergency Management (OLEM) hierarchy and so could
not be quantitatively evaluated. See, 85 FR 72526. Uncertainties
associated with the selection constituents for modeling is further
discussed in Section 6 of the 2024 Risk Assessment.
Comment: Several commenters argued that a modeling horizon of up to
10,000 years was unrealistic. These commenters stated that such a long
time frame is not consistent with identifying a reasonable probability
of adverse effects because there is no reliable way to predict whether
any receptors will exist that far in the future.
EPA Response: EPA ran the groundwater model until either the
observed groundwater concentration at the receptor point reached a peak
and then fell below a model-specified minimum concentration (1 x
10-\16\ mg/L), or the model had been run for a time period
of 10,000 years. This is the same modeling horizon applied in the 2014
Risk Assessment. The text in the 2024 Risk Assessment has been updated
to make it clear that the selection of a maximum 10,000-year time
horizon does not mean that it typically took that long for
contamination be identified or that all model simulations continue for
the full 10,000 years. EPA also notes that the time to first exceedance
of selected risk criteria is typically considerably less than the time
to the greatest exceedance.
EPA acknowledges that future groundwater use patterns may shift
over time as the number and location of receptors changes, and that it
is unknown whether or how future shifts in receptor locations and other
surface conditions might affect risk. However, EPA notes that all the
contaminants associated with CCR are inorganic and so will remain
present in the environment over the full modeling horizon. As such, a
longer modeling horizon can provide useful information about the
potential duration of groundwater contamination in the absence of
regulation. EPA found that contaminant plumes modeled in MODFLOW did
not fully dissipate for around 2,300 years for arsenic V and 100 years
for molybdenum.
Comment: Multiple commenters argued that EPA was inconsistent with
the 2014 Risk Assessment and overestimated risks for CCRMU fills by not
evaluating the interception of groundwater by surface water.
EPA Response: EPA did not explicitly evaluate interception by
surface water on groundwater fate and transport in the
[[Page 38965]]
2024 Risk Assessment. As acknowledged by commenters elsewhere,
facilities have generally not maintained reliable records about the
location or construction of all CCRMU fills. As a result, it is not
possible for EPA to develop a representative, probabilistic
distribution of the distance from these fills to downgradient water
bodies or offsite receptors. However, given the diversity of reasons
for such placements listed by commenters, there are few limitations as
to where these fills might be located onsite. As a result, there is
greater potential for these fills to be located further away from water
bodies than disposal units, allowing for further contaminant spread
prior to any interception. Therefore, the 2024 Risk Assessment
evaluated the potential magnitude and extent of onsite groundwater
contamination that could occur in the absence of interception. It is
considered unlikely that further quantitative evaluation of
interception would affect the conclusions of the 2024 Risk Assessment.
The reductions in modeled risks attributed interception in the 2014
Risk Assessment were predominantly for median risks. However, the 2014
Risk Assessment still identified high-end risks to offsite receptors,
and it was these risks that formed the basis for the 2015 CCR Rule.
Thus, it is similarly unlikely that quantitative evaluation of surface
water interception would affect the high-end risks reported in the 2024
Risk Assessment, especially because the current assessment considers
onsite groundwater quality prior to discharge to a water body.
Furthermore, as discussed in the 2024 Risk Assessment and in response
to comments elsewhere, the fact that a contaminant plume that has
migrated off-site is intercepted by surface water does not mean that
there is no potential for risk or no need for further action to address
the presence of groundwater contamination onsite.
Comment: Some commenters requested clarification on the prevalence
of different types of liners modeled for the landfills and surface
impoundments previously excluded from the 2014 Risk Assessment. Citing
to data relied upon in the 2014 Risk Assessment, one commenter asserted
that a majority of modeled landfills had some form of liner and that
national regulations should be based on the risks for all units, rather
than those that are unlined.
EPA Response: The handling of liner status for these units was
described in Section 5 of the 2014 Risk Assessment. Of the units
evaluated in the 2014 Risk Assessment, approximately 42% of landfills
and 65% of surface impoundments were modeled as having no engineered
liner system. Of the previously excluded units summarized in the 2024
Risk Assessment, approximately 71% of landfills and 57% of surface
impoundments were modeled as having no engineered liner system. EPA has
updated the discussion of this issue in the 2024 Risk Assessment to
better distinguish the specific liner status modeled for these
different units. Differences in the national risks reported in 2014 and
2024 are largely attributed to the relative prevalence of engineered
liners modeled for each. Modeled risks in both assessments are nearly
the same for the subset of units with no engineered liner.
Far from being an isolated practice, a substantial fraction of the
currently operating landfills across the country have no engineered
liner. Although the 2014 Risk Assessment did model a majority of
landfills as having some form of engineered liner, data that has become
available since then indicates a greater proportion of operating units
lack an engineered liner than EPA previously understood. Furthermore,
the 2014 Risk Assessment modeled the performance of both clay and
composite liners based on the assumption of good construction
practices. However, it has become clear since then that some liner
systems do not perform as modeled. For example, facility reporting
shows that around 10% of composite and alternate-lined units have
already entered into corrective action. Therefore, it is considered
likely that national risks for both landfills and surface impoundments
(including the inactive landfills and legacy impoundments subject to
this final rule) are more similar to those unlined units than
previously modeled.
Nevertheless, the 2014 and 2024 Risk Assessments, which provided
much of the basis for this final rule, modeled the risks associated
with both lined and unlined units. Under RCRA sections 1008(a)(3) and
4004(a), EPA establishes national criteria; because the criteria are
national in scope EPA must evaluate the full range of conditions. In
addition, EPA must establish requirements that will achieve the
statutory standard at all sties subject to the criteria--including
those that pose the greatest risk. Under these provisions, the criteria
may authorize a CCR unit to continue operating ``only if there is no
reasonable probability of adverse effects on health and the environment
from the disposal [or other solid waste management] of solid waste at
such facility.'' 42 U.S.C. 6903(a)(3), 6944(a). Given the requirement
that the standard be met at each facility covered by the regulation, it
is not particularly surprising that the final requirements are driven
by the higher end risks associated with unlined units--especially as
the overwhelming majority of legacy impoundments and CCRMU are expected
to lack the composite liner that would largely mitigate the risks of
CCR units. But that does not mean that the national regulations are not
based on the risks for all units.
Comment: One commenter argued that modeled groundwater
concentrations and associated risk downgradient of smaller CCRMU fills
are unrealistic because they are higher than previously modeled for
landfills and surface impoundments. Other commenters contended that
modeled groundwater concentrations were unrealistic, citing comparisons
to monitoring data for all regulated units in a report by the
Environmental Integrity Project (EIP) \17\ or for some smaller subset
of units. These commenters calculated summary statistics from
concentrations reported for site groundwater monitoring wells to assert
that modeled concentrations were an order of magnitude higher or more
than the concentrations that have occurred in the field.
---------------------------------------------------------------------------
\17\ EIP. 2022. ``Poisonous Coverup: The Widespread Failure of
the Power Industry to Clean Up Coal Ash Dumps.''
---------------------------------------------------------------------------
EPA Response: The 2014 Risk Assessment modeled risks from landfills
and surface impoundments to receptors located up to a mile away from
these units. The 2024 Risk Assessment modeled the magnitude and extent
of contamination extending from smaller CCRMU fills, including the
likelihood of exceedance of GWPS at the waste boundary of the unit. It
is entirely reasonable that concentrations and risk closer to the waste
boundary are higher than EPA modeled in 2015 up to a mile away from a
unit.
EPA disagrees that the modeled groundwater concentrations are
contradicted by available monitoring data. First and foremost, EPA
modeled the long-term potential for groundwater contamination that may
occur in the absence of regulatory action. Thus, monitoring data from
units of variable age and operational status do not represent a one-to-
one comparison. Second, field monitoring data can diverge from model
results as a result of improper well installation. As just one example,
EPA is aware of multiple instances where monitoring wells are located
far from the waste boundary, in some cases, hundreds of feet away. See,
for example, 88 FR 55239. Third, EPA used EPACMTP to model
[[Page 38966]]
concentrations along the centerline of the plume and to provide a best
estimate of contaminant transport potential to inform further modeling
with MODFLOW. Even if all wells in a network were properly installed
and spaced, there is no guarantee that any individual well will
intersect with the exact point of highest concentration; some wells may
not intersect with the plume at all. Finally, the 90th percentile
concentration modeled is not intended to correspond precisely to a 90th
percentile of well concentrations. Instead, it reflects an RME scenario
that is conservative, while remaining within the range of possible
high-end exposures. The EIP dataset cited by commenters do show
multiple instances of well concentrations at individual landfills of
the same order of magnitude as modeled in the 2024 Risk Assessment or
even higher. Further, in the case of arsenic, modeled GWPS exceedances
between 26 and 19 for arsenic III and V are of a similar magnitude as
the exceedance of 16 estimated by one commenter based on the EIP
report. Therefore, EPA maintains that the magnitude of modeled
groundwater concentrations is realistic.
Comment: Some commenters claimed that EPA had not justified
modeling groundwater concentrations at fixed distances along the
centerline of the plume or within the upper five feet of the aquifer
and had not demonstrated how this approach compares with the 2014 Risk
Assessment, which modeled concentrations within the top 30 feet of the
aquifer.
EPA Response: The goal of modeling with EPACMTP was to identify the
potential magnitude of GWPS exceedances at the waste boundary and
potential for contaminant spread to support further modeling with
MODFLOW. For both goals, a sampling along the centerline of the plume
and to a depth of five feet was determined to be most relevant portion
of the aquifer for consideration for the reasons documented in the 2024
Risk Assessment. Because different scenarios were modeled in the two
risk assessments, a comparison with the results of 2014 Risk Assessment
is not relevant here.
Comment: EPA received several comments regarding a graph from the
2023 Draft Risk Assessment, which summarized modeled risks from the
2014 Risk Assessment for unlined landfills as a function of unit size.
Commenters stated that it demonstrated that risks consistently decline
below a certain acreage and that smaller units do not warrant
regulation because they pose less risk. One commenter stated that the
underlying model runs for the 2014 Risk Assessment were not made
available alongside the graph and so its validity could not be
confirmed.
EPA Response: One purpose of the referenced graph was to
demonstrate that risks remain above levels of concern over a broad
range of unit sizes modeled in the 2014 Risk Assessment. However, upon
further review, EPA has determined that the graph incorrectly
summarized model results for receptors of all age cohorts into one
figure. This has the potential to bias the plotted risks low. However,
filtering the model runs for only (1) unlined landfills, (2) where
drinking wells are located closer than surface water bodies, and (3)
where an adult was exposed results in a relatively small number of
model runs. EPA is concerned that this number of runs is not sufficient
to reflect national variability or support broader conclusions about
risk. As such, EPA does not rely on this line of evidence to support
the final rule and so it is not included in the 2024 Risk Assessment.
EPA cautions the data presented in the graph was for landfills and
so use of this graph to draw conclusions about the risks from surface
impoundments is not appropriate. EPA further cautions that it is not
appropriate to use the referenced graph to identify a specific unit
size below which landfill risks are not possible. The graph summarized
the results of the 2014 Risk Assessment, which modeled risks to offsite
receptors up to a mile away from the waste boundary. The risks
identified based on these receptors provided a robust basis for the
2015 CCR Rule. Yet, this does not mean these are the only relevant
risks. EPA's longstanding and consistent policy (across numerous
regulatory programs) has been that groundwater contamination is a
significant concern that merits regulatory action in its own right,
whether or not the aquifer is currently used as a source of drinking
water. The 2024 Risk Assessment identifies the potential for CCRMU
fills to contaminate groundwater above levels of concern. Where CCR
landfills and surface impoundments are located at the same sites even
more extensive contamination can occur as a result of their larger
size. As such, these disposal units warrant regulation to protect
groundwater resources, regardless of their size.
Comment: One commenter questioned why MODFLOW--Unstructured Grid
(USG) was used to model groundwater transport, stating that MODFLOW 6
is more commonly used. This commenter also inquired why the model was
not run in steady-state mode. They further argued that insufficient
information had been provided to allow for evaluation of the design of
MODFLOW model runs. Finally, the commenter identified a potential
discrepancy in the reported model inputs for EPACMTP and MODFLOW.
EPA Response: MODFLOW-USG was selected for its ability to: (1)
Simulate flow and transport in both the unsaturated and saturated zones
without the need for additional modeling packages and (2) Simulate
groundwater flow and transport sequentially without the need for
reading cell by cell flow and transport. Steady state simulations were
not used because they do not provide a time series representation of
plume evolution. EPA has reviewed the model documentation to ensure
that this and other relevant information raised by commenters was made
clear in the 2024 Risk Assessment. However, EPA notes that this and
much of the other specific information raised by commenters was
previously described in the 2023 Draft Risk Assessment. EPA did not
incorporate the full output files for all MODFLOW model runs because
the file size would become prohibitively large to manage. The level of
documentation of model inputs and outputs is consistent with that
provided for EPACMTP. The identified discrepancy between EPACMTP and
MODFLOW inputs were the result of a typo, which has been corrected.
Comment: One commenter stated that EPA had not provided sufficient
evidence to support its conclusion that the location of legacy
facilities that were not modeled in 2014 could result in somewhat
higher risks for this subset of units compared to those previously
modeled units.
EPA Response: EPA previously found that the locations of legacy
facilities were clustered in the eastern half of the country. As a
result, the rates of precipitation at these facilities will tend to be
higher than modeled for the nation as a whole. Higher precipitation can
result in greater vertical infiltration and subsequent leakage down to
groundwater. The Agency has not conducted further sensitivity analyses
to support this contention, as this argument is not central to the
findings of either the risk assessment or the rulemaking. Instead,
discussion in the 2024 Risk Assessment has been updated to clarify that
the primary finding is that there is no indication based on geography
that these additional units would be exposed to substantially different
environmental conditions than EPA modeled in 2014.
Comment: Multiple industry commenters argued that modeled
[[Page 38967]]
arsenic risks do not warrant regulation because the associated
concentrations often fall below the current maximum contaminant limit
(MCL). One commenter noted that 70 percent of runs identified peak
arsenic concentrations below the MCL at the unit boundary. In contrast,
environmental advocacy groups stated that cancer risks within the OLEM
risk range can occur at even lower levels. Another asserted it was
inappropriate for EPA to identify risk based on modeled concentrations
above GWPS because corrective action requires ``a statistically
significant level exceeding the groundwater protection standard.''
EPA Response: First, EPA notes that arsenic is only one of the
contaminants modeled. Molybdenum was found to be above the associated
GWPS on a more frequent basis. Indeed, EPA identified exceedances for
this contaminant at both the 90th and 50th percentile results. EPA
disagrees that risks identified below MCLs do not pose a concern. MCLs
are not purely risk-based and can incorporate other considerations,
such as the technical feasibility of reliably achieving even lower
levels. As environmental commenters have pointed out, the arsenic MCL
in particular represents a concentration that can fall outside the OLEM
risk range. As such, these standards should be understood as values
that corrective action must achieve and not levels that never warrant
concern. Indeed, EPA established GWPS at the unit boundary with the
intent to limit downgradient transport of contamination above this
level and prevent the same magnitude of risk identified in the risk
assessment.
EPA also disagrees that a statistically significant increase above
GWPS is an appropriate standard for risk modeling. It is not clear, nor
do commenters articulate, how such a statistical analysis would be
conducted as part of the model. Thus, EPA believes this comment
represents a general misunderstanding of both groundwater monitoring
programs and probabilistic analysis. Statistical analysis is used in
groundwater monitoring programs because factors, such as natural
fluctuations in groundwater and uncertainty from sampling or laboratory
analysis procedures, can introduce variability into the broader
dataset. In this context, statistical analysis allows evaluation of the
broader data and identification of an exceedance of GWPS with a
specified level of certainty. However, numerical models are not subject
to the same constraints. A model tracks the fate and transport of all
contaminant mass from the point of release to the point of exposure.
Therefore, no additional steps required to confirm that an identified
exceedance of GWPS resulted from leakage from the modeled unit.
Comment: Several commenters stated that the toxicity value used for
arsenic underestimated risks from groundwater, citing draft values they
assert would increase modeled arsenic risks by an order of magnitude or
more.
EPA Response: The Agency's current risk estimates are based on the
same cancer slope factor of 1.5 mg/kg/d-\1\ for arsenic in
EPA's Integrated Risk Information System (IRIS). EPA is currently in
the process of reviewing this slope factor and has released a draft
toxicological review, which, if finalized without revision, would
increase the individual risk estimates for arsenic by a factor of
approximately 35. See, 88 FR 71360. However, the Agency has not yet
finalized this updated IRIS reassessment, and EPA cannot base a final
decision on a draft IRIS value that is subject to revision. Nor did EPA
receive any other information during the development of this final rule
that would help to resolve this uncertainty. The current IRIS values
thus represent the best data available to the Agency until the IRIS
reassessment is complete.
d. Comments Related to Supplemental Risk Assessment Soil Model
Comment: One commenter contended that radionuclides and non-
radionuclides have different health endpoints and so it is not
appropriate to treat the resulting risks as additive.
EPA Response: EPA disagrees that it is inappropriate to consider
the cumulative risk from chemical and radiological contaminants. EPA
policy is to treat the risk resulting from exposure to multiple
carcinogens as additive.\18\ Agency policy is also to evaluate the
risks from exposure to radionuclides in the same manner as chemical
contaminants.\19\ Therefore, it is appropriate to evaluate the
cumulative cancer risk from chemical and radiation contaminants.
However, EPA notes that considering chemical and radiological risks
separately would not alter the overall conclusions of the analysis, as
each have demonstrated potential to individually result in risk
exceeding EPA's levels of concern. Uncertainties associated with
umulative risk is further discussed in Section 6 of the 2024 Risk
Assessment.
---------------------------------------------------------------------------
\18\ U.S. EPA. 1989. ``Risk Assessment Guidance for Superfund
Volume I Human Health Evaluation Manual (Part A).'' EPA/540/1-89/
002. Prepared by the Office of Emergency and Remedial Response,
Washington, DC. December.
\19\ U.S. EPA. 2014. ``Radiation Risk Assessment at CERCLA
Sites: Q&A.'' OSWER 9285.6-20. Prepared by the Office of Land and
Emergency Response. Washington, DC. June.
---------------------------------------------------------------------------
Comment: EPA received comments that argued the U.S. Geological
Survey coal quality (COALQUAL) database does not adequately account for
several factors that may affect bulk content of the resulting ash, such
as: CCR type, regional variability, coal rank, mining practices, coal
preparation prior to combustion, and the presence of unburnt carbon
remaining after combustion. Another commenter stated that because the
risk assessment addresses historical disposal of CCR, sampling of the
COALQUAL database should be updated to reflect production over time,
rather than current production. Finally, one commenter argued that
differences identified between activity calculated from COALQUAL data
and measured elsewhere in the literature demonstrates that handling of
COALQUAL data is likely to overestimate concentrations in the ash.
EPA Response: The Agency acknowledges that the bulk contaminant
content of specific CCR samples can be influenced by a range of
factors, such as the manner in which a coal sample is prepared and
combusted. As detailed in Section 6 of the 2024 Risk Assessment, EPA
considered the information provided by commenters on the potential for
mining practices, residual unburnt carbon, and coal washing to affect
estimated ash concentrations and concluded these factors are likely to
have a minimal or inconsistent effect on overall distribution of
concentrations. EPA did determine that concentrations of some
contaminants are sensitive to differences in region and coal rank and
so reviewed the Energy Information Administration (EIA) coal production
reports referenced by commenters when updating the weighting of
available samples.
For purposes of modeling groundwater exposure, EPA did not use the
COALQUAL database to estimate the leachable content of CCR in the 2024
Risk Assessment. Previous reviews of EPACMTP summarized in the 2014
Risk Assessment did not identify leachable content as among the
sensitive model parameters. Even at lower bulk concentrations, there is
often sufficient soluble mass present to support sustained leaching.
Instead, EPA represented leachable content using available LEAF data in
a manner
[[Page 38968]]
consistent with the 2014 Risk Assessment and Agency guidance.\20\
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\20\ U.S. EPA. 2019. ``Leaching Environmental Assessment
Framework (LEAF) How-To Guide: Understanding the LEAF Approach and
How and When to Use It.'' SW-846 Update VII. Prepared by the EPA
Office of Land and Emergency Management. Washington, DC. May.
---------------------------------------------------------------------------
For purposes of modeling soil exposure, EPA retained use of the
COALQUAL database in the 2024 Risk Assessment to calculate the bulk
content of thorium and uranium of CCR. In this instance, use of
COALQUAL provides information about the relative levels of each
contaminant, which allowed for a more refined estimate of cumulative
exposure that provides a more direct comparison with relevant
benchmarks. As discussed in Section 6 of the 2024 Risk Assessment, EPA
also considered available EIA data when updating the calculation of
bulk content for these two contaminants and found that concentrations
of both are less sensitive than other contaminants to regional
geography. Therefore, further efforts to refine these calculations are
considered unlikely to result in changes that would affect the overall
conclusions of the evaluation.
The bulk contaminant content calculated from COALQUAL represents a
mixture of fly ash and either bottom ash or boiler slag, collectively
referred to in the 2024 Risk Assessment as the ``whole ash.'' Because
fly ash is generated in the greatest volumes during coal combustion,
the calculated bulk content primarily reflects this type of CCR.
However, other available data sources indicate that the activity of fly
ash and bottom ash are not substantially different. EPA has seen no
indication that the activity of boiler slag would differ markedly from
that of bottom ash. The whole ash does not include any CCR generated by
scrubber systems and similar pollution control technologies. However,
these CCR types are not considered relevant to the evaluation of CCRMU
fills. EPA further discusses the uncertainties associated with these
different types of CCR in Section 6 of the 2024 Risk Assessment.
Based on the comments received, EPA reviewed the available data on
radioactivity drawn from the literature. This review led to the removal
of several samples that were determined to be duplicative and removed
all the data for one study because it was determined to not be
representative of the broader ash generated at the facility.
Altogether, the data removed represent a small fraction of the overall
dataset. This review also identified some inaccuracies in how samples
were described and averaged to avoid biasing the overall dataset toward
individual facilities that reported a greater number of samples. This
had resulted in more samples being averaged together than was intended.
The database presented as part of the 2024 Risk Assessment has been
updated along with a summary of these updates. Following these
corrections, the updated summary statistics for thorium align more
closely with those calculated with COALQUAL. Therefore, there is
general agreement between these two datasets. It is inevitable there
will be some differences between datasets developed through different
methodologies. In particular, any individual study may not reflect the
full variability of coal produced over time. However, the magnitude of
differences between activities drawn from COALQUAL and the broader
literature are small on an absolute basis and consequently would not
affect the overall conclusions of the risk assessment. Therefore, EPA
concludes that COALQUAL can provide a reasonable estimate of both
median and high-end ash activity.
Comment: One commenter critiqued multiple individual model inputs
used in RESRAD as likely to overestimate potential for radon exposure.
They also stated that the risk assessment should consider an additional
scenario with RESRAD of CCR disposed at the ground surface to provide a
consistent frame of reference to compare risk results obtained from
RESRAD and the preliminary remediation goal (PRG) calculator. Other
commenters separately commented that the assumed presence of some soil
cover is inappropriate, referencing one CCRMU purported to have been
placed with the intent to level out the ground surface and without any
additional soil cover.
EPA Response: EPA has not established default parameters for
modeling of radon fate and transport. Nor is there currently enough
information available on a national scale to develop distributions that
could be sampled probabilistically. Instead, EPA previously conducted a
deterministic analysis for radon exposure by specifying high, moderate,
and/or low values for model inputs to capture the range of potential
exposure. EPA first modeled risk with all inputs set to moderate values
to identify a baseline risk more representative of the central
tendency. From this baseline, EPA adjusted each individual input to
lower or higher values to better understand which inputs exert the
greatest influence on modeled risks and support development of an RME
scenario. However, EPA ultimately concluded that the rate of radon
emanation from CCR is not distinguishable from background soil and so
the Agency did not develop this RME scenario or draw final conclusions
about risk from radon exposure. For this same reason, EPA did not
retain the quantitative evaluation of radon in the 2024 Risk
Assessment.
Some CCRMU fills may currently be uncovered, but EPA was not able
to confirm the status of the specific unit identified by the commenter
based on the information provided. Nevertheless, EPA maintains it is
unlikely that future residential construction would occur in the
absence of some initial soil cover. It is generally anticipated
residential construction sites will cover any exposed land with topsoil
or turf to support uniform lawn growth. However, this does not
guarantee this soil cover will be adequately maintained by residents
into the future. As such, EPA agrees it is appropriate to evaluate a
scenario of CCR without any soil cover to provide a bounding estimate
of potential risk and a more direct link between the primary and
sensitivity analyses. This updated scenario is discussed in Section 6
of the 2024 Risk Assessment.
Comment: Some commenters raised concerns about the sensitivity
analysis conducted with the PRG calculator. One commenter asserted that
the PRG calculator is intended for use with contaminated soils and is
inappropriate for comparison against undiluted CCR. This commenter
further argued that the sensitivity analysis conducted with the PRG
calculator is overly generic and did not incorporate scenario-specific
inputs, such as the potential for greater soil cover, shorter exposure
duration, and ability of radon to emanate from CCR. Finally, this
commenter stated that the degree of mixing of soil with CCR would not
result in activities higher than either background or applicable or
relevant and appropriate requirements (ARARs), concluding that the
evaluation of radiation risk should consider contributions from
background soils when presenting risk results. Another commenter stated
that the ARAR was only exceeded around the 90th percentile
concentrations and that regulation based on 90th percentile
concentrations is not appropriate.
EPA Response: EPA disagrees that the PRG calculator is not
applicable to the modeled scenario of CCR intermixed with soil. The
commenters provide no rationale for this assertion beyond the fact that
the PRG calculator nominally identifies soil as an environmental media
of interest. This is reasonable as it would quickly become overwhelming
to identify a comprehensive list of sludges, sediments, and other soil-
like
[[Page 38969]]
materials that might be encountered at cleanup sites. EPA notes that
the exposure assumptions incorporated into the PRG calculator are
equally relevant for CCR intermixed with soil. CCR consist of small
particulates that can be readily intermixed with the soil and result in
exposures through the exact same routes, specifically incidental
ingestion and direct exposure to gamma radiation.
EPA also disagrees that the analysis of exposure to CCR mixed with
soil is overly simplistic. First, the presence of additional cover soil
is already considered in the main analysis and is not relevant to the
types of exposures explicitly considered in the sensitivity analysis.
Second, because EPA concluded the rate of radon emanation from CCR and
soil were not distinguishable, the sensitivity analysis explicitly does
not incorporate risk from inhalation of radon gas. Only a relatively
small fraction of the radon generated from fly and bottom ash is
expected to escape into the ambient air and these losses can be
counteracted by upward migration from deeper ash. Therefore, it is
unlikely that further consideration of radon emanation would have
substantial impacts on exposures through incidental ingestion or direct
gamma exposure. Third, the model parameters used to characterize
exposure to gamma radiation in the PRG calculation are generally the
same as in RESRAD and other available models. Finally, exposure factors
selected for use in the PRG calculator are consistent with Agency
policy for characterizing an RME scenario and many of the remaining
parameters are based on extensive modeling.21 22 23
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\21\ Oak Ridge National Laboratory. 2014. ``Area Correction
Factors for Contaminated Soil for Use in Risk And Dose Assessment
Models.'' ORNL/TM-2013/00. Oak Ridge, TN. September.
\22\ Oak Ridge National Laboratory. 2014. ``Gamma Shielding
Factors for Soil Covered Contamination for Use in Risk and Dose
Assessment Models.'' ORNL/TM-2013/00. Oak Ridge, TN. September.
\23\ Oak Ridge National Laboratory. 2020. ``Bateman Equation
Adaptation for Solving and Integrating Peak Activity into EPA ELCR
and Dose Models.'' ORNL/TM-2020/1780. Oak Ridge, TN. September.
---------------------------------------------------------------------------
EPA generally only considers contributions from disposed wastes to
risk when conducting national risk assessments under RCRA. Background
concentrations may contribute to risk when present and can sometimes be
higher than concentrations modeled in a risk assessment. Although
constituent concentrations in undisturbed environmental media can be
highly variable, they are often relatively low in concentration. As a
result, consideration of these concentrations would generally have no
impact on the overall conclusions of a national risk assessment.
Therefore, consideration of background concentrations is more
appropriate on a site-specific basis when risk managers are determining
the need for and scope of corrective action. EPA recognizes that a
focus on background is more common for discussion of radioactivity,
particularly when providing context for the associated risks to the
broader public. However, as one point of reference, EPA has found that
the median activities of fly and bottom ashes already fall close to the
standard of 5 pCi/g radium-226+228 above background soil, which has
been adopted as an ARAR for some cleanups under Superfund and State
programs (i.e., around 4.3 pCi/g higher).\24\ Additionally, EPA has
found that high-end radium-226+228 activity in CCR has the potential to
be nearly 10 pCi/g higher than typical background soil. Thus, there is
real potential for mixing of CCR with soil to further increase any risk
already associated with background.
---------------------------------------------------------------------------
\24\ U.S. EPA. 1998. ``Use of Soil Cleanup Criteria in 40 CFR
part 192 as Remediation Goals for CERCLA Sites.'' OSWER Directive
9200.4-25. Office of Emergency and Remedial Response and Office of
Radiation and Indoor Air. Washington, DC. February.
---------------------------------------------------------------------------
Commenters are correct that mixing small quantities of CCR with
soil may not result in a surface soil activity above the ARAR. For
high-end CCR activity, this would require a roughly equal mixture of
soil and ash. However, risks are still possible at activities below the
ARAR. The PRG calculator estimates that an increase of only 1.13 pCi/g
of the thorium-232 decay chain or 1.45 pCi/g of the uranium-238 decay
chain in surface soils could increase cancer risk for residential
receptors by 1 x 10-\4\. Such risks can result from
relatively low mixtures of CCR and soil, which are possible if ash
beneath the soil surface is disturbed. As a result, EPA has identified
ARAR of 5 pCi/g above background as equally applicable to subsurface
contamination that may be disturbed in the future and concluded ``it
would not generally be appropriate to allow backfilling with material
with concentration higher than 5 pCi/g.'' Uncertainties associated with
background concentrations are further discussed in Section 6 of the
2024 Risk Assessment.
Comment: One industry commenter presented an analysis they had
conducted comparing the concentrations of certain inorganic
constituents in CCR to soil screening levels. The commenter contended
this analysis demonstrated that ``even daily direct contact to trace
elements in coal ash would not pose a significant risk to human
health.''
EPA Response: EPA did not evaluate the potential soil risks for
human health associated with many of the constituents considered in the
cited analysis. The Agency believes that any risk from additional
constituents would be mitigated by the rule requirements that address
the risks identified for radionuclides. However, EPA notes that the
cited analysis is not sufficient to demonstrate a lack of risk for
these additional constituents on a national scale. The ash
concentrations reported for some constituents are already near or above
the health benchmarks, indicating some potential for risk. Further, the
reported ash concentrations are based on samples from a limited number
of geographically constrained facilities. As a result, the reported
concentrations may not reflect the broader variability of potential
concentrations from across the region or country. In particular, EPA
notes there is evidence in the regulatory record of arsenic
concentrations approaching an order of magnitude higher than considered
in this analysis.
Comment: Several commenters argued that EPA underestimated risk by
not considering other potential exposure pathways, specifically
inhalation of loose CCR.
EPA Response: EPA selected direct exposure gamma radiation and
incidental ingestion of soil as the pathways for evaluation because
these represent the most direct routes of exposure to contamination in
the soil. EPA agrees that inhalation is another pathway through which
future receptors could be exposed if CCR becomes intermixed with
surface soil. Quantitative evaluation of this pathway would require
additional model inputs that could further increase the uncertainty of
results on a national scale, such as the degree of vegetative cover and
mean wind speed. However, EPA notes the default PRGs for inhalation of
the uranium-238 decay chain in secular equilibrium is nearly three
orders of magnitude higher than for external exposure to gamma
radiation and two orders of magnitude higher than for incidental
ingestion of soil. As a result, it is unlikely consideration of this
pathway would substantially increase calculated risk. Therefore, this
pathway does not represent a major source of uncertainty in the
evaluation. EPA acknowledges that there may be other exposure pathways
that could occur if CCR is mixed with surface soil. These are further
discussed in Section 6 of the 2024 Risk Assessment.
[[Page 38970]]
e. Comments Related to Site Monitoring Data
Comment: Some commenters stated that, as part of any further risk
assessment efforts, EPA should incorporate data that have been
collected as part of the monitoring programs required by either the
2015 CCR Rule or prior State programs. Such data might include site
hydrogeology from borings around the units and groundwater quality
sampled from monitoring wells. These commenters claimed these data are
more recent and more relevant to characterizing the actual nature and
extent of contaminant release at individual sites.
EPA Response: There are multiple reasons why it is neither
practical nor prudent to incorporate site-specific monitoring data into
national fate and transport modeling. First, there are documented
concerns about the quality and reliability of these data. For example,
EPA has identified significant deficiencies in the monitoring networks
at each facility for which the Agency has completed reviews under the
Part A (85 FR 53516, August 28, 2020) and Part B (85 FR 72506, November
12, 2020) Rules. It is unlikely such deficiencies are isolated to this
specific subset of facilities. Monitoring wells that are located too
far apart, installed in the wrong aquifer, or otherwise inadequately
installed would result in data that are incomplete or unrepresentative
of relevant site conditions. Thus, use of these data would require
thorough review prior to use. Much of the site characterization data
are not required to be posted on facility websites and so would take
substantial time to compile and review for the over 1,000 individual
landfills and surface impoundments. Further, it is highly unlikely that
any identified deficiencies could be remedied within a reasonable
timeframe.
Second, the hydrogeologic data that have been collected in support
of well installation can provide an incomplete or erroneous picture of
site conditions for the purpose of fate and transport modeling. For
example, at sites with lower conductivity soils, EPA has previously
raised concerns that collection of hydrogeologic data with a focus on
characterizing the predominant soil type can underestimate the
prevalence of more localized deposits of higher conductivity soil and
other discontinuities that can serve as preferential flow pathways to
groundwater. See, 85 FR 72519. Therefore, the current approach to
probabilistic characterization of soil and aquifer characteristics
using more local data sources is believed to provide the most reliable
means to capture the potential variability of conditions across
different facilities and represent contaminant fate and transport on a
national scale. Furthermore, EPA notes that consideration of more site-
specific data would not be expected to change the fact many units are
known to be constructed on relatively permeable soils. As a result,
further refinements on the hydrogeology modeled at each individual site
is unlikely to alter overall model results, which show contaminants can
escape from these units and spread considerable distances through
groundwater.
Third, groundwater monitoring only provides a snapshot in time of
groundwater concentrations at each well location. It is not obvious,
nor do commenters articulate, how these data would be applied to model
long-term unit leakage. Factors such as natural fluctuations in
background groundwater concentrations make it difficult to apportion
measured concentrations from individual sampling events into the
specific contributions from background and unit leakage. That is why
groundwater monitoring programs rely on statistical analysis of data
across numerous sampling events to make a binary determination whether
or not contaminant concentrations downgradient of a unit have increased
above background and GWPS. Even if it were practical to utilize these
monitoring data, groundwater samples do not provide broader information
about the progression of leakage over time. Specifically, groundwater
samples do not provide information on the magnitude of source leachate
concentrations, how long the unit has been leaking, or any indication
of the potential magnitude and extent of contamination in the future.
EPA modeling previously showed that the magnitude and extent of a plume
may not peak until decades or centuries after the unit first beings to
leak. As a result, incorporation of groundwater monitoring samples into
a model would require a number of additional assumptions about the site
characteristics and conditions that could substantially increase the
overall uncertainty of model results.
Finally, EPA is not aware of similar site-specific data available
for the subset of smaller CCRMU intended for purposes other than
disposal. As several commenters have acknowledged, facilities have not
typically maintained reliable records of the locations of all these
smaller units. Thus, any modeling of these units must, by necessity,
draw on other datasets to characterize the potential for environmental
release and subsequent contaminant fate and transport.
f. Comments Related to Additional Risk Drivers
Comment: Multiple commenters asserted that risks higher than those
modeled in the 2014 Risk Assessment are unlikely for landfills. One
commenter stated that the previous risks modeled for unlined landfills
are ``only slightly above'' the point of departure at 2 x
10-\5\ and so, even if most CCRMU landfills are unlined, it
would not result in risks higher than this value.
EPA Response: The national risks reported in the 2014 Risk
Assessment were based on the understanding of relative liner prevalence
at the time of that assessment. However, it has since become clear that
an even greater proportion of regulated unit have no engineered liner
and there is no evidence that CCRMU landfills are lined to any greater
degree. Additionally, EPA notes that the 2014 Risk Assessment modeled
both clay-lined and composite-lined units under the assumption of good
construction practices that achieved the regulatory performance
standard. However, it has become clear since then that some liner
systems do not achieve this standard. For example, facility reporting
shows that around 10% of regulated units with composite or alternate
liners have already entered into corrective action. Therefore, even for
those units that do have some form of engineered liner, there is
potential for national risks to be higher than previously modeled. For
all these reasons, national risks for both currently regulated and
CCRMU landfills are only expected to be more similar to those
previously modeled for unlined landfills. Furthermore, EPA has
identified additional factors that have the potential to result in even
higher risks than modeled, but that could not be fully quantified as
part of either the 2014 or 2024 Risk Assessment. These include co-
disposal with coal refuse and disposal in contact with the water table.
The greater prevalence of unlined units makes it even more likely these
additional factors will occur at unlined units. The combination of
these factors has the potential to result in national risks even higher
than previously modeled.
Comment: One commenter acknowledged that the 2014 Risk Assessment
had demonstrated the potential for co-disposal with coal refuse to
increase risk from surface impoundments. However, multiple others
argued that the same assessment shows that neither co-disposal with
coal
[[Page 38971]]
refuse nor extreme pH conditions increase risks for landfills.
Specifically, commenters pointed to one sensitivity analysis summarized
in Table 5-6 of the 2014 Risk Assessment that concluded modeled risks
did not exceed the point of departure for any subset of the modeled pH
conditions. One commenter argued the Agency's conclusions are not based
on actual observations of CCR porewater and groundwater quality at
sites where coal refuse is managed. This commenter stated that not all
units that accepted coal refuse will contain enough to affect the
broader chemistry of the unit and not all coal refuse will contain
enough pyrite to influence pH. This commenter further argued that,
where acidic conditions and higher leachate concentrations do occur, it
will not necessarily result in higher downgradient groundwater
concentrations due to other site-specific factors. To support this
argument, the commenter summarized findings from multiple EPRI reports
that analyzed field samples from around several landfills and surface
impoundments believed to have accepted coal refuse.
Response: These commenters misrepresent the findings of the
referenced sensitivity analysis. This analysis represents a parsing of
groundwater model runs conducted in 2014 as a function of leachate pH.
This analysis incorporates model results for a substantial number of
lined units, which can mask the effects of leachate pH due to the low
overall leakage rates from these units. As such, this sensitivity
analysis does not support any conclusions about the impacts of pH on
risks from unlined units. Further, very few model runs were conducted
at highly acidic pH; the sensitivity analysis did not summarize any
results for a pH lower than around 4. Thus, this analysis also does not
support any conclusions about the risks associated with highly acidic
conditions.
Available LEAF leachate data used to model landfills show that many
constituents, including arsenic, can leach at highest concentrations
near one or both extremes of the pH scale. The effects of these higher
concentrations are reflected in the sensitivity analysis, with higher
risks observed around a highly basic pH of 13. Therefore, this
sensitivity analysis is consistent with the broader risk record and
shows that extreme pH conditions can result in higher risk.
The commenters are also incorrect that the risk record is not based
on observations of CCR porewater. EPA relied on empirical measurements
of porewater to support modeling of surface impoundments in 2014, which
included samples co-disposed with coal refuse. As acknowledged by some
commenters, these data supported identification of higher risks from
these co-disposed wastes in impoundments. Corresponding pH data are not
available for every porewater sample, but available data do show the
potential for highly acidic pH around 1, roughly equivalent to stomach
acid. The cited EPRI reports do not contradict the finding that co-
disposal can affect CCR leaching behavior. As summarized by the
commenter, these reports found that a third of units had impacts to
unit pH and porewater chemistry. Individual units had potential or
confirmed impacts on groundwater quality, causing at least one to
trigger remedial measures by the facility. EPA further notes that these
reports provide only a snapshot in time of the environmental impacts
associated with disposal in this subset of disposal units. As a result,
there remains potential for future releases beyond the waste boundary
if these conditions persist.
Comment: Multiple commenters asserted that waste disposed below the
water table would not result in higher risks from surface impoundments
than previously modeled in the 2014 Risk Assessment. These commenters
generally argued the hydraulic head present in an operating impoundment
from ponded wastewater will result in greater leakage than groundwater
flowing through a unit. One commenter presented a hypothetical
comparison of the relative hydraulic flux from a unit due to ponded
water, infiltrating precipitation, and contact with groundwater to
argue that the presence of a ponded water would result in higher
leakage. Others pointed to analyses from the 2014 Risk Assessment,
which compared leakage from surface impoundments before and after
dewatering, to argue that risks from impoundments remaining in
groundwater would be lower. Others further argued that the lower
hydraulic conductivity of some ash would limit flow through the
impoundment and cause groundwater to preferentially flow around the
unit.
Several commenters presented data from groundwater monitoring
conducted at individual units to assert that risks are more likely to
result from the hydraulic head in active impoundments than the
intersection of waste with the water table. The presented data depict
concentrations of boron, a highly soluble constituent that one
commenter noted was selected for its ``insensitivity to redox
conditions.'' These plots generally show concentrations of boron to
decrease over time after the impoundments were taken out of service,
though that pattern was not universal. Some commenters went further,
concluding that eliminating the hydraulic head in the unit would allow
any prior groundwater contamination to naturally attenuate. Conversely,
other commenters pointed to a documented case study where groundwater
concentrations increased after ponded water was drained to contend that
contact with the water table can result in higher releases.\25\
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\25\ EPRI. 2001. ``Evaluation and Modeling of Cap Alternative at
Three Unlined Coal Ash Impoundments.''
---------------------------------------------------------------------------
EPA Response: A number of the commenters misconstrue the findings
of the 2014 Risk Assessment, which did not include any assessment of
the effects of CCR disposal within the water table. EPA was unable to
quantitatively model the risks associated with this management practice
because there was little data on how common the practice was or the
extent to which it would affect groundwater chemistry. Instead, these
commenters are referring to a comparison of the risks resulting from
surface impoundments during operation and post-closure (i.e., after
free liquids had been eliminated consistent with Sec.
257.102(d)(2)(i)) that was undertaken to understand if only modeling
these units only during operation might underestimate peak risks. EPA
only concluded that continued leakage after elimination of free liquids
and closure would rarely result in higher peak risks. Thus, this
assessment did not consider the effects of disposal below the water
table or draw any conclusions about the risks associated with this
practice.
When waste is managed above the water table, any leakage out of the
unit must first infiltrate down through unsaturated subsurface soils
and then mix with groundwater before it can flow beyond the waste
boundary. As a result, downgradient groundwater concentrations can end
up substantially lower than the original leachate concentration. In
contrast, when waste is disposed below the water table, the entire
volume of groundwater in contact with the CCR and all water
infiltrating from above would become undiluted leachate. As the
thickness of CCR below the water table increases, the volume of
leachate generated can increase substantially based on the sheer size
of these disposal units. There is no evidence the properties of CCR
would reliably limit transport of this leachate away from the unit.
Rather, the hydraulic gradient of the aquifer will continue to drive
continued flow
[[Page 38972]]
through the unit. The hydraulic conductivity of different CCR overlaps
with that of common aquifer materials. Even in instances where the
average conductivity within a unit is lower than the surrounding
aquifer, these units often contain different ash types and other
wastes. This can lead to stratification within the unit that creates
regions of higher conductivity and allows for greater flow. For all
these reasons, there is potential for sustained leakage from units when
waste is disposed below the water table. Whether or not the magnitude
of this continued leakage is greater than from water ponded in an
impoundment does not address the potential for such leakage to cause a
release or sustain one that began when water was still ponded in the
unit. Such comparisons also ignore that the waste would also be in
contact with groundwater while the unit operates, greatly increasing
the likelihood of groundwater mounding around the impoundment and
increased contaminant transport in all directions.
It is not feasible to draw conclusions based on the small and
curated sample of units presented by commenters. Various factors can
complicate any interpretation of the presented graphs. First, boron is
a highly soluble constituent that can washout at high concentrations
into small amounts of water. Thus, the extent to which decreases in
concentration over timeframes of a long as a decade or more simply
represent the depletion of this highly soluble constituent from the ash
is unclear. Second, unit geometry may not be uniform and consistently
intersect with the groundwater table, resulting in more spatially
isolated releases that cause higher concentrations in some wells and
not others. Third, at sites with intermittent contact with groundwater,
predefined sampling dates may not align with periods when contact with
groundwater occurs. Therefore, it is not possible to draw meaningful
conclusions, either at these sites or more broadly, based on the data
provided. As pointed out by other commenters, there are also examples
available where sustained contract with groundwater after a unit is
drained resulted in increased groundwater concentrations of other
Appendix III constituents.
The fact that downgradient concentrations have decreased at some
impoundments after the unit was drained despite ongoing contact with
groundwater does not prove such reductions will be sustained or further
groundwater releases will not occur. As one EPRI report concluded,
``the existence of saturated ash will greatly reduce the effectiveness
of any cap design when the facility is underlain by geologic materials
with high hydraulic conductivity, because groundwater will continue to
leach ash constituents.'' \26\ Thus, removal of ash from groundwater
may be the only reliable means of source control for these units.
---------------------------------------------------------------------------
\26\ EPRI. 2001. ``Evaluation and Modeling of Cap Alternative at
Three Unlined Coal Ash Impoundments.''
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Comment: Several commenters agreed that use of porewater to
represent leakage from impoundments is appropriate. However, these
commenters also raised concerns that available porewater data collected
during the active life of an impoundment may underestimate the risks
associated with legacy impoundments because it may not accurately
reflect leachate concentrations after the unit has ceased operation. As
one example, they cited potential for reducing conditions to form
through prolonged contact between waste and groundwater.
By contrast, one commenter asserted that elevated arsenic
concentrations identified in the two journal articles EPA referenced in
the proposal are only representative of that one site and that the
majority of available impoundment porewater data have lower
concentrations than reported in those articles.27 28 The
commenter also noted the data presented in the journal articles were
collected in support of an EPRI report, which found these
concentrations had not translated to exceedances of GWPS in
downgradient wells.\29\ Based on this finding, the commenter concluded
leachate concentrations alone are not a reliable indicator of which
units will cause groundwater contamination due to variable site
geochemistry and hydrogeology.
---------------------------------------------------------------------------
\27\ Wang, X., A.C. Garrabrants, Z. Chen, H.A. van der Sloot,
K.G. Brown, Q. Qiu, R.C. Delapp, B. Hensel, and D.S. Kosson. 2022.
``The Influence of Redox Conditions on Aqueous-Solid Partitioning of
Arsenic and Selenium in a Closed Coal Ash Impoundment.'' Journal of
Hazardous Materials. 428:128255.
\28\ Wang, X., H.A. van der Sloot, K.G. Brown, A.C. Garrabrants,
Z. Chen, B. Hensel, and D.S. Kosson. 2022. ``Application and
Uncertainty of a Geochemical Speciation Model for Predicting
Oxyanion Leaching from Coal Fly Ash under Different Controlling
Mechanisms.'' Journal of Hazardous Materials. 438:129518.
\29\ EPRI. 2020. ``Leaching, Geotechnical, and Hydrologic
Characterization of Coal Combustion Products from a Closed Coal Ash
Impoundment.''
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EPA Response: EPA agrees that porewater samples remain the best
available data to represent leakage from operating surface
impoundments. These field samples provide empirical data on leakage
from various mixtures of CCR and other wastes managed under
consistently saturated conditions. EPA also acknowledges there can be
uncertainties associated with field data submitted to the Agency, which
might lead to an underestimation of concentrations in the field. One
example is the potential for stronger reducing conditions to form after
a unit has been closed as a result of less oxygenated water
infiltrating through the unit. As acknowledged by commenters, however,
there is not sufficient data to characterize the magnitude or extent of
such conditions on a national basis. Therefore, the impact of this
uncertainty is not known.
EPA disagrees that the arsenic concentrations identified in the
referenced studies should be considered an isolated occurrence. These
studies clearly demonstrate that: (1) Sustained contact with
groundwater can result in stronger reducing conditions than dry
management, (2) Reducing conditions can cause higher leaching of
arsenic, and (3) LEAF methods can underestimate actual leaching from
CCR under reducing conditions by as much as an order of magnitude.
Given that disposal beneath the water table is a more common practice
than previously understood, there exists the real potential for higher
leachate concentrations in the field than previously modeled,
particularly at landfills modeled with LEAF data.
EPA does agree that initial leachate concentrations are not the
sole determining factor for contaminant fate and transport. As
discussed in response to previous comments, this fact is reflected in
Agency modeling. Individual model runs with the highest leachate
concentrations are not always those with the highest risk. However,
factors that will tend to push the overall distribution of leachate
concentrations higher will also tend to push modeled nationwide risks
higher because of the greater likelihood that higher leachate
concentrations will occur at sites where these concentrations can more
readily spread. Thus, the greater prevalence of units in contact with
groundwater has the potential to result in higher risks on a national
scale than previously modeled.
Finally, EPA notes that groundwater monitoring only represents a
snapshot in time and does not necessarily provide any indication of the
potential for future contamination. In the case of the studied unit, it
is not known whether reducing conditions formed during or after
operation. As such, there remains potential for future releases if the
unit remains in contact with groundwater
[[Page 38973]]
and continues to leak such elevated arsenic concentrations.
g. Comments Related to Complete Exposure Pathways
Comment: Multiple commenters asserted that EPA must demonstrate the
existence of a complete exposure pathway to justify regulatory action,
which some defined as exposures that have already occurred.
Specifically, commenters stated that ``the presence of groundwater
contamination alone does not constitute a risk'' and ``in many cases no
one is drinking the water or contacting the CCR materials.'' One
commenter presented a summary of analyses that had been conducted
across 27 sites, which concluded that groundwater risks do not exist at
most sites because no drinking water wells are currently present.
Another commenter asserted that the high-end risks identified in the
2014 Risk Assessment assumed that receptors were exposed immediately
downgradient of the disposal units. This commenter went on to state
that complete exposures would not occur at the many sites adjacent to
water bodies because groundwater contamination would be intercepted by
surface water first and that the 2014 Risk Assessment found no risks
warranting regulation for surface water. Several other commenters also
claimed that groundwater quality should be measured at the facility
boundary because that would be more representative of a complete
exposure pathway.
EPA Response: Section 4004(a) of RCRA requires EPA to establish
requirements that will ensure no reasonable probability of adverse
effects both to human health and the environment. See, 42 U.S.C.
6944(a). EPA therefore disagrees that only the presence of receptors
within the impact sphere of a contaminating facility merits
consideration. EPA's longstanding and consistent policy (across
numerous regulatory programs) has been that groundwater contamination
is a significant concern that merits regulatory action in its own
right, whether or not the aquifer is not currently used as a source of
drinking water.
Once a potentially harmful constituent has leached from a disposal
unit into groundwater, whether the constituent ultimately causes
further damage by migrating into drinking water wells does not diminish
the significance of the environmental damage caused to the groundwater
under the site, even where it is only a potential future source of
drinking water. As EPA explained in the preamble to the original 1979
subtitle D criteria, EPA is concerned with groundwater contamination
even if the aquifer is not currently used as a source of drinking
water. Sources of drinking water are finite, and future users'
interests must also be protected. See, 44 FR 53445-53448. (``The Act
and its legislative history clearly reflect Congressional intent that
protection of groundwater is to be a prime concern of the criterion. .
. . EPA believes that solid waste activities should not be allowed to
contaminate underground drinking water sources to exceed established
drinking water standards. Future users of the aquifer will not be
protected unless such an approach is taken.''). See also, 80 FR 21453.
The commenters' approach is also inconsistent with Agency guidance,
which states that a ``. . . pathway is complete if there is (1) a
source or chemical release from a source, (2) an exposure point where
contact can occur, and (3) an exposure route by which contact can
occur.'' \30\ The guidance goes on to state that ``. . . exposure
assessments are concerned with current and future exposures.'' Thus, a
key consideration in evaluating risk is the potential for future
exposure. If it were necessary to wait for exposures to occur as a
prerequisite for action, an untold number of receptors could be subject
to potential harm. Further, implementation of corrective action is not
instantaneous and so this harm could persist for some time after
receptor exposures are first identified. Commenters do not explain how
such delayed action could be considered protective of human health and
the environment, and so meet RCRA's standard. See, USWAG, 901 F3d at
429-431.
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\30\ U.S. EPA. 1989. ``Risk Assessment Guidance for Superfund
Volume I: Human Health Evaluation Manual (Part A).'' EPA/540/1-89/
002. Prepared by the Office of Emergency and Remedial Response.
Washington, DC. December.
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Commenters also misrepresent the findings of the 2014 Risk
Assessment regarding surface water interception. EPA modeled a
distribution of distances for both groundwater wells and surface water
bodies, accounting for interception whenever a water body was located
closer than a well. Thus, reported high-end risks do not include any
assumptions about the proximity of receptors to the units. Even if
direct exposure to groundwater from use as a drinking water source is
considered unlikely due to the potential for interception by nearby
surface water, that does not justify no further action. EPA did
identify the potential risks from individual disposal units to
ecological receptors present in these water bodies and human receptors
who fish from those water bodies, as well as associated damage cases,
which is why constituents, such as cadmium and mercury, were added to
the Appendix IV list of constituents. Additionally, surface water
bodies are large and highly interconnected systems that are likely to
have multiple electric utilities, as well any number of other
industrial sources, located along their banks. If all these facilities
were allowed to freely discharge to a water body solely because no
individual release posed risk, the cumulative impacts can result in
risk to surface water resources and nearby receptors. The 2015 CCR Rule
addresses the potential for such risk by specifying corrective action
must ``remove from the environment as much of the contaminated material
that was released from the CCR unit as is feasible.'' 40 CFR
257.97(b)(3). Thus, dilution of a groundwater plume into surface water
could not be considered a presumptive remedy. This requirement is
consistent with guidance for OLEM programs that specify the need to
prevent groundwater contamination above GWPS from contaminating other
aquifers or environmental media.\31\
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\31\ U.S. EPA. 2009. ``Summary of Key Existing EPA CERCLA
Policies for Groundwater Restoration.'' OSWER Directive 9283.1-33.
Prepared by the Office of Solid Waste and Emergency Response.
Washington, DC. June.
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EPA also disagrees that a point of compliance at the facility
boundary would provide a better estimate of actual risk than the waste
boundary. Again, the commenter disregards that the contamination of the
aquifer is an adverse effect on the environment, not simply a potential
risk to subsequent receptors. Consequently, the regulations require
facilities to address the contamination at the first available point,
that is, when it first leaves the unit. There are several additional
reasons that the waste boundary is the appropriate point of compliance.
First, a point of compliance at the facility boundary would result in
greater potential for current residences or water bodies immediately
adjacent to the facility boundary to be exposed before the presence of
contamination can be confirmed. Second, the facility boundary may be a
significant distance away from the waste boundary, which would allow
contamination to increase and spread for some time before triggering
corrective action. The further contamination is allowed to increase and
spread, the more difficult it may become to clean it up due to factors
such as complex contaminant chemistry and site hydrogeology. This may
render
[[Page 38974]]
large volumes of groundwater unusable for drinking water or other
purposes. Finally, EPA has previously documented numerous instances
where, once the contaminant plume has migrated off-site and impacted
private water wells, a utility has purchased these properties, thereby
rendering the off-site contamination, ``on-site,'' further delaying
corrective action. See, 80 FR 21456. For all these reasons, EPA
considers the waste boundary to provide the most consistent and
protective basis on which to establish evidence of a release.
4. 2024 Final Risk Assessment
EPA identified risks to groundwater from active CCR landfills and
surface impoundments, as well as to inactive CCR surface impoundments
at active utilities in the 2014 Risk Assessment, which are now
regulated under the 2015 CCR Rule. The results of EPA's further
analyses in the final 2024 Supplemental Risk Analysis confirm that the
findings on the risk from active units from the 2014 Risk Assessment
are equally applicable to units that ceased receipt of waste prior to
2015 and either closed or became inactive. This final rule therefore
relies upon the 2014 Risk Assessment, the additional data and analysis
presented in the March 2023 proposal indicating that the legacy CCR
surface impoundments and CCRMU would be expected to have risks even
higher than previously modeled, and the 2024 Supplemental Risk
Assessment. Each of these is discussed in turn below.
a. Summary of 2014 Risk Record
In the 2014 Risk Assessment EPA conducted a national-scale,
probabilistic analysis that characterized potential risks to human and
ecological receptors associated with leakage from CCR surface
impoundments and landfills in operation at that time. A combination of
models was used to predict fate and transport of contaminants through
the environment, receptor exposures, and the resulting risks to human
and ecological receptors. The specific exposure routes evaluated were:
(1) Human inhalation of particulate matter blown from open management
units, (2) Human ingestion of crops and livestock raised on nearby
fields, (3) Human ingestion of groundwater used as a source of drinking
water, (4) Human ingestion of fish caught from freshwater streams, and
(5) Ecological contact with and ingestion of surface water and
sediment. Site-specific data were used where available, supplemented by
regional and national data to fill data gaps, to capture the
variability of waste management practices, environmental conditions,
and receptor behavior. EPA reported risks for both highly exposed
individuals and more moderately exposed individuals. Risks to highly
exposed individuals represent a reasonable maximum estimate that
members of the general population might be exposed to, which were
calculated as the 90th percentiles of all probabilistic model results.
Risks to moderately exposed individuals represent a more typical
estimate that members of the general population might be exposed to,
which were calculated as the 50th percentiles of all probabilistic
model results.
Under RCRA, EPA typically relies on a risk range to determine the
point at which regulation is appropriate. This policy was first
developed in the context of determining whether to regulate (or
``list'') wastes as hazardous under subtitle C of RCRA. See 80 FR
21449; 59 FR 66075-66077, December 22, 1994. However, over the years
EPA has relied on this risk range more broadly to determine whether
regulation is warranted under both subtitles C and D of RCRA. See 75 FR
35193 (``Although the statutory standards under subsections C and D
differ, EPA has historically interpreted both statutory provisions to
establish a comparable level of protection, corresponding to an
acceptable risk level ranging between 1 x 10-\4\ and 1 x
10-\6\.'').
Thus, to determine whether there is a reasonable probability of
adverse effects on health or the environment from the disposal or other
solid waste management of solid waste, EPA typically uses as an initial
cancer risk ``level of concern'' a calculated risk level of 1 x
10-\5\ (one in one hundred thousand) or an HQ above 1.0 for
any noncarcinogenic risks. See, 80 FR 21,449. For example, wastestreams
or activities for which the calculated high end individual cancer-risk
level is 1 x 10-\5\ or higher generally are considered
candidates for regulation. Wastestreams or activities with risks
calculated to be 1 x 10-\4\ (one in ten thousand) or higher
generally will be considered to pose a reasonable probability of
adverse effects on health or the environment and generally will be
regulated. Wastestreams or activities for which these risks are
calculated to be 1 x 10-\6\ (one in one million) or lower,
and lower than 1.0 HQ or environmental risk quotients for any
noncarcinogens, generally will be considered not to pose a reasonable
probability of adverse effects on health or the environment, and
generally will not be regulated. Id.
EPA first evaluated national-scale risks in the 2014 Risk
Assessment, which provides a snapshot in time of potential risks across
the country. This was accomplished by weighting risks from individual
management practices in proportion to the anticipated prevalence of
those practices. National-scale risks provide important context as to
whether risks are a systemic issue that warrant national regulations or
are limited in scope and better addressed through more targeted
actions. The Agency's evaluation found that the management practices
that EPA believed were generally in use in 2014 at surface impoundments
and landfills were likely to pose risks to human health through
groundwater exposure within the range that EPA typically considers
warrants regulation. For highly exposed individuals, the cancer risks
from arsenic due to the operation of surface impoundments were as high
as 2 x 10-\4\, while noncancer risks were as high as an HQ
of 5 for arsenic, 2 for lithium, and 2 for molybdenum. Cancer risks
associated with the operation of landfills were estimated to be as high
as 5 x 10-\6\ from the ingestion of arsenic-contaminated
drinking water. In contrast, all risks for moderately exposed
individuals fell below EPA's risk range. This was largely attributed to
the fact that many facilities are located next to major water bodies
and so contaminant plumes were frequently intercepted by these water
bodies before they could reach private wells.
EPA next evaluated the risks associated with individual management
practices at surface impoundments and landfills. This was accomplished
by filtering the national-scale model runs to focus only on those that
included the practice of interest and using the filtered set of runs to
calculate risks associated with that specific practice. These
individual risks provide important context about the range of
contaminants and practices that could pose risk at individual sites.
The Agency's evaluation identified two specific management practices
that could lead to risks higher than those identified in the national
risk estimates.
The first practice EPA evaluated was the disposal of CCR in unlined
and clay-lined units. Management in unlined surface impoundments
resulted in cancer risks for arsenic up to 3 x 10-\4\, as
well as noncancer risks for lithium up to an HQ of 3, molybdenum up to
an HQ of 4, and thallium up to an HQ of 2. Management in unlined
landfills resulted in cancer risks for arsenic up to 2 x
10-\5\. The larger increase in arsenic risks identified for
unlined landfills above those for national-scale landfills (2 x
10-\5\ vs. 5 x 10-\6\) compared to unlined and
national-scale
[[Page 38975]]
impoundments (3 x 10-\4\ vs. 2 x 10-\4\) is
because a larger proportion of landfills nationwide were initially
modeled as having a liner. Since promulgation of the 2015 CCR Rule, it
has become clear that more units are unlined than originally estimated.
Thus, it is anticipated that national-scale risks for landfills would
actually be closer to those for unlined landfills (2 x
10-\5\), rather than the lower nation-wide estimates
reported in the 2014 Risk Assessment.
Although clay-lined units tended to have lower risks than unlined
units, they still had potential to result in risks within the range
that EPA considers for regulation under RCRA. Management in clay-lined
impoundments with a liner thickness of three feet resulted in cancer
risks for arsenic of up to 7 x 10-\6\ and noncancer risks
for lithium up to an HQ of 2, while management in similarly unlined
landfills resulted in cancer risks for arsenic up to the 1 x
10-\5\. The larger increase in arsenic risks for unlined
impoundments above those for clay-lined impoundments (1 x
10-\5\ vs. 7 x 10-\6\) compared to unlined and
clay-lined landfills (2 x 10-\5\ vs. 1 x 10-\5\)
is because the layer of low conductivity clay counteracts the hydraulic
head in impoundments that would otherwise freely drive greater volumes
of leachate into the subsurface.\32\ In contrast, leachate generation
in both types of landfills is limited far more by the rate of
precipitation. As a result, EPA further considered how reducing the
modeled clay liner thickness of impoundments to the minimum allowable
standard of two feet would affect arsenic risk and found it would
increase to as high as 2 x 10-\5\.
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\32\ The somewhat higher risks identified for clay-lined
landfills compared to similarly lined impoundments are likely
related to site-specific conditions, such as where in the country
these units are located.
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The second practice evaluated was the management of wastes with an
extreme pH. In particular, empirical porewater data revealed that co-
disposal of CCR with other wastes in surface impoundments had the
potential to result in a highly acidic pH, cancer risks for arsenic up
to 1 x 10-\3\, and noncancer risks for cobalt and mercury up
to an HQ of 13 and 5, respectively. Laboratory leaching test data also
indicated that highly acidic and basic CCR wastes have the potential to
leach similarly high arsenic concentrations, up to an order of
magnitude higher than under more neutral conditions. Only a small
number of previous landfill model runs considered acidic conditions
based on the information available about conditions in active units;
identified risks for these units were driven by more basic conditions.
Thus, to the extent that conditions at either extreme of the pH scale
are more prevalent than previously estimated, it is likely that overall
risks from disposal in both surface impoundments and landfills would be
even higher than modeled.
EPA acknowledged in the 2014 Risk Assessment that there were some
additional management practices that could result in higher risk at
individual sites, but that could not be quantitatively modeled with the
data available at the time. One specific example provided was of CCR
disposal below the water table. EPA was unable to quantitatively model
the associated risks as there was little data on how common this
practice was or the extent to which it could affect groundwater
chemistry. Because EPA could not quantitatively model these management
practices (and because the Agency had no information to indicate that
it was a current, widespread management practice), EPA noted only that,
based on its review of damage cases, the damage from the placement of
CCR in sand and gravel pits was almost always associated with CCR being
placed in contact with water, which indicated that the placement of CCR
in contact with water can lead to higher risks than from dry disposal.
80 FR 21352. EPA further explained that ``in this situation, the
sorption that occurs in the unsaturated zone of the risk assessment
model does not occur in the field. This and other site-specific risk
factors could lead to additional contamination beyond what was modeled
nationwide.'' 2014 Risk Assessment at pages 5-48. As a consequence, EPA
specifically included sand and gravel pits that received CCR in the
definition of CCR landfills covered by the regulations. 80 FR 21354.
The above model results from the 2014 Risk Assessment are equally
applicable to legacy CCR surface impoundments and CCRMU. Many of these
unregulated units are similarly constructed, manage the same types of
ash, and are frequently located either at the same or nearby facilities
as their regulated counterparts. In particular, some unregulated units
are known to be located directly adjacent to or beneath currently
regulated units. The fact that some of these unregulated units no
longer contain water ponded above the ash surface or have installed
some form of cover system does not meaningfully distinguish the long-
term risks of these units from those previously modeled. This is
because all landfills and surface impoundments progress through similar
lifecycle stages. Progression toward closure does not remediate any
releases that occurred during operation of the unit. Furthermore, if a
unit is not closed with an effective cover system or remains in contact
with the groundwater table, the higher rates of leakage that can result
could sustain releases long after the unit has ceased operation. It is
expected that legacy impoundments and CCRMU have been present for
longer than currently operating units and so would have had more time
to leak. As a result, previous and ongoing releases from these units
have the potential to be greater and to have migrated further than
those from the currently regulated universe of units.
The risks associated with legacy impoundments and CCRMU may be even
higher than EPA modeled on a national scale in the 2014 Risk
Assessment. The 2014 Risk Assessment aimed to provide a static snapshot
of waste management practices at that time based on the available data.
As such, it did not reflect the greater prevalence of some practices at
older closed and inactive units based on the understanding those
practices had declined over time. Nor did it reflect some ongoing
practices for which there was not enough data to characterize
prevalence on a national scale. The Agency is now aware of several
practices that are more common than were modeled in 2014 and have the
potential to result in higher leakage. However, because the 2014 Risk
Assessment identified baseline risks that warrant regulation, the
national risk record does not depend on the greater prevalence of these
practices to justify the need for regulation of closed and inactive
units. Instead, the potential for even higher risk from these practices
at individual units, which are discussed below, only reinforces the
basis for regulation.
First, a greater number of units lack an adequate liner system than
EPA previously understood. For example, in the 2014 Risk Assessment,
EPA estimated that 65% of impoundments had no engineered liner (i.e.,
do not meet the regulatory standard for either a clay or composite
liner) based on surveys conducted by EPA between 2009 and 2010 (``EPA
Surveys'').\33\ It has since become clear that even fewer impoundments
are actually lined. EPA's review of available liner demonstration
documents posted on facilities' CCR websites indicates closer to 83% of
impoundments have no engineered liner. Similar reporting is not
available
[[Page 38976]]
on the liner prevalence for older units. However, EPA is also not aware
of any evidence that these older units have been lined at higher rates,
particularly those constructed prior to the promulgation of minimum
standards for disposal in RCRA subtitle D landfills in 1991. See, 40
CFR part 257, subpart A and part 258. Indeed, most coal-fired utilities
in the United States were constructed before 1990.\34\ Even when units
do report having an engineered liner, they may not perform as well as
previously modeled. The 2014 Risk Assessment modeled both clay and
composite liners based on the presumption both would achieve regulatory
performance standards. Yet, facility reports show that around 10% of
landfills and surface impoundments with a composite liner have already
entered into corrective action. Thus, many units previously modeled as
lined are now believed to either have no engineered liner or to perform
more like an unlined unit. For these reasons, EPA anticipates that
national risks for both currently regulated units and those newly
covered under this rulemaking will be closer to those previously
modeled for unlined units. For landfills, this could increase national
risks by up to an order of magnitude, as high as 2 x 10-\5\
for arsenic. That risk is twice the level that EPA typically considers
for regulation and is the same level of risk as those associated with
the clay-lined CCR surface impoundments that the D.C. Circuit required
to close.
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\33\ U.S. EPA. 2014. ``Human and Ecological Risk Assessment of
Coal Combustion Residuals.'' RIN 2050-AE81. Office of Solid Waste
and Emergency Response. Washington, DC. December.
\34\ United States Energy Information Administration. 2017.
``Most Coal Plants in the United States were Built Before 1990.''
Accessed online at: https://www.eia.gov/todayinenergy/detail.php?id=30812.
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Second, a greater number of older units co-disposed CCR with the
wastes generated from coal preparation activities, collectively
referred to as ``coal refuse.'' These activities may have included coal
handling by conveyor systems, coal washing for removing mineral matter,
and coal ``sizing'' to reduce the average particle size of coal. Co-
disposal with coal refuse can have a pronounced effect on the leaching
behavior of CCR because of the potential for the refuse to make the
overall waste pH far more acidic. Available Leaching Environmental
Assessment Framework (LEAF) leaching data considered in the 2014 Risk
Assessment show that multiple Appendix IV constituents are most soluble
under extreme pH conditions and thus able to leak at higher rates. EPA
found modeled risks are highest when CCR was disposed in surface
impoundments with coal refuse. The modeled cancer risks for the co-
disposal of ash and coal refuse in surface impoundments ranged between
1 x 10-\3\ for trivalent arsenic to 4 x 10-\4\
for pentavalent arsenic. Non-cancer risks were similarly high, ranging
between and an HQ of 13 for cobalt and HQ of 14 for pentavalent arsenic
to 26 for trivalent arsenic, based on the ingestion of contaminated
drinking water.
The practice of co-disposal with coal refuse has declined over
time. A survey conducted by Electric Power Research Institute (EPRI) in
1995 showed 34% of unlined landfills and 68% of unlined surface
impoundments actively managed CCR with coal refuse.\35\ In contrast,
EPA Surveys indicated that, by 2014 this management practice had
declined to around 5% of active units. EPA's 2014 national-scale
modeling was based on the 5% reported in the EPA Surveys, and as a
consequence, this practice had minimal influence on the overall
nationwide risk estimates in the 2014 Risk Assessment. However, it is
clear from the EPRI data that management of CCR with coal refuse used
to be far more common prior to 1995. Of the 283 disposal units that
were previously excluded from the 2014 Risk Assessment and that
reported a start year in the EPA Surveys, around 91% had already begun
operation by 1995. Therefore, the risks associated with these older
disposal units are likely to be higher than the national scale risks
reported in the 2014 Risk Assessment.
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\35\ EPRI. 1997. ``Coal Combustion By-Products and Low-Volume
Wastes Comanagement Survey.'' Palo Alto, CA. June.
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Finally, it has become apparent since promulgation of the 2015 CCR
Rule that the practice of disposing of CCR below the water table is
more common than EPA previously understood. EPA was aware of this
practice in 2014 and raised it as an uncertainty in the risk
assessment, but had little information about the frequency of this
practice. EPA's review of the location restriction demonstrations
posted on facilities' CCR websites found that approximately 31% of
active CCR surface impoundments had waste below the water table.
Similar statistics are not currently available for landfills, though it
is clear from previously identified damage cases that this practice is
not unique to impoundments. Nor is EPA aware of any evidence that would
indicate older units are less likely on the whole to have been
constructed within the water table. EPA was unable to model the effects
of disposal in the water table in 2014 due to constraints on data
availability and modeling capabilities.
Disposal beneath the water table, either continuously or
intermittently, will result in conditions that mirror those previously
found to drive risk from active surface impoundments. Specifically,
saturation of disposed CCR provides a larger reservoir of leachate and
the hydraulic gradient across the aquifer maintains a hydraulic head
that serves to drive this leachate away from the unit. The implications
for landfills are particularly significant, as the potential for
greater contaminant transport from these units can result in higher
risks to groundwater than previously modeled under dry conditions.
Further, because these landfills leak directly to groundwater, there is
potential for these risks to remain long after the unit has ceased
operation. This is equally true for impoundments. Even if the hydraulic
head within the aquifer is not as great as from ponded water, it can
still sustain higher rates of leakage than if the unit were fully
dewatered. As a result, removal of the saturated ash may be the only
reliable means to control the source of contamination.
Since promulgation of the 2015 CCR Rule, EPA has identified
evidence of another way in which disposal below the water table could
result in greater risk. This disposal practice has the potential to
alter groundwater chemistry in ways that increase either the solubility
or mobility of some CCR contaminants. This is due to the residual,
unburnt organic matter in CCR serving as a carbon source (i.e.,
substrate, electron donor) for bacteria in the soil. Bacteria
preferentially use any dissolved oxygen (O2) for oxidation
of organic matter (i.e., electron transfer from the organic matter to
oxygen) because this yields the greatest energy returns for the
bacteria. With a sufficient source of biodegradable organic matter,
bacterial consumption of oxygen can outpace replenishment of dissolved
oxygen that occurs through diffusion from the atmosphere and
infiltration of precipitation. Depletion of oxygen is more likely to
occur in saturated soils because the constant presence of water allows
biological activity to proceed unimpeded by periods of drying, the
relatively slow flow rate of groundwater does not transport dissolved
oxygen from the upgradient side of the unit fast enough to outpace
consumption across the footprint of the unit, and sustained saturation
of the soil limits oxygen exchange with the atmosphere. In the absence
of oxygen, bacteria will instead use nitrate, manganese, iron, sulfate,
and other compounds for reduction of organic matter (i.e., electron
transfer to
[[Page 38977]]
organic matter from other compounds). Such reducing conditions will not
affect all constituents equally, serving to mobilize some and
immobilize others. However, reducing conditions can mobilize arsenic,
the primary source of risks identified in the 2014 Risk Assessment.
Research conducted since the 2014 Risk Assessment has better
documented the potential effects of disposal below the water table on
leakage from CCR units. Studies published in 2022 examined, among other
things, the degree to which environmental conditions can differ within
the same closed impoundment, both above and below the water
table.36 37 Specifically, arsenic concentrations measured in
the water intermingled with CCR beneath the water table were as high as
4,100 mg/L due to the presence of reducing conditions and a near
neutral pH of 8. That concentration is substantially higher than 20 mg/
L, measured from the same ash with LEAF Method 1313 at a similar pH, or
780 mg/L, which is the 90th percentile of all impoundment porewater
measurements previously compiled by EPA. This indicates that the
porewater and LEAF data relied on the 2014 Risk Assessment may
significantly underestimate the magnitude of leakage from CCR units
under reducing conditions.
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\36\ Wang, X., A.C. Garrabrants, Z. Chen, H.A. van der Sloot,
K.G. Brown, Q. Qiu, R.C. Delapp, B. Hensel, and D.S. Kosson. 2022.
``The Influence of Redox Conditions on Aqueous-Solid Partitioning of
Arsenic and Selenium in a Closed Coal Ash Impoundment.'' Journal of
Hazardous Materials. 428:128255.
\37\ Wang, X, H.A. van der Sloot, K.G. Brown, A.C. Garrabrants,
Z. Chen, B. Hensel, and D.S. Kosson. 2022. ``Application and
Uncertainty of a Geochemical Speciation Model for Predicting
Oxyanion Leaching from Coal Fly Ash under Different Controlling
Mechanisms.'' Journal of Hazardous Materials. 438:129518.
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The extent to which the porewater data EPA used to model surface
impoundments in 2014 reflect strong reducing conditions is not known,
as this information was not commonly reported. Such conditions might
occur during operation as a result of sustained saturation or might
evolve after an impoundment has been drained of ponded water and
capped, thereby decreasing mixing of oxygen within the unit. However,
it is known that the LEAF data used to model landfills does not reflect
reducing conditions. All standardized leaching tests tend to reflect
oxidizing conditions due to contact between the sample and the
atmosphere during sample collection and laboratory analysis. As such,
it has since been recognized that further analysis of leachate data
with geochemical speciation models may be warranted when field
conditions diverge from those present in the laboratory setting (e.g.,
reducing conditions).\38\ Therefore, there is clear potential for
significantly higher leachate concentrations than modeled if a landfill
is in contact with groundwater.
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\38\ U.S. EPA. 2019. ``Leaching Environmental Assessment
Framework (LEAF) How-To Guide: Understanding the LEAF Approach and
How and When to Use It.'' Office of Land and Emergency Management.
Washington, DC. May.
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b. 2024 Risk Assessment and Results
As noted above, a number of commenters argued the 2014 Risk
Assessment does not adequately capture various factors associated with
legacy impoundments and CCRMU that the commenters believe will result
in significantly different risks than those posed by currently
regulated units. In response, EPA prepared a supplemental risk
assessment to determine the potential for some of these factors to
affect national risks (``2023 Draft Risk Assessment''). EPA began by
reviewing available information about the characteristics and locations
of legacy impoundments and CCRMU to determine whether there was any
potential for the risks from these units to be meaningfully different
from currently regulated units. This included a review of groundwater
model results previously excluded from the 2014 Risk Assessment because
the units were ultimately not covered by the 2015 CCR Rule.
As part of this review, EPA grouped legacy impoundments and CCRMU
disposal units into different categories based on unit type: (1)
Historical and inactive landfills and (2) Historical and legacy
impoundments. The 2024 Risk Assessment defines historical units as
those that have steps taken toward closure, but that may or may not
meet all the requirements of Sec. 257.102(d). Additionally, EPA
further considered the influence of unit size on risk and conducted
additional modeling for the subset of CCRMU that is smallest in size,
those used as fill or for similar purposes (hereafter ``CCRMU fills'').
Because facilities have not historically regarded such placement as
disposal units or necessarily maintained associated records, EPA
believes there is potential for exposures different than those
previously considered for landfills and surface impoundments.
Specifically, EPA evaluated the potential for risk from onsite exposure
to contaminated groundwater or CCR accumulations in the soil under a
future residential land use scenario.
i. Problem Formulation
EPA first developed conceptual models to illustrate a generalized
layout of legacy impoundments and CCRMU, the different pathways through
which constituents may be released from CCR and migrate through the
environment, and the risks to human health and the environment that
could result. The conceptual models for landfills and impoundments were
the same as used in the 2014 Risk Assessment/EPA determined that a
second model was warranted for CCRMU because some smaller placements
have not historically been regarded as disposal by facilities and so
have not been reliably tracked or maintained over time. These smaller
placements may be disturbed after land use changes, which can result in
additional release pathways. Therefore, EPA prepared a second
conceptual model for smaller units (i.e., CCRMU fills). These
conceptual models provide the basis for subsequent modeling efforts.
When CCR are placed on the ground for any purpose, they may leach
metals and other inorganic contaminants to groundwater. Once mixed with
groundwater, contamination may migrate downgradient to private wells
where it is ingested by receptors who rely on groundwater as their
primary source of drinking water. But a receptor does not need to be
presently exposed for there to be a reasonable probability of adverse
effects on health or the environment. EPA evaluated this exposure
pathway in the 2014 Risk Assessment and identified a set of
constituents most likely to pose risk to offsite receptors living up to
a mile away. The 2024 assessment builds on those model results and
identifies arsenic, lithium, molybdenum, and thallium as constituents
that warranted further evaluation. These are the constituents found in
the 2014 Risk Assessment to pose the greatest risk for unlined surface
impoundments and have the greatest demonstrated potential to spread and
pose risk on a national scale. These 2014 model results therefore also
provide a reasonable screen to identify the most likely risk drivers
for receptors living even closer to these types of units.
When CCR is placed in fills and left unmonitored, the ash can be
disturbed in the future when land use changes. In the absence of
records of the presence of CCR, and in the absence of inspection and
maintenance, any engineering controls currently present that might
serve to limit exposure cannot reasonably be assumed to remain in place
in perpetuity. For this reason, EPA
[[Page 38978]]
considered the potential for additional exposure pathways that could
occur under a future residential land use scenario. The 2014 Risk
Assessment did not evaluate risks from direct placement of CCR in the
soil. However, EPA previously identified radium as a constituent of
concern in the 2015 CCR Rule and included two radioisotopes on the
Appendix IV list for groundwater monitoring, radium-226 and radium-228.
These radioisotopes are part of larger, naturally occurring decay
chains that begin with uranium-238 and thorium-232, respectively. Even
if some form of cover remains over the ash, future receptors who live
on or around a fill may be exposed to radiation through direct exposure
to gamma radiation or inhalation of radon gas. Therefore, EPA
considered potential for exposure to the full decay chains of these
radium isotopes as the primary risk driver for this pathway.
ii. Disposal Unit Groundwater Risk
All disposal units pass through the same lifecycle stages, ranging
from initial construction to final closure. As a result, there is
potential for historical and inactive disposal units to result in the
same types of environmental releases as currently regulated units over
the course of their lifecycle. The fact some historical and inactive
units may have since drained ponded wastewater or installed some form
of cover system does nothing to remediate any prior releases. EPA
conducted a review of the available data on these historical and
inactive units to understand whether the associated risks would be
expected to differ from those previously modeled for regulated units.
The 2014 Risk Assessment modeled risks for a total of 122 landfills
and 163 impoundments that were ultimately excluded from the final
summary of national risks because it was determined that these units
fell outside the scope of the 2015 CCR Rule. These units were excluded
because they were anticipated to cease receipt of waste prior to the
effective date of the rule. Therefore, model results for these
previously excluded units directly address the historical and inactive
units subject to the current rulemaking. EPA reviewed model results for
these previously excluded units to better understand whether the
associated risks were any different from those of currently regulated
units. For highly exposed individuals, landfills were estimated to pose
cancer risks as high as 7 x 10-\6\ from arsenic III, while
surface impoundments were estimated to pose cancer risks as high as 8 x
10-\5\ from arsenic III and noncancer HQs as high as 2 for
arsenic III, 2 for lithium, and 1 for molybdenum.
Differences between these risks and those for currently regulated
units are attributed primarily to differences in the prevalence of
engineered liners modeled for the two sets of units. The previously
excluded units were modeled as having no engineered liner at 71% of
landfills and 57% of impoundments, compared to 42% of landfills and 65%
of impoundments for currently regulated units. For unlined units, the
arsenic III risk from previously excluded units was 1 x
10-\5\ for landfills and 2 x 10-\4\ for surface
impoundments, while corresponding risk from regulated units were 2 x
10-\5\ for landfills and 3 x 10-\4\ for surface
impoundments. Since all of this modeling was completed in 2014, it has
been discovered through facility reporting that a greater percentage of
regulated units has no engineered liner than EPA previously modeled.
For example, in the 2014 Risk Assessment, EPA estimated that 65% of
impoundments had no engineered liner based on the EPA Surveys.\39\ It
has since become clear that even fewer impoundments are actually lined.
EPA's review of available liner demonstration documents posted on
facilities' CCR websites indicates closer to 83% of have no engineered
liner. EPA has seen no evidence that would indicate older historical
and inactive units would be lined at any greater frequency. Thus, EPA
concludes that the national risks for regulated and previously excluded
units will fall closer to those modeled for unlined units.
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\39\ U.S. EPA. 2014. ``Human and Ecological Risk Assessment of
Coal Combustion Residuals.'' RIN 2050-AE81. Office of Solid Waste
and Emergency Response. Washington, DC. December.
---------------------------------------------------------------------------
EPA reviewed available data on facility location to understand
whether environmental conditions (e.g., precipitation, soil type) at
inactive and active facilities could be substantially different than
previously modeled. Such conditions can affect the rate of leakage from
a unit and subsequent transport of that leachate through the
subsurface. This review found that around 80% of the active and
inactive facilities that were not subject to the 2015 CCR Rule had
already been modeled as part of the 2014 Risk Assessment and so are
already reflected in the risk results for those previously excluded
units. The remaining 20% of facilities are located an average distance
of 26 miles from the nearest modeled facility. Therefore, EPA concludes
that the 2014 Risk Assessment adequately captures the effects of
facility location on national risk.
Commenters stated that the smaller size of historical and inactive
disposal units would result in lower volumes of leakage and could not
sustain plumes of the same magnitude as from larger regulated units.
EPA reviewed data from the EPA Surveys to determine whether the sizes
of previously excluded units are substantially different than EPA
modeled for currently regulated units. This comparison indicates that
excluded units do tend to be somewhat smaller. The average size modeled
for excluded units was 77 acres for landfills and 28 acres for
impoundments. The average size modeled for regulated units was 107
acres for landfills and 47 acres for impoundments. Despite these
differences, there remains a great deal of overlap in the range of
sizes for both sets of units. Further, as described above, similar
risks were identified for both sets of units. Thus, there is no
indication that size differences of this magnitude have any notable
effect on national risk. Nor is there any information available about
the units not captured in the EPA Surveys that would indicate these
remaining units are significantly smaller. Therefore, EPA concludes
that the 2014 Risk Assessment adequately captures the effects of unit
size on national risk.
iii. CCRMU Fill Groundwater Risk
EPA conducted national-scale modeling of CCRMU fills to understand
the potential groundwater risks that could result from these smaller
placements of CCR. The exposure route evaluated for was human ingestion
of groundwater used as a source of drinking water. The evaluation
incorporated many of the same data sources used in the 2014 Risk
Assessment to characterize the variability of site conditions. Two
models were used to evaluate contaminant fate and transport, EPACMTP
and MODFLOW-USG. EPACMTP was run first at specified distances along the
centerline of the plume to understand the potential for releases to
occur and spread further downgradient. MODFLOW-USG was then run for a
subset of the conditions to understand the broader magnitude and extent
of these plumes.
Groundwater concentrations modeled with EPACMTP at the waste
boundary were first compared to respective GWPS to understand the
potential for fills to impact groundwater quality to an extent that
would trigger corrective action at regulated landfills. The 90th
percentile concentrations exceeded GWPS by factors of 26 for arsenic
III, 19 for arsenic V, 156 for molybdenum, and 19 for thallium. The
50th percentile
[[Page 38979]]
concentrations exceeded GWPS by a factor of two for molybdenum. Based
on these results, EPA finds that CCRMU fills can meaningfully
contribute to groundwater contamination across a facility.
Groundwater concentrations modeled with EPACMTP at 500 and 1,000
feet away from the waste boundary were used calculate risks to
individual RME receptors exposed to these concentrations. The 90th
percentile concentration of each modeled constituent exceeded at least
one risk benchmark at 1,000 feet. This indicates potential for leakage
from fills to spread at environmentally significant concentrations.
However, because these model runs represent concentrations at a fixed
location, they do not provide broader information about the magnitude
and extent of the plume. As a result, EPA does not rely primarily on
these results to draw direct conclusions about overall risk. Instead,
the Agency retained a subset of these model runs for both arsenic V and
molybdenum from around the 90th percentile concentrations modeled at
1,000 ft. EPA selected pentavalent arsenic because it is the less
mobile species and so provides a reasonable bounding on the high-end
concentrations that can result for this contaminant. These runs were
retained for further modeling with MODFLOW-USG to characterize the full
magnitude and extent of each plume over time.
The MODFLOW-USG runs were designed with the same inputs as
corresponding EPAMCTP runs. Altogether, these model runs reflect a
range of conditions that collectively resulted in high-end groundwater
concentrations 1,000 feet from the fill. These corresponding placements
of CCR range from around 3,500 to 70,000 tons placed over areas between
0.15 to 2.0 acres. EPA calculated the midpoint across these runs to
define values representative of the 90th percentile model runs. For
arsenic V, the model identified a peak risk of 1 x 10-\4\
averaged over 32 million gallons (Mgal) of groundwater and a peak
volume of 147 Mgal with an average risk of 7 x 10-\5\. The
same leakage of arsenic V would result in a peak GWPS exceedance of
three averaged over a plume volume of 1.2 Mgal and a peak plume volume
of 8 Mgal with an average exceedance of 2 times GWPS. It would take
around 2,300 years from the time of first exceedance for the plume to
fully dissipate. For molybdenum, the peak exceedance of both risk
benchmark and GWPS was 10 averaged over a plume volume of 27 Mgal and a
peak plume volume of 80 Mgal with an average exceedance of 4 times
GWPS. It would take around 100 years from the time of first exceedance
for the plume to fully dissipate. Plumes of these size and duration
could readily sustain exposures for typical residential receptors that
are anticipated to use around 80 gallons of water a day for all indoor
household needs, resulting in less than 0.8 Mgal of use over 26 years
of exposure.
iv. CCRMU Fill Soil Risk
EPA modeled of CCRMU fills to understand the potential risks that
could result from CCR present in the soil. Exposure routes initially
considered for evaluation were human inhalation of radon gas and direct
exposure to gamma radiation emitted from the CCR. However, based on a
preliminary review of available data, EPA determined that radon
emanation from CCR (i.e., fraction of radon able to escape into the
surrounding air) is generally lower than from most soils. Despite the
higher overall activity of CCR, the resulting radon emanation from the
ash is not distinguishable from that of most surface soils. Therefore,
EPA did not retain exposure to radon for further consideration.
Modeling of exposure to gamma radiation was conducted with the EPA
PRG calculator. EPA evaluated the potential for direct exposure to
gamma radiation from CCR under a soil cover ranging in thickness from
60 to 20 cm (2 to 0.66 feet). EPA compared the combined activity of the
uranium-238 and thorium-232 decay chains in the CCR to the health
benchmarks for each cover thickness to calculate the risks that could
result from receptors living on or near the fill. Both 90th and 50th
percentile activities have potential to result in cancer risks at or
above 1 x 10-\5\ with a cover of 40 cm. The 90th percentile
activity resulted in a cancer risk of 1 x 10-\4\ with a
cover of 20 cm. This indicated the potential for even higher risk if
the cover were to be disturbed and the CCR brought to the ground
surface. However, evaluation of this scenario would require additional
assumptions about the degree of mixing, which could be a major source
of uncertainty on a national scale. Therefore, EPA retained this
scenario for further consideration as part of a separate sensitivity
analysis.
v. Uncertainty and Sensitivity Analyses
EPA reviewed the models used, as well as the data and assumptions
input into the models, to better understand the potential sources of
uncertainty inherent in the model results. The Agency qualitatively
and, to the extent possible, quantitatively analyzed these sources to
understand the potential effects each may have on modeled risks. EPA
also conducted further sensitivity analyses to understand how the
modeled national risks vary in response to changes in sensitive
parameters and to evaluate the potential for risks through exposure
pathways that could not be fully modeled on a national scale.
The major source of uncertainty identified for the groundwater
model is the potential for greater risk from multiple units located in
close proximity. The EPA Surveys did not provide information on the
relative location or orientation of different landfills and
impoundments at any given facility and so the 2014 Risk Assessment
modeled risks from each unit individually. However, the Agency is now
aware of many instances where multiple units are located directly
adjacent to one another, resulting in a larger total area over which
leakage can occur. This could result in greater cumulative risk to
offsite receptors than predicted based on contributions from each
individual unit. Furthermore, there is potential for legacy
impoundments and CCRMU (disposal units and fill) to confound
groundwater monitoring programs when located upgradient of a regulated
unit. Ongoing leakage from these unregulated units has the potential to
skew the characterization of background groundwater quality. Under
these circumstances, any leakage from a regulated unit would need to
progress even further and faster to be distinguishable from that skewed
background. This could delay or entirely prevent a regulated unit from
entering into corrective action, resulting in risk to downgradient
receptors.
EPA conducted a sensitivity analysis to determine whether there is
a unit size below which adverse impacts to groundwater quality are
unlikely and monitoring is not warranted. This analysis found
exceedances of GWPS are possible for placements below 1,000 tons. Thus,
such placements can meaningfully contribute to groundwater
contamination at these facilities. It was not possible to identify a
limit much lower than this tonnage because of the few model runs
conducted at smaller amounts. Extrapolation beyond available model runs
could introduce a great deal of uncertainty into any specific limit
identified. The extent to which any identified limit could shift higher
or lower in response to further modeling around these lowest tonnages
is not known. Therefore, the Agency could not identify a lower limit
based on the current modeling.
[[Page 38980]]
EPA conducted further sensitivity analyses to better characterize
the risks to human health that may result from mixing of CCR with the
soil. There is little data available to predict the likelihood of
different degrees of mixing that could occur across the country.
Instead, EPA considered the incremental contributions from CCR through
increased mixing with soil to identify the point at which accumulation
would raise concern. This analysis focused on radionuclides previously
identified as potential risk drivers for soil, but also considered
contributions from arsenic that may further contribute to cancer risk.
The exposure pathways considered were incidental ingestion of the CCR
and soil mixture and direct exposure to gamma radiation. For
radionuclides, cancer risks above 1 x 10-4 are possible for
residential receptors at mixing of more than 11% for 90th percentile
activity and 21% for 50th percentile activity. For arsenic, cancer
risks above 1 x 10-4 are possible at mixing of more than 33%
for 90th percentile concentration, but would not occur at any degree of
mixing for 50th percentile concentration. Both radionuclides and
arsenic also occur naturally in soil; however, levels in CCR can be
markedly higher than typical background levels. In particular, EPA has
identified the potential for CCR to have a combined radium activity
nearly 10 pCi/g above typical background soils. This is greater than
the ARAR that has been applied at some cleanups for surface and
subsurface soils under Superfund and State programs. As such,
consideration of the incremental increase above background does not
alter the overall results of this analysis. Therefore, EPA concludes
that accumulation of CCR within the soil column can result in risks
within the range that EPA considers or regulation.
EPA separately considered the potential for risk to ecological
receptors that may result from mixing of CCR with the soil based on
comments received that a future use for these facilities could be as a
nature preserve. EPA calculated the incremental contributions from CCR
as described above and compared the resulting concentrations to
available ecological benchmarks. This analysis focused on constituents
for which ecological soil screening levels are available. This
comparison indicates that antimony, selenium, and vanadium are most
likely to drive risk and require further evaluation at both high-end
and median ash concentrations. In some cases, ecological benchmarks are
lower than typical background soil levels. However, consideration of
the incremental increase above background does not alter overall
results. Therefore, the potential for risk from accumulation of CCR
within the soil column remains even if future residential land use is
not anticipated.
vi. Final Conclusions
Based on the analyses summarized in the current risk assessment,
EPA concludes that there is a reasonable probability of adverse effects
on health and the environment due to leakage from legacy CCR surface
impoundments and CCRMU. EPA's assessment estimates that the risks that
leakage from these units would adversely impact groundwater quality and
pose risk to future receptors fall within the range EPA typically
considers warrants regulation under section 4004(a) (i.e., cancer risks
greater than 1 x 10-\5\ and non-cancer risks exceeding an HQ
of 1). Older historical and inactive disposal units can pose risks to
offsite receptors substantially the same as previously reported for
currently regulated units. Smaller CCRMU fills can pose risk to onsite
receptors and materially contribute to broader groundwater
contamination across the facility. Depending on the location of these
fills, they can also pose risk to offsite receptors. The risks
identified for CCRMU fills are also believed to provide a bounding
estimate on the risks posed by disposal units, as leakage from these
larger units would generally be expected to result in more extensive
releases than modeled for fills. Risks to human health from groundwater
are anticipated to be driven by ingestion of arsenic, lithium,
molybdenum, and/or thallium. Health effects associated with arsenic
ingestion are an increase in the risk of cancer in the skin, liver,
bladder, and lungs, as well as nausea, vomiting, abnormal heart rhythm,
and damage to blood vessels. Health effects associated with ingestion
of lithium are neurological and psychiatric effects, decreased thyroid
function, renal effects, cardiovascular effects, skin eruptions, and
gastrointestinal effects Health effects associated with molybdenum
ingestion are higher levels of uric acid in the blood, gout-like
symptoms, and anemia. Health effects associated with thallium ingestion
are hair loss, ocular effects, and behavioral changes.
EPA also concludes the unmonitored accumulation of CCR in surface
and subsurface soils has the potential to result in risk to future
human and ecological receptors in the range OLEM typically considers
for regulation. Potential human health risks are driven by incidental
ingestion of ash mixed with the soil and direct exposure to gamma
radiation from radium and its associated decay chains. Health effects
attributed to radium exposure include increased risk of several types
of cancer, particularly lung and bone cancer. Potential ecological
risks are driven by exposure to antimony for mammals, selenium for
plants and mammals, and vanadium for birds from ash mixed with the
soil. Health effects attributed to these exposures are decreased
reproduction, growth, or survival. EPA did not seek to identify a
comprehensive list of other contaminants that might also contribute to
risk as part of the current assessment; however, any further risk would
be equally addressed by controls put in place to mitigate the
identified soil risks.
B. Legacy CCR Surface Impoundment Requirements
The Agency is amending the CCR regulations in 40 CFR part 257,
subpart D to require legacy CCR surface impoundments to comply with the
same regulations that apply to inactive CCR impoundments at active
facilities, except for the location restrictions (at Sec. Sec. 257.60-
257.64) and liner design criteria (at Sec. 257.71). EPA is also
establishing new requirements to address issues specific to legacy CCR
surface impoundments. Finally, EPA is establishing new compliance
deadlines for legacy CCR surface impoundments.
1. Definition of a ``Legacy CCR Surface Impoundment''
EPA is finalizing the proposed definition of a ``legacy CCR surface
impoundment'' without revision. A legacy CCR surface impoundment must
meet three criteria: (1) The unit meets the definition of a CCR surface
impoundment; (2) The unit contains both CCR and liquids on or after
October 19, 2015; and (3) The unit is located at an inactive electric
utility or independent power producer. An inactive impoundment must
meet all three criteria to be a legacy CCR surface impoundment. This
definition is codified in Sec. 257.53.
EPA estimates there are 194 legacy CCR surface impoundments located
at 85 facilities that will be subject to the requirements of this final
rule.\40\ This estimate also takes into account the information
received in response to the Agency's lists of potential legacy CCR
surface impoundments published in the dockets with the proposed rule
and
[[Page 38981]]
subsequent notice of data availability. This estimate is an increase
from the 127 legacy CCR surface impoundments located at 59 facilities
identified in the proposed rule. 88 FR 32028.
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\40\ An updated list of potential legacy CCR surface
impoundments can be found in the docket for this action. See
document titled ``Universe of Legacy CCR Surface Impoundments. April
2024.''
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The sections below briefly explain what EPA proposed, summarize the
public comments received, and provide the Agency's responses.\41\ The
Agency addresses several aspects of the definition in the following
order: (1) Date for determining applicability; (2) The requirement to
contain both CCR and liquids; and (3) The requirement to be located at
an inactive facility.
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\41\ EPA's responses to public comments can be found either in
this preamble or the Response to Comments document available in the
docket.
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a. Legacy CCR Surface Impoundment--Date for Determining Applicability
EPA explained in the proposed rule that the 2015 CCR Rule exempted
``inactive surface impoundments at an inactive facility'' and codified
definitions of an ``inactive CCR surface impoundment'' and an ``active
facility or active electric utility.'' The Agency further stated that
in developing a definition of a ``legacy CCR surface impoundment'' two
separate components need to be addressed: (1) The definition of an
``inactive CCR surface impoundment''; and (2) The definition of an
``inactive facility or electric utility.'' 88 FR 31989.
At proposal, the Agency relied on the existing definitions of an
``inactive CCR surface impoundment'' and ``active facility or active
electric utilities or independent power producers,'' as well as the
2018 USWAG decision to inform the options discussed. Specifically, EPA
explained that both terms establish applicability based in part on the
effective date of the 2015 CCR Rule--a unit is an ``inactive CCR
surface impoundment'' if it does not receive CCR on or after October
19, 2015, and still contains both CCR and liquids on or after October
19, 2015, and an ``active facility or active electric utilities or
independent power producers'' is only active if it was in operation on
or after October 19, 2015. 40 CFR 257.53.
The Agency proposed to define a legacy CCR surface impoundment, in
part, as a surface impoundment that contained both CCR and liquids on
or after October 19, 2015. EPA explained in the proposed rule, that
using October 19, 2015 as the date to determine applicability was most
consistent with the USWAG decision; first because legacy CCR surface
impoundments would be regulated the same as the currently regulated
inactive impoundments at active facilities. Second, an October 19, 2015
applicability date would restore the status quo, as intended by court's
decision to vacate the exemption. EPA also concluded that this was the
most protective option. 88 FR 31990-31991. However, as an alternative,
the Agency also solicited comment on defining a legacy impoundment as a
unit that contains both CCR and liquids on or after the effective date
of this final rule in 2024. 88 FR 31991-92.\42\
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\42\ EPA also published an ANPRM on October 14, 2020 (85 FR
65015). The Agency solicited input on a potential definition of a
legacy CCR surface impoundment in the ANPRM and addressed comments
to the ANPRM in the subsequent proposal. 88 FR 31989-91.
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Several commenters opposed the proposed applicability date of
October 19, 2015, stating that the only legally defensible and workable
approach is to establish an applicability date based on the effective
date of this final rule. Some of these commenters argued that an
applicability date of October 19, 2015, would constitute a retroactive
rule, which they considered to be both legally impermissible and
unreasonable. These commenters stated that establishing an
applicability date based on the effective date of this final rule would
honor the bedrock administrative principle that ``rules should apply
prospectively absent express statutory grant'' consistent with Bowen v.
Georgetown Univ. Hosp., 488 U.S. 204, 208-09 (1988).
Other commenters stated that EPA was overreading the USWAG decision
and inappropriately interpreting the court's decision. These commenters
stated that the court did not specify how legacy impoundments should be
regulated, or the appropriate applicability date and regulatory
controls that should apply to the units but remanded those issues to
EPA to address through rulemaking. These commenters further stated that
the court's ruling was based on the administrative record for the 2015
CCR Rule, which they claimed is very different than the current record
for the facilities that would be covered by the proposal. According to
these commenters, the court was focused only on those legacy
impoundments for which significant risks remained, which they
characterized as exclusively CCR surface impoundments with a hydraulic
head. These commenters argue that, by contrast, the proposal will also
apply to CCR surface impoundments for which EPA has failed to
demonstrate any significant level of risk, which they characterized as
(1) CCR impoundments that contain ``any amount of water,'' but no
hydraulic head; and (2) CCR impoundments that are in the process of
closing or have completed closure.
Several commenters similarly raised concern that the proposal
ignores that there have been numerous changes since the court issued
its decision in 2018. For example, some commenters stated that
facilities have proactively worked with their States to close these
impoundments and have invested substantial resources to close these
units in compliance with existing regulatory requirements and thus
these units should not be considered legacy impoundments. According to
these commenters, the final rule should take into account the
significant closure and corrective action work that has been undertaken
since the 2015 CCR Rule was promulgated, rather than assuming the
landscape has not changed over subsequent years.
In addition, a number of commenters noted that the proposed
definition would capture numerous sites where former legacy CCR surface
impoundments were closed by removal under then-applicable State
regulations and where no CCR remains. These commenters raised concern
that EPA lacks jurisdiction under RCRA to impose requirements at a site
once all CCR has been removed. Many of these commenters further
asserted that EPA should accept such closure as sufficient to protect
the environment and not seek to impose an unnecessary set of
requirements. Finally, some commenters explained that some of these
sites have subsequently been restored and are now home to established
natural ecosystems, and thus it would be counterproductive to require
them to be disturbed.
By contrast, a number of commenters asserted that the record has
not significantly changed since the court issued its opinion. These
commenters stated that all legacy impoundments, including those that
have been dewatered or completed closure, pose significant risks to
human health and the environment that warrant regulation under RCRA.
Citing the USWAG decision and EPA's findings from the 2015 CCR Rule and
the proposal, these commenters stated that the risks associated with
legacy impoundments are greater than currently regulated units because
they are more likely than regulated ponds to be unlined, more likely
not to have been designed by a professional engineer, and more likely
to contain a mix of ash and coal refuse, all of which increase the
potential for groundwater contamination. The commenters further noted
that harm from contaminant releases from legacy ponds worsens as time
passes, citing the
[[Page 38982]]
finding in EPA's 2014 Risk Assessment that peak contaminant releases
from CCR surface impoundments will not occur until 70 years after waste
placement.
These commenters also estimated that close to half a million people
live within 1 mile of the 417 active and inactive coal-fired power
plants in 44 States and Puerto Rico that have reported coal ash units.
Using the Council on Environmental Quality's (CEQ) Climate and Economic
Justice Screening Tool (CEJST), the commentor estimated that
approximately half (213) of the facilities are located within a mile of
a disadvantaged community, while over 70% of the facilities (297 of
417) are located near a community that has higher-than-State average
levels of low-income populations or populations of color. These
commenters also estimated that many of the communities living nearby
may experience cumulative impacts from other threats. CEJST offers data
at the census tract-level on PM2.5 exposure, diesel
particulate matter, traffic proximity, abandoned mine land, formerly
used defense sites, hazardous waste site proximity, Superfund site
proximity, underground storage tanks and releases, wastewater
discharge, and Risk Management Plan site proximity. According to the
commentor, using CEJST, more than half of the 417 power plants with
historic or active ash units (214) are within one mile of a census
tract that experiences pollution from at least two of these additional
sources to a degree higher than that of 75% of all census tracts in the
United States.
The commenters also discussed several individual legacy
impoundments with longstanding groundwater contamination, noting that
for several plants, due to lack of Federal regulation and oversight,
little or no action has been taken to remediate clearly documented
contamination. Among those they highlighted were:
At the Muskingum River Power Plant, where onsite
groundwater has exceeded the primary EPA MCLs for barium and gross
alpha as well as EPA secondary MCLs (SMCLs) for iron, sulfate, and
Total Dissolved Solids. According to the commenter no remediation has
occurred to date.
At the retired Dynegy Vermilion Power Station in Oakwood,
Illinois, 70-year-old unstable pits with more than 3 million tons of
CCR are leaking CCR constituents into Illinois' only National Scenic
River. The pits run along the river for a half-mile where kayaking and
other recreational activities are common.
At American Electric Power's retired Tanners Creek in
Lawrenceburg, Indiana, leaking ash pits at the plant are contaminating
groundwater with high levels of boron within 500 feet of public
drinking water wells and the Ohio River.
At Georgia Power's retired Plant Arkwright, the unlined
abandoned ash ponds have been leaking chemicals, such as boron, at
levels above health standards into the groundwater and nearby Ocmulgee
River for nearly 20 years, according to a peer-reviewed study.\43\
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\43\ J.S. Harkness et al., Evidence for Coal Ash Ponds Leaking
in the Southeastern United States. Environmental Science &
Technology, 50(12): 6583-6592 (2016).
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According to these commenters, substantial risks to human health
and the environment remain even where the impoundment has been
dewatered or closed. In support of this conclusion, the commenters
pointed to EPA's explanation in the proposal that even if impoundments
have been at least partially dewatered or have undergone some type of
closure, the current risks to human health and the environment can
still be significant, due to contamination remaining at the site from
releases that occurred while the unit was operating. Referencing data
that legacy impoundments are, on average, 55 years old, the commenters
also pointed to the proposal's explanation that the potential magnitude
of releases from older units are greater than for currently regulated
CCR units due to a number of factors, including (1) the likely absence
of a liner in older impoundments; (2) the mixture of coal ash with coal
refuse, which was a common disposal practice in older units; and (3)
the older a CCR unit is, the longer it has had to leak and for
hazardous constituents to migrate further from the unit. The commenters
also discussed the results of a report, ``Assessment of Legacy Surface
Impoundments'' by Gordon Johnson, M.Sc., P.Eng., which examined ten CCR
surface impoundments at inactive facilities that were not on EPA's list
of potential legacy ponds and do not appear to contain standing water,
and concludes that all posed significant risks to health and the
environment.
As a consequence, these commenters criticized EPA's proposed
definition of a legacy impoundment as one that contains liquid on or
after October 19, 2015. These commenters argue that this would exclude
surface impoundments at inactive plants that pose a reasonable
probability of adverse effects on health and environment, whether or
not they contain liquid.
Several commenters also supported EPA's proposal to regulate units
at sites that are heavily vegetated or redeveloped on the surface with
established natural ecosystems, stating that the possibility that
conducting a proper closure might disrupt the current land use is
outweighed by the fact that inadequately closed units pose ongoing
threats to health and the environment. These commenters also supported
coverage of legacy impoundments that had completed or were undergoing
closure pursuant to State programs, citing EPA's review of State
programs as part of the 2015 CCR Rule, which concluded that significant
gaps remain in many State programs, and discussing specific examples of
problematic State permits.
Some commenters also stated that the proposed applicability date of
October 19, 2015, presents serious practical challenges to
implementation because it requires facilities to look back more than
eight years to determine the historical status of legacy impoundments.
Commenters explained that this extended look-back period could prove to
be an impossible task for sites where power plant operations ceased
decades ago. Furthermore, the proposed applicability date illegally
requires actions by facilities that are physically impossible. For
example, operating records, construction and inspection reports,
groundwater monitoring data, and employee testimonials may not exist
for some facilities that ceased generating power decades ago. In
addition, commenters pointed out that historic aerial photography will
not inform whether liquids are present beneath the surface of the
inactive impoundments. Finally, some commenters stated that EPA's
proposed approach is particularly challenging to small public power
utilities given their size, staffing levels, and record retention
policies once a facility is closed.
After considering the comments and all of the information in the
record, this final rule adopts the proposed date of October 19, 2015,
for determining applicability for legacy CCR surface impoundments. This
applicability date is justified for two independently sufficient
reasons. First, it most effectively targets the risks to human health
and environment posed by legacy impoundments. Second, it is consistent
with the USWAG decision. Accordingly, this final rule specifies that an
inactive impoundment at an inactive facility that contained both CCR
and liquids on or after October 19, 2015, is a legacy CCR surface
impoundment subject to the requirements of this final rule. The
[[Page 38983]]
definition of a legacy CCR surface impoundment is codified in Sec.
257.53.
This option best addresses the risks legacy impoundments pose to
human health and the environment. EPA's record for this rule, which
includes the 2015 rulemaking record, supplemented by new information,
establishes that that the environmental risks posed by legacy
impoundments are greater than or similar to those posed by operating
impoundments. EPA acknowledges that it is not bound by the 2015
rulemaking record that the court reviewed in USWAG--and, as just
stated, in fact has supplemented that record with new information for
this rulemaking. EPA further acknowledges that since the 2015 CCR Rule
and the USWAG decision some units have closed or have begun to close in
accordance with State permits, or on their own initiative in response
to the D.C. Circuit's ruling. But EPA disagrees that the record shows
that the risks to human health and the environment posed by the legacy
impoundments regulated under this final rule are significantly or
meaningfully lower than the risks the court found to be unacceptable in
USWAG. In fact, as described in III.A.4 of this preamble, the record
instead demonstrates that the totality of the risks is potentially
greater than EPA estimated in 2014.
A subset of legacy impoundments is identical to those described in
USWAG; the impoundments are structurally unstable and pose significant
risk of contaminating groundwater because they are unlined, with a
hydraulic head promotes the continual leaching of contaminants from the
CCR and drives the resulting leachate into underlying soils and
potentially into the underlying aquifer. No commenter disagreed that
these legacy impoundments warrant regulation under part 257.
Another subset, on which many of the commenters largely focused,
have been fully or partially dewatered, or have completed some form of
closure. In response to the proposal, EPA received information that
since October 19, 2015, 22 surface impoundments at inactive facilities
have closed by removal or are in the process of closing by removal, and
10 surface impoundments have closed with waste in place, either with
oversight from a State agency or on their own initiative in response to
the USWAG decision. These commenters claimed that, as a consequence of
dewatering their units, the units no longer pose any appreciable risk.
EPA agrees that once the water in the impoundment has been reduced
the likelihood of structural failure will also have been reduced; and
if the liquid and or CCR have been entirely removed there will be no
appreciable risk of structural failure. But these units nevertheless
continue to present significant risk to human health and the
environment as a consequence of existing--and in some cases,
continuing--groundwater contamination. This contamination can exist
even where CCR has been entirely removed from the disposal unit. First,
in many cases facilities have only removed some of the free liquids in
the impoundment; that is, have only partially dewatered. As described
in Unit III.B.2.g of this preamble, many commenters claimed that under
the existing closure regulations they are only required to eliminate
free liquids to the extent necessary to support heavy machinery or
other construction activities (i.e., to the extent necessary to support
the cover system), rather than to eliminate free liquids without
qualification, as the regulation requires. Such units present
essentially the same environmental and human health risks the USWAG
court was concerned with. Second, to the extent a unit intersects with
groundwater, free liquids will remain (because the groundwater is
continually saturating the CCR), and the unit will continue to present
significant risks, because the same conditions that promote the rapid
leaching of contaminants in operating units are present, and will
persist indefinitely. Finally, at many of these sites the existing
contamination resulting from when the unlined impoundment was operating
has not been addressed. Each of these are discussed further below.
Contrary to the commenters' claims, the partial dewatering they
describe does not, as they claim, ``eliminate'' either the hydraulic
head from a unit or the risk of groundwater contamination. Until the
water (liquid) is fully removed, gravity will continue to exert
downward pressure on the water in the saturated waste until it reaches
equilibrium with the water table. Thus, although reducing the water in
the unit also reduces hydraulic head, hydraulic head will be present as
long as water remains in the unit.
Hydraulic head represents the energy to move a liquid. Liquid flows
from locations of higher hydraulic head to locations of lower hydraulic
head. A simple illustration of hydraulic head is the water percolating
through (i.e., exerting downward pressure on) coffee grounds into the
cup below. As the water moves through the solids, particles of the
solids combine with the water (create leachate) and drain downward.
Even after the water is no longer visible above or among the coffee
grounds, liquids continue to drain into the cup below.
In a diked impoundment located above the water table, after the
removal of free standing (or ``ponded'') water, the CCR in the unit
would still remain saturated with liquids (i.e., the free liquid \44\
and/or porewater). Once the CCR material is saturated, some liquids may
remain bound within the CCR due to retention forces. However, the
remaining (free) liquids will drain in response to gravity and
hydraulic head. Because the saturated waste is at a higher elevation
than the normal water table, the free liquids within the saturated
waste would continue to drain toward the normal water table (``exert
downward pressure'') even if the unit no longer contained ponded water
on top of the CCR. Until the water is eliminated from the CCR, gravity
will continue to exert downward pressure on the water in the saturated
waste, but at some point, gravity will be insufficient to overcome the
retention forces in the CCR. Until that point, free liquids will
continue to drain until they reach the water table. Continued contact
with free liquids causes the metals and other constituents to leach out
of the CCR, and the downward pressure of the hydraulic head drives the
resulting leachate toward the bottom and sides of the unit. In an
unlined unit, which the overwhelming majority of legacy impoundments
are likely to be, any remaining free liquids saturating the CCR in the
impoundment will eventually leak out of the unit into the surrounding
soil and/or into the aquifer, along with any CCR constituents that have
leached from the waste in the interim. As mentioned previously, it is
important to note that after this draining occurs, some liquids will
remain bound within the pore spaces of the CCR material and will not
readily drain under ambient temperature and pressure. Consequently,
these residual liquids are not free liquids. Because any remaining
residual liquids (e.g., bound porewater or potential leachate) will not
continue to drain from the unit absent other forces, further releases
of these residual liquids are not likely.
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\44\ Free liquids are any liquids that readily separate from the
solid portion of a waste at ambient temperature and pressure. Sec.
257.53. In the example described above, free liquids are the liquids
that drain from the coffee into the cup below.
---------------------------------------------------------------------------
By contrast, when some portion of the unit has been constructed in
or below the water table, even if the hydraulic head is reduced by the
removal of free-standing or ponded water, hydraulic head remains
present as long as groundwater flows through the unit
[[Page 38984]]
from higher groundwater elevations to lower groundwater elevations. And
even where the CCR above the water table in such a unit has been
partially or fully dewatered, the ``conditions that promote rapid
leaching of contaminants'' still remain as a consequence of the
continued saturation of CCR in the unit from groundwater infiltrating
the unit.
As EPA explained in Unit III.A.2 of this preamble, a CCR landfill
saturated with water during operation, either continuously or
intermittently, would behave more like an operating CCR surface
impoundment even though such a unit would not have the level of
hydraulic head from ponded water present in an operating impoundment.
The same is true of a dewatered legacy impoundment constructed in or
below the water table. See also 88 FR 32011. The hydraulic head from
the ponded water in an operating impoundment unit allows for continual
leaching of contaminants from CCR and drives the resulting leachate
into the underlying soils and potentially into the underlying aquifer.
However, where any part of the unit is actually constructed below the
water table, the conditions caused by the continuous saturation of the
CCR by the groundwater flowing in and out of the unit allow the
contaminants to continuously leach directly into the nearby ground and
surface waters even without any downward pressure from hydraulic head
pushing leachate out of the unit. Id.
The record shows that significant numbers of the currently
regulated CCR surface impoundments were constructed such that the base
of the unit intersects with groundwater,\45\ and that many inactive, or
even ``closed,'' impoundments continue to impound water below the water
table (i.e., contain liquids).
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\45\ EPA's review of the location restrictions demonstrations
posted on facilities' CCR websites found that approximately 31% of
operating impoundments have waste below the water table. There is no
reason to believe that this percentage is not also representative of
legacy impoundments.
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In any event, even if an impoundment has been completely dewatered,
the current absence of impounded water does not remediate the releases
that occurred during operation of the unit. In general, legacy
impoundments are likely to have been present for longer than the
currently operating units: For example, one commenter presented
information to demonstrate that legacy impoundments are, on average, 55
years old; by comparison, EPA estimated in 2015 that most currently
operating surface impoundments were between 20 and 40 years old. See 80
FR 21327. This is significant in two regards: (1) The older the
impoundment the greater the likelihood it is unlined; and (2) The more
time the unlined unit would have to leak and for hazardous constituents
to migrate further from the unit. Consequently, previous and ongoing
releases could potentially be greater and have migrated further from
the unit than releases from the universe of currently regulated units.
In this regard, it is notable that EPA estimated in its 2014 Risk
Assessment that peak contaminant releases from CCR surface impoundments
will not occur until 70 years after waste placement. This is further
confirmed by the modeling originally conducted in 2014 for legacy
impoundments.
Furthermore, as described in Unit III.A there are a number of
additional reasons to believe that the potential magnitude of releases
is even greater than EPA originally estimated in 2014. These include:
(1) The likely absence of a liner at older impoundments; and (2) The
greater likelihood that coal ash was managed with coal refuse, which
was a common disposal practice in older units.
Finally, defining a legacy impoundment as one that contains both
CCR and liquid on or after October 19, 2015, retains oversight of units
that may have been dewatered but have not yet completed closure. In any
unit without an effective cover system, precipitation can continue to
freely migrate into the unit, and any leachate generated as a result
would be a potential ongoing source of contamination, particularly
where the unit is already leaking or in contact with groundwater.
Further, significant risks can remain if a unit is not closed properly;
for example, a closure that leaves that millions of tons of CCR
saturated with groundwater and only a cover system to control downward
infiltration of precipitation will not protect human health and the
environment. And, as discussed in further detail in the next section,
even at sites where the CCR has been completely removed from the
impoundment it is possible that, in addition to the likely significant
groundwater contamination present at the site, contaminated soil
remains, which can serve as a source of further contamination. See,
Unit III.B.1.b.ii.(a).
EPA acknowledges that some of these units may be closing pursuant
to State laws that provide for a significant degree of State
involvement and oversight, but that is not universally the case. As EPA
concluded in 2015, there is a wide range of protectiveness in State
programs. Clear deficiencies were present in some State regulatory
programs, and questions remained with respect to others. See, 80 FR
21326-21327, 21456 and Unit III.B.g.iii. EPA is aware that some State
programs have been substantially revised since 2015, and some
individual States provided additional information regarding their
programs in their comments, but again this is not universal. For
example, some commenters documented recent State approved closures that
were deemed complete despite the absence of any groundwater monitoring
to determine whether groundwater contamination remained at the site.
The absence of a consistent, sufficiently protective approach among all
State programs reinforces the need for a single, protective Federal
standard.
EPA also continues to believe that an applicability date of October
19, 2015, is the most consistent with the USWAG decision. See, 88 FR
31991. The Court expressly found that EPA's record for the 2015 CCR
Rule demonstrated that legacy ponds ``pose the same substantial threats
to human health and the environment as the riskiest Coal Residuals
disposal methods, compounded by diminished preventative and remediation
oversight due to the absence of an on-site owner and daily
monitoring.'' 901 F.3d at 432. EPA agrees with this conclusion that
legacy ponds ``pose substantial risk to human health and the
environment.'' Id. Consistent with that determination, the final rule
imposes essentially the same requirements on legacy CCR surface
impoundments that currently apply to inactive impoundments at active
facilities. In addition, as EPA explained in the proposed rule, D.C.
Circuit's decision setting aside the exemption for inactive
impoundments meant that these impoundments were similarly situated to
the impoundments regulated by the 2015 CCR Rule. EPA thus had an
obligation to address the substantial environmental risks from those
impoundments through regulation. By setting aside, rather than simply
remanding the exemption back to the Agency for further explanation, the
Court made clear that the existing record was sufficient for these
units to be regulated.
Nor is EPA persuaded by the commenters' remaining objections to the
applicability date of October 19, 2015. EPA disagrees that reliance on
the effective date of the 2015 CCR Rule would constitute a retroactive
application of law. A regulation is impermissibly retroactive where,
absent clear Congressional intent, the rule changes the past legal
consequences of past conduct. See Bowen v. Georgetown Univ. Hosp., 488
U.S. 204, 208 (1988). This is generally referred to as primary
[[Page 38985]]
retroactivity. See Bergerco Canada, a Div. of Conagra, Ltd. v. U.S.
Treasury Dep't, Off. of Foreign Assets Control, 129 F.3d 189, 192 (D.C.
Cir. 1997). Rules can also affect the legal rights flowing from past
acts. See Bergerco, 129 F.3d at 192. This is referred to a secondary
retroactivity. Id. Such effects are common, and permissible so long as
they are not arbitrary or capricious. The D.C. Circuit in Bergerco
noted that a rule may be arbitrary or capricious if it ``makes
worthless substantial past investment incurred in reliance upon the
prior rule.'' Id.
Here EPA is merely relying on a past fact to support the future
application of regulations. And because EPA has established future
compliance dates, no facility would be subject to penalties solely
because one of its legacy CCR surface impoundments was out of
compliance with the regulatory requirements prior to the effective date
of this final rule. Thus, the rule is not primarily retroactive.
To the extent the rule has secondary retroactive effects in
upsetting parties' expectations of regulation of legacy CCR surface
impoundments and CCMRU, such effects are permissible. First, the D.C.
Circuit considered and rejected this same argument in Util. Solid Waste
Activities Grp. v. Env't Prot. Agency, 901 F.3d 414 (D.C. Cir. 2018).
There, industry petitioners argued that EPA lacked statutory authority
to regulated legacy CCR surface impoundments because such regulation
would be retroactive. The D.C. Circuit held that ``straightforward
reading of the statute's language allows for the regulation of inactive
sites.'' Id. at 439. In short, as facilities ``where solid waste is
disposed of,'' 42 U.S.C. 6903(14), inactive impoundments are ``open
dumps,'' And no one denies that the EPA has authority to regulate (and
to prohibit) ``open dumps.'' Id. at 441.
Moreover, as explained in detail below, EPA rationally explained
why regulation was necessary and appropriate here notwithstanding
facilities' reliance interests. EPA understands that facilities may
have closed legacy impoundments and treated CCMRU in compliance with
State law requirements, or otherwise made business decisions premised
on the absence of Federal regulation. EPA has taken these reliance
interests into account in developing the regulations here. As explained
below, EPA surveyed State regulation of legacy impoundments and CCMRU
and concluded that, on the whole, such regulations were not
sufficiently protective, and did not meet RCRA's standard. Uniform,
national regulation was therefore necessary to ensure adequate
protection of human health and the environment. To be sure, EPA
recognizes that it is possible that some legacy impoundments, for
example, may have been closed in a manner that is protective. But, due
to the absence of adequate groundwater monitoring and other data, the
adequacy of such closures cannot be verified. EPA has also accounted
for other reliance interests, including renewable facilities' use of
land containing CCRMU, in establishing compliance deadlines, and
allowing for deferrals of additional closure measure where appropriate.
EPA also notes that regulated entities have been on notice since the
D.C. Circuit's 2018 decision in USWAG that Federal regulation of legacy
CCR surface impoundments was forthcoming, 901 F.3d at 414.
A number of commenters also claimed that their units are heavily
vegetated or developed and that reopening or other removal/remediation
activities may disrupt the current use of the site. EPA acknowledges
some old units may be heavily vegetated. However, no commenter
submitted any data or analysis to demonstrate that, over the short or
long term, removal or remediation activities would be more detrimental
to health and the environment than either cleaning up the contaminated
groundwater or taking measures to prevent the legacy CCR surface
impoundment from contaminating groundwater.
Moreover, the fact that some impoundments have become heavily
vegetated or redeveloped does not resolve the risks these unlined
legacy CCR surface impoundments continue to pose. As discussed above,
the risks associated with such units can be substantial. See Unit III.A
of this preamble for more information. Consequently, the current record
does not support an exemption for units that still contain both liquid
and CCR even if the closure or remediation may disrupt the current use
of the land.
As discussed in more detail in the subsequent section, EPA also
disagrees that the removal of CCR from a disposal unit necessarily
demonstrates that EPA lacks jurisdiction over the site. EPA's
jurisdiction rests on the presence of solid waste that ``is disposed
of'' at the site, not solely the presence of CCR. To the extent any CCR
leachate or CCR constituents remain in the soil or in the aquifer at
the site, solid waste remains at the site and EPA retains jurisdiction.
However, as EPA stated in the proposal, the Agency agrees that it lacks
jurisdiction over a site where the owner or operator can document that
it meets the standard for closure by removal in Sec. 257.102(c).
Accordingly, the final rule retains the provision specifying that any
facility that documents that this standard has been met will not be
subject to any further requirements. See Units III.B.2.b.iii and
III.B.2.g of this preamble for further discussion.
The Agency disagrees that adopting an applicability date of October
19, 2015, requires actions that are physically impossible or that the
implementation challenges cannot be addressed. The final rule does not
require owners and operators to acquire historical operating records,
construction and inspection reports, groundwater monitoring data, and
employee testimonials where they no longer exist, or where they have
never existed. EPA acknowledges that such information will not be
available in some situations. Rather, EPA expects owners and operators
of inactive impoundments at inactive facilities to develop a strategy
to gather readily available and reliable information to determine
whether the unit meets the definition of a legacy CCR surface
impoundment. If, after making a good faith effort a facility is
genuinely unable to obtain information to document that the impoundment
contained both CCR and liquids on October 19, 2015, the unit would not
be regulated as a legacy impoundment. See Unit III.B.2.b.i of the
preamble for an explanation of the actions the Agency expects owners
and operators to take to determine whether the inactive impoundment
meets the definition of a legacy CCR surface impoundment.
Nevertheless, EPA agrees that the final rule should account for the
significant closure work that has taken place at some legacy CCR
surface impoundments between October 19, 2015, and the effective date
of this final rule. For example, as noted, commenters provided several
examples of closures that were completed prior to the effective date of
this final rule. The final rule accounts for this not by exempting
these units but by modifying the applicable requirements. A facility
that can document that it has met the criteria in Sec. 257.102(c)
would be subject only to the requirement to document that they had met
those standards. Similarly, a facility that completed closure with
waste in place before the effective date of this final rule would only
be subject to the closure performance standards in Sec. 257.102(d),
and the post-closure care requirements (i.e., groundwater monitoring
and corrective action, if necessary). In addition, a facility that
completed closure under a regulatory authority's oversight and
approval, such
[[Page 38986]]
as pursuant to a Federal or State cleanup order could be subject to
even fewer requirements. Provided certain conditions have been met EPA
is deferring a decision on the adequacy of such closures to a
subsequent permitting authority to determine on an individual site-
specific basis, whether the completed closure meets the Federal
performance standards in Sec. 257.102 or is equivalent to (i.e., is as
protective as) such a closure. In the interim, these units would be
subject only to the requirements of a post closure care permit (i.e.,
groundwater monitoring and corrective action, if necessary). See Unit
III.B.2 of the preamble for further explanations of these provisions.
As EPA stated in the proposal, units that contain liquid present
different risks than those that do not, and the applicable requirements
should differentiate among them accordingly on that basis. See 88 FR
31993.Consistent with that logic, while EPA agrees that legacy
impoundments that were dewatered or closed prior to October 19, 2015
can still pose significant risks to human health and the environment,
as discussed in the next section, the final rule retains the approach
described in the proposal, and requires that an impoundment contain
both liquid and CCR on or after October 19, 2015 to be regulated as a
legacy impoundment.
b. Legacy CCR Surface Impoundment--Definition of an Inactive
Impoundment--Contains Both Liquid and CCR
The final rule requires that to be considered a ``legacy CCR
surface impoundment'' a CCR surface impoundment must have contained
both CCR and liquids on or after October 19, 2015. In addition, the
final rule further defines what it means to contain both CCR and liquid
by reference to Sec. 257.102(d)(2)(i). In this Unit of the preamble,
the Agency briefly explains what was proposed, summarizes the public
comments received, and provides EPA's responses. EPA first discusses
what it means for an impoundment to ``contain liquids'' followed by
what it means to ``contain CCR.''
i. What does it mean to contain liquid?
Consistent with the definition of an inactive CCR surface
impoundment at active facilities under the existing regulations, EPA
proposed in the May 2023 proposed rule that a legacy impoundment would
be required to have contained liquids on or after October 19, 2015, in
order to be subject to the requirements of this rule. In the proposed
rule, EPA also responded to comments previously raised in response to
the ANPRM, alleging that the phrase ``contains both CCR and liquids''
was impermissibly vague. These commenters were concerned that the
definition might not include those units whose bases are in contact
with groundwater or that no longer have visible, standing water at the
surface. EPA further responded to questions whether, based on the
existing definition of an inactive CCR surface impoundment, the
following would be considered a legacy CCR surface impoundment: (1)
Where, prior to October 19, 2015, the facility has decanted the surface
water, but, because the base of the impoundment intersects with the
groundwater, water continues to flow through the impoundment and
permeate the waste in the base of the unit; (2) Impoundments that
contained both CCR and liquids in the past but are now closed; (3)
Impoundments that contained CCR and liquids in the past but are in the
process of closing on the effective date of the legacy rulemaking; and
(4) Impoundments that once contained CCR and liquids but have been
fully dewatered and are now maintained so as to not contain liquid.
EPA explained that the answers to these questions turn on the
meaning of the terms ``contain'' and ``liquids'' in the definition of
an inactive impoundment in Sec. 257.53. Relying on dictionary
definitions, EPA explained that the term ``liquids'' includes the free
water, porewater, standing water, and groundwater in the unit, because
once any are present in the unit, they have the same potential to
create leachate, as well as to contribute to hydraulic head and drive
flows propelled by hydraulic gradients. 88 FR 31992. EPA also explained
that based on dictionary definitions an impoundment ``contains'' liquid
if there is liquid in the impoundment, that is, it has water within it,
even if water continues to leak from the unit. EPA also stated that as
a factual matter, a surface impoundment that has only decanted the
surface water would normally still contain liquid if the CCR was still
saturated with water.
Accordingly, EPA explained that to the extent the unit still
contains liquids on or after October 19, 2015, it is considered an
inactive impoundment under the existing definition in Sec. 257.53. EPA
proposed that such units would also be considered legacy CCR surface
impoundments, when located at inactive facilities. EPA also explained
that under the proposal, such an impoundment would be considered a
legacy CCR surface impoundment: (1) Even if it is considered ``closed''
under State law; (2) It is in the process of closing on the effective
date of this rule; or (3) The unit is only fully dewatered and can no
longer impound liquid after October 19, 2015.
EPA further explained that to determine whether an impoundment has
been dewatered, EPA relies on the existing requirements in Sec.
257.102(d)(2)(i) (``Free liquids must be eliminated by removing liquid
wastes or solidifying the remaining wastes and waste residues''). EPA
explained that this provision requires a facility to eliminate both the
standing liquid in the surface of the impoundment and the separable
porewater in any sediment located in the base of the impoundment,
regardless of the source of the standing water or porewater (i.e.,
whether it was present in the impoundment due to surface water
infiltration, intentionally added sluice water, or groundwater
intrusion).
EPA also solicited comment on whether to adopt a regulatory
definition of the term ``liquids'' to clarify that the term includes
free water, porewater, standing water, and groundwater.
Finally, the Agency explained that under the existing regulations,
an impoundment that did not contain liquids prior to October 19, 2015,
whether because it was closed in accordance with existing State
requirements or for other reasons, is not an inactive impoundment.
Similarly, a unit that still contains both CCR and liquid after that
date would still be considered an inactive unit even if it was closed
in accordance with the requirements in effect at the time (e.g., has a
cover). Consistent with this definition, EPA proposed not to expand the
definition of a legacy CCR surface impoundment to include units that no
longer contained any liquid on October 19, 2015. 88 FR 31993.
(a) Pending Litigation Over EPA's Regulatory Interpretations
A number of commenters claimed that the interpretation of
``liquids'' presented in the preamble was first announced in connection
with proposed Part A determinations in January 2022, and is currently
being litigated in the D.C. Circuit Court of Appeals in multiple cases
combined under the name, Electric Energy, Inc., et al. v. EPA, Case
Nos. 22-1056 and 23-1035.\46\ These
[[Page 38987]]
commenters complained that EPA makes no mention of this litigation in
the proposed rule, even as it claims that its interpretation is
``sufficiently clear that a definition is not necessary.'' According to
these commenters, EPA must acknowledge (and make a good faith attempt
to reconcile) the competing interpretations of key terms of art in the
2015 CCR Rule before extending them into this final rule. One commenter
further stated that if EPA ultimately elects to adopt regulatory
definitions of those terms, it should wait until the court rules so
that the definitions are informed by and consistent with any such
ruling.
---------------------------------------------------------------------------
\46\ On January 11, 2022, EPA issued determinations on
demonstrations submitted by facilities for extensions to the cease
receipt of waste deadline per 40 CFR 257.103(f)(1) and
257.103(f)(2), which the Agency refers to as ``Part A
determinations'' or ``Part A''. The CCR Part A Final Rule (85 FR
53516, August 28, 2020), grants facilities the option to submit a
demonstration to EPA for an extension to the deadline for unlined
CCR surface impoundments to stop receiving waste. Facilities had
until November 30, 2020 to submit demonstration to EPA for approval.
---------------------------------------------------------------------------
EPA disagrees that it is necessary to wait until the court issues
its decision in the pending litigation (Electric Energy, Inc., et al.
v. EPA, Case Nos. 22-1056 and 23-1035). The central issue Petitioners
raised in that case was exclusively procedural--whether EPA effectively
amended the 2015 CCR Rule without going through notice and comment.
Even if the D.C. Circuit addresses this procedural question, it would
not resolve the substantive question EPA posed in the proposal, of
whether the inclusion of a definition for the term ``liquids'' would
provide further clarity.
Finally, EPA considers that it has more than met any obligation to
``acknowledge (and make a good faith attempt to reconcile) the
competing interpretations of key terms of art in the 2015 regulation,''
in the proposal and again in this final rule. EPA has repeatedly
explained its construction of the regulations in documents held out for
public comment, including in the May 2023 proposal, and most recently,
in the proposal to deny Alabama's application for approval of its CCR
permit program. See, e.g., 88 FR 31992-31993, 32025-32026, 55236-55238.
EPA has also repeatedly responded to public comments, addressing each
of the commenters' alternative interpretations, and explaining in
detail the reasons for the Agency's disagreement. See, e.g., 88 FR
55237; U.S. EPA. Denial of Alternative Closure Deadline for General
James M. Gavin Plant, Cheshire, Ohio. November 18, 2022. pp 14-42,
Response to Comments on Proposed Denial (Docket ID No. EPA-HQ-OLEM-
2021-0590). November 2022. EPA has again responded to the commenters'
alternative interpretations throughout this preamble and in the
Response to Comments document in the docket. And even though EPA
remains entirely unconvinced by the commenters' alternative
interpretations, and without exception, considers that they are
inconsistent with the plain language of the provisions at issue, EPA
has responded to them by incorporating definitions of ``liquids'' and
``infiltration'' that reflect EPA's existing construction of the
regulations. Neither RCRA nor the APA requires anything further.
(b) Comments on the Definition of an ``Inactive CCR Surface
Impoundment'' and the Meaning of ``Contains Liquids''
All commenters agreed that, consistent with the existing definition
of an inactive surface impoundment, any impoundment that ``contains
both liquids and CCR'' at an inactive facility should be classified as
a legacy CCR Surface impoundment. However, commenters disagreed on the
correct interpretation of the phrase ``contains. . .liquids.'' Several
commenters agreed with EPA's explanation in the proposal that to the
extent an impoundment still contains liquids on or after October 19,
2015, it is properly considered an inactive impoundment under the
existing definition in Sec. 257.53, even if (1) The unit had
``closed'' under State law; (2) The unit is in the process of closing
on the effective date of this rule; or (3) After October 19, 2015 the
unit is fully dewatered and can no longer impound liquid. These
commenters also agreed that such units should also be considered legacy
CCR surface impoundments when located at inactive facilities.
But other commenters objected to proposal's construction of the
regulation. These objections fell generally into two categories. First,
a number of commenters argued that the discussion in the proposed rule
reflected a ``new'' interpretation that expanded the meaning of the
terms ``CCR surface impoundment'' and ``inactive surface impoundment''
by interpreting the phrase ``contains liquids'' to reach units that the
commenters believe EPA never intended to cover in 2015. In support of
this argument, these commenters objected to the statement in the
proposal that free water, porewater, standing water, and groundwater
are liquids under the existing regulation defining inactive CCR surface
impoundments, arguing that this expands the existing definition of
liquids to sources of water that the commenters assert ``are not
demonstrated to be contributing to hydraulic head creating the
potential for impoundment failure and spread of contaminated water.''
These commenters further claimed that the existing definition of an
``inactive impoundment'' does not include: (1) Units ``with any amount
of water;'' (2) Impoundments that closed prior to the effective date of
the 2015 CCR Rule; and (3) ``Dewatered'' impoundments. These commenters
contend therefore, that none of these units should be considered legacy
CCR surface impoundments either. Second, a number of commenters raised
concerns about the merits or wisdom of the approach. Many of these
commenters also offered alternative definitions.
In addition, as discussed in the preceding section, a number of
commenters objected to EPA's proposal not to expand the definition of a
legacy CCR surface impoundment to include units that no longer
contained any liquid on October 19, 2015. These commenters argued that
the proposed definition failed to address the full universe of surface
impoundments at inactive plants that pose a reasonable probability of
adverse effects on health and environment. In support of their
contention, these commenters referenced EPA damage cases documenting
harm to groundwater and/or surface water from impoundments that may not
have contained liquid on or after 2015. The commenters also referenced
a report, ``Assessment of Legacy Surface Impoundments'' by Gordon
Johnson, M.Sc., P.Eng., that examines ten CCR surface impoundments at
inactive facilities that were not on EPA's list of potential legacy
impoundments and do not appear to contain standing water. According to
the commenter, the report shows that unacceptable levels of risk may
still be present for historical impoundments that have been dewatered
and/or capped.
(1) What is a ``liquid''?
The May 2023 proposed rule explained that free water, porewater,
standing water, and groundwater are liquids under the existing
regulation. The source of the liquid does not impact its basic and
fundamental designation as a liquid and its contribution to the risk
posed by an impoundment. It therefore does not matter whether the
liquid in the surface impoundment comes from the rain, waters the
facility deliberately places in the unit, floodwaters from an adjacent
river, or from groundwater--all are liquids, and once present in the
unit, they have the same potential to create leachate (another type of
liquid), and to contribute to hydraulic head and drive flows driven by
hydraulic gradients. 88 FR 31992.
[[Page 38988]]
Several commenters agreed that the final rule should reflect EPA's
existing interpretation that an impoundment containing any of the
following types of liquid would be considered to contain liquid: free
water, porewater, standing water, and groundwater without regard to
their source.
However other commenters disagreed that under the existing
regulations the term ``liquids'' includes free water, porewater,
standing water, and groundwater in CCR units, and disagreed that EPA
should adopt such a definition. Many of these commenters argued that
EPA should not focus on ``liquids'' but on ``free liquids,'' which they
interpret to exclude groundwater. For example, one commenter asserted
that ``the term liquids, which is used in the definition of ``free
liquids,'' is not defined in the CCR Rule, and that the term ``free
liquids'' was never used in relation to groundwater.'' Another
commenter objected that the existing regulations establish two separate
definitions of free liquids and groundwater, which they claim do not
reference each other or refer to overlapping concepts. The commenter
further argued that free liquids are ``liquids that readily separate
from the solid portion of a waste under ambient temperature and
pressure,'' but ``groundwater'' is ``water below the land surface in a
zone of saturation,'' and that these are different things from a
technical perspective.
These commenters urged that regulating based on the presence of
free liquids would be consistent with EPA's philosophy for regulating
CCR surface impoundments because free liquids contribute to hydraulic
head and hydraulic gradients regardless of their origin and impounded
water must be removed from the impoundment to create a stable subgrade
for the final cover system. Another commenter stated that this would be
consistent with the 2015 CCR Rule, because even a unit closed under the
existing regulatory criteria may contain some liquids after closure, so
long as they are not free liquids.
The final rule continues to define ``liquids'' in accordance with
its plain language meaning, consistent with the ordinary dictionary
definition. Reliance on the ordinary meaning here is the default, as
neither RCRA nor the existing part 257 regulations include a definition
of the term ``liquids.'' FTC v. Tarriff, 584 F.3d 1088, 1090 (D.C. Cir.
2009) (quoting Williams v. Taylor, 529 U.S. 420, 431 (2000)) (``It is
fixed law that words of statutes or regulations must be given their
`ordinary, contemporary, common meaning.' ''). This reflects EPA's
existing construction of the current regulations. As discussed in
greater detail in Unit III.B.1.b.i.(b)(4), the final rule incorporates
this definition into Sec. 257.53.
The dictionary definition encompasses all of the various types of
liquid that may be present in a CCR unit, including water that was
sluiced into the impoundment along with the CCR, precipitation, surface
water, and groundwater that has migrated into the impoundment, which
may be found as free liquids, free water or standing water ponded above
the CCR or porewater intermingled with the CCR. These definitions are
consistent with the surrounding regulatory text and structure of the
regulation as a whole, as well as the wider context in which the terms
are employed. As a consequence, the term functions effectively in all
of the various contexts in which it is used in part 257. This is
particularly true of the term ``liquids,'' which plays a critical role
in determining both whether a unit is subject to the regulations and in
the performance standards that apply to impoundments closing with waste
remaining on-site at Sec. 257.102(d).
Further, reliance on this definition best achieves the statutory
purpose of protecting human health and the environment. By accounting
for all liquids, regardless of the source, the regulation ensures that
the risks that legacy CCR surface impoundments pose will be addressed--
both by focusing on the impoundments that pose the greatest risks and
by ensuring that all sources of risk are addressed in closing an
impoundment. As explained in the proposal, the source of the liquid
does not determine its basic and fundamental properties. It therefore
does not matter whether the liquid in the surface impoundment comes
from the rain, waters the facility deliberately places in the unit,
floodwaters from an adjacent river, or from groundwater. All liquids,
once present in the impoundment have the same potential to become free
liquids and promote contaminant leaching and contribute to structural
instability or failure, by contributing to the creation of leachate
(another type of liquid), and hydraulic head.
Contrary to the commenters' contentions there is no inconsistency
between the regulatory definitions of groundwater and free liquids. By
their terms the definitions of free liquids and groundwater are not
mutually exclusive; rather, the term ``free liquids'' encompasses the
term ``groundwater.'' Nor is there any inconsistency in applying both
of these terms in this context. First, the word ``liquid,'' which
appears both in the existing definitions of an inactive CCR surface
impoundment and free liquids, is broad enough that it can encompass
groundwater, which has been defined in Sec. 257.53 since 2015. Not all
liquids are groundwaters, but all groundwater (water) is a liquid. And,
where the water in the surface impoundment sits ``below the land
surface in a zone of saturation,'' the water in the unit meets the
regulatory definition of groundwater. 40 CFR 257.53. Moreover, nothing
in the definition of free liquids restricts the source of the liquid.
It therefore does not matter whether the liquid in the surface
impoundment comes from rain, waters that the facility deliberately
places in the unit, floodwaters from an adjacent river, or from
groundwater--all are liquids. The only test the regulation establishes
for free liquids is whether the liquid readily separates from the solid
portion of the wastes under ambient temperature and pressure. Id.
However, EPA generally agrees that regulating based on the presence
of free liquids, albeit not based on the commenters' misinterpretation
of the term, would be consistent with the existing regulations and the
risks associated with CCR surface impoundments. As described in Unit
III.A above, the risks are largely driven by the presence of free
liquids in the unit, as these are the liquids that causes the metals
and other constituents to leach out of the CCR, and that will
eventually leak out of the unit into the surrounding soil and/or into
the aquifer, along with any CCR constituents that have leached from the
waste in the interim. Although some liquids will remain bound within
the pore spaces of the CCR material and will not readily drain under
ambient temperature and pressure, these residual liquids (e.g., bound
porewater or potential leachate) will not continue to drain from the
unit, absent other forces, and exposure to these residual liquids is
therefore not likely.
As discussed in the next section, EPA has adopted an approach based
on whether free liquids are present in the impoundment.
(2) What does it mean to contain liquid?
The proposal explained that under the existing regulations, EPA
determined whether an impoundment ``contains liquids'' by reference to
a combination of the dictionary definition of ``contains,'' and the
dewatering standard in Sec. 257.102(d)(2)(i). In essence, if liquids
are present in an impoundment, the unit ``contains liquid.'' However,
EPA considers a unit that met the performance standard in
[[Page 38989]]
Sec. 257.102(d)(2)(i) to have been dewatered. Several commenters
supported this proposal.
However, numerous other commenters raised concerns about relying on
the plain language meaning of the phrase. For example, some commenters
stated that all units contain some liquid, explaining that a landfill
``contains'' rain after a heavy rainfall event. Similarly, a commenter
argued that that under EPA's interpretation, a fully closed unit with
ponded water on the cover resulting from precipitation or from fugitive
dust control activities, and closed units with an engineered capability
to impound water atop their covers would potentially be subject to the
CCR regulations. The commenter stated that in all of these cases, the
ponded water would seem to pose no risk.
Commenters also separately questioned whether EPA had real risk
concerns from units that contained ``any amount'' of liquid. For
example, one commenter asserted that EPA has not demonstrated that
units with any amount of water, no matter how small an amount or
without regard to whether the liquid is separable from the CCR will
present sufficient risks to warrant regulation under RCRA section
4004(a). This commenter contended that EPA cannot rely on the 2014 Risk
Assessment to support regulating such units because the assessment
showed only that surface impoundments with a hydraulic head exceed that
risk threshold. Several of these commenters recommended that EPA
regulate based on whether the impoundment contains free liquids rather
than liquids.
Another commenter raised concern that relying on the plain language
meaning would present a number of technical challenges. These included
how owners can determine whether a previously closed and dewatered
surface impoundment at an active (or inactive) facility still contains
``liquids.'' The commenter explained that in some cases, State
regulators confirmed that a site no longer had the capacity to impound
water and therefore indicated that the site was no longer subject to
the State's dam safety and impoundment rules. The commenter also asked
whether EPA would accept use of the paint filter test, the detection of
water in piezometers, or some other method to determine whether
sufficient separable porewater is present for an impoundment to be
considered to ``contain liquids.'' The commenter also asked what kinds
of samples would be required--individual or composite--as well as how
many and at what locations, to determine if an impoundment ``contains
liquids.'' The commenter believed these questions need to be resolved
in the numerous situations in which a formerly closed impoundment may
contain some porewater as a result of periodic rainfall infiltration
but is not in contact with the uppermost aquifer.
By contrast commenters generally supported reliance on Sec.
257.102(d)(2)(i) to determine whether a unit contains liquid; although
they disagreed over what that provision requires. Several commenters
agreed with the proposal's explanation of these existing closure
requirements, stating that the discussion was fully consistent with
EPA's long-held position under the largely identical hazardous waste
regulations, citing to EPA documents from 1982 and 1988.
But numerous other commenters argued that EPA had misinterpreted
Sec. 257.102(d)(2)(i), and consequently was proposing to regulate
impoundments that the commenters believed had been dewatered, and
therefore posed little risk. According to these commenters, Sec.
257.102(d)(2)(i) does not require the elimination of all liquids, or
even all free liquids, but only requires the removal of liquid wastes
to the extent necessary to support the cover system. These commenters
also contended that ``the plain language of the 2015 CCR Rule does not
require facilities to address groundwater as part of the closure
performance standards under 40 CFR 257.102(d),'' based in part on the
claim that regulatory definition of free liquids does not encompass
groundwater. These commenters urged EPA adopt the same approach to
determining whether an impoundment contains liquid.
Several commenters also raised concern that the proposal failed to
explain or provide clear guidance on how much water an impoundment must
contain to be regulated as a legacy impoundment under the 2023 proposed
rule. Many of these commenters requested EPA to clearly define a
reasonable threshold associated with what it means to ``contain
liquids,'' to aid the regulated community in determining when the
performance standard has been met. One commenter noted that the Agency
had attempted to fix this problem by relying on the closure standard in
Sec. 257.102(d)(2)(i), which requires the elimination of ``free
liquids,'' but the commenter considered this approach to be
insufficient because EPA had not articulated how to determine whether
free liquids have been eliminated.
The final rule largely adopts the approach laid out in the
proposal, relying on a combination of the plain language meaning of the
phrase and the performance standard in Sec. 257.102(d)(2)(i) to
determine whether an impoundment ``contains liquid.'' Under the
ordinary meaning, an impoundment ``contains liquid'' if liquid is
present in the impoundment, even if the impoundment does not prevent
the liquid from migrating out of the impoundment. In other words, it
``contains'' water if it has water within it. See, USWAG, supra at 454
n. 23 (``The EPA's regulatory definition of ``impoundment'' is
consistent with the dictionary definition of the verb ``impound,''
which manifests continuing action,'' citing Impound, Webster's Third
New International Dictionary 1136 (3d ed. 1993) (``[T]o confine or
store (water)[.]'')). Accordingly, under the final rule, if liquids are
present in the unit, it will be considered to contain liquids, unless
the facility can demonstrate that free liquids have been eliminated.
Simply put, if a facility can document that free liquids were
permanently eliminated prior to October 19, 2015, the unit will not be
considered a legacy impoundment.
Relying on Sec. 257.102(d)(2)(i) in this context is reasonable and
protective. Both the definition of an inactive CCR surface impoundment
and the closure performance standard are designed to address the same
issues (the presence or removal of liquid wastes) and are designed for
the same purpose (to ensure the risks from the co-management of CCR and
liquid are adequately addressed). Once the free liquids have been
eliminated from the impoundment, any remaining liquids do not present a
reasonable probability of contaminating the aquifer. Thus, EPA does not
intend an operator to removal all moisture from an impoundment, but
only the free liquids required under Sec. 257.102(d)(2)(i), because of
free liquids' contribution to risk.
Contrary to some commenters' claims, the existing text in Sec.
257.102(d)(2)(i) requires a facility to eliminate both the standing
liquid in the surface of the impoundment and all readily separable
porewater in any sediment located in the base of the impoundment. Free
liquids are currently defined at Sec. 257.53 to mean ``liquids that
readily separate from the solid portion of a waste under ambient
temperature and pressure.'' This definition encompasses both standing
liquids in the impoundment as well as any readily separable porewater
(i.e., porewater that readily separates under ambient temperature and
pressure) in any sediment or CCR. As EPA explained in the proposal, the
existing regulation does not differentiate between the sources of the
liquid in the
[[Page 38990]]
impoundment (e.g., surface water infiltration, sluice water
intentionally added, groundwater intrusion). This is further supported
by the fact that the performance standard at Sec. 257.102(d)(2)(i) was
modeled on the regulations that apply to interim status hazardous waste
surface impoundments, which are codified at Sec. 265.228(a)(2)(i).
EPA's guidance on these interim status regulations clarifies that these
regulations require both the removal of standing liquids in the
impoundment and sediment dewatering. See, ``Closure of Hazardous Waste
Surface Impoundments,'' publication number SW-873, September 1982. EPA
previously discussed the subtitle C regulations at length beginning on
page 29 in the Final Decision on Request For Extension of Closure Date
Submitted by Gavin Power, LLC, 87 FR 72989 (November 15, 2022), as well
as in the associated Response to Comments document located in the
docket.\47\ And the definition of liquid included in this final rule
removes any misunderstanding.
---------------------------------------------------------------------------
\47\ The Final Decision and Response to Comments documents can
be found in the docket for that action. See docket items EPA-HQ-
OLEM-2021-0590-0100 and EPA-HQ-OLEM-2021-0590-0099, respectively.
---------------------------------------------------------------------------
The commenters are also mistaken that the existing regulation only
requires the elimination of free liquids to the extent necessary to
support the unit's final cover system, The provision does not state
that the facility must ``eliminate free liquids to the extent necessary
to support the final cover system,'' or anything comparable. Given that
Sec. 257.102(d)(2)(ii) does specify that ``waste must be stabilized
sufficient to support the final cover system,'' the absence of any
similar text in paragraph (d)(2)(i) is dispositive. Compare Sec.
257.102(d)(2)(i) and (ii).
EPA disagrees that it is not taking into account whether the water
in the unit poses risk. And for the same reasons EPA disagrees that it
has failed to demonstrate that the units subject to regulation under
this rule warrant regulation under RCRA section 4004(a).
Impoundments with free liquids do in fact pose significant risk for
the reasons discussed above. In the proposal, EPA discussed two
examples of units that still ``contain liquids'': (1) A unit
constructed such that the CCR in the unit was continually saturated by
water flowing freely through the unlined impoundment; and (2) Where the
facility has removed only the standing water from the impoundment. As
EPA explained, as a purely factual matter, a surface impoundment that
has only decanted the surface water would normally still contain free
liquids if the waste in the unit was still saturated with water.
Neither of these examples--which in actuality, likely represent the
overwhelming majority of legacy impoundments subject to the final
rule--have eliminated free liquids or involve trivial amounts of water.
As explained in the preceding sections, such impoundments still contain
hydraulic head and are otherwise essentially indistinguishable from the
impoundments described in the 2015 CCR Rule preamble and modeled in the
2014 Risk Assessment. And as EPA explained in the proposal, these units
retain the conditions that cause a heightened risk of contaminating the
aquifer. That is true even if the unit is considered ``closed'' under
State law, is in the process of closing, or at some subsequent point,
the unit is fully dewatered and no longer contains liquid.
Moreover, as several commenters confirmed, it has apparently been a
common practice to maintain CCR impoundments in a dewatered state. Even
assuming these commenters meant that they had done more than merely
remove the standing water, which seems unlikely given their comments on
Sec. 257.102(d)(2)(i), without an effective cover system many
``dewatered'' impoundments can nevertheless contain significant volumes
of water simply as a consequence of the amount of precipitation that
continually percolates through the unit. Based on an online USGS
Rainfall Calculator Tool,\48\ the example unit will receive a total of
27,154 gallons of water per acre during a single 1-inch rainfall event.
Taking that a step further, a 50-acre impoundment in Atlanta, Georgia
typically receives an average of 50 inches of rain a year, which
equates, on a yearly average, to 67,885,000 gallons of water per
year.\49\ In the absence of any action taken to remove the water, over
time it will continue to accumulate in the unit.
---------------------------------------------------------------------------
\48\ Found at https://www.usgs.gov/tools/usgs-rainfall-calculator. Found at https://www.usgs.gov/tools/usgs-rainfall-calculator.
\49\ Based on 30-year average rainfall from National Weather
Service data.
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Thus, in many areas of the country (e.g., the Southeast), CCR
surface impoundments without an effective cover system may contain free
liquids and meet the definition of a legacy impoundment due to the
amount of annual rainfall.\50\ But this approach is intended to also
clarify that contrary to the commenters' contention, a unit whose
periodic rainfall does not result in free liquids (e.g., is readily
absorbed into the CCR) would not be regulated as a legacy CCR surface
impoundment.
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\50\ The frequency and severity of future rainfall events may be
amplified by the effects of climate change. On average this would
result in more water percolating through, and accumulating in,
legacy CCR surface impoundments, which may further increase the risk
of these units contaminating their underlying aquifers. More
frequent and more severe rainfall events may also increase the risk
that legacy CCR impoundments flood, overtop, and experience
structural failures leading to potentially catastrophic releases of
CCR into the surrounding environment. Many legacy CCR surface
impoundments are located in 100-year floodplains which suggests that
they are particularly vulnerable to rainfall driven flooding. Unit V
of this preamble and the RIA accompanying this final rule describe
this scenario in more detail.
---------------------------------------------------------------------------
Finally, with respect to the small number of units that may have
been completely dewatered after October 19, 2015, these units likely
pose significant (and unacceptable) risks to human health and the
environment that warrant regulation under RCRA section 4004(a), based
solely on the expected presence of contamination that occurred while
the impoundment was operating. See Unit III.A.2 of this preamble.
This approach also largely addresses commenters' request for a
clear standard, and many of their technical concerns. For example, the
clarification that EPA is concerned with the presence of readily
separable porewater, (that is, free liquids), which can be easily
verified by technical equipment such as piezometers, thus resolves the
commenters' concern that that porewater may be difficult to measure as
it is held in the interstices or pore spaces between particles of soil,
sediment, and/or CCR material and may not flow readily or be easily
quantified using field or laboratory methods. EPA has also developed a
memorandum describing the current methods and tools that are available
to determine whether free liquids have been eliminated, which is
available in the docket for this rulemaking. EPA has provided a brief
summary of the memorandum in the next four paragraphs below.
Many of the tools and methods to identify and eliminate free
liquids are already widely used by industry to investigate and close
surface impoundments. For example, tools currently used to identify
free liquids include soil borings and cone penetrometers to map the
stratigraphy of the CCR unit and characterize the geotechnical and
hydraulic properties of the various CCR layers, as well as the
installation of traditional piezometers, monitoring wells and vibrating
wire piezometers to monitor pore pressures and water levels. Properly
constructed
[[Page 38991]]
wells and piezometers screened in the appropriate locations and depths
have a prominent role in networks of instruments used to assess free
liquids, as their design directly measures water levels under ambient
conditions. Fundamentally, water levels in properly constructed and
developed wells and piezometers are indicative of free liquids at that
location. Conversely, networks of spatially discretized wells and
piezometers can be used as part of a program to determine or confirm
that free liquids no longer exist.
Similarly, tools and methods to eliminate free liquids within the
CCR, such as rim ditches, underdrain systems, pumping wells, manifolded
extraction wellpoints, etc., are also currently widely employed by
industry. These elimination technologies can also provide diagnostic
and confirmatory insights into the presence and nature of free liquids
at a given CCR unit, e.g., rim ditches and open excavations enable
direct observation of free liquids.
EPA recommends that a demonstration of whether free liquids are
present rely on a holistic evaluation of all information collected from
site-wide monitoring networks (e.g., piezometers and vibrating wire
piezometers), as well as data collected from actual dewatering efforts.
EPA further recommends that monitoring networks include points of
sufficient density to independently verify dewatering performance
determined from implementation of elimination technologies.
The memorandum also provides general guidance on considerations for
developing successful site-specific strategies and approaches to
identify, measure, monitor and eliminate free liquids. The elimination
of free liquids relies on a well resolved understanding of the
character and variability of the site-specific geology and hydrology,
as well as the CCR materials themselves. Such information is frequently
compiled into a Site Conceptual Model (CSM), and the memorandum also
discusses some considerations related to the elements needed to
construct a CSM if one does not already exist, or to augment a weak or
poorly resolved CSM.
EPA has adopted this approach rather than the commenters'
suggestion to define a legacy CCR surface impoundment as a CCR surface
impoundment that ``contains CCR and free liquids''--even though EPA
expects the effect will be the same in almost all cases--because it
represents the best balance of several competing considerations. First
reliance on the broad dictionary definition is the most protective
because all liquids have the potential to become the free liquids that
create leachate and contribute to hydraulic head. This approach also
maintains consistency with the existing definition of an inactive CCR
surface impoundment.
At the same time, EPA acknowledges that once the free liquids have
been eliminated from the impoundment, any remaining liquids typically
do not present a reasonable probability of contaminating the aquifer.
EPA is also mindful of not establishing criteria that blur the lines
between landfills and impoundments, EPA agrees with commenters that it
would not be appropriate to designate a CCR landfill as a CCR surface
impoundment based solely on periodic rainfall that is readily absorbed
into the CCR and does not result in free liquids.
The regulation reflects this balance by placing the burden on the
owner or operator to demonstrate that the standard in in Sec.
257.102(d)(2)(i) has been met. In other words, the absence of free
liquids is an affirmative defense, and therefore any uncertainty as to
whether the standard in Sec. 257.102(d)(2)(i) has been met is to be
construed in favor of regulation because of the risks of environmental
harm from free liquids in contact with CCR.
Although, consistent with the 2015 CCR Rule, EPA is not requiring
facilities to post documentation to demonstrate that no legacy
impoundment is present at the site, EPA recommends that facilities
develop and retain records to support any determination that a
particular unit meets this exception. Finally, as discussed in Unit
III.B.2.b.i of this preamble, EPA has provided additional time to allow
a facility to determine that it has eliminated free liquids as part of
its applicability report.
(3) Whether the Proposal Reflected a ``New'' Interpretation
To support their claim that EPA had adopted new definitions of
``liquid'', ``CCR surface impoundment'' and ``inactive CCR surface
impoundment,'' a number of the commenters identified aspects of the
2015 CCR Rule or preamble that they believe to be inconsistent with the
May 2023 proposed rule preamble. First, several of these commenters
claimed that statements in the proposed rule are inconsistent with the
requirement in the existing definition of a CCR surface impoundment
that the unit must be ``designed to hold an accumulation of CCR and
liquids.'' 40 CFR 257.53. For example, some commenters stated that an
impoundment that was dewatered and closed or is otherwise maintained so
as not to impound liquids is no longer ``designed to hold an
accumulation of CCR and liquids,'' and therefore, cannot be considered
an inactive or legacy impoundment. Several commenters also claimed that
the 2015 CCR Rule preamble, explained that the phrase, ``designed to
hold an accumulation of CCR and liquids,'' means only units that
``contain a large amount of CCR managed with water, under a hydraulic
head that promotes the rapid leaching of contaminants.'' According to
these commenters, although a dewatered or closed impoundment may
``contain liquid'' as EPA defined it in the May 2023 proposal, no
hydraulic head would be present. Or as one commenter stated, ``The
Proposed Rule definition of liquids was expanded to include sources of
water that are not demonstrated to be contributing to hydraulic head,
or creating the potential for impoundment failure and spread of
contaminated water.'' These commenters argue that facilities had relied
on this guidance in good faith, and that ``simply citing the dictionary
definitions of a `liquid' and 'contains' eight years after the 2015 CCR
Rule published and without context is not a sufficient rationale or
appropriate.''
Several of these same commenters raised concern that EPA was
proposing to regulate units that do not present the same risks on which
the original rule was based. These commenters stated that in 2015 EPA
did not strictly interpret ``liquids'' as precipitation, porewater, or
groundwater without considering the associated force of liquids on the
unit's embankment. According to the commenters, the 2015 CCR Rule was
based on--and the current rulemaking should continue to be concerned
with only--``the risk of excessive hydraulic head and the potential for
structural failure of embankments from impounded water.'' The
commenters further stated that the maintenance of CCR impoundments in a
dewatered state significantly reduces the risk of structural failure,
reduces the contact time with larger quantities of CCR, and reduces
constituent concentrations and overall risk of impact to groundwater.
Other commenters pointed to statements in the 2015 CCR Rule
preamble that EPA did not intend the term ``inactive impoundments'' to
include units that are closed, or to require closed units to reclose.
Several of these commenters quoted the following discussion:
EPA did not propose to require ``closed'' surface impoundments to
``reclose.'' Nor did
[[Page 38992]]
EPA intend, as the same commenters claim, that ``literally hundreds
of previously closed. . .surface impoundments--many of which were
properly closed decades ago under state solid waste programs, have
changed owners, and now have structures built on top of them--would
be considered active CCR units.'' Accordingly, the final rule does
not impose any requirements on any CCR surface impoundments that
have in fact ``closed'' before the rule's effective date--i.e.,
those that no longer contain water and can no longer impound liquid.
80 FR 21343.
Another commenter asserted that based on the proposal's ``strict
interpretation,'' all CCR landfills and all CCRMU would
(inappropriately) be considered inactive or legacy CCR surface
impoundments. As the commenter explained, a CCR landfill could contain
liquids, especially after heavy rainfall, but as it was not designed to
hold an accumulation of CCR and liquid it is not a CCR surface
impoundment.
A number of commenters also argued that the interpretation in the
proposal of ``contains liquids'' is inconsistent with the decision in
2015 to define sand and gravel pits as a CCR landfill. According to the
commenters, if EPA intended inactive CCR surface impoundments to
broadly encompass CCR in contact with groundwater, without hydraulic
head, sand and gravel pits would have instead been added to the
definition of CCR surface impoundment. The commenters base this on
EPA's statement in the proposed rule that ``the damage from the
placement of CCR in sand and gravel pits was almost always associated
with CCR being placed in contact with water, which indicated that the
placement of CCR in contact with water can lead to higher risks than
from dry disposal.'' See, 80 FR 32010.
Finally, a commenter raised concern that owners of inactive
facilities that dewatered a CCR surface impoundment before October 19,
2015, but completed the removal of CCR at some time after October 19,
2015, could be subject to the CCR legacy rules because of what the
commenter characterizes as the modification to the definitions of
liquid and contains. This commenter also raised concern that some
former coal-fired power plant properties were sold based on EPA's prior
guidance that dewatered surface impoundments were not regulated, and
asked whether these non-utilities will be required to comply with the
documentation requirements.
As discussed above, this final rule defines a legacy CCR surface
impoundment as a CCR surface impoundment at an inactive facility that
``contains both CCR and liquid,'' as EPA discussed that phrase in the
proposal. EPA continues to believe that the appropriate construction of
the phrase is to rely on its plain language meaning, consistent with
the ordinary dictionary definitions those terms, in combination with
the dewatering standard in Sec. 257.102(d)(2)(i). EPA is also
promulgating a definition of this term in this final rule. As discussed
above, some commenters have asserted that this definition is ``new.''
EPA disagrees. Regardless, even if it were new, it is permissible for
EPA to define the term here in this rulemaking--EPA is not bound to any
prior definition, and fully explained its rationale for the definition
herein. In addition, the definition of liquids is not in any way
inconsistent with other definitions in Sec. 257.53 or any other
provisions from the 2015 CCR Rule.
EPA agrees that a legacy CCR surface impoundment must meet the
existing definition of a CCR surface impoundment in Sec. 257.53. That
definition contains three criteria: (1) The unit must be ``a natural
topographic depression, manmade excavation or diked area;'' (2) The
unit must be ``designed to hold an accumulation of CCR and liquid;''
and (3) The unit ``treats, stores or disposes of CCR.'' 40 CFR 257.53.
None of these require the presence of a particular amount of water or
hydraulic head--or indeed any. Rather, the unit must be ``designed''--
that is, intended to--hold an accumulation of CCR and liquid. Although
EPA expected that, based on its understanding of the utilities' current
management practices, water would be present as a consequence of the
treatment, storage, or disposal occurring in the unit, nothing in the
text of the definition requires it, let alone requires a minimum
amount. The requirement that liquid actually be present in the unit
appears in the definition of an ``inactive surface impoundment'' (or
``legacy CCR surface impoundment''), which as discussed, requires that
the unit ``contains both CCR and liquids.'' 40 CFR 257.53.
With this understanding, EPA disagrees with the commenter who
asserted that based on the proposal's ``strict interpretation,'' all
CCR landfills and all CCRMU would be considered inactive or legacy CCR
surface impoundments. The commenter explained that, for example, a CCR
landfill could contain liquids, especially after heavy rainfall, and
the commenter believed that the construction of the regulation outlined
in the proposal would mean that this unit would be classified as a CCR
surface impoundment even though the unit was not ``designed to hold an
accumulation of both CCR and liquid.'' EPA agrees that a unit that
meets the definition of a CCR landfill would not become a CCR surface
impoundment merely because it contained liquid; as the commenter noted,
such a unit would not have been ``designed to hold an accumulation of
both CCR and liquid.'' Ordinarily there should be clear indications
that the unit was not intended or designed to function as an
impoundment; for example, if the facility placed only dry CCR into a
unit, or had designed or constructed the unit as a CCR landfill (e.g.,
it was constructed or operated with a leachate collection and removal
system that meets the requirements of Sec. 257.70(d)). It was for this
reason that EPA included sand and gravel pits within the definition of
a CCR landfill; all of those instances involve the placement of
exclusively dry CCR into the sand and gravel pits with no indication
that they were designed to hold liquids.
For the same reason, EPA disagrees that an impoundment that has
been dewatered and closed or is otherwise now maintained so as not to
impound liquids should no longer be considered ``designed to hold an
accumulation of CCR and liquids,'' and therefore, should not be
considered an inactive or legacy impoundment. Just as a landfill would
not suddenly become ``designed to hold an accumulation of both CCR and
liquids'' based on the temporary presence of precipitation, removing
liquids from a unit that was constructed as a surface impoundment and
that operated as a surface impoundment by managing both CCR and liquids
for decades, does not suddenly mean that the unit is no longer
``designed to hold an accumulation of CCR and liquids.'' Even assuming
all free liquids had been removed from the unit, which as discussed
below is unlikely, the subsequent removal of liquids as part of closing
the unit does not change either the original design or use of the unit;
the commenters do not intend to retrofit the unit for subsequent use as
a landfill, but are merely in the process of complying with the
requirements applicable to the closure of CCR surface impoundments. Nor
does the subsequent dewatering change the present risks arising from
the original design and long-term operation of the unit as an
impoundment. To avoid any confusion on this point, EPA has deleted the
phrase ``which is'' from the existing definition of a CCR surface
impoundment.
EPA also disagrees that the proposed (and now final rule) expanded
the existing definition of a CCR surface impoundment--either by
regulating
[[Page 38993]]
different kinds of units as surface impoundments than are currently
regulated as surface impoundments, or by regulating units that present
substantially different kinds or level of risks. These commenters have
misunderstood the 2015 CCR Rule and preamble.
EPA did not limit surface impoundments to units ``containing a
large amount of CCR managed with water, under a hydraulic head that
promotes the rapid leaching of contaminants.'' The definition of a CCR
impoundment is discussed in the 2015 preamble at 80 FR 21357-21358.
Reading the discussion as a whole, rather than the single sentence from
the preamble that the commenters reference, clearly demonstrates that
the 2015 CCR Rule was concerned with more than the risks associated
with the force of impounded water on the embankment structure and
included the risks of contamination when water travels from the
impoundment to the surrounding are, and that EPA did not limit the CCR
surface impoundments regulated under the 2015 CCR Rule to those that
contain a particular amount of water or degree of hydraulic head.
It is clear from the complete discussion that what determines
whether a unit is considered a CCR surface impoundment are the three
criteria \51\ (discussed above) actually in Sec. 257.53, rather than a
finding that the particular unit ``contain[s] a large amount of CCR
managed with water, under a hydraulic head that promotes the rapid
leaching of contaminants.''
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\51\ The existing definition of a CCR surface impoundment
contains three criteria: (1) The unit must be ``a natural
topographic depression, manmade excavation or diked area;'' (2) The
unit must be ``designed to hold an accumulation of CCR and liquid;''
and (3) The unit must ``treat[ ], store[ ] or dispose[ ] of CCR.''
40 CFR 257.53.
---------------------------------------------------------------------------
In addition, the critical issue in crafting the definition was the
quantity of CCR in the unit, not the quantity of water. Thus EPA
explained that it was modifying the proposed definition to address
concerns that it would capture ponds that contain only de minimis
levels of CCR, because it agreed with commenters that the rule as
proposed could inadvertently capture units that present significantly
lower risks, such as process water or cooling water ponds that
``although they will accumulate any trace amounts of CCR that are
present, they will not contain the significant quantities that give
rise to the risks modeled in EPA's assessment.'' 80 FR 21357. EPA then
stated that by contrast, ``units that are designed to hold an
accumulation of CCR and in which treatment, storage, or disposal occurs
will contain substantial amounts of CCR and consequently are a
potentially significant source of contaminants.'' Id. (Emphasis added).
These points are best illustrated by the specific examples
discussed in the preamble of the 2015 CCR Rule. First, in each example
EPA explained whether the units would be considered CCR surface
impoundments exclusively by reference to the criteria in the
regulation. 80 FR 21357. Second, the units in each of the examples
contained varying degrees of water and therefore hydraulic head. The
final example was a diked area in which wet CCR is placed in order to
remove the water for future transport to a CCR landfill or beneficial
use. EPA explained that:
[t]he unit is accumulating CCR, while allowing for the evaporation
or removal of liquid (no free liquids) to facilitate transport to a
CCR landfill or for beneficial use. In this instance, the unit again
meets all three definition criteria, it is a diked area (i.e., there
is an embankment), it is accumulating CCR for ultimate disposal or
beneficial use; and it is removing any free liquids, (i.e.,
treatment). As such, this unit would meet the definition of CCR
surface impoundment.
80 FR 21357. The impoundment in this example contains far lower amounts
of liquid than would be found in an operating impoundment because it is
used to remove liquid from CCR. In essence such units would likely not
contain significantly more liquid than the partially dewatered
impoundments that the commenters now claim are exempt based on their
supposed lack of a hydraulic head. 80 FR 21357-21358.
More to the point, the units that the commenters argue should be
exempt do still contain a hydraulic head ``that promotes the rapid
leaching of contaminants'' and the consequent increased risks of
leachate contaminating groundwater.
Based on their comments on the closure performance standards, what
these commenters mean by ``dewatered'' is merely the removal of: (1)
Only the standing liquid or the free liquid visible at the surface of
the impoundment; or (2) Free liquids in the CCR only to the depth
needed to safely work with heavy machinery and to expedite the closure
process. Properly characterized, this is merely partial dewatering. As
previously discussed, because they are not removing free liquids beyond
this depth, this eliminates neither the ``liquid,'' the hydraulic head
in the unit, or the conditions that create the heightened risk of
leachate contaminating ground or surface water. Although this will
reduce the hydraulic head, until the water is eliminated, gravity will
continue to exert downward pressure on the saturated waste. Continued
contact with free liquids will continue to cause metals and other
constituents to leach from the CCR, and the downward pressure of the
hydraulic head will continue to drive the leachate toward the bottom of
the unit into the surrounding soil and/or into the aquifer, along with
any CCR constituents that have leached from the waste.
It is clear from the 2015 preamble that the situation described by
the commenters is not what EPA intended when it explained that the
regulations did not apply to ``closed'' units. In the paragraphs
preceding the commenters' selective quotation, EPA defined inactive
surface impoundments as ``those that contain both CCR and water, but no
longer receive additional wastes.'' 80 FR 21343. EPA further explained
that ``By contrast, a `closed' surface impoundment would no longer
contain water, although it may continue to contain CCR (or other
wastes), and would be capped or otherwise maintained.'' Id. (emphasis
added). See also, Id. (3d col) (``Accordingly, the final rule does not
impose any requirements on any CCR surface impoundments that have in
fact `closed' before the rule's effective date--i.e., those that no
longer contain water and can no longer impound liquid.'') (emphasis
added). Note that EPA stated that a closed unit would not contain
``water,'' without qualification or limitation. Nowhere in this
discussion (or the rest of the preamble) did EPA distinguish between
water, free water, porewater, or groundwater, or expressly suggest that
any of those might appropriately remain in the unit after closure.
EPA thus agrees that, as in the 2015 CCR Rule, ``an impoundment
that no longer contains liquid prior to October 19, 2015'' would not be
considered either an inactive impoundment or a legacy impoundment.\52\
EPA acknowledges that CCR surface impoundments that contained liquids
prior to October 19, 2015, can still be associated with significant
environmental and human health risks. As discussed in Unit III.A.1 of
this preamble, many if not all of these impoundments lacked a composite
liner system, and therefore likely leached contaminants into the soil
and underlying aquifer during operation. Eliminating the liquid from
the impoundment will not remediate these releases--which at some sites
may be significant--although it may substantially reduce or eliminate a
source of additional or continuing
[[Page 38994]]
contamination. And to the extent the unit lacks an effective cover
system, the unit may still be leaching contaminants, albeit at a
reduced rate. Consequently, although such units would not be considered
inactive or legacy impoundments, some will be regulated as a CCR
management unit, as described in the next section.
---------------------------------------------------------------------------
\52\ EPA also discusses its interpretation of ``impound liquid''
in Unit III.B.2.g of this preamble.
---------------------------------------------------------------------------
However, the proposal by some commenters to regulate any
impoundment that has ever contained CCR and liquids would represent a
significant expansion of the regulations, in that it would essentially
capture every CCR surface impoundment that ever operated in the United
States. To illustrate the potential implications of such a revision:
approximately 533 surface impoundments and 239 landfills are regulated
under the 2015 Rule. EPA estimates that as a consequence of this final
rule, an additional 194 (legacy) surface impoundments will be
regulated. By contrast, as one commenter calculated, approximately
2,170 surface impoundments were operating in 1973 alone.\53\ EPA,
however, is not prepared at this juncture to expand the regulation so
dramatically without first obtaining at least some basic information
about the kinds of sites that would be regulated. Instead, EPA is
proceeding to address the effects of past CCR management one step at a
time, and is focusing here on a narrower universe of regulated units.
---------------------------------------------------------------------------
\53\ GenOn Comments at 5-6. Estimate based on the number of
coal-fired generating units operating in 1973 according to the U.S.
Energy Information Administration (1,839) and assuming 1.2 surface
impoundments per plant, consistent with operations in 2010.
---------------------------------------------------------------------------
The Agency is not required to address every aspect of a problem
immediately; courts have long recognized that it can be appropriate to
address complex problems in stages. This final rule expands oversight
to approximately 194 legacy CCR surface impoundments, and as discussed
in Unit III.C, closes gaps in the existing regulations that currently
fail to require facilities to remediate known contamination resulting
from the operation of their CCR units. EPA expects to shortly publish a
final permit rule and to begin issuing permits to bring facilities into
full compliance. While the Agency works to address the risks from this
current universe, EPA will also continue to collect information to
better understand the full extent of the potential problem posed by the
universe of abandoned sites that remain unregulated. In the interim,
authority under RCRA section 7003 and CERCLA section 106 remains
available to address any imminent and substantial threats to human
health or the environment that these unregulated sites may present. 42
U.S.C. 6873 and 9606.
EPA also agrees that as a consequence of the plain language meaning
of the phrase ``contains liquid,'' the owners of inactive facilities
that dewatered a CCR surface impoundment before October 19, 2015, but
completed the removal of CCR at some time after October 19, 2015, would
be subject to this final rule if only the standing water had been
removed from the impoundment by this date. As EPA explained in the
proposal, as a purely factual matter, a surface impoundment that has
only removed visible surface water would normally still contain liquids
if the waste lower in the unit was still saturated with water. However,
this issue is also discussed further in the next section. Because the
regulation applies exclusively to the current owners and operators, if
such a facility had been sold to a non-utility, the new owner, rather
than the previous owner, will be required to comply with the any
applicable requirements.
(4) Adding a Definition to the Regulations
As noted previously, EPA solicited comments on whether adopting a
definition of ``liquids'' into part 257 would provide greater clarity.
The preamble discussed various possible definitions, including from
Merriam-Webster and a technical definition. The proposal also explained
that the term ``liquids'' encompasses all the various types of liquid
that may be present in a CCR unit, including water that was sluiced
into the impoundment along with the CCR, precipitation, surface water,
and groundwater that has migrated into the impoundment due to the
construction of the unit, which may be found as free water or standing
water ponded above the CCR or porewater intermingled with the CCR. 88
FR 31992. Although there was widespread disagreement about what the
definition should be, most commenters appeared to support including a
definition in the regulations. Several commenters supported including a
definition of ``liquids'' in the final rule to prevent future disputes
over the meaning of the term. Some of these commenters stated that
``given the clear, plain language of the CCR Rule's closure provisions
and EPA's longstanding implementation of the regulations, codifying a
regulatory definitions [sic] of the plain term `liquid(s)' should be
unnecessary.'' However, the commenters also stated that ``in light of
industry's apparent preference to litigate the reality that groundwater
is liquid in favor of properly closing its leaking, unlined ponds, EPA
should codify its longstanding, plain meaning definitions of key terms
in the hope of avoiding unnecessary and costly future litigation and
ensuring timely, proper closure.''
By contrast several commenters opposed including a definition in
the regulations, suggesting that EPA should instead continue to rely on
how the commenters believed those terms have been used in the 2015 CCR
Rule and historically applied in implementing RCRA requirements. Some
of these commenters stated that EPA has not provided adequate notice to
the public of a new regulatory definition of ``liquids,'' and claimed
that EPA therefore could not adopt a regulatory definition of
``liquids'' in a final rule. Finally, a commenter opposed adding a
definition of ``liquids'' to the regulations, arguing that it would not
change the definition of ``free liquids,'' which the commenter believes
is a distinct, technical regulatory term that does not encompass
groundwater, or the performance standard in Sec. 257.102(d)(2)(i),
which, according to the commenter, only requires the removal of liquid
wastes and stabilization of remaining wastes to support the cover
system.
Several commenters recommended that in the absence of a statutory
definition of ``liquid(s)'' and consistent with the CCR regulatory
definition of ``free liquids'' and EPA's longstanding implementation of
the predecessor hazardous waste closure regulations, EPA should codify
a definition of ``liquid'' based on the dictionary definitions as set
forth in the Proposed Rule. They also suggested that the definition
should make clear that the term encompasses free water, porewater,
standing water, and groundwater without regard to their source.
Commenters also offered numerous alternatives. For example, several
commenters offered technical definitions from various sources. One of
those commenters raised concern that the technical definition discussed
in the proposal had the potential to be confusing. According to this
commenter, bulk particulate solids, such as fly ash, exhibit the
physical properties of a liquid identified in the technical definition:
specifically, dry fly ash flows when poured from container to container
and conforms to the shape of a container--retaining its volume but not
its shape. Instead, this commenter suggested that soil mechanics might
provide useful information on which to base a definition.
As noted above, numerous commenters also suggested that EPA should
focus on ``free liquids'' rather
[[Page 38995]]
than ``liquids.'' Several of these commenters recommended that the
final rule adopt the definition in 40 CFR 258.28(c)(1), which relies on
the Paint Filter Liquids Test to determine whether liquids are present.
The commenters recommended that the CCR and MSW landfill programs be
consistent as both reside under RCRA subtitle D. However, one of these
commenters also raised concern that it is unclear how far back in time
this would reach and how EPA or the States would be expected to
regulate inactive utilities that no longer exist but may have closed
units that meet the definition. By contrast, other commenters raised
concern about a definition that relied on the Paint Filter Liquids
Test, stating that facilities had experienced difficulties implementing
the test in the field.
Another commenter explained that focusing on porewater, rather than
the separable porewater covered by the definition of free liquids would
cause technical difficulties. According to this commenter, porewater
may be difficult to measure as it is held in the interstices or pore
spaces between particles of soil, sediment, and/or CCR material and may
not flow readily or be easily quantified using field or laboratory
methods. Consequently, the commenter believed that it would not be
feasible to identify whether liquids inclusive of all porewater
(whether separable or not) were present in an impoundment or landfill
closed prior to October 19, 2015, or in other words, to demonstrate the
absence of liquids eight years ago.
Similarly, one commenter stated that EPA should adopt a definition
in the context of material in the ``liquid state'' such as free liquids
and materials that behave as liquids and can be readily separated from
the ``solid'' matrix and should not include those materials that are
bound within the matrix and not readily separable. And another
commenter recommended that EPA define a legacy impoundment based on the
presence of free liquids and data to support that the free liquids have
impacted groundwater.
EPA continues to strongly believe that the plain text of the
regulation clearly communicates the Agency's positions laid out above,
and that in light of the dictionary definition a regulatory definition
is not strictly necessary. However, in light of the different
understanding of the regulations among commenters, EPA is incorporating
the existing requirements into the definitions in Sec. 257.53.
Accordingly, the final rule includes a definition of ``liquids'' based
on the definition from Merriam-Webster discussed in the proposal. The
new definition, codified at Sec. 257.53, provides that ``Liquids means
any fluid (such as water) that has no independent shape but has a
definite volume and does not expand indefinitely and that is only
slightly compressible. This encompasses all of the various types of
liquids that may be present in a CCR unit, including water that was
sluiced into an impoundment along with CCR, precipitation, surface
water, groundwater, and any other form of water that has migrated into
the impoundment, which may be found as free water or standing water
ponded above CCR or porewater intermingled with CCR.
In addition, the final rule includes in Sec. 257.53 a definition
of the phrase ``contains both CCR and liquids,'' consistent with the
discussion above and in the proposal. The definition reflects both the
dictionary definition of ``contains'' and EPA's explanation that it
relies upon the closure standard in Sec. 257.102(d)(2)(i) to determine
whether a unit contains liquids.
The definition states that ``Contains both CCR and liquids means
that both CCR and liquids are present in a CCR surface impoundment,
except where the owner or operator demonstrates that the standard in
Sec. 257.102(d)(2)(i) has been met.''
These definitions reflect EPA's construction of the existing
regulations. In addition, codifying these definitions definitively
confirms that an impoundment saturated by groundwater or continually
inundated by surface water is an inactive or legacy impoundment. It
also provides greater clarity that all kinds of liquid are relevant to
determining whether an impoundment is subject to part 257 and has
properly closed.
Consequently, EPA decided not to adopt either the technical
definition of liquid discussed in the proposal or any of the suggested
alternatives. EPA agreed that the technical definition in the proposal
had the potential to be confusing given that fly ash can sometimes
exhibit the physical properties of a liquid identified in the technical
definition. While EPA also agrees that CCR is a porous material similar
to soil, EPA did not adopt the commenter's suggestion to rely on soil
physics to craft an alternative. CCR is not a soil, and EPA is
concerned more with the hydraulic characterization of CCR that involves
other considerations in addition to soil physics.
EPA also chose not to adopt the definition in 40 CFR 258.28(c)(1),
which relies on the Paint Filter Liquids Test, or to otherwise mandate
reliance on the Paint Filter Liquids Test. First, a number of other
commenters raised technical concerns about relying on this test in this
context. In addition, EPA would not generally recommend using the Paint
Filter Liquids Test in this context. There can be physical effects from
obtaining the sample that could affect the representativeness of the
sample (vibration, heat from the drilling bit, etc.) and that can
result in false negatives. Consequently, although it might provide
relevant information to confirm the presence of water in a sample, EPA
does not generally consider the results to be sufficiently reliable to
confirm the absence of free liquids.
EPA disagrees that the public had insufficient notice of a
potential definition. EPA explained the subjects and issues the agency
would consider in reaching its decision, and provided examples of
possible definitions. In general, to provide adequate notice an agency
must ``provide sufficient factual detail and rationale for the rule to
permit interested parties to comment meaningfully.'' Florida Power &
Light Co. v. United States, 846 F.2d 765, 771 (D.C. Cir. 1988). As
demonstrated in the preceding section, numerous other entities were
able to effectively provide comments, for example raising concerns
about the definitions discussed in the preamble, and offering potential
alternatives. No commenter has indicated what further information is
necessary to be able to comment effectively on the issue.
EPA agrees that adopting these definitions will not change the
performance standard in Sec. 257.102(d)(2)(i), but for very different
reasons than those proffered by the commenters. Incorporating these
definitions into the part 257 regulations merely reaffirms the plain
language meaning of the term ``liquids,'' which, as previously
explained, is the status quo. But because the term ``liquids'' is used
in the definition of ``free liquids,'' defining liquids to expressly
encompass all of the various types that may be present in a CCR unit,
including groundwater, removes any misunderstanding that such liquids
cannot be considered to be free liquids when they otherwise meet the
definition, that is, they readily separate from the solid potion of CCR
at ambient temperature and pressure.
However, the commenters are correct that it will not address their
misconstruction of Sec. 257.102(d)(2)(i), which attempts to limit the
requirement based on text that does not appear in the provision.
Further discussion of Sec. 257.102(d)(2)(i) can be found in Unit
III.B.2.g.
[[Page 38996]]
In conclusion, under this final rule the surface impoundments
discussed in the proposal would still be considered legacy
impoundments, as all would still contain free liquids. Specifically
this includes (1) Any impoundment where, on or after October 19, 2015,
water flowed or continues to flow through the impoundment, permeating
the waste in the unit, such as where the base of the impoundment
intersects with the groundwater; (2) A surface impoundment where only
the surface water has been decanted; here too the impoundment would
normally still contain free liquids if the waste in the unit was still
saturated with water; and (3) Any impoundment that still contains free
liquids: (a) even if it is considered ``closed'' under State law; (b)
it is in the process of closing on the effective date of this rule; or
(c) the unit has been fully dewatered and can no longer impound liquid
only after October 19, 2015 (i.e., it contained free liquids on October
19, 2015).
ii. What does it mean to ``contain'' CCR?
In the proposal, EPA explained that under the existing regulation,
an inactive CCR surface impoundment must contain CCR to be subject to
the rule. 40 CFR 257.53. EPA further explained that it was not
proposing to revise that aspect of the legacy impoundment definition.
EPA proposed that, consequently, a legacy impoundment that had closed
by removal in accordance with the performance standards in Sec.
257.102(c) before October 19, 2015, would not be considered an inactive
(and therefore not a legacy) CCR surface impoundment.
EPA also proposed that an impoundment at an inactive facility that
was still in the process of closing by removal on October 19, 2015,
would be considered a legacy CCR surface impoundment subject to the
final rule requirements. EPA proposed that facilities with such a unit
would be required to certify and post documentation that they have met
the existing standard for closure by removal in Sec. 257.102(c) on
their CCR website (i.e., ``certification requirement''). However, if a
facility could not demonstrate that the closed impoundment meets the
existing performance standards in Sec. 257.102(c), the unit would be
considered a legacy impoundment subject to the rule. EPA further
explained that because the impoundment contained liquid and CCR on
October 19, 2015, it would meet the definition of a legacy CCR surface
impoundment, and that EPA had no basis to exempt it, because EPA had no
factual basis to conclude that a legacy CCR surface impoundment that
was in the process of closing posed no risk. However, EPA explained
that depending on when the impoundment completed closure, some
individual requirements may no longer be applicable to the legacy CCR
surface impoundment (i.e., when the compliance date in the final rule
falls after the date closure is completed for the impoundment).
No commenter opposed the proposal to exclude impoundments that did
not contain any CCR prior to the effective date of the 2015 CCR Rule,
although several commenters believe that additional impoundments should
also be excluded. For example, many commenters stated that EPA does not
have jurisdiction under RCRA over impoundments from which all CCR was
removed between October 19, 2015, and the effective date of this final
rule. As one of these commenters explained:
As proposed, a closed unit would still be regulated under the
final rule if all CCR has been removed but groundwater monitoring
shows exceedances of the groundwater protection standard
constituents listed in Appendix IV. RCRA's juridical boundaries are
exceeded under this interpretation. The USWAG decision explained
that RCRA gives EPA the authority to regulate past disposal of CCR
based on the continued presence of CCR. Once the CCR is removed, CCR
is no longer disposed of, and EPA does not have the ability to
regulate based on the previous existence of CCRs.
Commenters also provided examples of the type of facility they believe
that EPA cannot regulate. For example, one commenter described a
closure of three interconnected CCR surface impoundments associated
with the Richard H Gorsuch Power Plant. According to the commenter,
the closure was permitted by the state of Ohio, along with a
redesign of one of the impoundments to control stormwater runoff
post-closure. The closure of these impoundments included dewatering
and removal of all CCR materials to clean soil prior to filling with
clean soil and grading. All CCR was transported to the associated
off-site fly ash landfill. No groundwater monitoring was required,
all the CCR was removed, and the site is adjacent to an existing
RCRA corrective action (Union Carbide) with known groundwater
impacts.
Some of these commenters further stated that EPA cannot rely on any
residual contamination left in groundwater to support jurisdiction
because EPA has made clear that groundwater (as well as other
environmental media containing contaminants) is not a solid waste.
Finally, some commenters asserted that EPA has no data showing that
there is a reasonable probability of adverse impact from historical CCR
units that have been closed by removing the CCR, and as a consequence,
EPA cannot regulate such units.
By contrast, a number of commenters requested that EPA clarify that
its statement in the Proposed Rule that EPA ``no longer has
jurisdiction over a former unit that has closed by removal in
accordance with Sec. 257.102(c)''--is based on the complete absence of
CCR, and requires not only removal of CCR from and decontamination of
the unit but completing all groundwater cleanup and other remedial
measures and then adequately documenting, with at least two years of
post-removal or decontamination groundwater monitoring, that GWPS are
reliably achieved by removal prior to the effective date of the final
rule.
EPA disagrees that it lacks jurisdiction over a site at which the
owner has removed CCR from the impoundment after October 19, 2015. Many
of the commenters misunderstand the USWAG decision, as well as the
legal structure applicable to these units.
First, the USWAG decision did not limit EPA's authority to sites
where CCR remains, but to sites where solid waste is present. See,
USWAG, 901 F.3d at 440-441 (``Properly translated then, an open dump
includes any facility (other than a sanitary landfill or hazardous
waste disposal facility), where solid waste still ``is deposited,''
``is dumped,'' ``is spilled,'' ``is leaked,'' or ``is placed,''
regardless of when it might have originally been dropped off.'')
(emphasis added).
Second, in the example EPA presented in the proposal, even though
the facility may have removed all CCR from the surface impoundment,
solid waste still remains on site because groundwater monitoring
continues to detect statistically significant levels of one or more
Appendix IV constituents. These monitoring results demonstrate the
continued presence of CCR leachate \54\--which is a solid waste under
the definition in 42 U.S.C. 6903(27)--in groundwater, and, potentially,
in soil at the site. As discussed in greater detail below, this is
sufficient to demonstrate that EPA retains jurisdiction over the site,
under the plain language of the statutory definitions of solid waste
and disposal.
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\54\ Leachate is produced when liquids, such as rainwater or
groundwater, percolate through wastes stored in a disposal unit. The
resulting fluid will contain suspended components drawn from the
original waste.
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EPA also considers that it has authority to regulate as part of
this rule, sites similar to the one presented by the
[[Page 38997]]
commenter above. As discussed in more detail below, the rulemaking
record supports a presumption that solid waste remains at the site,
even assuming the facility had removed all CCR from the impoundment.
The rulemaking record demonstrates the high likelihood that the
impoundment will have leaked during its operation. As a consequence, at
any site that closed without groundwater monitoring, such as the one
described in the comment above, or that has not undertaken any
remediation, there is every reason to believe that leachate (and,
therefore, solid waste) will remain on site. In addition, the measures
that facilities have described taking to remove all CCR from the
impoundment would in fact leave CCR leachate remaining in soils at many
sites.
(a) Definition of Solid Waste
EPA's jurisdiction over sites at which CCR leachate remains is
clear from the plain language of the statutory definitions of solid
waste and disposal.
Under the CCR regulations, the statutory definition of solid waste
applies, rather than any of the various narrower subtitle C regulatory
definitions in 40 CFR part 261. Section 257.53 specifically provides
that ``Terms not defined by this section have the meaning given by
RCRA.'' Part 257 does not include a definition of ``solid waste'' or
``waste,'' which therefore takes the broader statutory definition of
the term. See also the Sec. 257.53 definition of disposal, which
references ``solid waste as defined in section 1004 (27) of the
Resource Conservation and Recovery Act.''
The subtitle C regulations are equally clear that they do not apply
to subtitle D wastes. See, e.g., 40 CFR 260.1(a) (``This part provides
definitions of terms, general standards, and overview information
applicable to parts 260 through 265 and 268 of this chapter.''); Sec.
261.1 (a) (``This part identifies those solid wastes which are subject
to regulation as hazardous wastes under parts 262 through 265, 268, and
parts 270, 271, and 124 of this chapter and which are subject to the
notification requirements of section 3010 of RCRA.'').
Under RCRA the term ``solid waste'' means:
any garbage, refuse, sludge from a waste treatment plant, water
supply treatment plant, or air pollution control facility and other
discarded materials, but does not include solid or dissolved
material in domestic sewage, or solid or dissolved materials in
irrigation return flows or industrial discharges which are point
sources subject to permits under section 1342 of title 33, or
source, special nuclear, or byproduct material as defined by the
Atomic Energy Act of 1954, as amended (68 Stat. 923) [42 U.S.C. 2011
et seq.].
42 U.S.C. 6903(27). The plain meaning of the word ``discarded'' in this
definition is ``disposed of,'' ``thrown away,'' or ``abandoned.'' See,
e.g., American Mining Congress v. U.S. EPA, 824 F.2d 1177, 1184 (D.C.
Cir. 1987) (citations omitted) (``AMC I''); American Petroleum
Institute v. EPA, 906 F.2d 729, 740-741 (D.C. Cir. 1990) (per curiam).
Such materials are ``part of the waste disposal problem'' that Congress
enacted RCRA to address. AMC I, 824 F.2d at 1193. In other words, under
the statute if something has been disposed of, as that term is defined
in the statute, it is a solid waste.\55\
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\55\ As EPA explained in the 2015 preamble, ``placement in a
landfill or surface impoundment is prima facie evidence of
discard.'' 80 FR 21348.
---------------------------------------------------------------------------
Any CCR leachate left behind as soil and groundwater contamination
after CCR removal would clearly constitute material that has been
``abandoned'' or ``discarded'' and is thus subject to regulation under
subtitle D without further activity. EPA has long considered material
that has spilled or leaked onto the soil and not been cleaned up to
have been ``abandoned'' or ``discarded.'' See, e.g., Chemical Waste
Management v. EPA, 869 F.2d 1526, 1539 (D.C. Cir. 1989); Connecticut
Coastal Fishermen Ass'n v. Remington Arms Co., 989 F. 2d 1305, (2d Cir
1993).
The conclusion that the CCR leachate contaminating soil and
groundwater is a solid waste is also consistent with EPA's long-held
interpretation (discussed at length in the 2015 CCR rule preamble) that
leaking or passive migration of leachate constitutes the disposal of
solid waste. 80 FR 21342-21347, quoting 43 FR 58954 (``This is an
important issue, however, because some, and perhaps most, inactive
facilities may still be `disposing of waste' within the meaning of that
term in Section 1004(3) of RCRA. . . . Many inactive facilities may
well be leaking solid or hazardous waste into groundwater and thus be
`disposing' under RCRA.''). See also, e.g., In re Consolidated Land
Disposal Litigation, 938 F2d 1386, 1388-1389 (D.C. Cir. 1991).
And even under the narrower regulatory definition of solid waste in
subtitle C, EPA has long considered leachate (i.e., the leaked
constituents) from previously disposed hazardous wastes to be a
hazardous (and therefore, solid) waste. See, e.g., 40 CFR
261.3(c)(2)(i) (``any solid waste generated from the treatment,
storage, or disposal of a hazardous waste, including any . . . leachate
. . . is a hazardous waste.''). 45 FR 33096 (May 19, 1980) (``As a
practical matter, this means that facilities which store, dispose of or
treat hazardous waste must be considered hazardous waste management
facilities for as long as they continue to contain hazardous waste and
that any wastes removed from such facilities--including spills,
discharges or leaks--must be managed as hazardous wastes.'')(emphasis
added). See, also, Chemical Waste Management, 869 F.2d at 1539.
Moreover, as discussed above, one factor the D.C. Circuit has
considered in determining whether a substance is properly considered a
waste is whether ``the materials are `part of the waste disposal
problem' Congress intended to address in enacting RCRA.'' AMC I,
quoting House Committee Report, H.R. Rep. No. 1491, 94th Cong., 2d
Sess. at 2, U.S. Code Cong. & Admin. News 1976, p. 6240. If so, it
falls under EPA's authority in RCRA to address. See, American Mining
Congress v. EPA, 907 F.2d 1179, 1186-87 (D.C. Cir. 1990) (deferring to
EPA's focus on potential environmental harm in determining whether
material is discarded) (AMC II). The contamination from legacy
impoundments (even when the CCR has been removed from the impoundment)
remains a threat to human health and the environment that stemmed from
discarded materials, and thus is ``part of the waste disposal problem''
RCRA was enacted to address.
As discussed in more detail in Unit III.A.3, EPA estimates that
groundwater contamination at sites with legacy impoundments could pose
lifetime cancer risks from arsenic as high as 2 x 10-5 to 1
x 10-5 (i.e., 2 to 100 cases of cancer for every 100,000
individuals exposed), depending on the specific management practices
and site conditions. In addition, EPA estimated noncancer risks well in
excess of an HQ of one for a wide variety of CCR constituents,
depending on the management practices and site conditions; for example,
the high-end of noncancer risks for lithium ranged between two to
three; for molybdenum up to an HQ of four; thallium up to an HQ of two,
and for cobalt and mercury up to an HQ of 13 and five, respectively.
Moreover, in the absence of any groundwater remediation, there is no
reason to believe that the removal of CCR from the impoundment
mitigates these risks. Although the unit may no longer continue to
contribute additional contamination, removal of the CCR does not
address the release of and risk from the metals or other CCR
constituents in any contaminant plume.
[[Page 38998]]
The leachate from a CCR surface impoundment or landfill is
therefore unquestionably a solid waste under the broader statutory
definition in 42 U.S.C. 6903(27). And to the extent the leachate
remains in soil or groundwater, that is sufficient to support
jurisdiction over that site, even though all CCR may have been removed
from the disposal unit. The risks from the leachate-contaminated
groundwater also clearly establish a reasonable probability of adverse
impacts on health and the environment from legacy impoundments that
have been closed by removing only the CCR.
EPA disagrees with the commenters who stated that the Agency should
not presume that there have been impacts to groundwater from an area
where the ash has been fully removed, absent specific evidence to the
contrary. The record from both the 2015 CCR Rule and the current
rulemaking supports a strong presumption that solid waste remains on-
site at these facilities. As the D.C. Circuit noted, legacy
impoundments have been shown to be even more likely to leak than units
at utilities still in operation. 901 F.3d at 432.
Data collected as part of the 2015 rulemaking shows that the
majority of the older operating (pre-1994) waste units lack liners; 63%
and 24% of older surface impoundments have either no liners or clay
liners, respectively. 80 FR 21326. Thus far, no commenter has
identified a legacy impoundment with a composite liner.
Analysis of the information from the damage cases also demonstrates
that unlined surface impoundments typically operate for 20 years before
they begin to leak. Id. at 21326-21327. As discussed previously,
commenters submitted data indicating that on average legacy
impoundments are 55 years old. The following examples discussed in the
2015 CCR rule preamble further demonstrate the high probability that
legacy impoundments will have leaked, and that in the absence of
remediation measures leachate is highly likely.
In the wake of the 2008 TVA Kingston CCR spill, Illinois and North
Carolina for the first time required utilities to install groundwater
monitoring. Illinois required facilities to install groundwater
monitoring downgradient from their surface impoundments. As a result,
within only about two years, Illinois reported that seven facilities
had detected instances of primary MCL exceedances, and five additional
facilities had reported exceedances of secondary MCLs. The data for all
12 sites were gathered from onsite; it appears none of these facilities
had been required to monitor groundwater off-site, so whether the
contamination had migrated off-site was unknown. Similarly, North
Carolina required facilities to install additional down gradient wells.
In January 2012, officials from the North Carolina Department of
Environment and Natural Resources disclosed that elevated levels of
metals were found in groundwater near surface impoundments at all the
State's 14 coal-fired power plants. 80 FR 21455.
It is also highly unlikely that removal of CCR would also have
removed all areas affected by releases at many (if not most) sites. In
their comments, facilities have described relying on visual inspection
or in some cases microscopic inspection of soil material to determine
whether all CCR have been removed from the impoundment. In such cases,
the practical depth limit of such investigations is generally just
beneath (e.g., a foot or less) the visually observed maximum depth of
CCR. However, it is not likely this practice would be sufficient at
many legacy sites to remove all areas affected by releases of CCR
leachate.
At a minimum, for units with bases above the groundwater, the soil
column beneath the unit from the base of the unit to at least the depth
of the lowest water levels recorded in the aquifer, would typically
need to determine whether the zone of water table fluctuation
constitutes a residual source and may be in need of corrective action.
Concentrations of contaminants at this horizon could be significantly
elevated. In a case where prior site assessment and groundwater
monitoring activities have not resulted in a preexisting well network
capable of making this determination it may be necessary to install
additional wells or to assess groundwater.
Moreover, in a unit constructed with CCR below the ambient
groundwater, after decades of groundwater infiltration through the
waste, the leachate generated would be expected to show elevated levels
of CCR constituents of concern. This chemically altered leachate can
interact with unsaturated or partially saturated soils beneath the CCR
and can react with aquifer solids beneath the unit to form intermediate
chemical compounds, some of which may be bound to the aquifer matrix in
solid phases. Also, depending on the amount of groundwater recharge and
infiltration directed through the unit, some downwardly infiltrating
leachate is likely to reach the saturated zone where additional
chemical reactions occur. Depending on the degree of disequilibrium
with the ``ambient'' conditions such reactions can be significant and
can also result in formation of mineral species that become temporarily
immobilized at or beneath the water table as solid mineral phases by
formation of mineral precipitates or simply adsorbed to the aquifer
matrices by retardation processes. These intermediate transformation
products may contain CCR constituents of concern as either major, minor
or trace components of newly formed compounds. Depending on the aquifer
chemistry, including redox state, pH, salinity, alkalinity, etc., some
CCR constituents may remain mobile in groundwater and may continue to
migrate downgradient of the unit. Consequently, in situations where the
waste is below the water table, assessment efforts would generally need
to penetrate a sufficient depth below the base of the waste or the
lowest water levels in the aquifer, whichever is greater, to ensure
that potential releases of leachate to the soil have been evaluated.
Consequently, based on the practices that facilities have stated
that they use to confirm that they have removed all CCR from a site,
both leachate contaminated soil and groundwater would frequently be
expected to remain on site even after CCR may have been entirely
removed from the impoundment. The totality of the information in the
record thus supports a presumption that solid waste remains on-site.
Demonstrating compliance with Sec. 257.102(c) rebuts that presumption
and documents that the site is no longer under RCRA's jurisdiction.
EPA also disagrees that reliance on the residual contamination left
in groundwater to support jurisdiction is precluded by EPA's prior
statements that contaminated media are not solid wastes. These
commenters are referring to EPA statements made in connection with the
``contained in'' policy under the RCRA hazardous waste regulatory
program. As an initial matter, the commenters have misunderstood the
policy. The policy states only that with respect to contaminated soil
or groundwater, the media itself-the soil or groundwater-is not a solid
waste-even though it contains a hazardous waste. In other words, the
contamination itself remains a solid waste, and therefore subject to
EPA's jurisdiction. See, Chemical Waste Management v. EPA, 869 F.2d at
1539 (upholding EPA interpretation that hazardous waste restrictions
continue to apply to waste ``contained in soil or groundwater'' as
``consistent with the derived-from and mixture rules,'' even though the
rules by their terms do not apply to
[[Page 38999]]
contaminated soil or groundwater because they are not solid wastes).
In any event, as discussed above, none of the regulations in 40 CFR
parts 260-268, or 270 apply, except to the extent EPA incorporated them
into part 257, subpart D. This also means that any Agency
interpretations or policies adopted under those regulations, no matter
how long-standing, do not automatically apply to CCR, which are
regulated under part 257, subpart D. Moreover, the policies and/or
interpretations the commenters identify were developed based on the
text of particular statutory or regulatory provisions under subtitle C,
as well as the larger statutory context in which those particular
statutory or regulatory requirements operate (for example, corrective
action obligations at hazardous waste treatment, storage, and disposal
facilities). RCRA subtitles C and subtitle D differ greatly. For
example, only under subtitle C did Congress expressly prohibit land
disposal of hazardous wastes that do not meet treatment standards
established in EPA regulations. 42 U.S.C. 6924(d), (g), (h), (m).
Similarly, there is no analog under subtitle D to section 6925(j),
which imposes detailed requirements on hazardous waste surface
impoundments. It would therefore be inappropriate to simply adopt a
particular interpretation or policy developed under the particular
provisions of the RCRA subtitle C hazardous waste regulatory program
into the CCR program without evaluating whether the policy or
interpretation is consistent the statutory language in subtitle D or
would achieve Congress's purposes or direction. Note that EPA explains
above how its approach is consistent with subtitle D and the
congressional scheme.
Finally, it is important to note that EPA is not suggesting that
the management of CCR leachate is now subject to the CCR regulations.
EPA has jurisdiction over CCR leachate because the material is solid
waste not because it is CCR. Under the existing regulations the
definition of CCR does not include leachate. See, 40 CFR 257.53. EPA
did not propose to amend this regulation and does not currently intend
to do so.
(b) Exclusions
Several commenters suggested a number of other exemptions. For
example, one commenter suggested that the final rule exclude legacy
impoundments that only contain de minimis quantities of CCR. According
to the commenter, EPA's risk analysis from the 2015 CCR Rule supports
the conclusion that up to 75,000 tons of CCR used as structural fill is
generally safe. Therefore, the commenter recommended that inactive
impoundments with 75,000 tons or less, be exempt from regulation. Other
commenters urged EPA to clearly define what is meant by de minimis
amounts of CCR in the context of legacy impoundments.
Other commenters requested that EPA exempt any legacy CCR surface
impoundments that met State requirements for clean closure. These
commenters argue that EPA cannot expect utilities who have closed
legacy impoundments under State guidelines prior to this rulemaking to
meet a standard that did not exist at the time of closure. These
commenters also asserted that by regulating such units EPA is
effectively disregarding a qualified State's regulatory authority to
approve closure under the regulations and programs available to them at
the time.
Other commenters suggested that EPA should allow facilities to
certify that they had completed closure by removal in two additional
situations. The first suggestion was to allow a facility to certify
that it had complied with Sec. 257.102(c) based solely on
documentation that the facility had removed all ash by the effective
date of the 2015 CCR Rule, unless EPA or the facility also had evidence
(e.g., from existing monitoring networks) of groundwater impacts that
could impact human health or the environment. These commenters stated
that EPA should not presume that there have been impacts to groundwater
from an area where the ash has been fully removed years or even decades
ago, absent specific evidence to the contrary. The second suggestion
was that EPA exclude facilities that could certify and document that
they have met the closure-in-place performance standards in Sec.
257.102(d) by the effective date of this final rule. To support their
proposal, the commenter noted that EPA has made it clear that the owner
or operator of a CCR facility can close a CCR unit under either Sec.
257.102 (c) or (d) and be in compliance with the Federal CCR
regulations.
Finally, EPA received a number of comments on the kind of
documentation that a facility needed to support a determination that it
had closed a legacy impoundment by removal in accordance with the
standards in Sec. 257.102(c) prior to October 19, 2015. Some
commenters requested that the final rule require facilities to post
detailed documentation demonstrating compliance with Sec. 257.102(c).
Other commenters, however, objected to any documentation requirements,
asserting that it was inconsistent with EPA's treatment of similar
facilities in 2015, who were not required to provide any compliance
documentation of closure requirements. These commenters requested EPA
to remove the requirements under Sec. 257.100(f)(1)(ii) and allow
owners to make the closure determination.
(c) Final Requirements
Consistent with the proposal, this final rule provides that an
impoundment that contained CCR (and liquids) on or after October 19,
2015 is subject to this rule. This means that if a facility closed a
legacy CCR surface impoundment by removal before October 19, 2015, that
site is not subject to this final rule. However, the final rule does
not require such facilities to demonstrate that these units were closed
``in accordance with the performance standards in Sec. 257.102(c).''
Under Sec. 257.102(c) closure is complete when all CCR has been
removed from the CCR unit, any areas affected by releases from the CCR
unit have been removed, and groundwater monitoring concentrations do
not exceed the groundwater protection standard in Sec. 257.95(h) for
Appendix IV constituents. The proposed rule incorrectly stated that EPA
was proposing to impose a documentation requirement on these
facilities. That statement was made in error; EPA did not intend to
propose such a requirement. EPA did not propose to require a facility
to document that an impoundment did not contain liquids prior to
October 19, 2015. Nor did the 2015 CCR Rule require any facilities to
document that they were not subject to regulation. These facilities
were never subject to the exemption for inactive impoundments at
inactive facilities that was vacated in the USWAG decision and
therefore should not be regulated as part of EPA's action to implement
the Court's order. Accordingly--and consistent with the 2015 CCR Rule--
if all CCR and liquids have been removed from the impoundment prior to
October 19, 2015, nothing further is required.
Under the definition in the final rule, a facility that initiated
closure by removal prior to October 19, 2015, but whose impoundment
still contained CCR and liquids on or after October 19, 2015 is
considered a legacy CCR surface impoundment and regulated under this
final rule, even if the facility has removed all CCR prior to the
effective date of this final rule. Depending on when the impoundment
completes closure, some individual requirements may no longer be
applicable to the legacy CCR surface impoundment (e.g.,
[[Page 39000]]
when the compliance date in the final rule falls after the date closure
is completed for the impoundment); but as EPA explained in the
proposal, the Agency has no basis for concluding that all legacy CCR
surface impoundments that are still in the process of closing pose no
risk.
The final rule retains the provision under which a facility with a
CCR surface impoundment that contained CCR and liquids on October 19,
2015, but that completed closure by removal before the effective date
of this rule, would only be required to post documentation on the
facility's CCR website that it has met the standards in Sec.
257.102(c) for that unit (i.e., the certification of closure by removal
for legacy CCR surface impoundments). To be eligible for the closure
certification, the facility must document that it meets the criteria
laid out in Unit III.B.2.b.iii. Namely, the facility must demonstrate
that consistent with the existing standards, all CCR has been removed
from the unit, any areas affected by releases from the CCR unit have
been removed, and must have groundwater monitoring data demonstrating
that the concentrations of each Appendix IV constituent do not exceed
the relevant groundwater protection standard, which would be either the
MCL or background concentration, for two consecutive sampling events.
If a facility certifies all of the legacy CCR surface impoundments
on-site have met the requirements in Sec. 257.102(c) for closure by
removal before the effective date of this rule, the facility would not
be subject to any further requirements under this final rule (i.e.,
neither legacy CCR surface impoundment requirements or CCRMU
requirements).
For similar reasons as explained above, EPA cannot accept the
commenter's suggestion that EPA establish the same provision for
facilities that closed a legacy impoundment prior to the effective date
of this final rule in accordance with Sec. 257.102(d) (closure when
leaving CCR in place) and allow facilities to simply demonstrate that
the closure meets the performance standards in Sec. 257.102(d). The
commenters appear to be requesting an exemption from post closure
groundwater monitoring and corrective action requirements, but provided
no factual basis for such an exemption. Nevertheless, as discussed in
Unit III.B.2.g.iii of this preamble, if a facility can document that
the closure of its unit meets the performance standards in Sec.
257.102(d), all that would be required is compliance with the
groundwater monitoring requirements in Sec. Sec. 257.90-257.95, and
any necessary corrective action throughout the post-closure care period
(in addition to recordkeeping and posting).
The documentation requirements, procedures, and compliance
deadlines for these various options are discussed further in Unit
III.B.2.g of this preamble.
EPA also disagrees with the commenter that 75,000 tons is a de
minimis amount of CCR. The commenter has misunderstood EPA's findings
in 2015; EPA did not conclude that quantities of CCR lower than 75,000
tons used as fill does not pose any risk to human health or the
environment. Rather EPA concluded that, while the agency has sufficient
information to document that unencapsulated uses can present a hazard,
based on the rulemaking record EPA lacked the information necessary to
demonstrate that unencapsulated uses in amounts lower than 12,400 tons
are likely to present a risk. 80 FR 21352. In any event, as discussed
in Unit III.A.4, recent EPA modeling demonstrates that far lower
quantities of CCR (1,000 tons) can pose significant risks to human
health and the environment.
In the 2015 CCR Rule, EPA provided guidance on which impoundments
would not meet the definition of a CCR impoundment because they
generally do not contain significant levels of CCR. 80 FR 21357.
Specifically, EPA explained that CCR surface impoundments do not
include units generally referred to as cooling water ponds, process
water ponds, wastewater treatment ponds, storm water holding ponds, or
aeration ponds. These units do not meet the definition of a CCR surface
impoundment, that is, they are not designed to hold an accumulation of
CCR and treatment storage or disposal of accumulated CCR does not occur
in these units. Accordingly, EPA considers that such units would also
not be legacy impoundments. EPA acknowledges that it mistakenly
referred to one of these units as a CCR surface impoundment in the
proposal, but that was an error.
c. Legacy CCR Surface Impoundment--Requirement To Be Located at an
``Inactive Facility''
EPA proposed to define an ``inactive facility'' (or inactive
electric utility or independent power producer) as one that ceased
producing electricity prior to October 19, 2015, which is the effective
date of the 2015 CCR Rule. EPA explained that this date is also the
same date currently used in the regulation to define ``active
facility'' under Sec. 257.53, and that EPA originally used this date
to define the exempted inactive units in the 2015 CCR Rule. The
proposal further explained that use of this date would mean that the
same universe of units that were subject to the original exemption
would be regulated and that this is consistent with the Court's
vacatur, as vacatur is intended to restore the status quo ante, as
though the vacated provision never existed. 88 FR 31994, 32034.
Commenters supported October 19, 2015, as the operative date to be
used in the definition of an inactive facility because any other date
would be inconsistent with the existing definition of an ``active
facility.'' However, many commenters opposed the proposed substitution
of the phrase ``regardless of the fuel currently used to produce
electricity'' with ``regardless of how electricity is currently being
produced at the facility.'' According to these commenters, the existing
definition of ``active facility'' does not extend to facilities that do
not use fuel, including, for example, facilities that produce solar
power, because the plain language of Sec. 257.50(c) makes clear that,
to be active, a facility must use a fuel to produce electricity. These
commenters cite two preamble statements in the 2015 CCR Rule to support
their allegation. The first is the applicability section of 2015 CCR
Rule, which only references the NAICS 221112 (Fossil Fuel Power
Generation). These commenters speculate that if EPA had intended for
the term ``active facility'' to extend to facilities that do not use
fuel to produce electricity, EPA would have included other NAICS codes.
The second statement appears in the executive summary and explains that
the rule applies to:
Certain inactive CCR surface impoundments (i.e., units not receiving
CCR after the effective date of the rule) at active electric
utilities or independent power producers' facilities, regardless of
the fuel currently used at the facility to produce electricity
(e.g., coal, natural gas, oil), if the CCR unit still contains CCR
and liquids.
80 FR 21303.
The commenters contended that EPA's proposal represents a
significant change that will subject renewable generation to the CCR
regulations (e.g., a former coal-fired power plant that was retired,
closed and dismantled well in advance of the 2015 CCR Rule that had new
renewable generation built at the facility), creating strong
disincentives to renewable repowering at those sites. These commenters
further added that such a change in position requires EPA to take
reliance interests into account. To address this, the commenters made
two suggestions. The first was that EPA should establish an exemption
from regulation for inactive facilities that
[[Page 39001]]
generate 50 megawatt (MW) or less to the grid (all from renewable
energy). The 50 MW threshold is consistent with the small generating
units subcategory under the Federal effluent limitations guidelines and
standards (ELG) regulations.\56\ In addition, the commenters believed
that this would also account for sites that have utilized renewable
energy (e.g., solar panels) for the primary purpose of powering the
remaining infrastructure, but may potentially supply very limited
amounts to the grid on occasion.
---------------------------------------------------------------------------
\56\ 80 FR 67838 (November 3, 2015).
---------------------------------------------------------------------------
The second suggestion was that EPA confirm that this is a
prospective change and provide a pathway for compliance for facilities
that would be newly subject to the CCR Rule. According to those
facilities relied in good faith on the explanatory statements in the
2015 CCR Rule preamble and the plain meaning of the term ``fuel,''
believed they were inactive facilities and did not have units subject
to requirements of the CCR Rule, and accordingly should be allotted a
separate new compliance timeframe.
EPA disagrees that the phrase ``regardless of the fuel currently
used to produce electricity'' under Sec. 257.50(c) indicates that EPA
meant to limit the rule to facilities that combust fossil fuels. As EPA
stated in the proposed rule, the definition of an active facility at
Sec. 257.53 does not include any limitation related to how the
facility generates electricity. The clause, ``regardless of the fuel
currently used to produce electricity'' in Sec. 257.50(c) does not
limit coverage only to facilities that use fuel to generate
electricity. The plain language of the clause actually states the
opposite; that coverage applies without regard to the fuel used to
produce electricity. Or in other words, without regard to the type of
fuel used or indeed whether any fuel is used to produce electricity.
EPA also disagrees that either of the cited preamble statements
demonstrate a contrary intent. As the commenters themselves
acknowledge, the discussion of affected entities expressly states that
it ``may not be exhaustive; other types of entities not listed could
also be affected.'' 80 FR 21302. In addition, EPA expressly stated that
``[t]o determine whether your facility, company, business,
organization, etc., is affected by this action, you should refer to the
applicability criteria discussed in Unit VI.A of this document.'' Id.
Similarly, the parenthetical description ``(e.g., coal, natural gas,
oil)'' uses the abbreviation e.g., which indicates that it is not
comprehensive.
Consequently, EPA disagrees that facilities have any reliance
interest in a less expansive definition. Generally, a reliance interest
may be implicated if an agency issues a policy, a party takes an action
based on that policy, and the agency subsequently changes its policy.
DHS v. Regents of the Univ. of Cal., 140 S. Ct. 1891, 1913 (2020).
Here, EPA never changed its position, and there can be no legitimate
reliance on a non-existent past position.
Even if the regulatory amendment reflected a changed in policy, EPA
issued a proposal and solicited comment from affected entities on the
substance of the policy that would be in place in the final action. The
commenters had an opportunity to provide EPA with information detailing
their reliance interests, although they failed to do more than allege
that they had reliance interests in remaining exempt. EPA has explained
why, notwithstanding those interests, the agency believes that this is
the better policy. No more is required. DHS v. Regents of the Univ. of
Cal., supra at 1913.
Nevertheless, EPA is sensitive to not creating disincentives to
renewable repowering at those sites. In addition, EPA acknowledges that
although commenters' interpretation is not the best reading of the
provision, it is a plausible one. Accordingly, EPA has adopted the
commenters' suggestion that the Agency provide a pathway to compliance
for facilities that believed they were inactive facilities and did not
have units subject to the requirements of the 2015 CCR Rule. This final
rule provides that facilities producing electricity through renewables
(i.e., non-fuels) are subject to the same applicable compliance
deadlines for these units. See Sec. 257.100(a)(1).
EPA is rejecting the commenters' suggestion that EPA exempt
inactive facilities that generate 50 megawatt (MW) or less to the grid.
This is because an exemption for small generating units based on
current operations, such as renewable generation with a capacity of 50
MW or less, do not necessarily correlate to the current risks resulting
from past coal-fired generation operations.
d. Innocent Owners
EPA proposed not to establish an ``innocent owner'' provision in
the CCR regulations, in part because EPA had no factual basis to
establish one. 88 FR 31994-95. The Agency received comments both
opposing and supporting such a provision. Most commenters opposed the
inclusion of an innocent owner provision in the final rule. Some of
these stated that there is no statutory basis for uniformly excluding
existing owners and operators from any RCRA regulations applicable to
legacy impoundments. According to these commenters, the concept of an
``innocent owner'' does not apply to legacy impoundments because only
the owner of the regulated unit can fulfill obligations involving
affirmative regulatory controls.
Other commenters stated that relevant parties may allocate
liability among themselves through various agreements and arrangements.
These commenters explained that liability should not be rigidly limited
only to the current owner, that liability should honor existing
agreements (e.g., purchase and sale agreement), and that it may be
appropriate under some circumstances for shared responsibility between
the current owner and the utility. Another commenter stated that each
of the utilities and each transferee should remain responsible for rule
compliance regardless of how responsibility is currently allocated.
Other commenters supported adoption of an innocent owner provision
in the regulations. These commenters claimed that EPA is responsible
for creating a new class of innocent owner when it changed the 2015 CCR
regulations. Consequently, these commenters urged EPA to develop an
innocent landowner provision that would allow both the utilities and
developers to come to a mutual agreement as to who has the
environmental and financial responsibility of these newly regulated
units. Finally, another commenter suggested EPA take time to evaluate
the different types of innocent property owners and then consider
adding an innocent owner provision to the regulations.
EPA has not included an innocent owner provision in the final rule.
EPA explained in the proposal that its analysis of inactive facilities
found that most inactive facilities are owned by companies that are
already regulated by the CCR regulations. The analysis presented in the
proposed rule indicated that approximately 80% of potential legacy
impoundments (i.e., 126 of the 156 identified potential units) are
owned by companies the Agency knows as already having units subject to
the CCR regulations. 88 FR 31994. As a consequence, EPA proposed it had
no factual basis to establish an innocent owner provision. 88 FR 31995.
EPA has updated the ownership analysis based on an updated list of
potential legacy impoundments. The revised analysis continues to
indicate that most inactive
[[Page 39002]]
facilities are owned by companies that are already regulated by the CCR
regulations. The 194 potential legacy impoundments identified in the
final rule are associated with 52 different unique corporate parents.
Of the 194 impoundments, 142 units (or 73%), are owned by 28 companies
the Agency knows own facilities currently subject to the CCR
regulations. The remaining 52 impoundments are owned by 24 different
companies, with each company generally having just one location/site
with legacy CCR surface impoundments (with two exceptions, that each
own two sites).
EPA is also aware of a number of instances in which parties have
allocated liability among themselves through various agreements and
arrangements. EPA infers from this that an innocent landowner provision
is not necessary to allow utilities and developers to come to a mutual
agreement on how best to allocate environmental and financial
responsibility. EPA has no interest in taking actions that could
potentially inhibit or interfere with these private arrangements. For
all these reasons EPA continues to believe that an innocent owner
provision is not currently needed and has not included such a provision
in the final rule.
2. Applicable Requirements for Legacy CCR Surface Impoundments and
Compliance Deadlines
This Unit of the preamble first provides a general overview of how
EPA determined the applicable requirements and compliance deadlines for
legacy CCR surface impoundments. Then, EPA discusses each of the
existing requirements for CCR surface impoundments and explains: (1)
Why EPA is (or is not) applying them to legacy CCR surface
impoundments; and (2) The rationale for the compliance deadline EPA is
finalizing for each requirement.
a. General Overview
i. Applicable Requirements for Legacy CCR Surface Impoundments
EPA proposed to apply all of the existing requirements in 40 CFR
part 257, subpart D that are currently applicable to inactive CCR
surface impoundments to legacy CCR surface impoundments, except for the
location restrictions at Sec. Sec. 257.60 through 257.64, and the
liner design criteria at Sec. 257.71. EPA also proposed one revision
to the existing groundwater monitoring requirements and three new
requirements specific to legacy CCR surface impoundments: a reporting
requirement; a new security requirement to restrict public access to
these sites; and a closure certification. As explained in the proposed
rule, EPA proposed to exclude the location restrictions and the liner
design criteria requirements because EPA believed they would not be
necessary if EPA took final action on the proposed requirement that all
legacy CCR surface impoundments initiate closure no later than 12
months after the effective date of the final rule. Furthermore, the
proposed rule explained that the record for the 2015 CCR Rule
demonstrated that ``there is little difference between the potential
risks of an active and inactive surface impoundment; both can leak into
groundwater, and both are subject to structural failures that release
the wastes into the environment, including catastrophic failures
leading to massive releases that threaten both human health and the
environment.'' 80 FR 21343. As discussed in Unit II.B of this preamble,
the D.C. Circuit came to the same conclusion, and on that basis,
vacated the exemption for legacy CCR surface impoundments. See, USWAG
at 901 F.3d at 434. Based on the record, EPA considered that it has
limited discretion to establish requirements for legacy CCR surface
impoundments that are significantly different than those currently
applicable to inactive CCR impoundments. This is also consistent with
how the USWAG court viewed the 2015 record. Accordingly, EPA proposed
that in most cases the existing requirements in 40 CFR part 257,
subpart D applicable to inactive CCR surface impoundments would apply
to legacy CCR surface impoundments.
EPA received numerous comments on the proposed rule regarding the
requirements applicable to legacy CCR surface impoundments. Several
commenters generally supported the regulatory approach, although some
suggested that legacy CCR surface impoundments be subject to all the
existing CCR regulations, including the location restrictions at
Sec. Sec. 257.60 through 257.64 and the liner design criteria at Sec.
257.71. Other commenters stated that the inspections at Sec. 257.83
were only relevant for operating CCR units and therefore should not be
applied to legacy CCR surface impoundments. A few commenters suggested
EPA create additional requirements for legacy CCR surface impoundments
such as zero discharge limits, new reporting requirements, financial
assurance measures, and beneficial reuse restrictions. Other commenters
suggested that EPA revise the existing requirements applicable to
inactive impoundments, including by adding requirements to the fugitive
dust, closure, and post-closure care requirements; further revising the
groundwater monitoring requirements to ban intrawell data comparisons;
mandating closure by removal; and using a risk-based approach for
corrective action and closure requirements.
EPA still considers that based on the record (as described in III.A
of this preamble), EPA has limited discretion to establish requirements
for legacy CCR surface impoundments that are significantly different
than those currently applicable to inactive CCR impoundments. For that
reason and those laid out in the preamble of the proposed rule, EPA did
not adopt any of the new requirements, such as zero discharge limits,
new reporting requirements, financial assurance measures, or new
beneficial use restrictions suggested by commenters. The final rule
contains only one additional revision of the existing requirements for
inactive CCR surface impoundments beyond the four included in the
proposed rule: the deferral to permitting of certain closure
activities. The rationale for the final requirements is detailed in
subsequent sections in this Unit.
For the reasons detailed in the proposed rule, except for certain
legacy impoundments, EPA is finalizing the requirement for legacy CCR
surface impoundments to comply with the existing regulations in 40 CFR
part 257, subpart D applicable to inactive CCR surface impoundments
except for the location restrictions at Sec. Sec. 257.60 through
257.64, and the liner design criteria at Sec. 257.71. EPA is also
finalizing the revision to the existing groundwater monitoring
requirements, combining detection and assessment monitoring for legacy
CCR surface impoundments and the two new requirements specific to
legacy CCR surface impoundments: the applicability documentation (Sec.
257.100(f)(1)(i)) and the site security requirement (Sec.
257.100(f)(3)(iii)).
The final rule also establishes a tailored subset of requirements
applicable to legacy CCR surface impoundments that were closed prior to
the effective date of this rule, including those impoundments whose
closures qualify for deferral because they were conducted in accordance
with substantially equivalent State or Federal requirements. See Unit
III.B.2.g.iii.(b) of this preamble for further discussion of the
deferral.
[[Page 39003]]
(a) Applicable Requirements for Legacy CCR Surface Impoundments Closed
by Removal
EPA is finalizing a tailored subset requirements for legacy CCR
surface impoundments that have completed closure by removal before the
effective date of this final rule but are not able to complete the
certification of closure by removal (see, Unit III.B.2.b.iii). For the
reasons detailed in this Unit and in the following Units of the
preamble (Units III.B.2.b-III.B.2.h), the owner or operator of such
units must comply with the following requirements: the applicability
report, installation of a permanent marker, all groundwater monitoring
and corrective action (including combined detection monitoring and
assessment monitoring), recordkeeping, notification, and website
posting. In addition, if a CCRMU is discovered onsite during the course
of complying with the Facility Evaluation Report (FER), the owner or
operator of these units must develop a fugitive dust control plan (see
Unit III.C.3).
While EPA acknowledges that these closed units are unlikely to have
any ongoing activities that would create fugitive dust, EPA determined
that requiring these units to comply with the fugitive dust requirement
was appropriate because these units are subject to the CCRMU
requirements and there is a reasonable likelihood that CCR fugitive
dust would be generated as part of the actions required to comply with
those requirements (e.g., field work to determine the presence or
absence of CCRMU, CCRMU closure). As such, if a CCRMU is discovered
onsite of a facility with a legacy CCR surface impoundment that has
closed by removal, the owner or operator must complete a fugitive dust
plan no later than six months after the FER is due (i.e., no later than
33 months after becoming subject to these requirements).
EPA determined that the site security requirements applicable to
other legacy CCR surface impoundments would not be relevant for this
subset of units as the CCR has been removed from the unit and the land
may be being used for another purpose (e.g., nature preserve,
agricultural land, redevelopment). However, EPA expects legacy CCR
surface impoundments that closed by removal to protect the monitoring
equipment and monitoring wells, similar to other legacy CCR surface
impoundments.
EPA is also not requiring these units to comply with any other
design criteria or operating criteria, aside from the installation of
the permanent marker and the fugitive dust requirements, as noted
above. EPA has determined that the other design and operating criteria
are not applicable to units that have closed by removal and therefore
no longer contain CCR in the unit on the effective date of this final
rule. For example, the requirement to prepare and maintain an EAP is
not relevant when CCR is no longer present in the unit nor is the
requirement to conduct weekly inspections of the legacy impoundment.
(b) Applicable Requirements for Legacy CCR Surface Impoundments That
Closed With Waste in Place
EPA is finalizing a tailored subset of requirements for legacy CCR
surface impoundments that, by the effective date of this final rule,
have completed: (1) closure with waste in place or (2) a closure
eligible for deferral to permitting as described in Unit
III.2.g.iii(b). For the reasons detailed in this Unit and in the
following sections (Units III.B.2.b-III.B.2.h), the owner or operator
of such units must comply with the following requirements:
applicability report, site security, installation of the permanent
marker, history of construction, fugitive dust control plan, annual
fugitive dust control report, all groundwater monitoring and corrective
action (including combined detection monitoring and assessment
monitoring), written post-closure care plan, post-closure care,
recordkeeping, notification, and website posting. In addition, the
final rule requires the facility to provide information on the
completed closure of the legacy CCR surface impoundment, along with
supporting documentation to demonstrate that the closure meets the
performance standards in Sec. 257.102(d) or the standards specified in
Sec. 257.101(g).
While EPA acknowledges that these closed units are unlikely to have
any ongoing activity that would create fugitive dust, EPA determined
that requiring these units to comply with the fugitive dust requirement
was appropriate because these units are subject to the CCRMU
requirements and there is a reasonable likelihood that CCR fugitive
dust would be generated as part of the actions required to comply with
those requirements (e.g., field work to determine the presence or
absence of CCRMU, CCRMU closure). As such, if a CCRMU is discovered
onsite of a facility with a legacy CCR surface impoundment that has
closed by removal, the owner or operator must complete a fugitive dust
plan no later than six months after the FER is due (i.e., no later than
33 months after becoming subject to these requirements).
EPA is also finalizing the requirement for this subset of legacy
CCR surface impoundments to comply with the site security requirements
applicable to other legacy CCR surface impoundments. EPA determined
that the site security requirements are needed to minimize the
potential for the unauthorized entry of people or animals to disturb
the final cover system, as these units are unlikely to be monitored.
EPA also expects facilities that closed legacy CCR surface impoundments
with waste in place to protect the monitoring equipment and monitoring
wells, similar to other legacy CCR surface impoundments.
This final rule also requires the owners and operators of these
units to complete the history of construction in accordance with Sec.
257.73(c). The history of construction provides information regarding
the original site conditions, as well as the unit's original design and
construction, such as cross sections of the length and width of the CCR
unit. It would also include information on subsequent revisions, such
as the design and construction of any lateral expansions. This
information is relevant to designing (and evaluating) the groundwater
monitoring system, unit closures, and corrective actions. For example,
the history of construction would normally include the elevations of
the unit base and the CCR in the unit (i.e., the ground elevation
contours within the footprint prior to unit construction); this
information, in conjunction with the site characterization developed
under Sec. 257.90 to design the groundwater monitoring system can be
used to determine whether the unit intersects with the groundwater
(i.e., the unit's ability to sufficiently contain CCR and contaminants
that may leach from CCR). This information remains relevant in
evaluating closure, when addressing any contamination coming from the
unit, and throughout the post-closure care period. Therefore, EPA is
requiring this subset of legacy CCR surface impoundments to comply with
the history of construction requirement.
EPA has determined that the other design and operating criteria
(all those besides the permanent marker, site security, history of
construction, and fugitive dust requirements) are not applicable to
units that have completed closure in accordance with Sec. 257.102(d)
by the effective date of this final rule. For example, the requirement
to prepare an inflow design flood control system plan is not relevant
for units that have installed a final cover system, as post-
[[Page 39004]]
closure care requires a final cover system to be maintained and
groundwater monitoring to continue. Additionally, periodic assessments,
such as the hazard potential classification assessment and the
structural stability assessments, are intended to address risks from
unclosed unit and therefore, consistent with the requirements for units
that have completed closure under the 2015 CCR Rule, are not applicable
to units that have closed with waste in place.
ii. Compliance Deadlines for Legacy CCR Surface Impoundments
EPA proposed to establish new compliance dates for legacy CCR
surface impoundments. The proposed rule explained that the 2015 CCR
Rule compliance deadlines were based on the amount of time determined
to be necessary to implement the requirements and the proposed
compliance dates for legacy CCR surface impoundments were determined
using the same approach. The proposed rule further explained that some
factors considered in determining the 2015 CCR Rule compliance
deadlines were not relevant for legacy CCR surface impoundments, such
as the need coordinate compliance deadlines with the then recently
promulgated ELG rule. In addition, EPA anticipated most facilities
would already be familiar with the existing regulations, and therefore
the proposed requirements for legacy CCR surface impoundments, and
fewer facilities and units would need to come into compliance, as
compared to the 2015 CCR Rule. Consequently, EPA proposed generally
expedited deadlines based on the expected shortest average amount of
time needed to complete the necessary activities to meet the
requirements. In the proposed rule, EPA requested comment on the
proposed compliance deadlines and the feasibility to meet the proposed
compliance timeframes for legacy CCR surface impoundments.
EPA received numerous comments regarding the proposed compliance
deadlines. Several commenters expressed support for the proposed
compliance deadlines for legacy CCR surface impoundments. Generally,
these commenters stated that expedited compliance was appropriate due
to the increased risk posed by these units, the likelihood that these
units are actively contaminating groundwater, and the urgent need for
corrective action to address that contamination for the protection of
human health and the environment. Some of these commenters echoed the
proposed rule, stating that owner's or operator's familiarity with the
existing requirements, along with the fact that these units are no
longer in use and therefore would not need time to cease receipt of
waste, further justified the expedited deadlines.
Many other commenters stated the proposed compliance deadlines were
infeasible and should, at a minimum, allow as much time for compliance
as the 2015 CCR Rule deadlines, although several commenters expressed
that even the 2015 CCR Rule deadlines were inadequate, and that the
insufficient timeframes were likely a factor in the gap between EPA's
expectations and facilities' good faith efforts and utilization of best
practices in developing groundwater monitoring networks, sampling and
analysis plans, corrective action programs, and closure plans.
Commenters pointed to several factors that they believed EPA did not
fully incorporate into the proposed deadline calculations that make
compliance with the proposed deadlines infeasible: the large number of
CCR units (i.e., existing CCR units, legacy CCR surface impoundments,
CCRMU) competing for limited resources to meet overlapping compliance
deadlines; the limited number of qualified contractors available to
conduct necessary activities to reach the compliance deadlines; the
nationwide labor shortage exacerbated by impacts from the COVID-19
pandemic; limited existing alternative disposal options; overlapping
regulatory requirements (e.g., State drilling permits, timing
restrictions related to protected habitats, State CCR permits, Consent
Decrees/Orders); seasonality impacts in different regions across the
nation; and accessibility and completeness, or lack thereof, of
historical documentation and information. One commenter provided
specific information regarding typical delays experienced during the
implementation of the 2015 CCR Rule caused by third-party availability
and backlogs: two to four weeks for contractor mobilization; two to six
weeks for site clearing; two to three weeks for surveys; three to 12
weeks for environmental drillers; and three to four weeks for
laboratory analyses. These commenters also said EPA grossly
underestimated the amount of time needed to hire a contractor, locate
and review historical information, access a legacy CCR surface
impoundment site, characterize and delineate a site, comply with the
groundwater monitoring requirements, and conduct quality control or
quality assurance on data and reports. Several of these commenters
expressed the belief that the proposed deadlines would result in
unintentional non-compliance despite facilities' best efforts to comply
due to the constraints listed above. Finally, a few commenters
suggested EPA create alternative deadlines or mechanisms for extensions
based on site-specific characteristics.
In response to comments, EPA reevaluated the compliance deadlines
for legacy CCR surface impoundments. EPA reconsidered the impact of the
following on the amount of time facilities needed to complete the
activities involved in meeting the requirements: accessibility and
abundance, or lack thereof, of historical documentation; seasonality;
clearing restrictions and required local and State approvals to clear
vegetation or drill wells; existing disposal options; impact of the
national labor shortage and contractor and laboratory backlogs; and
overlapping compliance deadlines for CCRMU, existing units (i.e.,
groundwater monitoring, closure, and post-closure care), and legacy CCR
surface impoundments. Overall, EPA found the information provided
regarding the infeasibility of the proposed deadlines convincing.
Specifically, EPA agrees that the shortage of qualified contractors and
laboratory resources has persisted, if not increased, since the 2015
CCR Rule and that the increasing demand on these finite resources from
new and existing CCR units, legacy CCR surface impoundments, and CCRMU
complying with overlapping requirement deadlines will likely increase
the time needed to come into compliance. EPA acknowledges that the
proposed deadlines did not adequately account for those nationwide
impacts of seasonality and extreme weather events; necessary
coordination with outside parties (e.g., State agencies, local
governments); locating disposal capacity for those units closing by
removal; the need to comply with overlapping regulatory requirements,
such as State drilling permits or timing restrictions related to
protected habitats; or necessary quality assurance and quality control
in calculating the proposed deadlines. Therefore, as detailed in Units
III.B.2.b through h, EPA extended the deadlines for legacy CCR surface
impoundments to provide at least as much time facilities had to come
into compliance with the 2015 CCR Rule. In some cases, EPA extended the
deadlines for legacy CCR surface impoundments even further to mitigate
factors mentioned by commenters that convinced EPA the 2015 compliance
[[Page 39005]]
deadlines would be infeasible for legacy impoundments. Overall, most of
the comments EPA received supported deadlines that allowed at least as
much time as EPA originally provided in the 2015 CCR Rule. While some
units regulated by the 2015 CCR Rule were able to come into compliance
before the 2015 deadlines, the majority of units used all the time
allowed by the 2015 CCR Rule.
Note that all deadlines herein are framed by reference to the
effective date of the rule; the final rule will be effective six months
after publication of the final rule. Accordingly, facilities will have
an additional six months beyond the deadlines to come into compliance.
The Agency has included a document in the docket for this rule that
summarizes the finalized compliance deadlines.\57\
---------------------------------------------------------------------------
\57\ A document ``Final Rule Compliance Deadlines for Legacy CCR
Surface Impoundments. April 2024.'' is available in the docket for
this action.
Table 1--Final Compliance Time Frames for Legacy CCR Surface Impoundments
----------------------------------------------------------------------------------------------------------------
Description of Deadline (months after
40 CFR Part 257, Subpart D requirement to be effective date of this Date
requirement completed final rule)
----------------------------------------------------------------------------------------------------------------
Applicability Report (Sec. 257.100) Complete applicability 0...................... Friday, November 8,
report. 2024.
Internet Posting (Sec. 257.107).... Establish CCR website.. 0...................... Friday, November 8,
2024.
Site Security (Sec. Implement site security 0...................... Friday, November 8,
257.100(f)(3)(iii)). measures. 2024.
Operating Criteria (Sec. 257.80)... Prepare fugitive dust 0...................... Friday, November 8,
control plan. 2024.
Operating Criteria (Sec. 257.80, Initiate weekly 0...................... Friday, November 8,
257.82, 257.83). inspections of the CCR 2024.
unit.
Operating Criteria (Sec. 257.80, Initiate monthly 0...................... Friday, November 8,
257.82, 257.83). monitoring of CCR unit 2024.
instrumentation.
Design Criteria (Sec. 257.73)...... Install permanent 2...................... Wednesday, January 8,
marker. 2025.
Operating Criteria (Sec. 257.80, Complete initial annual 3...................... Monday, February, 10,
257.82, 257.83). inspection of the CCR 2025.
unit.
Operating Criteria (Sec. 257.80)... Complete initial annual 14..................... Thursday, January 8,
fugitive dust report. 2026.
Design Criteria (Sec. 257.73)...... Compile history of 15..................... Monday, February 9,
construction. 2026.
Design Criteria (Sec. 257.73)...... Complete initial hazard 18..................... Friday, May 8, 2026.
potential
classification
assessment.
Design Criteria (Sec. 257.73)...... Complete initial 18..................... Friday, May 8, 2026.
structural stability
assessment.
Design Criteria (Sec. 257.73)...... Complete initial safety 18..................... Friday, May 8, 2026.
factor assessment.
Design Criteria (Sec. 257.73)...... Prepare emergency 18..................... Friday, May 8, 2026.
action plan.
Operating Criteria (Sec. 257.82)... Complete initial inflow 18..................... Friday, May 8, 2026.
design flood control
system plan.
GWMCA (Sec. Sec. 257.90-257.95)... Install the groundwater 30..................... Monday, May 10, 2027.
monitoring system,
develop the
groundwater sampling
and analysis program,
initiate the detection
monitoring and
assessment monitoring.
Begin evaluating the
groundwater monitoring
data for SSIs over
background levels and
SSLs over GWPS.
GWMCA (Sec. 257.90(e))............. Complete initial annual January 31, 2027....... January 31, 2027.
GWMCA report.
Closure (Sec. Sec. 257.100- Prepare written closure 36..................... Monday, November 8,
257.101). plan. 2027.
Post-Closure Care (Sec. 257.104)... Prepare written post- 36..................... Monday, November 8,
closure care plan. 2027.
Closure and Post-Closure Care (Sec. Initiate closure....... 42..................... Monday, May 8, 2028.
257.101).
----------------------------------------------------------------------------------------------------------------
b. New Requirements Specific to Legacy CCR Surface Impoundments
i. Applicability Report for Legacy CCR Surface Impoundments
EPA proposed to require the owner or operator of a legacy CCR
surface impoundment to prepare an applicability report for any legacy
CCR surface impoundment at that facility no later than the effective
date of the final rule. This requirement would apply to all legacy CCR
surface impoundments, including incised impoundments and impoundments
that do not meet the height and storage volume cutoffs specified in
Sec. 257.73(b). EPA proposed that this applicability report would
include information to identify the unit, delineate the unit
boundaries, include a figure of the facility and where the unit is
located at the facility, the size of the unit, its proximity to surface
water bodies, and the current site conditions. EPA also proposed that
the applicability report include the facility address, latitude and
longitude, and contact information of the owner and/or operator of the
legacy CCR surface impoundment with their business phone number and
email address. EPA proposed that the report should document whether the
legacy CCR surface impoundments are incised and whether the units meet
the height and storage volume thresholds specified in Sec. 257.73(b).
EPA also proposed that the owner or operator of the legacy CCR surface
impoundment notify the Agency
[[Page 39006]]
after a legacy impoundment is identified and the facility's CCR website
is established, using the procedures currently in Sec. 257.107(a) via
the ``contact us'' form on EPA's CCR website. 88 FR 31998.
EPA received a few comments on the applicability report. Several
commenters said the deadline to complete requirements of the
applicability report could not be achieved. One commenter requested 24
months to complete the report. Another commenter presented several
clarifying questions and said they could not estimate a compliance
deadline without understanding these clarifications. This commenter
asked if EPA will allow affected utilities to rely on information
previously submitted to State regulatory authorities to satisfy the
facility description requirements; what does EPA mean by the term
``current site conditions'' in the context of facility site
descriptions; when EPA refers to providing a site identification number
as previously provided to the State, is this intended only to apply in
States that have achieved CCR Rule delegation, or in all States in
which there is some level of State oversight over a legacy CCR surface
impoundment; and if EPA can further determine what it considers to be
``reasonably and readily available information'' concerning history of
construction. The commenter appreciates EPA's recognition that most of
this information is likely ``unknown or lost to time,'' but seeks
additional guidance on the scope of investigation that should be
conducted to meet the ``reasonably and readily available'' standard.
EPA believes that as part of the applicability report, an owner or
operator of an inactive CCR facility can include information previously
submitted to State regulatory authorities to describe the facility
conditions. If, however, any changes have been made since the owner or
operator last prepared that information or that information does not
address all the issues inherent in an applicability determination, then
updated or additional information should be included. The current site
conditions should include, for example, when the facility operated,
when it ceased generating electricity, the size of the facility
property, a visual description of how the legacy impoundment looks on
the effective date of the final rule (e.g., ponded water, approximate
size, vegetation, incised), a description of any nearby geological or
hydrologic features (i.e., rivers, lakes, streams, karst topography),
and any other relevant information about the facility. The State
identification number can be for a previously issued solid waste,
water, or other permit under State program, but does not have to be as
part of an EPA-approved State CCR permit program.
EPA addressed the term ``reasonably and readily available'' at 80
FR 21380, ``[t]herefore, in this rule, EPA is using the phrase `to the
extent available' and clarifying that the term requires the owner or
operator to provide information on the history of construction only to
the extent that such information is reasonably and readily available.
EPA intends facilities to provide relevant design and construction
information only if factual documentation exists. EPA does not expect
owners or operators to generate new information or provide anecdotal or
speculative information regarding the CCR surface impoundment's design
and construction history.''
Based on the comments about the infeasibility to complete the
proposed requirements by the effective date of the final rule, EPA is
not requiring that the applicability report include the size of the
unit, its proximity to surface water bodies, or delineation of the unit
boundaries. The size of the unit and delineation of the unit boundaries
will be determined through the history of construction and groundwater
monitoring requirements. Proximity to surface water bodies is not
required by the 2015 CCR Rule, and EPA determined it is not feasible to
determine the distance to surface water bodies before the unit
boundaries are delineated, which would not be done by the effective
date of the final rule. Therefore, EPA is not requiring proximity to
surface water bodies to be completed in the applicability report.
Some commenters agreed with the proposed requirements on the
applicability report and urged EPA to require additional information,
including an EPA identification number, determination and public
disclosure of whether legacy CCR surface impoundments contained both
CCR and liquids, location and elevation of any 100-year floodplain
within one mile, elevation and depth of CCR waste in the impoundment,
proximity to public water supply wells or private water wells within
two miles, proximity to wetlands, results of all environmental
sampling, and owner/operator certification of the documentation. A
commenter also said the applicability report should include a full
investigation including the use of appropriate instrumentation to
determine water levels, a report documenting the results certified by a
qualified professional engineer, and the publication of the report on a
CCR website.
EPA considered these comments and decided not to require additional
information since the recommended information would not be feasible to
collect by the effective date of the final rule, especially given the
limitations discussed in Unit III.B.2.a.i of this preamble. As stated
previously, commenters discussed how delineating the unit boundaries
and determining the exact location of the legacy CCR surface
impoundment could not feasibly be completed by the deadline.
EPA is finalizing with revisions the proposed requirement for the
owner or operator of a legacy CCR surface impoundment to prepare
applicability reports for all legacy CCR surface impoundments at that
facility no later than the effective date of the final rule. This
requirement applies to all legacy CCR surface impoundments, including
incised impoundments and impoundments that do not meet the height and
storage volume cutoffs specified in Sec. 257.73(b). This is codified
in the regulatory text at Sec. 257.100(f)(1)(i). The applicability
report must include information to identify the unit, a figure of the
facility and where the unit is located at the facility, and the current
site conditions. The applicability documentation must also include the
facility address, latitude and longitude, and contact information of
the owner and/or operator of the legacy CCR surface impoundment with
their phone number and email address. EPA is also finalizing the
requirement that the owner or operator of the legacy CCR surface
impoundment notify the Agency of the establishment of the facility's
CCR website using the procedures currently in Sec. 257.107(a) via the
``contact us'' form on EPA's CCR website.
Further, EPA is finalizing a requirement that a certification of
the applicability report must be signed by the owner or operator or an
authorized representative similar to the certification that is required
at Sec. 257.102(e) and Sec. 257.102(f) for existing units undergoing
closure. EPA proposed this requirement in Sec. 257.75(c) for the FER
and determined after reviewing the comments that a similar requirement
should apply to the applicability report. This requirement is codified
in the regulatory text at Sec. 257.100(f)(1)(ii)(C).
For any legacy impoundments that have completed closure by removal
or closure in place of the unit pursuant to a State permit or order
that meets the requirements of Sec. 257.101(g) prior to the effective
date of this final rule, EPA is requiring the owner or operator to
attach
[[Page 39007]]
such documentation to the applicability report required by Sec.
257.100(f)(1) and post this documentation to its CCR website. This
information will be evaluated by EPA permitting authorities at a future
time to determine what further action, if any, is needed with the unit.
As discussed in Unit III.B.1.b.i.(b)(4) of this preamble, EPA is
establishing a new definition of the phrase ``contains both CCR and
liquids'' in the final rule. Under this definition CCR and liquids are
present in a CCR surface impoundment except where the owner or operator
has demonstrated that free liquids have been eliminated from the unit
consistent with the performance standard in Sec. 257.102(d)(2)(i). EPA
recognizes that some owners and operators of inactive impoundments may
not currently have records to demonstrate whether their inactive
impoundment contained both CCR and liquids on or after October 19,
2015. In such cases, one option would be for the facility to conduct a
field investigation to assess whether free liquids are currently
present in the unit. To facilitate such investigations, the final rule
establishes procedures to provide owners or operators with additional
time to complete the legacy impoundment applicability report, should
the owner or operator elect to conduct a field inspection to assess the
unit for the presence or absence of free liquids. See Sec.
257.100(f)(1)(v). To be clear, facilities are not required to conduct
field testing to determine whether their unit is a legacy CCR surface
impoundment. If records are available to allow the owner or operator to
make that determination, this final rule does not require them to
conduct field testing to confirm that information. However, to the
extent facilities would prefer to rely on field investigations to
supplement, or lieu of, a purely record-based investigation this final
rule provides that option.
In order to obtain additional time to complete the legacy
impoundment applicability report required under Sec. 257.100(f)(1), an
owner or operator must prepare an ``applicability extension report'' by
the effective date of the final rule. The extension report consists of
three parts. First, the extension report must include general
identifying information about the potential legacy impoundment,
including, the name associated with the unit, the identification number
of the unit if one has been assigned by the State, and information
about the location of the unit at the facility. This information is
same as the first three elements of the applicability report under
Sec. 257.100(f)(1)(i)(A) through (C).
Second, the extension report must include a statement by the owner
or operator that available information does not provide a sufficient
basis to determine that the inactive impoundment contained free liquids
on or after October 19, 2015. Owners or operators that cannot make this
statement are not eligible for this extension and must comply with the
applicable requirements for legacy impoundments. For example, an owner
or operator who knows that the unit currently contains liquids, or has
aerial photographs from 2018 showing that the inactive impoundment
contained standing or free water would not be eligible to make use of
these extension provisions because the unit contained free liquids
since October 19, 2015.
Finally, the extension report must contain a written field
investigation workplan. The purpose of this plan is to describe the
approach the owner or operator intends to follow to determine whether
the inactive impoundment contains free liquids. The written field
investigation workplan must contain the following elements:
A detailed description of the approach to characterize the
physical, topographic, geologic, hydrogeologic, and hydraulic
properties of the CCR in the unit and native geologic materials beneath
and surrounding the unit, and how those properties will be used to
investigate for the presence of free liquids in the CCR unit.
A detailed description of the methods and tools that will
be employed to determine whether the inactive impoundment contains free
liquids, the rationale for choosing these methods and tools, and how
these methods and tools will be implemented, and at what level of
spatial resolution at the CCR unit to identify and monitor the presence
of free liquids.
A detailed description of how groundwater elevations will
be determined, and at what level of spatial resolution, in relation to
the sides and bottom of the CCR unit and how any interaction of the
groundwater table with the CCR unit will be evaluated, and at what
level of spatial resolution.
A plan for evaluating stormwater flow over the surface of
the unit, stormwater drainage from the unit, and stormwater
infiltration into the unit and how those processes may result in the
formation of free liquids in the CCR unit. This plan must include a
current topographic map showing surface water flow and any pertinent
natural or man-made features present relevant to stormwater drainage,
infiltration and related processes.
An estimated timeline to complete the workplan and make a
determination if the CCR unit contains free liquids.
A narrative discussion of how the results from
implementing the workplan will determine whether the unit contains free
liquids specified.
A narrative discussion describing any anticipated problems
that may be encountered during implementation of the workplan and what
actions will be taken to resolve the problems, and anticipated
timeframes necessary for such a contingency.
The final rule allows an owner to operator to obtain as many as
three 6-month extensions (or 18 months from the effective date of the
final rule) to complete the field investigation. Each six-month time
extension must be supported by an updated extension report to justify
the need for additional time. If the owner or operator needs either of
the additional 6-month extensions, the subsequent extension report must
be prepared no later than six months after completing the preceding
extension report. Each prepared extension report must be placed in the
facility's operating record as required Sec. 257.105(k)(2) and posted
to the owner or operator's CCR website.
Once the owner or operator determines that an inactive impoundment
contains CCR and liquids the applicability report required by Sec.
257.100(f)(1) must be completed within 14 days of the determination.
EPA believes 14 days is a sufficient amount of time to complete the
applicability report because the information will be known to owners or
operators at this point. Following preparation of the applicability
report, the inactive impoundment is subject to the requirements for
legacy impoundments under Sec. 257.100(f)(2) through (5), but with
compliance deadlines adjusted by the length of the extension. These new
timeframes are calculated on a unit-by-unit basis because the date the
applicability report was prepared can vary by unit.
This following example illustrates how the new compliance
timeframes are calculated for one of the design criteria for legacy
impoundments. Section 257.100(f)(2)(i) requires that the permanent
identification marker must be placed on or immediately adjacent to the
legacy impoundment no later than 2 months after the effective date of
the rule. If the owner or operator determines 10.5 months after the
effective date of the rule that free liquids are present in the
inactive impoundment, the owner or operator must prepare the legacy
[[Page 39008]]
impoundment applicability report with 14 days of that date. The new
deadline for the owner or operator to install the permanent marker is
11 months after the original deadline (or in this case, 13 months from
the effective date of the final rule (2+ 10.5 + 0.5 months)).
Finally, if the owner or operator determines that the unit does not
contain liquids, the owner or operator must prepare a notification
stating that the field investigation has concluded and that the owner
or operator has determined that the inactive impoundment does not
contain CCR and liquids. This notification informs the public, States
and EPA that the unit is not a legacy CCR surface impoundment. The
final rule also provides that if the owner or operator does not
complete the field investigation work within the timeframes specified
in Sec. 257.100(f)(1)(iv)(B), the inactive impoundment shall be
considered a legacy CCR surface impoundment and must comply with all
applicable requirements under the new timeframes specified under Sec.
257.100(f)(1)(iv)(E).
ii. Site Security for Legacy CCR Surface Impoundments
Active facilities generally have guards and fencing to control
access to the facility, but inactive CCR facilities may not have such
security controls in place at the facility. To minimize that risk, EPA
proposed that owners or operators establish security controls to
restrict access to legacy CCR surface impoundments. The proposed
security requirements are written in terms of a performance standard,
as opposed to a prescriptive set of technical standards, such as
specific signage, barriers and fencing, or surveillance techniques. EPA
chose this approach because it would allow the owner or operator to
identify the most appropriate means of providing site security for the
impoundment based on site-specific circumstances.
Commenters generally supported performance-based site security
measures rather than having EPA prescribe specific technical standards.
Some commenters agreed that such requirements are necessary because
legacy CCR impoundments are located at inactive power plants, and
unlike impoundments at operating power plants, they almost certainly
lack the oversight and protection afforded by significant numbers of
on-site personnel. These commenters stated that the integrity of
impoundments and berms and the safety of nearby residents depend on
robust security measures to ensure that people are not--whether
intentionally or unknowingly--entering the site and taking actions
(such as all-terrain vehicle driving, dirt biking, or similar
activities) that endanger the integrity of the impoundment or expose
trespassers to health risks. Some commenters added that EPA should
consider that some sites may not need security measures, for example,
sites with closed legacy impoundments that closed under State programs,
especially where CCR have been removed. EPA did not receive comments
about the deadline to complete the site security requirements and is
therefore finalizing as proposed.
EPA is adopting the proposed site security performance standard
without revision from the proposal. Accordingly, the site security
performance standard in the final rule requires the owner or operator
to prevent the unknowing entry of people onto the legacy CCR surface
impoundment and to minimize the potential for the unauthorized entry of
people or livestock onto the impoundment. This is codified in the
regulatory text in Sec. 257.100(f)(3)(ii). The Agency generally
modeled the requirements on the existing regulations that apply to
interim status hazardous waste surface impoundments, which are codified
at Sec. 265.14(a). EPA recognizes that some facilities may already
have facility-wide access controls in place, and in this case, the
facility-wide controls would satisfy the requirement to limit public
access to the legacy CCR surface impoundment. The Agency is finalizing
the requirement for the facility to restrict access to the area
containing the legacy CCR surface impoundment no later than the
effective date of the final rule.
iii. Certification of Closure by Removal for Legacy CCR Surface
Impoundments
EPA proposed that legacy CCR surface impoundments that completed
closure by removal of CCR in accordance with the performance standards
in Sec. 257.102(c) after October 19, 2015, but before the effective
date of the final rule would be subject to no further requirements
under 40 CFR part 257, subpart D, provided the owner or operator
completed certain actions.\58\ 88 FR 31998 and proposed Sec.
257.100(f)(1)(ii). Specifically, EPA proposed that the owner or
operator would be required to post documentation on their CCR website
showing that the legacy impoundment was closed in accordance with the
closure by removal standards in Sec. 257.102(c). EPA further proposed
to require that the closure certification be certified by a qualified
P.E. Finally, EPA proposed to require that the certified demonstration
be completed and placed in the operating record no later than the
effective date of this final rule.
---------------------------------------------------------------------------
\58\ These impoundments contained both CCR and liquids on or
after October 19, 2015, and subsequently completed closure of the
impoundment before the effective date of this final rule.
---------------------------------------------------------------------------
A number of commenters requested that EPA expand the certification
to cover all State-approved closures by removal--including those in
which all CCR was removed from the unit or site, but the State approved
the closure without requiring any groundwater monitoring. The only
factual basis these commenters offered to support their request was
that EPA should rely on the State's determination that the closure was
protective.
Other commenters raised concern that the information needed to
support a certification may not be readily available, and as a
consequence these units would be subject to all of the other
requirements of the final rule, including groundwater monitoring,
preparation of plans, filing of reports, and closure and post-closure
activities. These commenters stated such an outcome is not necessary to
protect human health and the environment.
Other commenters stated that the proposed closure certification
under Sec. 257.100(f)(1)(ii) was not sufficient to allow EPA, States,
and the public to determine whether the facility has actually complied
with the closure performance standards under Sec. 257.102(c). These
commenters requested that the final rule require owners/operators
certifying closure by removal to specify, with supporting documentation
all of the following:
The nature and volume of CCR and all other materials in
the unit prior to closure;
All releases from the unit to the soil, surface water,
groundwater, and atmosphere during the operation of the unit, during
its inactive period(s), and prior to completion of closure activities;
The nature and extent of all soil, groundwater, surface
water, and other contamination associated with releases from the unit
throughout its history, including active and inactive periods;
The methods to be employed (in closure plans) and actually
employed (in closure completeness certifications) to ensure complete
removal of all CCR and other contaminated materials from the unit,
including but not limited to post-removal sampling and analysis;
Documentation that all CCR and other contaminated
materials were in fact removed from the unit, including but not limited
to post-removal sampling and analysis;
[[Page 39009]]
The methods to be employed (in closure plans) and actually
employed (in closure completeness certifications) to ensure complete
decontamination of all areas affected by releases from the unit,
including but not limited to post-decontamination sampling and
analysis; and
Documentation that all areas affected by releases from the
unit were in fact decontaminated and that all groundwater affected by
releases has achieved groundwater protection standards, including but
not limited to a minimum of two years of post-removal/decontamination
detection and assessment groundwater monitoring data collected pursuant
to the CCR Rule's groundwater monitoring performance standards and
analyzed pursuant to its sampling and analysis requirements, 40 CFR
257.91 and 257.93, to reliably demonstrate compliance with groundwater
protection standards in order to certify the completion of closure in
accordance with 40 CFR 257.102(c).
EPA is unable to adopt the commenters' suggestion to expand the
certification to all State-approved closures by removal. Without any
record of the factual and legal bases for the States' decisions, EPA
cannot conclude that all State-approved closures by removal pose no
reasonable probability of adverse effects on health or the environment,
as it is required to do under RCRA section 4004(a). This is
particularly true with respect to closures that were approved without
any groundwater monitoring or other information to demonstrate that
``groundwater . . . concentrations do not exceed the groundwater
protection standard established pursuant to Sec. 257.95(h),'' 40 CFR
257.102(c). Given the high probability that these impoundments were
unlined and leaked, the most likely conclusion is that contamination
remains at the site. In the absence of any further information, it is
not apparent how EPA could support approving such closures in a
nationwide rulemaking. See also Unit III.B.2.g.iii of this preamble for
further discussion of State programs.
EPA agrees that certifications under this paragraph need to include
sufficient supporting data so that EPA, States, and the public can
determine whether the facility has actually complied with the
performance standards in Sec. 257.102(c). However, EPA disagrees that
all of the information the commenters suggest is necessary to achieve
that goal. As described below, the final rule requires that a facility
support its certification with information that would have been
routinely developed as part of closing the unit; either because the
information is routinely required by State permit authorities or
because the facility would have developed the information as part of
the normal construction processes. Specifically, the final rule
requires facilities to include the following supporting information
with their certification:
(1) The type and volume of CCR and all other materials in the unit
prior to closure;
(2) The methods used to verify complete removal of all CCR and
other contaminated materials from the unit, including any post-removal
sampling and analysis;
(3) Documentation that all CCR and other contaminated materials
were removed from the unit, including, the results of any post-removal
sampling and analysis that was conducted;
(4) The methods used to verify complete decontamination of all
areas affected by releases from the unit, including but not limited to
post-decontamination sampling and analysis; and
(5) Documentation that all areas affected by releases from the unit
were decontaminated and that all groundwater affected by releases has
achieved groundwater protection standards.
The final rule identifies the minimum information needed to support
a certification, but, for the most part does not substantially restrict
the analyses or factual information that can be used. This is because
these units closed before they were subject to the Federal CCR
regulations, or knew that they would be subject to the regulations, and
EPA expects it is unlikely that facilities would necessarily have the
same documentation as a currently regulated entity. State requirements
specifying the information and analyses necessary to obtain approvals
or permits can vary significantly. However, the final rule specifies
that the facility must have groundwater monitoring data demonstrating
that the concentrations of each Appendix IV constituent do not exceed
the relevant groundwater protection standard, which would be either the
MCL or background concentration, for two consecutive sampling events,
consistent with Sec. 257.95(e). The final rule identifies the minimum
information needed to support a certification, but does not
substantially restrict the analyses or factual information that can be
used. Because the facility was not subject to part 257 groundwater
monitoring when the monitoring was conducted, the final rule does not
require a facility to demonstrate that it had installed a groundwater
monitoring system that complied with all of the requirements in
Sec. Sec. 257.90 through 257.95. Nevertheless, the data supporting the
certification must be scientifically valid and must credibly support a
determination that the monitoring system would reliably detect any
releases from the impoundment. Therefore, the final rule requires that
owner or operator demonstrate that the groundwater monitoring system
used to document the concentrations of Appendix IV constituents met a
subset of the performance standards found in Sec. Sec. 257.91(a)
through (e), 257.93(a) through (d), and 257.93(i). Specifically, the
facility needs to demonstrate that the groundwater monitoring system
met the following criteria:
(1) Accurately represented background water quality unaffected by a
CCR unit;
(2) Accurately represented the quality of water passing the waste
boundary of the unit;
(3) Was capable of detecting contamination in the uppermost
aquifer;
(4) Monitored all potential contaminant pathways;
(5) Established groundwater background concentrations for Appendix
IV constituents and compared samples to those background
concentrations; and
(6) Utilized wells that are (a) cased and maintained in a manner
that protects the integrity of the monitoring well borehole, (b)
screened or perforated and packed with gravel or sand, where necessary,
to enable collection of groundwater samples, and (c) sealed between the
borehole and the well casing to prevent contamination of the sample and
groundwater.
Finally, the last sample used to demonstrate that no constituent in
Appendix IV was detected in concentrations above the established
groundwater protection standards must have been collected no earlier
than one year prior to the initiation of closure.
If a facility can certify that all legacy CCR surface impoundments
on-site met the standards in Sec. 257.102(c) prior to the effective
date of this rule, the facility would not be subject to any further
requirements under this final rule (i.e., neither legacy CCR surface
impoundment requirements or CCRMU requirements). For these units, the
certification of closure by removal would be due no later than the
effective date of this final rule and must be placed in the facility
operating record then posted on their public CCR website. See Sec.
257.100(g).
EPA agrees that if a facility has actually met the performance
standards
[[Page 39010]]
in Sec. 257.102(c), there is no health or environmental benefit in
requiring compliance with all of subpart D simply because the facility
lacks the information to support the certification. Accordingly, the
final rule provides an option that allows such a facility to obtain the
information necessary to support a certification. If a facility has
removed all CCR from a legacy CCR surface impoundment before the
effective date of this final rule but never conducted groundwater
monitoring (or had a groundwater monitoring system that does not meet
the criteria laid out above), the facility would initially only be
required to install a groundwater monitoring system and initiate
groundwater monitoring in accordance with the requirements in
Sec. Sec. 257.90 through 257.95, as well as the recordkeeping,
notification, and website posting requirements described in Units
III.B.2.f and III.B.2.h. If the owner or operator of one of these units
elects to pursue a closure certification, the owner or operator must
prepare a notification of intent to certify closure by the effective
date of this final rule and place it in the operating record, post it
on their CCR website, and submit a notification to EPA or the State or
Tribal Authority. The notification must state that the facility has
removed all CCR from the unit and will be installing a groundwater
monitoring system compliant with Sec. Sec. 257.90 through 257.95 to
determine whether there is contamination coming from the unit. If no
SSL above the GWPS is detected for all Appendix IV constituent in at
least the first two consecutive sampling events, consistent with the
existing provisions of Sec. 257.95(e), the facility could at that time
complete the closure certification, and document compliance with Sec.
257.102(c). EPA anticipates that the requirement to conduct two
consecutive sampling events will result in one sample being taken
during the dry season and one in the wet season and thus capture
groundwater fluctuations. If the required sampling demonstrates no
exceedances of Appendix IV constituents, the owner or operator of the
unit must place the closure certification in the operating record, and
submit a notification to the State or Tribal Authority, and post the
certification documentation on their public CCR website. At that time,
the facility would not be subject to any further requirements under
this final rule (i.e., neither legacy CCR surface impoundment
requirements or CCRMU requirements). The deadline for the completion of
the certification of closure by removal for these units is no later
than 42 months after the effective date of the final rule. This will
provide the owner or operators of these units with the same amount of
time as other legacy CCR surface impoundments to comply with the
requirements to design and install a groundwater monitoring network,
develop a sampling and analysis plan, collect eight baseline samples,
and initiate combined detection and assessment monitoring (i.e., 30
months after the effective date of the final rule) and an additional 12
months to perform at least two sampling rounds.
If, however, groundwater monitoring detects an SSL above the
established GWPS of any Appendix IV constituent, the legacy CCR surface
impoundment described above becomes subject to the corrective action
requirements in Sec. Sec. 257.96 through 257.98 and is no longer
eligible to certify closure by removal under this provision. The owner
or operator of the legacy impoundment must then prepare the
applicability report no later than six months from the date of
receiving the laboratory analysis documenting the SSL. No later than
eight months from the date of receiving the laboratory analysis
documenting the exceedance of the GWPS, the owner or operator must
install the permanent marker. Furthermore, the facility must comply
with the CCRMU requirements in Unit III.C. However, the compliance
deadlines for the CCRMU requirements will be delayed by the number of
months between the publication date of the rule and the date of
receiving the laboratory analysis documenting the exceedance of the
groundwater protection standard. For example, if a facility receives
the laboratory analysis documenting an exceedance of the GWPS for any
Appendix IV constituent 36 months after the effective date, the
facility would add 42 months to all the CCRMU compliance deadlines.
Additionally, if a CCRMU is discovered onsite, the owner or operator
must prepare a fugitive dust plan no later than 6 months after the
completion of the FER. For such units that are unable to certify, the
final rule also includes a provision that allows a facility closing a
unit by removal to complete any necessary corrective action during a
post closure care period. Assuming the criteria in Unit III.B.2.g.iii
are met, the facility can also elect to defer closure to permitting.
However, given that the facility must comply with the groundwater
monitoring and corrective actions under both options, EPA expects that
most facilities will prefer to pursue certifications. See Unit III.D of
this preamble for further discussion.
c. Location Restrictions and Liner Design Criteria
Under the existing CCR regulations, existing CCR surface
impoundments that cannot demonstrate compliance with the location
restrictions for placement of CCR above the uppermost aquifer, in
wetlands, within fault areas, in seismic impact zones, or in unstable
areas (specified in Sec. Sec. 257.60 through 257.64) must retrofit or
close. The purpose of these requirements is to ensure that units
located in particularly problematic areas cease operation. EPA
explained in the proposed rule that because, by definition, legacy CCR
surface impoundments are not operating, and because it appears that all
legacy CCR surface impoundments are unlined and will therefore be
required to close, EPA believed that requiring compliance with the
location restrictions would be largely redundant.
Commenters largely supported not requiring location restrictions or
liner demonstrations on the grounds that location restrictions and
design criteria are not relevant to this class of units, as these
requirements primarily seek to ensure active units operate safely.
Other commenters believed that legacy CCR surface impoundments should
not be exempted from liner and structural stability requirements out of
concern that requiring compliance with one or more location
restrictions would provide information that would be ``critical'' to
designing unit closure and any necessary corrective action.
EPA disagrees that applying location restrictions and the liner
design criteria to legacy CCR surface impoundments would be
appropriate. First, as explained in the proposed rule, these criteria
are more appropriate for operational units or units at active
facilities. Second the consequence of failing to comply with the
location restrictions and liner design criteria requirements is closure
by a specific date. 40 CFR 257.101(a) through (b)(1). Because legacy
CCR surface impoundments are not operational and will in any event be
required to close, the consequence for failure to comply with location
restrictions or the liner design criteria (i.e., ceased receipt of
waste and closure) is moot. Additionally, the commenter failed to
identify any information necessary for conducting corrective action or
closure uniquely gained by complying with the location restrictions or
liner design criteria. Therefore, EPA continues to conclude that, as
stated in the proposed rule, information useful for corrective
[[Page 39011]]
action or closure that would be obtained by complying with the location
restrictions will be captured by compliance with the history of
construction requirement, the closure plan, or in the development of
the groundwater monitoring system.
EPA also continues to believe that the requirement to document
whether the impoundment was constructed with a composite liner or
alternative composite liner under Sec. 257.71(a)(1) is not warranted
for legacy CCR surface impoundments. The original purpose of this
provision was to determine whether the unit was unlined, and
consequently subject to closure. However, the available information
indicates that legacy CCR surface impoundments were largely constructed
well before composite liners systems were typically installed. Indeed,
no commenter identified a legacy impoundment with a composite liner.
For these reasons, EPA expects legacy CCR surface impoundment to be
unlined and, therefore, the final rule requires all legacy CCR surface
impoundments to close. As a consequence, requiring facilities to
compile the information required by Sec. 257.71(a)(1) would not
provide useful information or otherwise be necessary. Therefore, EPA is
not finalizing such requirement.
d. Design Criteria for Structural Integrity for Legacy CCR Surface
Impoundments
EPA proposed that legacy CCR surface impoundments be subject only
to the existing design criteria requirements in Sec. 257.73, in order
to help prevent damages associated with structural failures of CCR
surface impoundments.
EPA received numerous comments on application of the design
criteria requirements to legacy CCR surface impoundments. Most
commenters on the design criteria specifically commented on the
reporting/assessment requirements in Sec. 257.73 (i.e., history of
construction, initial hazard potential classification, initial
structural stability assessment, initial safety factor assessment).
Some of these commenters supported the expedited deadline for the
reports. However, most of these commenters echoed the concerns
mentioned in Unit III.B.2.a.ii of this preamble, characterizing the
proposed deadlines as infeasible, citing third-party availability,
national labor shortage, seasonality, the need to conduct quality
control and quality assurance, and the accessibility and completeness,
or lack thereof, of historical documentation and data. These commenters
stated that because legacy CCR surface impoundments are not operational
and have not been operational since before the 2015 CCR Rule took
effect, it is highly unlikely that owners or operators will have the
required historical documentation or data readily available and that,
for most of these facilities, documentation is likely in storage or
lost to time. Commenters have stated that more time is needed for
owners or operators to do their due diligence in locating and reviewing
the necessary data and information.
Furthermore, these commenters stated that due to the likely lack of
historical information, additional analyses will more than likely be
necessary to collect information essential to meeting the standards in
the CCR rule for each report. Additionally, these commenters said that
EPA was incorrect in characterizing these additional analyses as minor
and capable of being performed within the proposed deadline (i.e.,
three months from the effective date of the final rule) and that some
of these analyses (e.g., site visits, geotechnical investigations)
could be impacted by both contractor availability and seasonality.
Several commenters also pointed out that Professional Engineer (P.E.)
certification or approval by the Participating State Director or EPA
was required for these reports (i.e., hazard potential classification
assessments, structural stability assessments, and safety factor
assessments). These commenters said that the proposed deadline did not
provide adequate time to collect and review historical information,
acquire any necessary new information (i.e., perform additional
analyses), and conduct sufficient quality control and quality assurance
of said information to ensure the report would be certifiable by a P.E.
or capable of being approved by a State Director, Tribal authority, or
EPA. Commenters also highlighted that the information required by Sec.
257.73 will also be important in complying with concurrent and
subsequent requirements, such as the design of the groundwater
monitoring network and the closure plan. These commenters stated that
providing inadequate time to generate reports under Sec. 257.73 that
meet the standards set out in the rule has an adverse ripple effect on
the inputs of other requirements, undermining the adequacy of those
analyses and plans. Lastly, commenters stated the estimates in the
proposed rule of the amount of time needed to complete actions
necessary to achieve compliance (e.g., hire a contractor; generate a
report) were grossly underestimated, based on the experiences of
engineering firms, consultants, and owners or operators.
No commenters raised concern about requiring legacy impoundments to
comply with the existing requirements in Sec. 257.73. Therefore, EPA
is finalizing the application of the structural integrity requirements
in Sec. 257.73 to legacy CCR surface impoundments.
As mentioned in Unit III.B.2.a.ii of this preamble, based on the
information provided by commenters regarding the impacts of third-party
availability, national labor shortage, seasonality, and accessibility
and completeness of historical documentation, EPA has extended the
deadlines for the design criteria located at Sec. 257.73 as described
below. This is at least as much time as facilities were granted to
reach compliance in the 2015 CCR Rule deadlines. As detailed below in
Units III.B.d.i through III.B.d.v, EPA calculates that this additional
time as compared to the proposed deadlines mitigates the seasonality
concerns associated with performing any necessary analyses involving
field work; accommodates for the unavoidable delays caused by backlogs
and shortages currently being faced by necessary third parties;
provides owners or operators time to locate and compile the relevant
historical documentation that was more readily available and accessible
for facilities complying with the 2015 CCR Rule; and ensures a
compliance deadline feasible for facility nationwide.
i. Installation of a Permanent Marker for Legacy CCR Surface
Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments, except for ``incised CCR surface impoundments'' as
defined in Sec. 257.53, comply with Sec. 257.73(a)(1), which requires
the placement of a permanent identification marker, at least six feet
high on or immediately adjacent to the CCR unit. EPA also proposed that
placement of the permanent marker be completed by the effective date of
the final rule.
Overall, commenters stated this deadline should align with the 2015
CCR Rule deadline (i.e., two months from the effective date) to
accommodate for site access issues, seasonality, and the time needed to
hire necessary third parties to conduct the work. EPA acknowledges that
the proposal had not accounted for the national labor shortage of
contractors, or the need to factor in seasonality for site access and
the installation of the permanent marker. Therefore, EPA agrees with
the commenters that extending the deadline for the installation of the
permanent marker to no later than two months from
[[Page 39012]]
the effective date of the final rule provides owners or operators of
legacy CCR surface impoundments would provide the necessary time to
comply with the requirement at Sec. 257.73(a)(1) while still being
protective of human health and the environment.
Therefore, EPA is finalizing the requirement to install the
permanent marker no later than Wednesday, January 8, 2025, which is two
months after the effective date of the final rule. This is codified in
the regulatory text at Sec. 257.100(f)(2)(i).
To complete the installation of the permanent marker, owners or
operators must ensure the marker is at least six feet high and displays
the name of the legacy CCR surface impoundment, the name of the owner
or operator of the unit, and the identification number of the CCR unit,
if one has been assigned by the State.
ii. History of Construction for the Legacy CCR Surface Impoundments
Consistent with the existing regulations, EPA proposed that owners
or operators of legacy CCR surface impoundments that either have: (1) A
height of five feet or more and a storage volume of 20 acre-feet or
more; or (2) Have a height of 20 feet or more, would be required to
comply with the existing requirements to compile the history of
construction of the legacy CCR surface impoundment. In the proposed
rule, EPA acknowledged that information regarding construction
materials, expansions or contractions of units, operational history,
and history of events may be difficult for owners or operators to
obtain. Therefore, EPA proposed that owners or operators would only
need to provide information on the history of construction to the
extent that such information is reasonably and readily available. EPA
proposed a deadline of no later than three months after the effective
date for owners or operators to comply with this requirement.
Overall, commenters on the proposed rule stated the proposed
deadline for the history of construction was infeasible for the reasons
listed in Unit III.B.2.d of this preamble; namely the limited
availability of contractors, exacerbated by the number of CCR units
competing for the same resources; seasonality impacts on necessary
analyses; and accessibility and completeness of historical information.
Some of these commenters also highlighted the importance of the history
of construction requirement as an input into the design of the
groundwater monitoring system, closure decisions, and other design
criteria assessments; these commenters further emphasized the direct
impacts of the quality of the history of construction on the quality of
subsequent (i.e., groundwater monitoring network design, closure plan)
and interrelated requirements (i.e., hazard potential classification,
structural stability and safety factor assessments, inflow design flood
control system plan, EAP). These commenters said that, although EPA
acknowledged in the proposed rule that EPA would only require
information that is reasonably and readily available, owners or
operators would still likely need to conduct surveys and other analyses
to ensure the report would meet the requirements in Sec. 257.73(a)(2)
and to provide sufficient information for the completion of subsequent
and interrelated requirements. These commenters also stated that
locating the necessary documentation to complete the history of
construction would take considerable time and effort due to the age of
the units, the inactivity of the facility, and the likelihood of
records being located at currently unknown offsite locations.
Furthermore, some of these commenters requested clarification of what
EPA means by ``reasonably and readily available.'' Finally, commenters'
suggested deadlines for the completion of the history of construction
requirement ranged from three to 30 months.
As stated in Unit III.B.2.d of this preamble, EPA has reviewed the
information provided by commenters citing the shortages and backlogs of
qualified contractors, increased strain on those contractors related to
the number of CCR units complying with the CCR rule simultaneously,
difficulty accessing and reviewing historical documentation, and needed
time to perform quality control and quality assurance, and considers it
to be persuasive. EPA also acknowledges that the history of
construction report ties into several subsequent requirements,
including the other design criteria assessments and plan, the
groundwater monitoring and corrective action requirements, and the
closure and post-closure care requirements and therefore, agrees that
providing sufficient time for the completion of a thorough history of
construction report is important for the protection of human health and
the environment.
Furthermore, as stated in Unit III.B.2.a.ii, EPA extended most
deadlines to allow for as much time to come into compliance as was
granted in the 2015 CCR Rule. While EPA recognizes that when coming
into compliance with the 2015 CCR Rule, owners and operators had to
locate historical documentation, based on information provided by
commenters regarding the unknown whereabouts of the necessary records,
the age and inactivity of these facilities, and the labor shortages,
EPA expects it will be slightly more difficult to access and assess
historical documentation for the older legacy CCR surface impoundments
than it was for the units regulated by the 2015 CCR Rule. Because of
the increased difficulty in locating and accessing records, the
importance of the history of construction as an input into other
requirements, and the high likelihood of additional analyses being
needed, EPA is finalizing a deadline of no later than Monday, February
9, 2026, which is 15 months from the effective date. This deadline is
an extension of three months longer than the 2015 CCR Rule deadline and
is sufficient to accommodate the slight increase in difficulty in
accessing legacy impoundment records. This is codified in the
regulatory text at Sec. 257.100(f)(2)(ii).
Finally, as explained in Unit III.B.2.b.i, EPA addressed the term
``reasonably and readily available'' at 80 FR 21380. When using this
term, EPA intends facilities to provide relevant design and
construction information only if factual documentation exists and does
not expect owners or operators to generate new information or provide
anecdotal or speculative information.
Compliance with the history of construction requirement at Sec.
257.73(c) requires owners or operators of a CCR unit to compile a
report that documents identifying characteristics of the unit, the
history of how the CCR unit was used, specifics related to the unit's
design and construction, and the unit's instrumentation. Once compiled,
the report must be placed into the facility's operating record as
required by Sec. 257.105(f)(9). If the information included in the
history of construction report needs to be changed at any point in
time, the owner or operator must update the history of construction
report and place the updated report into the operating record. A
comprehensive list of information required in the history of
construction is in Sec. 257.73(c)(1).
iii. Initial Hazard Potential Classification for Legacy CCR Surface
Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments, except for incised CCR surface impoundments as defined in
Sec. 257.53, must complete the initial and periodic hazard potential
classification assessments required under Sec. 257.73(a)(2) without
revision. EPA
[[Page 39013]]
proposed a deadline of no later than three months after the effective
date for the completion of the initial hazard potential classification
assessment.
No commenters raised concern about requiring legacy impoundments to
comply with the existing requirements in Sec. 257.73(a)(2). EPA is
therefore finalizing this provision without revision. This is codified
in the regulatory text at Sec. 257.100(f)(2)(iii).
However, EPA received numerous comments on the proposed deadline.
Overall, commenters on the proposed rule stated the proposed deadline
for the initial hazard potential classification was infeasible for the
reasons listed in Unit III.B.2.d of this preamble, namely the limited
availability of contractors exacerbated by the number of CCR units
competing for the same resources; seasonality impacts on necessary
analyses; accessibility and completeness of historical information, and
the need for quality assurance and quality control. As mentioned in
Unit III.B.2.d.ii, a few commenters noted the interrelationship and
overlapping activities (e.g., historical documentation review, site
visit, geotechnical investigations, unit modeling) between the initial
hazard potential classification and the history of construction,
initial safety factor assessment, and the initial structural stability
assessment. Specifically, commenters stated that the history of
construction is done first and used to complete the initial hazard
potential classification. Furthermore, commenters highlighted the
direct dependence on the hazard potential classification for
determining the design flood to use in inflow design flood control plan
(Sec. 257.82(c)) and the trigger for the EAP requirement (Sec.
257.73(a)(3)). Commenters' suggested deadlines for the completion of
the hazard potential classification requirement ranged from three to 24
months.
As explained in Units III.B.2.a.ii and III.B.2.d of this preamble,
EPA acknowledges the need to extend the compliance deadline in
consideration of the impacts of labor shortage, contractor backlogs,
seasonality, accessibility and completeness of historical information,
and the need for quality assurance and control. EPA further
acknowledges the interrelationship of the design criteria reports and
the direct dependence of the initial inflow design plan and EAP
requirements on the completion of hazard potential classification. As
explained in Unit III.B.2.d of this preamble, based on the information
provided by commenters, EPA determined that extending the deadline for
the initial hazard potential classification to allow for at least as
much time to come into compliance as was granted in the 2015 CCR Rule
(i.e., 18 months after the effective date) is necessary to ensure the
compliance deadlines are nationally feasible. Because owners or
operators will be locating and compiling historical documents and
information as part of the history of construction requirement, EPA
assumes that historical documentation necessary for the initial hazard
potential classification assessment can be located and compiled
concurrently. Additionally, EPA expects necessary historical
information (e.g., engineering design drawings, geotechnical studies,
dam hazard potential classification documents, stability assessments)
and new analyses (e.g., surveys or geotechnical investigations) needed
for the history of construction and the initial hazard potential
classification to overlap to some degree. Therefore, EPA has determined
that additional time beyond that granted to come into compliance with
the 2015 CCR Rule is not needed for this requirement. As such, EPA is
finalizing a deadline of no later than Friday, May 8, 2026, which is 18
months from the effective date of this final rule.
To comply with the hazard potential classification requirement at
Sec. 257.73(a)(2), owners or operators of legacy CCR surface
impoundments must determine the hazard potential classification of the
CCR unit and justify the determination in a report. The CCR unit can be
classified as a low hazard potential CCR surface impoundment, a
significant hazard potential CCR surface impoundment, or a high hazard
potential CCR surface impoundment. The report must be certified by a
P.E. stating the hazard potential classification was conducted in
accordance with the CCR regulations. Subsequent periodic hazard
potential classifications are required every five years after the
completion of the previous hazard potential classification as described
at Sec. 257.73(f)(3).
iv. Initial Structural Stability Assessment and Initial Safety Factor
Assessment for Legacy CCR Surface Impoundments
Consistent with the existing regulations and EPA's findings from
the 2009-2014 Assessment Program as described in the proposed rule, EPA
proposed that owners or operators of legacy CCR surface impoundments
that meet the size thresholds in Sec. 257.73(b) and (c), must conduct
two types of technical assessments: (1) Structural stability
assessments; and (2) Safety factor assessments. In the proposed rule,
EPA explained that these two assessments could be conducted
concurrently and therefore, a deadline of no later than three months
from the effective date of the final rule was proposed for both
requirements.
No commenters raised concern about requiring legacy impoundments to
comply with the existing requirements in Sec. 257.73(b) and (c). EPA
is therefore finalizing this provision without revision. This is
codified in the regulatory text at Sec. 257.100(f)(2)(iv).
However, EPA received numerous comments on the proposed deadline.
Overall, commenters on the proposed rule stated the proposed deadlines
for the initial structural stability and safety factor assessments were
infeasible for the reasons outlined in Units III.B.2.a.ii and III.B.2.d
of this preamble, namely, seasonality, third-party availability,
national labor shortage, the need to conduct quality control and
quality assurance, and the accessibility and completeness, or lack
thereof, of historical documentation and data. As mentioned in Unit
III.B.2.d.ii, a few commenters noted the interrelationship and
overlapping activities (e.g., historical documentation review, site
visit, geotechnical investigations, unit modeling) between the initial
structural stability and safety factor assessments and the history of
construction, initial hazard potential classification, and the inflow
flood control system plan. Furthermore, commenters highlighted the need
to have quality information within the structural stability and safety
factor assessments to inform the EAP and to make sound closure
decisions. Commenters' suggested deadlines for the completion of the
initial structural stability assessment and the initial safety factor
assessment ranged from six to 24 months.
As explained in Units III.B.2.a.ii and III.B.2.d, EPA acknowledges
the need to extend the compliance deadline in consideration of the
impacts of labor shortage, contractor backlogs, seasonality,
accessibility and completeness of historical information, and the need
for quality assurance and control. EPA further acknowledges the
interrelationship of the design criteria reports and the value of using
the structural stability and safety factor assessment to develop the
EAP and the closure plan for the legacy CCR surface impoundment. As
explained in Unit III.B.2.d of this preamble, based on the information
provided by commenters, EPA determined that extending the deadline for
the initial structural stability and safety factor assessments to allow
for at least as much time to come into compliance as was granted in the
[[Page 39014]]
2015 CCR Rule is necessary to ensure the compliance deadlines are
nationally feasible. Because owners or operators will be locating and
compiling historical documents and information as part of developing
the history of construction, EPA assumes that historical documentation
necessary for the initial structural stability and safety factor
assessments can be located and compiled concurrently. Additionally, the
historical information (e.g., engineering design drawings, operational
records) and new analyses (e.g., surveys, geotechnical investigations)
needed for the history of construction, initial hazard potential
classification, and the initial structural stability and safety factor
assessments overlap to some degree. Therefore, EPA has determined that
additional time beyond that granted to come into compliance with the
2015 CCR Rule is not needed for this requirement. As such, EPA is
finalizing a deadline of no later than Friday, May 8, 2026, which is 18
months from the effective date of this final rule.
To comply with the structural stability assessment and safety
factor assessment requirements at Sec. 257.73(d) and Sec. 257.73(e),
owners or operators of legacy CCR surface impoundments must conduct
initial and periodic structural stability and safety factor
assessments. The structural stability assessment must document whether
the design, construction, operation, and maintenance of the unit is
consistent with recognized and generally accepted good engineering
practices for the maximum volume of CCR and CCR wastewater capable of
being contained within the unit. Accepted good engineering practices
includes, but are not limited to, stable foundations and abutments,
adequate slope protection, sufficiently compacted dikes, slope
protections, spillways capable of managing flow during and following
peak discharge events, structurally sound and operational hydraulic
structures, and structurally sound downstream slopes capable of
withstanding sudden drawdown of adjacent water bodies. See 40 CFR
257.73(d).
The safety factor assessment must document whether the calculated
factors of safety for the legacy CCR surface impoundment achieves the
minimum safety factor specified in Sec. Sec. 257.73(e)(1)(i) through
(iv) for the cross section of the embankment most susceptible to
structural failure determined by loading conditions and other
appropriate engineering considerations. See 40 CFR 257.73(e).
The periodic assessments are required every five years after the
completion of the previous assessment described at Sec. 257.73(f)(3).
Each assessment must be certified by a P.E. stating that the assessment
was conducted in accordance with the CCR regulations.
v. Preparation of an Emergency Action Plan for Legacy CCR Surface
Impoundments
EPA proposed that the owners or operators of legacy CCR surface
impoundments that have been identified as having either a high hazard
potential or a significant hazard potential would be required to comply
with the same requirement as existing CCR surface impoundments under
Sec. 257.73 to prepare and maintain a written EAP. An EAP is a
document that identifies potential emergency conditions at a CCR
surface impoundment and specifies actions to be followed to minimize
loss of life and property damage.
No commenters raised concern about requiring legacy impoundments to
comply with the existing requirements in Sec. 257.73(a)(3). EPA is
therefore finalizing this provision without revision. This is codified
in the regulatory text at Sec. 257.100(f)(2)(v).
However, EPA received numerous comments on the proposed deadline.
Overall, most commenters on the proposed rule stated that at a minimum,
EPA should allow as much time for legacy CCR surface impoundment to
come into compliance as granted existing units the 2015 CCR Rule
deadlines. Several commenters pointed out the direct reliance of the
EAP on the hazard potential classification assessment and noted that
the history of construction, safety factor assessment, and structural
stability assessment provided critical information as well. These
commenters noted that if the deadlines for any of those prerequisite
requirements were extended beyond the proposed compliance deadline, the
EAP deadline should be extended as well. Commenters' suggestions for
the deadline for the completion of the EAP ranged from 11 to 18 months.
EPA acknowledges that the EAP relies on the hazard potential
classification assessment and agrees with the commenters who stated
that if the deadline for the hazard potential classification assessment
was extended, the deadline for the development of the EAP should be
extended to no earlier than the deadline for the initial hazard
potential classification assessment. As stated in Unit III.B.2.d.iv,
EPA is finalizing a deadline of no later than 18 months from the
effective date of this final rule for the initial hazard potential
classification assessment. Furthermore, the deadlines for the initial
safety factor and structural stability assessments are being finalized
at no later than Friday, May 8, 2026, which is 18 months from the
effective date of the final rule. This deadline also provides owners or
operators the same amount of time for legacy CCR surface impoundments
to comply with the requirements as was granted for existing units in
the 2015 CCR Rule. Therefore, EPA is finalizing a deadline of no later
than Friday, May 8, 2026, which is 18 months from the effective date of
the final rule for legacy CCR surface impoundment to develop an EAP in
accordance with Sec. 257.73(a)(3).
As described above, an EAP specifies the actions to take during
potential emergency conditions at a CCR surface impoundment. To prepare
an EAP, the owner or operator must accurately and comprehensively
identify potential failure modes and at-risk developments. See also 80
FR 21377-21379, April 17, 2015. To comply with the EAP requirement, the
EAP must, at a minimum, define the events or circumstances involving
the CCR unit that represent a safety emergency; describe the procedures
that will be followed to detect a safety emergency in a timely manner;
define responsible persons, each person's responsibilities, and
notification procedures in the event of an emergency; provide contact
information for emergency responders; include a map that delineates the
downstream area that would be impacted by a CCR unit failure; a
physical description of the CCR unit; and provisions for an annual
face-to-face meeting between representatives of the owner or operator
and the local emergency responders.
e. Operating Criteria for Legacy CCR Surface Impoundments
The operating criteria in Sec. Sec. 257.80, 257.82, and 257.83
include air criteria for all CCR units, hydrologic and hydraulic
capacity requirements for CCR surface impoundments, and periodic
inspection requirements for CCR surface impoundments. These criteria
address the potential risks from the day-to-day operations of CCR units
and are established to prevent health and environmental impacts from
CCR units. CCR surface impoundments are subject to hydrologic and
hydraulic capacity requirements to ensure the unit can safely handle
flood flows, which will help prevent uncontrolled overtopping of the
unit or erosion of the materials used to construct the surface
impoundment. The existing CCR
[[Page 39015]]
regulations also require periodic inspections of CCR units to identify
any appearance of structural weakness or other conditions that are not
consistent with recognized and generally accepted good engineering
standards. EPA proposed that legacy CCR surface impoundments comply
with these existing requirements without revision.
Several commenters recommended that EPA provide relief from these
operating requirements for legacy impoundments that have closed prior
to the effective date of this rule, since these operating requirements
do not make sense for units that are no longer operating. These
commenters also state that the proposed rule includes relief from many
requirements for legacy impoundments that have closed by removal of
CCR, but does not include similar flexibility for legacy impoundments
that have closed in place. Commenters said requiring an owner or
operator to meet operating requirements for units that no longer
contain both CCR and liquids, and therefore do not pose the same
operating risks as existing CCR units, is illogical. They contended
these requirements are more applicable for legacy impoundments that
continue to contain both CCR and liquids as of the effective date of
this final rule. They further said EPA should therefore reconsider its
position and account for prior closure activities and afford
flexibility to those units that have undergone, or are undergoing,
State-led closure activities.
EPA disagrees that applying the operating criteria to legacy CCR
surface impoundments is inappropriate even if these units are no longer
receiving waste. EPA believes that applying the fugitive dust
requirements reduces the risk from airborne dust and requiring
inspections and inflow design flood control plan for legacy
impoundments that contain both CCR and liquids will reduce the risks
from structural stability concerns. EPA further addresses legacy
impoundments that closed by removal or closed with waste in place under
a State or Federal authority in Unit III.B.2.g of this preamble.
Accordingly, EPA is finalizing the requirement that legacy CCR surface
impoundments comply with these existing operating criteria requirements
in Sec. Sec. 257.80, 257.82, and 257.83 without revision.
i. Fugitive Dust Control Plan for Legacy CCR Surface Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments must complete a fugitive dust control plan by the
effective date of the final rule. The existing regulations require the
owner or operator of a CCR unit to adopt measures that will effectively
minimize CCR from becoming airborne at the facility, including CCR
fugitive dust originating from CCR units, roads, and other CCR
management and material handling activities. 40 CFR 257.80(b). To meet
this requirement, the owner or operator of the CCR unit must prepare
and operate in accordance with a fugitive dust control plan. Id. See
also 80 FR 21386-21388. EPA considers that fugitive dust controls are
warranted because closure activities can produce significant quantities
of dust.
EPA received few comments on the fugitive dust control plan. One
commenter requested that EPA amend Sec. 257.80 to include additional
requirements to protect those who work or live near CCR facilities from
the risks of fugitive dust. EPA disagrees that additional fugitive dust
controls are needed as EPA has no data to prove that the existing
requirements are inadequate.
EPA received some comments on the compliance deadline to complete
the fugitive dust control plan. Overall, commenters supported the
proposed deadline. However, a couple commenters requested more time.
One commenter requested three additional months for all requirements
due on the effective date, including the fugitive dust plan. This
commenter provided no evidence or factual basis to support this
suggested deadline. Another commenter requested a deadline of 30 months
for all requirements with proposed deadlines of the effective date to
allow owners or operators 24 months to determine if the unit is
eligible for the closure certification and prepare the certification
report and then an additional 6 months to comply with other
requirements, such as the dust plan and creation of a CCR website, if
the unit is not eligible for the closure certification. EPA finds the
requests for a deadline extension for the fugitive dust control plan to
be unfounded.
The primary activities associated with this requirement are hiring
a contractor who is a qualified P.E., having the contractor develop a
plan based on daily operations at the unit and site conditions, and
certification of the plan by a P.E. Little to no field-based activities
are required to complete the fugitive dust control plan. Furthermore,
this provides the same amount of time that EPA provided in the 2015 CCR
Rule for facilities to develop their fugitive dust control plans.
Therefore, EPA is finalizing the requirement that owners or operators
of legacy CCR surface impoundments must complete a fugitive dust
control plan no later than Friday, November 8, 2024, which is the
effective date of this final rule. This is codified in the regulatory
text at Sec. 257.100(f)(3)(i).
ii. Initial Fugitive Dust Control Report for Legacy CCR Surface
Impoundments
EPA proposed to require the initial annual fugitive dust report to
be due 12 months after the effective date of the final rule. Consistent
with the existing regulations, the report must document all actions
taken to control CCR fugitive dust, a record of all citizen complaints,
and a summary of any corrective measures taken in the previous year. As
this report is primarily a summary of owner or operator activities
related to fugitive dust control and does not require a P.E.
certification, the report may be completed by the owner or operator
without the need for a contractor. The owner or operator has completed
the annual CCR fugitive dust control report when the plan has been
placed in the facility's operating record.
EPA did not receive comments on the annual fugitive dust control
report requirements. As described in Unit III.B.2.a.ii of this
preamble, commenters requested that deadlines provide at least as much
time as was granted for 2015 CCR Rule requirements. Therefore, EPA is
extending the deadline from 12 months to 14 months to allow for a full
year to be reported in the first report (12 months plus two months for
report generation).
EPA is finalizing the requirement that the initial annual fugitive
dust report be completed no later than Thursday, January 8, 2026, which
is 14 months after the effective date of this final rule. This is
codified in the regulatory text at Sec. 257.100(f)(3)(vi).
iii. Weekly Inspections of the Legacy CCR Surface Impoundment and
Monthly Monitoring of the CCR Unit's Instrumentation
EPA proposed that owners or operators of legacy CCR surface
impoundments must initiate the inspection requirements set forth in
Sec. 257.83(a) no later than the effective date of the final rule.
Under Sec. 257.83(a), all CCR surface impoundments must be examined by
a qualified person at least once every seven days for any appearance of
actual or potential structural weakness or other conditions that are
disrupting or that have the potential to disrupt the operation or
safety of the CCR unit. The results of the inspection by a qualified
person must be recorded in the facility's operating record. Weekly
inspections are intended to detect, as early as practicable, signs of
distress in a CCR surface
[[Page 39016]]
impoundment that may result in larger, more severe conditions.
Inspections are also designed to identify potential issues with
hydraulic structures that may affect the structural safety of the unit
and impact its hydraulic and hydrologic capacity. Section 257.83(a)
also requires the monitoring of all instrumentation supporting the
operation of the CCR unit to be conducted by a qualified person no less
than once per month. See also 80 FR 21394-21395.
One commenter opposed applying the inspection requirements to
legacy CCR surface impoundment, stating these requirements are intended
for operational units and therefore are inappropriate for units that no
longer receive waste. EPA disagrees that applying the inspection
requirements to legacy CCR surface impoundments is inappropriate even
if these units are no longer receiving waste. EPA believes that
applying the weekly inspection requirements to legacy CCR surface
impoundments that contain both CCR and liquids reduces the risks
associated with structural stability concerns. Furthermore, the
commenter provided no factual basis for the exclusion of legacy CCR
surface impoundments from these requirements. EPA did not get any
comments specifically about this deadline, thus, EPA is finalizing
without revision the requirement that owners or operators of legacy CCR
surface impoundments initiate the inspection requirements set forth in
Sec. 257.83(a) no later than Friday, November 8, 2024, which is the
effective date of the final rule. This is codified in the regulatory
text at Sec. 257.100(f)(3)(iii).
iv. Initial Annual Inspection for Legacy CCR Surface Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments must conduct the initial annual inspection no later than
three months after the effective date of the final rule. Existing CCR
surface impoundments exceeding the height and storage volume thresholds
in Sec. 257.73(b) and (c), are required to conduct annual inspections
of the CCR unit throughout its operating life (Sec. 257.83(b)). These
inspections are focused primarily on the structural stability of the
unit and must ensure that the operation and maintenance of the unit is
in accordance with recognized and generally accepted good engineering
standards. Each inspection must be conducted and certified by a P.E.
See also 80 FR 21395.
EPA received comments that said the inspections should be required
for legacy impoundments, in addition to the other operating criteria.
However, one commenter opposed applying the inspection requirements to
legacy CCR surface impoundment, stating these requirements are intended
for operational units and therefore are inappropriate for units that no
longer receive waste. EPA continues to conclude that the annual
inspections required by Sec. 257.83 are relevant for legacy CCR
surface impoundments even if these units are no longer receiving waste.
EPA believes that applying the annual inspection requirement to legacy
CCR surface impoundments that contain both CCR and liquids reduces the
risks associated with structural stability concerns. Furthermore, the
commenter provided no factual basis for the exclusion of legacy CCR
surface impoundments from these requirements.
Annual inspections include documentation review, a visual
inspection of the CCR unit, and a visual inspection of any hydraulic
structures underlying the base of the CCR unit or passing through the
CCR unit's dike. Documentation reviewed as part of the annual
inspection include operating records, previous structural stability
assessments, and the results of previous weekly, monthly, and annual
inspections and can overlap with reviews needed to complete the initial
structural stability assessment.
EPA proposed that owners or operators of legacy CCR surface
impoundments must conduct the initial annual inspection no later than
three months after the effective date of the final rule. EPA proposed
that owners or operators must prepare the initial inspection report for
legacy CCR surface impoundments within the same time frame--no later
than three months from the effective date of the final rule--as was
required for existing CCR surface impoundments in the 2015 CCR Rule.
The Agency believes this time frame to prepare the initial annual
inspection is similarly appropriate for legacy CCR surface impoundments
as for existing impoundments. As discussed in the preamble to the 2015
CCR Rule, the three-month time frame was based on EPA's experience with
its CCR Assessment Program to evaluate the structural stability and
safety of existing impoundments throughout the nation. Specifically,
EPA found that three months would be adequate to complete the tasks
supporting an annual inspection, including retaining the services of a
P.E., reviewing relevant information in the facility's operating
record, conducting the field inspection, and completing the inspection
report. See 80 FR 21395. EPA did not receive any comments objecting to
this time frame.
EPA is finalizing the requirement without revision that owners or
operators of legacy CCR surface impoundments must conduct the initial
annual inspection no later than Monday, February 10, 2025, which is
three months after the effective date of the final rule. This is
codified in the regulatory text at Sec. 257.100(f)(3)(iv).
v. Initial Inflow Design Flood Control System Plan for Legacy CCR
Surface Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments must prepare the inflow design flood control system plan
nine months after the effective date of the final rule. Owners or
operators of all CCR surface impoundments are required to design,
construct, operate, and maintain hydraulic and hydrologic capacity to
adequately manage flow both into and from a CCR surface impoundment
during and after the peak discharge resulting from the inflow design
flood, which is based on the Hazard Potential Classification of the CCR
surface impoundment (Sec. 257.82(a)). The regulation also requires the
preparation of an initial inflow design flood control system plan
(Sec. 257.82(c)). See also 80 FR 21390-21392.
EPA did not receive any comments about this requirement. However,
overall, most commenters believed that compliance deadlines should not
be accelerated to be shorter than required for active units. Commenters
also believed that substantial data collection efforts might be
required resulting in situations where it is not feasible to meet the
proposed deadline. For example, there is an ongoing shortage of
contractors (e.g., consultants, drillers, laboratories) to complete
this work. EPA considered these comments and extended the deadline to
18 months in consideration of third-party availability and in order to
match the 2015 CCR Rule.
EPA is finalizing the requirement that owners or operators of
legacy CCR surface impoundments prepare the inflow design flood control
system plan no later than Friday, May 8, 2026, which is 18 months after
the effective date of the final rule. This is codified in the
regulatory text at Sec. 257.100(f)(3)(v).
f. Groundwater Monitoring and Corrective Action Criteria for Legacy CCR
Surface Impoundments
EPA proposed to require legacy CCR surface impoundments to comply
with the existing groundwater monitoring
[[Page 39017]]
and corrective action criteria in 40 CFR 257.90 through 257.98, with
one revision, to require sampling and analysis of constituents listed
in Appendix IV at the same time as those listed in Appendix III. As
explained in the proposed rule at 88 FR 32003, Sec. Sec. 257.90
through 257.95 require owners or operators of a CCR unit to install a
system of monitoring wells, specify procedures for sampling these
wells, and set forth methods for analyzing the groundwater data
collected to detect hazardous constituents (e.g., toxic metals) and
other monitoring parameters (e.g., pH, total dissolved solids) released
from the units. If the groundwater monitoring required in Sec. 257.95,
demonstrates an exceedance of the groundwater protection standards for
constituents identified in Appendix IV of part 257, corrective action
is required as laid out in Sec. Sec. 257.96 through 257.98. These
requirements apply throughout the active life and post-closure care
period of the CCR unit.
Several commenters expressed support for requiring legacy CCR
surface impoundments to comply with these groundwater monitoring and
corrective action requirements, stating CCR units can and have caused
groundwater contamination. Some commenters suggested additional
requirements be added to those in Sec. Sec. 257.90 through 257.98,
including a mandate to test groundwater quality outside the boundary of
the facility and make those results public; a report documenting the
unit's proximity to the closest surface water body and nearest private
and public groundwater wells; a deadline for the completion of the
selection of remedy required by Sec. 257.97; and a prohibition against
using intrawell groundwater data comparisons at legacy CCR surface
impoundments. Other commenters stated that applying the existing
corrective action requirements to historic sites, such as legacy CCR
surface impoundments, is not appropriate and suggested that instead EPA
incorporate site-specific risk-based corrective action into the CCR
regulations.
EPA further proposed two deadlines for the groundwater monitoring
requirements, as opposed to the single deadline in the 2015 CCR Rule.
EPA received numerous comments on EPA's proposal to split the single
deadline for groundwater monitoring requirements contained within the
2015 CCR Rule (24 months from the effective date of the final 2015
rule) into two separate deadlines (six months from the effective date
of the final rule for the installation of the groundwater monitoring
network and development of the groundwater sampling and analysis plan
and 24 months from the effective date of the final rule for the
initiation of the combined detection and assessment monitoring). A few
commenters expressed support of the two separate deadlines for
groundwater monitoring requirements, stating it increased
accountability and ensured owners or operators were not unnecessarily
delaying the installation of the groundwater monitoring system.
However, overall, commenters stated that the groundwater monitoring
requirements should have a single deadline as the separate deadlines
made compliance with the rule infeasible. Several commenters said the
proposed split deadlines eliminated the flexibility necessary for
compliance that was contained within the 2015 CCR Rule's single
deadline. Those commenters went on to say the single deadline allowed
facilities to accommodate for delays associated with factors outside
their control, such as third-party availability, weather, and required
permits or approvals, by making schedule adjustments necessary to
achieve compliance (e.g., expedite the development of the sampling plan
in the case of delays with the well installation). Other commenters
said the proposed two deadlines were unnecessarily prescriptive. One
commenter pointed out that the proposed rule contained no deliverables
to verify compliance for the installation of wells or the development
of the sampling and analysis plan.
As explained in the proposed rule, the existing groundwater
monitoring and corrective action requirements are essentially the same
requirements that have been applied to both hazardous waste and
municipal solid waste disposal units for decades, and with the one
exception discussed below, there is nothing about legacy CCR surface
impoundments that makes them distinct enough to warrant separate
requirements from those for other CCR surface impoundments. No
commenter provided any factual basis for treating legacy impoundments
differently than all the other units that currently comply with the
same groundwater monitoring requirements, including other inactive CCR
surface impoundments. For those commenters requesting that EPA adopt
``risk-based corrective action'' into the requirements, EPA notes that
the commenters have provided no further explanation of what
requirements in the existing regulations they wanted EPA to revise,
what the revisions should accomplish, or why they are necessary or
appropriate. As a general matter EPA considers that the corrective
action regulations in Sec. Sec. 257.95 through 257.98 do currently
require facilities to tailor remedies to address the risks to human
health and the environment, based on the conditions at the site. It is
unclear what more the commenters are seeking. Accordingly, EPA is
finalizing the proposal that legacy CCR surface impoundments comply
with the existing groundwater monitoring and corrective action
requirements with one modification, combined detection and assessment
monitoring.
However, EPA agrees that having a single deadline for groundwater
monitoring requirements as opposed to two deadlines allows flexibility
to complete tasks, such as installing groundwater wells and collecting
independent samples, which is necessary for compliance with a
nationwide rule. The activities involved in achieving compliance with
the groundwater monitoring requirements (i.e., drilling wells,
collecting samples, receiving lab results) are more susceptible to
factors outside a facility's control, such as extreme weather events,
shortages of qualified contractors, and permitting or approval delays,
and therefore, warrant greater flexibility. Additionally, activities
can be restricted dependent on the time of year and the location of the
facility (e.g., due to seasonality, protected species, clearing
restrictions). Because the groundwater monitoring requirements build
upon each other, EPA must ensure that facilities nationwide are
reasonably able to achieve regulatory compliance by the deadline.
Utilizing a single deadline for the groundwater monitoring requirements
allows facilities to make reasonable accommodations for regional
factors in a way the proposed deadlines do not, while still maintaining
the same level of protection for human health and the environment.
Furthermore, EPA agrees that the proposed rule does not have a clear
mechanism for facilities to prove compliance or for interested parties
to verify compliance with the separate deadlines for the installation
of the groundwater monitoring network and the development of the
groundwater sampling and analysis plan. Finally, based on the
information provided by commenters, specifically the information
regarding the current labor shortages and backlogs experienced by third
parties necessary to accomplish tasks involved in complying with the
groundwater monitoring requirements (e.g., drillers for well
installation, laboratories for sample analysis), time needed to obtain
[[Page 39018]]
necessary approvals (e.g., State permits to drill water wells or clear
vegetation), and to accommodate for seasonality, EPA has calculated six
months as the appropriate extension of the 2015 CCR Rule groundwater
monitoring system deadlines. Therefore, EPA is finalizing a single
deadline of no later than 30 months after the effective date of this
final rule for the groundwater monitoring requirements found at
Sec. Sec. 257.90 through 257.95.
i. Design and Installation of the Groundwater Monitoring System for
Legacy CCR Surface Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments install the groundwater monitoring system as required by
Sec. 257.91 no later than six months from the effective date of this
final rule. EPA further proposed that existing monitoring wells can be
used as a part of the legacy CCR surface impoundment groundwater
monitoring systems provided the wells meet Sec. 257.91. As explained
in the proposed rule, based on the amount of time most facilities
needed to complete or to collect baseline sampling, EPA calculated that
facilities would be able to install the necessary monitoring wells
within a single year.
As mentioned above, some commenters supported the expedited
deadlines. However, most commenters stated the proposed deadline of six
months from the effective date of the final rule for the design and
installation of the groundwater monitoring network was infeasible and
should be extended to no less than 24 months from the effective date to
align with the 2015 rule deadline. As explained above, many of these
commenters expressed the need for a single deadline for groundwater
monitoring requirements. Furthermore, as described in Unit III.B.2.a.ii
of this preamble, these commenters cited seasonality restrictions, the
nationwide labor shortages, limited qualified contractor availability,
the need for State approvals and permits, and the number of facilities
competing for limited resources as reasons for why the proposed
expedited deadline is infeasible. A few commenters noted that in recent
decisions on Part A demonstrations, EPA cited deficiencies in the
groundwater monitoring network as a basis for non-compliance. These
commenters went on to state that the proposed deadline does not
facilitate the establishment of a monitoring system that would meet the
standards laid out in the CCR rule or the recent proposed decisions and
thus, the proposed deadline creates de facto non-compliance. One of
these commenters elaborated by saying that the deadline does not allow
facilities to acquire the permits that may be required to drill wells
and precludes the observation of groundwater levels over time, which is
needed to properly characterize groundwater flow. Other commenters
stated meeting the proposed compliance deadline would prevent a
facility from conducting proper site characterization, which is needed
to inform well placement and depth and provide professional engineers
sufficient information to certify the groundwater monitoring system.
Lastly, commenters stated that contrary to EPA's assertion in the
proposed rule that expediting the installation of the groundwater
monitoring network is protective of human health and the environment,
to meet the proposed deadline, facilities would likely be forced to
design groundwater monitoring systems based on inadequate data
resulting in unreliable groundwater monitoring data. Commenters
provided estimates of time needed to comply with the design and
installation of the groundwater monitoring system requirements ranging
from 12 to 36 months.
As stated in Unit III.B.2.a.ii of this preamble, in response to
comments EPA reevaluated the compliance deadline for the design and
installation of the groundwater monitoring network and found the
information provided regarding the general infeasibility of the
proposed deadline compelling. Specifically, EPA agrees that more time
is needed to account for limited third-party availability (e.g.,
contractor shortages and laboratory backlogs), seasonality and extreme
weather events, procuring a contractor, complying with overlapping
regulatory requirements, and coordinating with outside parties. EPA
acknowledges the importance of proper site characterization as the
foundation for designing a groundwater monitoring system and is
convinced that although there may be some legacy CCR surface
impoundments that have sufficient historical documentation for site
characterization, many of these units may need to conduct more
extensive site reconnaissance and field work to obtain the necessary
information. Lastly, EPA recognizes that groundwater monitoring systems
designed using inadequate data would be unable to properly monitor
groundwater quality coming from the unit and therefore would not be
protective of human health and the environment. Therefore, because EPA
is convinced by information from the commenters that facilities would
be unable to conduct all the steps necessary to design and install a
groundwater monitoring system capable of meeting the standards in Sec.
257.91 by the proposed deadline, EPA has extended the deadline.
As stated in Unit III.B.2.f, based on information provided by
commenters, EPA concluded that a single deadline should be used for the
groundwater monitoring requirements. In the proposed rule, the latest
proposed deadline for groundwater monitoring requirements was the
deadline of 24 months from the effective date of this final rule for
the initiation of the combined detection and assessment monitoring and
the collection of the eight baseline samples. Based on information
provided in response to comments on the proposed rule and as explained
in Unit III.B.2.f, EPA calculated six months as the appropriate
extension of the groundwater monitoring system deadlines. Therefore,
EPA is finalizing a deadline for the completion of the design and
installation of the groundwater monitoring system of no later than
Monday, May 10, 2027, which is 30 months from the effective date of
this final rule. This is codified in the regulatory text at Sec.
257.100(f)(4)(i).
To complete the installation of the groundwater monitoring system,
the owner or operator of a legacy CCR surface impoundment must ensure
the monitoring system consists of sufficient number of wells both
upgradient and downgradient of the CCR unit, installed at appropriate
locations and depths, to yield groundwater samples from the uppermost
aquifer that accurately represent the quality of background groundwater
and groundwater passing the downgradient waste boundary of the CCR
unit, monitoring all potential contaminant pathways. 40 CFR
257.91(a)(1) through (2). Because hydrogeologic conditions vary so
widely from one site to another, the regulations do not prescribe the
exact number, location, and depth of monitoring wells needed to achieve
the general performance standard. Rather the regulation requires
installation of a minimum of one upgradient and three downgradient
wells, as well as any additional monitoring wells necessary to achieve
the general performance standard of accurately representing the quality
of the background groundwater and the groundwater passing. See, 80 FR
21399. The number and placement of the monitoring wells is critical to
proper characterization of the groundwater. Thus, the specific number,
spacing, and depth of the monitoring wells must be determined based on
site-specific
[[Page 39019]]
information, including but not limited to the thorough characterization
of aquifer thickness, groundwater flow rate, groundwater flow direction
throughout seasonal and temporal fluctuations, the unit's geological
setting, and the unit's hydrogeological setting.
The monitoring wells must be cased, constructed, operated, and
maintained in a way that preserves the integrity of the monitoring well
borehole, screened interval and other components so as to ensure the
well performs to the design specifications throughout the life of the
monitoring system. EPA expects owners or operators to ensure the
groundwater monitoring wells are adequately protected from activities
that may damage the wells or otherwise adversely impact their
performance, such as accidental damage caused by livestock, vehicles,
machinery, or other activities near the unit.
The owner or operator of the unit must ensure that the design,
installation, development, and decommissioning of any aspect of the
groundwater monitoring system is thoroughly documented and included in
the operating record. Furthermore, the owner or operator must obtain a
P.E. certification or approval from the Participating State Director or
EPA stating the groundwater monitoring system meets the standards set
out in Sec. 257.91.
ii. Development of the Groundwater Sampling and Analysis Program for
Legacy CCR Surface Impoundments
EPA proposed to require owners or operators of legacy CCR surface
impoundments to comply with the existing groundwater sampling and
analysis program requirements for CCR surface impoundments, including
the selection of the statistical procedures that will be used for
evaluating groundwater monitoring data. 40 CFR 257.93. EPA proposed a
deadline of no later than six months after the effective date of the
final rule for owners or operators to comply with this requirement.
One commenter suggested EPA prohibit use of intrawell groundwater
data comparisons for legacy CCR surface impoundments. This commenter
stated that intrawell comparisons are only appropriate when the
background samples are collected before CCR was placed in the unit and
therefore, since these units are likely already leaking, they would be
ineligible for intrawell data comparisons. As stated in Unit III.B.2.f,
the existing groundwater monitoring and corrective action requirements
are essentially the same requirements that have been applied to both
hazardous waste and municipal solid waste disposal units for decades,
and with the one exception discussed below, there is nothing about
legacy CCR surface impoundments that makes them distinct enough to
warrant separate or additional requirements. Furthermore, while EPA
expects legacy CCR surface impoundments to largely be unlined and
potentially leaking, the commenter did not provide any evidence that
would support creating a prohibition against intrawell data
comparisons. Therefore, EPA did not adopt a prohibition on intrawell
data comparisons at legacy CCR surface impoundments. However, EPA
acknowledges that since the 2015 CCR Rule went into effect, intrawell
groundwater data comparisons have been misused to a large degree. No
commenters raised concern about requiring legacy CCR surface
impoundments to comply with the existing requirements in Sec. 257.93.
EPA is therefore finalizing this provision without revision. This is
codified in the regulatory text at Sec. 257.100(f)(4)(ii).
However, EPA received several comments on the proposed deadline for
the development of the groundwater sampling and analysis plan. As
mentioned in Unit III.B.2.a.ii, some commenters supported the expedited
deadline. However, several other commenters pointed out that the
sampling and analysis plan cannot be completed prior to the collection
of the baseline samples, which had a proposed deadline of 24 months
from the effective date. Many of these commenters went on to state that
the proposed expedited deadline for the development of the sampling and
analysis plan could result in too frequent sampling leading to non-
independent, autocorrelated baseline samples for a large number of
facilities, undermining the required statistical analysis. A few
commenters further stated that EPA published decisions on Part A and
Part B demonstrations citing lack of statistical independence in
sampling as a basis for non-compliance, and failure for EPA to extend
the deadline for the sampling and analysis plan to allow adequate time
for facilities nationwide to gather independent samples would create de
facto non-compliance.\59\ Commenters also said that the proposed
deadlines do not account for the backlogs already experienced due to
the existing CCR units using the small number of laboratories qualified
to conduct the specialized analyses required by the rule, coupled with
the national labor shortages. The commenters predicted the backlogs
with laboratories will only increase with the regulation of legacy CCR
surface impoundments and CCRMU, making the proposed deadlines even more
infeasible. Finally, as mentioned in Unit III.B.2.f, commenters
emphasized the need for one deadline for all groundwater monitoring
requirements.
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\59\ On January 25, 2023, EPA proposed determinations on six
Part B applications for alternate liner demonstrations (``Part B'').
All six proposals are proposed denials. The CCR Part B Final Rule
(85 FR 72506, November 12, 2020), allowed a limited number of
facilities to demonstrate to EPA or a Participating State Director
that, based on groundwater data and the design of a particular
surface impoundment, the unit has and will continue to ensure there
is no reasonable probability of adverse effects to human health and
the environment.
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EPA agrees that a sampling and analysis plan cannot reasonably be
completed before the collection of baseline samples. EPA also
acknowledges the adverse impact of too frequent sampling on the
validity of statistical analysis and the need to account for seasonal
variability in groundwater flow, groundwater levels, and constituent
concentrations. EPA further acknowledges that providing insufficient
time for the collection of baseline samples or the development of the
sampling and analysis plan would likely result in ineffective
groundwater monitoring programs that may fail to alert facilities to
groundwater contamination coming from CCR units. As explained in Unit
III.B.2.a.ii and Unit III.B.2.f respectively, EPA recognizes the need
for more time to accommodate third-party availability and a single
deadline for the groundwater monitoring requirements. As stated in Unit
III.B.2.f.i, for the reasons laid out above, EPA is finalizing a single
deadline for the groundwater monitoring requirements of no later than
Monday, May 10, 2027, which is 30 months from the effective date of
this final rule.
The owner or operator must develop the groundwater sampling and
analysis program that satisfies the requirements in Sec. 257.93 and
includes a list of monitoring wells to be sampled (i.e., the monitoring
network), the schedule for sampling, sampling procedures and
techniques, sample preservation and shipping protocols, analytical
procedures including an appropriate statistical method for analysis,
and quality assurance and quality control methods. The sampling and
analysis plan must include all analytes listed in Appendix III and
Appendix IV. Recommendations and information on how to comply with many
of the
[[Page 39020]]
requirements for the groundwater sampling and analysis program (e.g.,
analytical procedures, QA/QC controls, sampling protocol) can be found
in the following EPA guidance documents (e.g., RCRA Groundwater
Monitoring: Draft Technical Guidance, 1992, EPA/530/R-93/001; Low-Flow
(Minimal Drawdown) Ground-Water Sampling Procedures, 1996, EPA/540/S-
95/504).
iii. Detection Monitoring Program and Assessment Monitoring Program
Combined
EPA proposed to require sampling and analysis of constituents
listed in Appendix IV at the same time as those listed in Appendix III.
The proposed rule explained that this would expedite groundwater
monitoring and initiation of corrective action by at least six months
at sites where units have potentially been leaking for a time, as is
likely the case at unlined legacy CCR surface impoundments. The
proposed rule further explained that expediting Appendix IV constituent
detection and any resulting corrective action is necessary for the
protection of human health and the environment. EPA proposed no other
revisions to the existing groundwater monitoring requirements in
Sec. Sec. 257.90 through 257.95.
EPA received few comments on its proposal to combine detection and
assessment monitoring. One commenter pointed out the increased demand
on laboratory services, facility staff and/or contractors, and P.E.s
that would result from having all legacy CCR surface impoundments
comply with both monitoring programs simultaneously. Another commenter
stated that by combining detection and assessment monitoring and
assuming groundwater contamination, EPA has rendered detection
monitoring superfluous. Further, the commenter asserted that skipping
detection monitoring entirely would lose critical data regarding
whether there are statistically significant increases (SSI) in
groundwater constituents specifically due to the unit being monitored.
Another commenter said that the justification in proposed rule
regarding phased groundwater monitoring being ``best suited to
situations where there is little likelihood of pre-existing
contamination'' conflicts with EPA's position in the 2015 CCR Rule.
According to the commenter, in the 2015 CCR Rule, the Agency was aware
many CCR surface impoundments were decades old and potentially leaking;
yet EPA still adopted a phased approach with detection monitoring to
monitor indicators of potential groundwater contamination and
assessment monitoring to determine if releases of CCR constituents of
concern did occur.
As explained in the proposed rule, the phased approach in the 2015
CCR Rule is best suited to situations where there is little likelihood
of pre-existing contamination, such as at a new facility or unit. As
EPA explained in 2015, detection monitoring was designed to provide an
early warning that a unit might be contaminating the aquifer, by first
monitoring for constituents that would rapidly move through the
subsurface and thus provide early detection of a potential problem
before significant releases of constituents of concern (i.e., those in
Appendix IV) had occurred. See, 80 FR 21397. At a site without an old,
unlined impoundment, or other evidence of pre-existing contamination, a
graduated response to increasing evidence of leakage and potential
contamination is easily justified, as it both allows facilities ample
time to investigate the source of contamination as well as the
environmental fate and transport characteristics of CCR constituents in
groundwater, while still protecting human health and the environment.
In essence, this approach rests on a presumption that the unit is not
already leaking. At new sites, for example, there is no reason to
expect that groundwater will have been contaminated above regulatory
levels of concern prior to detection by the groundwater monitoring
system.
But that presumption is largely inapposite for a universe
consisting exclusively of historic unlined units, many of which have
operated for decades. And at sites where leakage (and therefore, likely
groundwater contamination) has been occurring for a sustained period,
the need to protect human health and environment warrants the quick
detection of constituents of concern and initiation of any necessary
corrective action. Unlike this rule, the 2015 CCR Rule applied both to
new facilities, which would be expected to have little likelihood of
pre-existing contamination, and to currently operating facilities. Over
the long term, EPA expected that there would eventually be a greater
percentage of new units than existing units as the older units reached
capacity and closed. In addition, as discussed in the proposal at 88 FR
32010 and in Unit III.A.2 of this preamble, it is clear from the data
posted on facilities' websites that EPA significantly underestimated
the number of unlined units (both impoundments and landfills), and
consequently, significantly underestimated the number of leaking units
and the extent of contamination at these sites. In light of these
considerations, EPA's decision in 2015 to adopt phased monitoring was
reasonable.
By contrast, there is good reason to believe that many legacy CCR
surface impoundments are currently contaminating groundwater, based on
the record from the 2015 CCR Rule, the results of EPA's recent
modeling, and the large number of presently regulated CCR surface
impoundments that have been found to be leaking, despite frequently
inadequate groundwater monitoring networks. In sum, the totality of
this record demonstrates that it is highly likely that the installation
of groundwater monitoring at legacy impoundments will identify the
presence of plumes of contaminated groundwater that have persisted or
even expanded over many prior years despite a previous absence of
groundwater data.
As a practical matter, EPA expects combining Appendix III and
Appendix IV constituents into a unified sampling and analysis plan and
approach will likely have only minor effects on schedules, as this
change will not require additional field mobilizations or sampling
events and will only require collection of a slightly larger number of
sample containers at each monitoring well to allow for analysis for
both Appendix III and IV constituents. As such, no additional shipments
of samples to the analytical laboratory will be required. However, EPA
acknowledges that combining Appendix III and Appendix IV constituents
into a unified sampling and analysis plan may increase the total
throughput burden on analytical laboratories and related services.
Similarly, while combined monitoring may require additional evaluation
(e.g., concentration and trend analysis of data concerning both
Appendix III and Appendix IV constituents), this incremental increase
is unlikely to significantly increase the overall reporting level of
effort, as the number of reports will be essentially unchanged.
Nevertheless, as discussed in Units III.B.2.a.ii and III.B.2.f of
this preamble, EPA acknowledges the commenters' concerns regarding
existing and projected labor shortages, backlogs, and third-party
availability, and agrees this has the potential to affect facilities'
ability to comply with the proposed deadlines for groundwater
monitoring requirements. EPA is therefore extending the deadline, as
well as building in flexibility for facilities to accommodate for
delays, by finalizing a single deadline for groundwater
[[Page 39021]]
monitoring requirements in lieu of the proposed split deadlines.
However, EPA disagrees that combining detection and assessment
monitoring will render detection monitoring redundant, and that
critical data would be lost, by sampling for Appendix IV constituents
at the same time as Appendix III constituents (i.e., by collecting more
information). The commenters provided no further explanation of what
information they thought would be lost, but under the combined
monitoring, the facility would collect the same information on Appendix
III constituents that is collected under the detection monitoring in
Sec. 257.94. Given that under the existing assessment monitoring
provisions, facilities must simultaneously analyze samples for all
parameters in Appendix III and for any Appendix IV constituent detected
in the initial sampling, it is not apparent why the commenter believes
that requiring simultaneous monitoring more broadly is appreciably
different. 40 CFR 257.95(d)(1).
As stated in the previous paragraph, concurrent monitoring for
Appendix III and Appendix IV constituents provides considerably more
information and enables a more complete understanding of the
geochemical nature, fate, and transport of any detected releases.
Additionally, simultaneously collecting samples for Appendix III and
Appendix IV constituents will still provide the basis for determining
SSIs, should they exist, so no information will be lost. Contrary to
the commenter's concern, additional information will be gained in an
expedited manner (e.g., the potential spatial and temporal correlation
of Appendix III SSIs with exceedances of statistically significant
levels (SSLs) for Appendix IV constituents). Furthermore, EPA disagrees
that its explanation that phased groundwater monitoring is ``best
suited to situations where there is little likelihood of pre-existing
contamination'' fundamentally conflicts with EPA's decision to adopt
phased monitoring in the 2015 CCR Rule. Unlike this final rule, the
2015 CCR Rule applied to both new facilities, which would be expected
to have little likelihood of pre-existing contamination, and to
existing facilities. Over the long-term, EPA expected that there would
eventually be a greater percentage of new units than existing units as
the older units reached capacity and closed. In addition, as discussed
in the proposal at 88 FR 32010 and in Unit III.A.2 of this preamble, it
is clear from the data posted on facilities' websites that in 2015 EPA
significantly underestimated the number of unlined units (both
impoundments and landfills), and consequently, significantly
underestimated the number of leaking units and the extent of
contamination at these sites.
If an alternate source is causing an exceedance of an Appendix III
constituent, it may also be the source of any SSL detected for any
Appendix IV constituents; in such a case, a facility may simply prepare
a single ASD that covers constituents from both appendices. The sole
difference between phased monitoring and combined monitoring is if the
alternate source is only responsible for the Appendix III constituent,
but the unit actually is releasing one or more Appendix IV
constituents. In such a case, under a phased approach detection of the
Appendix IV constituent can be delayed or even remain undetected,
because the facility would not trigger assessment monitoring absent an
SSI from another Appendix III constituent. In such situations, combined
monitoring can make the monitoring program more accurate; it is unclear
why the commenter believes this is inappropriate.
To avoid unnecessary and potentially inappropriate delays, ASDs
should only be considered in cases where there is a strong technical
case for an alternate source, and technically weak or equivocal ASDs
should be rejected as soon as is appropriate to minimize delays in
corrective action implementation. Given the age of most inactive CCR
facilities, the potential for plumes of groundwater contamination
extending for significant distances downgradient of the unit boundaries
where exceedances are first determined should be anticipated.
Additional lateral and vertical delineation of groundwater exceedances
should be conducted in conjunction with corrective action as needed.
Ultimately, the combined monitoring expedites the initiation of
assessment monitoring which in turn, allows for more expeditious
identification of statistically relevant exceedances of Appendix IV
constituents. This will in turn expedite ASD development or corrective
action, depending on the circumstances.
The phased approach in the 2015 CCR Rule provides for a graduated
response to groundwater contamination as the evidence of contamination
increases over time. This approach allows facilities ample time to
investigate the source of contamination as well as the transport
characteristics of CCR constituents in groundwater while, usually being
protective of human health and the environment. However, at sites where
there is a strong likelihood that groundwater contamination has been
occurring for a sustained period, the advantages provided by a
protracted graduated response are outweighed by disadvantages of
persistent or even increasing contamination that continues to move
downgradient. At these sites, the need to protect human health and the
environment necessitates the quick detection of the constituents of
concern in Appendix IV to expedite any necessary corrective action.
See, USWAG 901 F.3d at 427-30. In this case, as highlighted in Unit
III.A, the record provides strong reason to conclude that many legacy
CCR surface impoundments are contaminating groundwater, given the large
number of currently regulated CCR surface impoundments that have been
found to be leaking.
Therefore, EPA is finalizing this requirement as proposed to be
completed no later than Monday, May 10, 2027, which is 30 months after
the effective date of this final rule. This is codified in the
regulatory text at Sec. 257.100(f)(4)(iii)(B) and (C).
iv. Detection Monitoring Program and Assessment Monitoring Program--
Deadline for Collection and Analyses of Eight Independent Samples for
Legacy CCR Surface Impoundments
EPA proposed that no later than 24 months after the effective date
of the final rule, owners or operators of legacy CCR surface
impoundments initiate the detection monitoring program by completing
sampling and analysis of a minimum of eight independent samples for
each background and downgradient well, as required by Sec. 257.94(b).
The proposed rule explained that within 90 days after initiation of the
detection monitoring program, owners or operators must identify any
SSIs over background levels for the constituents listed in Appendix
III, as required by Sec. 257.94. To expedite the time to initiate any
required corrective action, EPA also proposed that by this same
deadline owners or operators initiate the assessment monitoring program
by establishing groundwater protection standards and staring to
evaluate the groundwater monitoring data for an SSL over GWPS for the
constituents listed in Appendix IV as required by Sec. 257.95.
No commenters raised concern about requiring legacy impoundments to
comply with the existing requirements in Sec. 257.94(b). Therefore,
EPA is finalizing this requirement as proposed. This is codified in the
regulatory text at Sec. 257.100(f)(4)(iii)(A).
[[Page 39022]]
However, EPA received several comments on the proposed deadline for
the collection of the eight baseline samples. As mentioned in Unit
III.B.2.a.ii, some commenters supported the expedited deadline.
However, several other commenters requested that the groundwater
monitoring requirement deadlines be combined into a single deadline
that provided at least as much time to come into compliance as was
provided in the 2015 CCR Rule deadlines (i.e., 24 months after the
effective date of the final rule). As stated in Unit III.B.2.f, based
on information provided by commenters, EPA concluded that a single
deadline should be used for the groundwater monitoring requirements. In
the proposed rule, the latest proposed deadline for groundwater
monitoring requirements was the deadline of 24 months from the
effective date of this final rule for the initiation of the combined
detection and assessment monitoring and the collection of the eight
baseline samples. Based on information provided in response to comments
on the proposed rule and as explained in Units III.B.2.a.ii and
III.B.2.f, EPA calculated six months as the appropriate extension of
the groundwater monitoring system deadlines. Therefore, EPA is
finalizing a deadline for the completion of sampling and analysis of a
minimum of eight independent samples for each background and
downgradient well of no later than Monday, May 10, 2027, which is 30
months from the effective date of this final rule.
v. Annual Groundwater Monitoring and Corrective Action Reports for
Legacy CCR Surface Impoundments
EPA proposed to apply the existing requirements in Sec. 257.90(e)
to legacy CCR surface impoundments and that owners or operators of
legacy CCR surface impoundments comply no later than January 31 of the
year following the calendar year after a groundwater monitoring system
has been established (and annually thereafter).
One commenter suggested that the initial groundwater monitoring and
corrective action report be due no later than January 31 of the year
following the collection of the eight baseline samples and the first
semi-annual sampling event in order to allow facilities to provide all
the documentation required by Sec. 257.90(e). EPA disagrees that the
information required by Sec. 257.90(e) would not be available to a
facility upon completion of the groundwater monitoring system, as the
annual report serves as an update on the activities related to the
groundwater monitoring program, including the installation of
groundwater monitoring wells. Additionally, when specific actions are
not required by the CCR regulations (e.g., a facility has not triggered
corrective action), facilities are not penalized for not having any
activities related to that action to discuss in the groundwater
monitoring and corrective action annual report (e.g., not describing
progress in selecting a remedy when not in corrective action).
EPA is finalizing the requirement for owners or operators of legacy
CCR surface impoundments to comply with the requirements in Sec.
257.90(e) which mandate the preparation of an annual groundwater
monitoring and corrective action report no later than January 31, 2027,
and annually thereafter. This is codified in the regulatory text at
Sec. 257.100(f)(4)(iv).
The report documents the activities associated with the groundwater
monitoring program and progress of any corrective action over the past
year and must contain specific information identified in the
regulations, including but not limited to maps; aerial images or
diagrams showing the CCR unit and all upgradient (background) and
downgradient wells; identification of any monitoring wells installed or
decommissioned in the previous year; monitoring data collected under
Sec. Sec. 257.90 through 257.98; and a narrative discussion of any
transition between monitoring programs (i.e., detection and assessment
monitoring). Annual reporting should ensure that groundwater level data
collected over the reporting period is tabulated, presented, and
analyzed to determine groundwater levels relative to any residual CCR
left in place as well as to confirm or determine groundwater flow
directions.
Upgradient and downgradient well locations and depths should be
validated annually with respect to measured and mapped flow directions.
Groundwater quality sampling data should be included in appendices and
summarized and tabulated in the annual reports. If appropriate,
exceedances (SSIs and SSLs) of Appendix III and IV constituents should
be tabulated and highlighted. As mentioned in some comments, annual
reports should identify the nearest downgradient surface water bodies
as well as groundwater supply wells in the vicinity of the unit.
If the groundwater monitoring required in Sec. 257.95,
demonstrates an exceedance of the groundwater protection standards for
constituents identified in Appendix IV of part 257, corrective action
as laid out in Sec. Sec. 257.96 through 257.98, should be initiated as
soon as possible. It is critical that annual corrective action and
monitoring reports provide the basis for selection and documentation of
corrective actions as early as possible well as graduated data to
document initiation of corrective action activities and graduated and
ongoing steps and associated data collected over the course of each
year to document remedial performance, modifications, and other changes
or improvements.
In addition to documenting compliance, the annual report must be
posted to the unit's public CCR website which allows the public to
review the groundwater monitoring results. Therefore, it is critical
that the annual reports contain the basic data that informs the
positions and status reported in those documents, including but not
limited to boring logs, monitoring well installation diagrams, water
level data, field sampling data sheets for groundwater sample
collection, laboratory analytical data including QA/QC data, data
validation, and others. In summary, the annual groundwater monitoring
and corrective action reports should not only contain the information
required by the regulations but should be organized in such a way that:
(1) Compliance with the CCR regulations is evident; (2) Data supporting
compliance conclusions are easily located within the document; and (3)
The public is readily able to review the groundwater monitoring data
and related information. Lastly, the name of the document on the public
CCR website should be such that it is clear what the file is and
readily printed and downloaded by the public.
vi. Corrective Action Requirements for Legacy CCR Surface Impoundments
EPA proposed to require owners or operators of legacy CCR surface
impoundments to comply with the existing corrective action criteria, as
applicable in Sec. Sec. 257.96 through 257.98. The proposed rule
explained that conducting the sampling simultaneously would expedite
groundwater monitoring and, where necessary, initiation of corrective
action by at least six months at sites where units have potentially
been leaking for a long period, as is likely the case at many unlined
legacy CCR surface impoundments. The proposed rule further explained
that expediting Appendix IV constituent detection, assessment and any
subsequent corrective action would protect human health and the
environment.
Under the existing regulations, if groundwater monitoring
demonstrates
[[Page 39023]]
an exceedance of the groundwater protection standards for constituents
identified in Appendix IV of part 257, corrective action is required,
as laid out in Sec. Sec. 257.96 through 257.98. These requirements
apply throughout the active life and any post-closure care period of
the CCR unit.
A commenter suggested EPA create a deadline for the completion of
the selection of a remedy required by Sec. 257.97 of 90 days after the
completion of the assessment of corrective measures (ACM) with the
ability to extend the deadline up to 180 days after the completion of
the ACM. The commenter pointed to the failure of units regulated by the
2015 CCR Rule to select a remedy as soon as feasible after the
completion of the ACM as required by the rule and the subsequent
unnecessary delay in addressing contaminated groundwater. Other
commenters stated that applying the existing groundwater monitoring and
corrective action requirements to historic sites, such as legacy CCR
surface impoundments, is not appropriate and suggested that instead EPA
incorporate site-specific risk-based corrective action into the CCR
regulations. One of these commenters further stated that the
application of the existing CCR corrective action requirements conflict
with EPA's decision-making frameworks in other programs such as RCRA
and CERCLA due to lack of site-specific risk assessments to evaluate
risk and drive corrective action decisions. This commenter suggested
that EPA utilize site-specific, risk-based corrective action that is
consistent with the guidance documents EPA has developed for RCRA and
CERCLA programs.
EPA acknowledges the widespread non-compliance with the mandate to
complete the selection of a remedy as soon as feasible after the
completion of the ACM. However, EPA disagrees with the commenter's
suggested deadline. The recommended deadline could actually have the
effect of extending the deadline for the completion of the selection of
a remedy beyond that in 2015 CCR Rule because ``as soon as feasible''
in many cases would likely be before 90 days after the completion of
the ACM. Granting owners or operators more time to select a remedy
would be less protective of human health and the environment. Regarding
noncompliance with the CCR regulations, EPA has been and will continue
to take action to address the non-compliance on a myriad of issues
including to the failure of owner or operators to select a remedy as
soon as feasible. EPA has announced that enforcing the CCR regulations
is part of the ongoing set of National Enforcement and Compliance
Initiatives and expects that enforcement actions taken as part of the
Initiative may address, where relevant and appropriate, the concern
raised by the commenter.\60\
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\60\ EPA Enforcement Alert, National Enforcement and Compliance
Initiative, Protecting Communities from Coal Ash Contamination. EPA
Document #310F23002. December 2023. https://www.epa.gov/system/files/documents/2023-12/ccr-enf-alert-2023.pdf.
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EPA disagrees with the suggestion that the existing corrective
action requirements, if triggered, are inappropriate at legacy CCR
surface impoundments. As stated in Units III.B.2.a.i and III.B.2.f, the
physical characteristics of legacy impoundments are not sufficiently
different from currently regulated units to justify different
requirements. For those commenters requesting that EPA adopt ``risk-
based corrective action'' into the requirements, EPA notes that the
commenters have provided no further explanation of what requirements in
the existing regulations they wanted EPA to revise, what the revisions
should accomplish, or why they are necessary or appropriate. As a
general matter EPA considers that the corrective action regulations in
Sec. Sec. 257.95 through 257.98 do currently require facilities to
tailor remedies to address the risks to human health and the
environment, based on the conditions at the site. It is unclear what
more the commenters are seeking. Furthermore, the commenter that stated
that the existing corrective action regulations conflict with other EPA
programs (i.e., RCRA and CERCLA) failed to fully explain how the
existing corrective action regulations conflict with EPA-published RCRA
or CERCLA guidance documents or how they preclude corrective action
decisions driven by site-specific risks. Accordingly, EPA is
finalizing, without revision, its proposal that legacy CCR surface
impoundments comply with the existing corrective action requirements at
Sec. Sec. 257.95 through 257.98.
As explained in the proposed rule at 88 FR 32003, Sec. Sec. 257.90
through 257.95 require an owner or operator of a CCR unit to install a
system of monitoring wells, specify procedures for sampling these
wells, and set forth methods for analyzing the groundwater data
collected to detect hazardous constituents (e.g., toxic metals) and
other monitoring parameters (e.g., pH, total dissolved solids) released
from the units (i.e., all parameters listed in Appendices III and IV).
If the groundwater monitoring required in Sec. 257.95, demonstrates an
exceedance of the groundwater protection standards for constituents
identified in Appendix IV of part 257, corrective action is required as
laid out in Sec. Sec. 257.96 through 257.98. These requirements apply
throughout the active life and post-closure care period of the CCR
unit.
When corrective action is required, it should be initiated as soon
as possible. The corrective action program includes initiating an ACM
to prevent further releases, to remediate any releases, and to restore
affected areas to original conditions, as specified in Sec. 257.96(a).
After the ACM has been completed, the owner or operator must select a
remedy that meets prescribed standards, including a requirement that
the remedy attain the groundwater protection standards. See Sec.
257.97(a) and (b). Finally, the corrective action program requires the
owner or operator of the CCR unit to initiate remedial activities
within 90 days of selecting a remedy. See Sec. 257.98(a). The
requirement to address releases under this requirement is identical to
those requirements for any CCR unit undertaking groundwater corrective
action with the additional requirement that implementation of
corrective action begin during the active life of the unit.
EPA expects that when assessing corrective measures and selecting a
remedy, the owner or operator of the unit will consider the impact of
the corrective measures on the water quality and safety of the nearest
surface water bodies and the nearest private and/or public groundwater
wells.
With respect to completion of an ACM and remedy selection, Sec.
257.96(a) requires an ACM be initiated within 90 days of determining an
SSL has occurred, and then completed within another 90 days. An
extension, not to exceed 60 days, may be warranted due to site-specific
conditions or circumstances. This deadline to complete an ACM, 180 to
240 days after determining an SSL, was not proposed to be changed, so
comments suggesting changes to these provisions are outside the scope
of the rulemaking. Additionally, the commenters provided no reason why
corrective measures could not be assessed and compared in an ACM and a
remedy could not be selected. Prior to closure of a CCR unit, the
facility has been required to characterize site conditions, including
groundwater flow conditions and geology. The facility has knowledge of
wastestreams and water volumes it discharges to a CCR surface
impoundment. This information can be used to develop a groundwater
model to predict groundwater flow conditions after wastestream disposal
ceases and closure is initiated. EPA believes this
[[Page 39024]]
would provide sufficient characterization of post-closure conditions to
assess and compare groundwater cleanup alternatives to complete an ACM.
The commenters have provided no reasons or explanation why this would
not be achievable.
Once the ACM is complete, a public meeting has been held, and
community input has been considered, a remedy must be selected as soon
as feasible. EPA agrees that a selected remedy may include closure by
removal to comply with source control requirements, and that this would
constitute commencing implementation of a remedy. However, the selected
groundwater remediation portion of the remedy must also be implemented
within a reasonable time, in accordance with the schedule established
in the remedy selection report. 40 CFR 257.97(d). Implementation of the
source control measure does not negate this requirement.
g. Closure and Post-Closure Care Criteria for Legacy CCR Surface
Impoundments
EPA proposed to apply all of the existing closure and post-closure
care requirements in Sec. Sec. 257.101 through 257.104 to legacy CCR
surface impoundments, except for the alternative closure requirements
in Sec. 257.103(f). The proposed rule explained that based on the data
gathered since 2015 from the currently regulated CCR unit universe, the
Agency considered it highly unlikely that any legacy CCR surface
impoundment has a composite liner that meets the requirements of Sec.
257.71 and therefore EPA expected legacy CCR surface impoundments to be
unlined as defined by Sec. 257.71(a)(3)(i). Consistent with the USWAG
decision and the existing regulations in Sec. 257.101(a) mandating
that all unlined (including clay-lined) impoundments must close, EPA
proposed to require that all legacy CCR surface impoundments initiate
closure within 12 months of the effective date of this final rule. The
proposed rule also explained that the alternative closure provisions in
Sec. 257.103(f) were not appropriate for legacy CCR surface
impoundments as these units, by definition, are inactive impoundments
at inactive facilities and could not therefore demonstrate the need to
continue to use the disposal unit, which is a qualifying component of
the alternative closure provisions.
EPA received numerous comments on its proposal to apply the
existing the closure and post-closure care requirements Sec. Sec.
257.100 through 257.104 to legacy CCR surface impoundments. Overall,
most commenters supported or did not contest EPA's proposal. Some of
these commenters agreed that requiring legacy CCR surface impoundments
to comply with the existing closure requirements is necessary for the
long-term protection of human health and the environment. A few of
these commenters also suggested that EPA prohibit legacy CCR surface
impoundments from closing with CCR in place under Sec. 257.102(d).
Many other commenters however objected to subjecting legacy
impoundments to Sec. 257.101(a), which requires CCR surface
impoundments constructed without a composite liner to close. These
commenters generally argued that a national requirement to close was
not appropriate for legacy CCR surface impoundments and that EPA should
instead determine whether closure is warranted at each site based on a
finding that the individual unit at the particular site poses
unacceptable risks. These commenters largely reiterated comments
previously made in response to the ANPRM, without addressing EPA's
responses in the proposal. For example, some asserted that their
particular legacy impoundments are not contaminating groundwater and do
not pose a risk to groundwater. One claimed that the proposal was based
on the upper bound of risk pulled from a sensitivity analysis of a
nationwide risk assessment based on aggregated data unrepresentative of
any given facility, and therefore could not support a finding that any
particular site poses ``actual risks.'' This commenter also asserted
that a nationwide risk assessment should not be used to impose a ``one-
size-fits-all'' closure requirement or universal performance standards
for closure, because it could drive closure methods that are not
necessary to ensure protection of human health and the environment.
Other commenters repeated their claims that the closure of legacy CCR
surface impoundments would itself present greater risks than leaving
the disposal unit in its existing state. For example, one commenter
asserted that closing legacy impoundments could raise environmental
justice issues associated with increased traffic and (consequently)
decreased air quality; could risk potentially destabilizing the unit
and disturbing native species and animal habitats; and would increase
air emissions, water consumption, and waste generation.
These commenters asserted that a ``risk-based'' closure or
corrective action program was better suited ``to address the unique
nature and unknown risk of legacy CCR surface impoundments.'' For
example, one commenter suggested that the risks associated with legacy
CCR surface impoundments can be better managed through corrective
action implemented under a permit program, which the commenter believed
would make the mandate to close these units unnecessary. The commenter
explained that although closure can be useful as source control in
remediating contamination, as long as the exposure pathways are
appropriately addressed through corrective action, nearby receptors
will not be impacted by the risks, and the RCRA subtitle D
protectiveness standard would be met without closing the impoundment.
Similarly, another commenter argued that mandating closure for all
legacy impoundments is inconsistent with other RCRA and CERCLA or State
cleanup programs, which, the commenter asserts generally use site-
specific risk assessments to determine whether closure is warranted.
The commenter suggested that instead, the final rule should rely on the
upcoming implementation of EPA's Federal permitting rule pursuant to
the WIIN Act and allow a regulated entity to conduct a site-specific
risk assessment to evaluate whether the historical CCR disposal areas
pose ``actual risks'' and allow closure and corrective actions to be
tailored to site-specific conditions and risks.
Other commenters raised concern that some legacy impoundments are
now located beneath infrastructure such as pipelines or transmission
lines that cannot be disturbed without disrupting operations, active
CCR units, or buildings. These commenters explained that requiring
closure of these impoundments could adversely impact grid reliability,
business operations, or other necessary public services (e.g., military
infrastructure) and suggested that EPA exempt these units or at least
extend the closure time frames to allow for closure of the impoundment
when the other unit or structure is closed or decommissioned.\61\
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\61\ EPA also received comments suggesting that it examine the
cumulative impact of several recently or soon-to-be finalized power
sector and vehicle rules. EPA performed suggested sensitivity
analysis which demonstrated 1) the cumulative impact is not expected
to adversely impact resource adequacy, and 2) that, considering the
power sector rules together, the cumulative effect of these rules in
terms of reduction in coal steam electric generating capacity is
less than the sum of each of these rules individually for 2035. The
affected universe of units with significant mitigation
responsibilities among the EPA rules is overlapping, not purely
additive, as it largely reflects the same segment of the grid's
generation portfolio. See Resource Adequacy Analysis: Vehicle Rules,
111 EGU rule, ELG, and MATS Technical MEMO for more information.
Also see IPM Sensitivities MEMO. The grid analysis did not include
the proposed or final version of this rulemaking, because this CCR
rule primarily addresses only disposal units that have not received
CCR since before 2015, that is the disposal units are not part of
ongoing operations at any facility, and consequently this rule is
not expected to impact the generation of electricity. In addition,
EPA continues to believe this final rule will not generally impact
current utility operations, particularly due to the revisions made
in the final rule to address commenters concerns, as discussed in
the preamble to the final rule (e.g., extended deadlines for CCRMU
located under critical infrastructure).
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[[Page 39025]]
Several commenters expressed support for the proposed 12-month
deadline to initiate closure, stating that the shorter deadlines are
necessary to address the increased risk from legacy CCR surface
impoundments and likelihood these units are and have been contaminating
groundwater. Many other commenters characterized the proposed deadline
as infeasible for the reasons mentioned in Unit III.B.2.a.ii, including
seasonality, need to comply with overlapping regulatory requirements,
labor shortages, and the strain on the limited resources necessary to
achieve compliance (e.g., contractors, laboratories, P.E.s) caused by
the number of CCR units coming into compliance at the same time.
Commenters also stated that compliance with the closure requirements
should not be required until after the groundwater monitoring system
was installed and baseline samples collected so that closure could be
informed by the groundwater monitoring data. These commenters pointed
to recent EPA Part A and Part B decisions as evidence of the gap
between EPA's expectations and the closure and post-closure plans
developed using good faith efforts by owners or operators and best
practices; these commenters further stated that the proposed deadline
precludes the incorporation of groundwater monitoring data in
developing closure plans and is likely a contributing factor to the gap
between EPA's expectation and closure and post-closure care plans
submitted by owners or operators of currently regulated units. One
commenter also claimed that legacy CCR surface impoundments are
potentially still being used to manage non-CCR wastestreams, and that
EPA consequently needed to create a mechanism for facilities to seek
extensions similar to those that had been made available under Sec.
257.103(f). Commenters' suggestions for alternative deadlines to
initiate closure ranged from 24 to 34 months, or at least after the
collection of the baseline groundwater monitoring samples required by
Sec. 257.94.
EPA continues to believe that applying the closure and post-closure
requirements in Sec. Sec. 257.101 through 257.104 to legacy CCR
surface impoundments is appropriate and necessary to protect human
health and the environment. Based on the record compiled for the 2015
CCR Rule, EPA concluded that ``there is little difference between the
potential risks of an active and inactive surface impoundment; both can
leak into groundwater, and both are subject to structural failures that
release the wastes into the environment, including catastrophic
failures leading to massive releases that threaten both human health
and the environment.'' 80 FR 21343. As discussed in Unit III.B of this
preamble, the D.C. Circuit concurred, and on that basis, vacated the
exemption for legacy CCR surface impoundments. See, USWAG at 901 F.3d
at 434. EPA received no information during this rulemaking that would
support a conclusion that legacy CCR surface impoundments present fewer
risks than other inactive CCR surface impoundments. Indeed, as
discussed in Unit III.A, more recent information continues to indicate
that legacy CCR surface impoundments are more likely to contaminate
groundwater and at higher levels, even in cases where the unit no
longer presents structural stability concerns. Based on this record and
on the specificity of the D.C. Circuit's findings in USWAG, EPA
considers that it has limited discretion to establish requirements for
legacy CCR surface impoundments that are significantly different than
those currently applicable to inactive CCR surface impoundments.
Accordingly, EPA in most cases instances has required legacy CCR
surface impoundments to comply with the existing closure and post-
closure requirements in 40 CFR part 257, subpart D, that are currently
applicable to inactive CCR surface impoundments. This final rule also
adopts the provisions that were originally proposed on March 3, 2020,
that allow a facility closing by removal to complete required
groundwater remediation during a post-closure care period, discussed in
Unit III.D of this preamble.
However, in response to comments, EPA included one additional
provision to account for the inception of Federal permitting. A key
feature of a permit program is that, through a subsequent public
process, a regulatory authority can adjudicate legal and factual issues
based on the specific facts of an individual site, that would be more
complex and challenging to resolve in a national rule. EPA has relied
on this feature to resolve one of the more complex legal and factual
issues raised in this rulemaking by deferring it to the subsequent
permitting process: how to address situations where the impoundment
contained CCR and liquids on October 19, 2015, but prior to the
effective date of this final rule, a facility closed its legacy CCR
surface impoundment in accordance with standards established by a
regulatory authority that are different than the performance standards
in Sec. 257.102, but that are likely to provide equivalent protection
of human health and environment. Provided certain criteria are met, EPA
is deferring the requirement for the closed unit to comply with Sec.
257.102 until a permit authority can evaluate the adequacy of the
previously completed closure, and determine during permitting whether
(as well as what) additional measures are necessary to ensure that the
closure is as protective as Sec. 257.102. The criteria EPA is
employing are designed to ensure that the regulatory authority
overseeing the closure applied standards that were substantially
equivalent to the otherwise-applicable CCR rules in terms of evaluating
and mitigating the risks. In such cases, EPA would therefore have
reliable evidence that the risks have likely been adequately mitigated
and therefore, these are unlikely to pose a reasonable probability of
adverse effects pending later permitting. The final rule also includes
procedures for the closure equivalency determination modeled on similar
determinations made for hazardous waste interim status units under
Sec. 270.1.
EPA is currently transitioning from the exclusively rule-based
program to a Federal permitting program. Although every unit in
operation, closure, or corrective action will ultimately receive a
permit, and EPA expects to shortly begin issuing permits, it will be
several years before permits are issued for every unit. This means
that, at least in the near term, most facilities will continue to
operate under the current self-implementing regime, similar to units
under the subtitle C hazardous waste program that initially operated
under interim status prior to obtaining a permit. While this
necessarily limits the degree to which this final regulation can rely
on the permitting process, this is an example of a situation that is
better resolved through a combination of a national rulemaking and the
individualized decision making provided through permitting rather than
exclusively through a national rulemaking. EPA agrees that there are
[[Page 39026]]
examples of units closed under alternative criteria that appear to be
equally as protective as the part 257 closure requirements. If EPA were
to require all previously closed units to document compliance with
Sec. 257.102 immediately, several units that have likely already met
the protectiveness standards would be swept in unnecessarily.
Unfortunately, it is not feasible to evaluate these individual closures
as part of this national rulemaking; these units are all subject to
different requirements, and commenters have provided insufficient
information on each individual unit for the Agency to conclude that
they are in fact as protective as a closure conducted in accordance
with Sec. 257.102. If EPA were still limited to issuing minimum
national criteria through rulemaking, it would be reasonable to craft a
regulation that would regulate over broadly in order to ensure that the
final rule achieves the statutory standard at each facility subject to
the regulation. See 42 U.S.C. 6944(a)(``no reasonable probability of
adverse effects on health or the environment . . . at such facility'').
As EPA explained in 2015, to establish criteria under this provision,
EPA must demonstrate, through factual evidence available in the
rulemaking record, that the final rule will achieve the statutory
standard at all sites subject to the standards based exclusively on the
final rule provisions. This means that the regulations must account for
and be protective of all sites, including those that are highly
vulnerable. But now that Congress has granted the agency broader
authority, it is reasonable in this case, where EPA can craft criteria
to identify closures that may be protective and thus warrant a closer
evaluation, to rely on that broader authority.
Under this provision, EPA is not exempting a facility from the
requirement to demonstrate that a unit closure meets the performance
standards in Sec. 257.102, or from agency oversight, but only delaying
application of the requirement until the Agency can resolve the
outstanding legal and factual issues. EPA is also deferring only the
requirement that a closed unit achieve compliance with the closure
performance standards. To mitigate any potential risks, all other
applicable requirements, including the requirements for groundwater
monitoring and corrective action would continue to apply to these
units. Further EPA's existing authorities to respond to urgent threats
to human health or the environment also remain available, should the
need arise. See, e.g., 42 U.S.C. 6973.
i. Requirement for Legacy CCR Surface Impoundments To Close
The final rule continues to require legacy CCR surface impoundments
to close. As EPA explained in the proposal, the USWAG decision has
effectively resolved this issue. No commenter submitted any evidence to
demonstrate that the risks associated with these units are any lower
than they were in 2018 when the Court decided that closure of all
unlined and clay-lined impoundments was required by RCRA section
4004(a) or that the risks posed by legacy CCR surface impoundments are
any lower than those at the currently regulated inactive impoundments
at active facilities. If anything, more recent information indicates
that a greater number of legacy CCR surface impoundments are more
likely to have leaked even higher levels of contaminants than the
operating impoundments modeled in 2014. See Unit III.A.
No commenter has identified any legacy CCR surface impoundment with
a composite liner that meets the requirements of Sec. 257.71. Based on
the data gathered since 2015 from the currently regulated CCR unit
universe, the Agency considers it highly unlikely that any legacy CCR
surface impoundment has such a liner. EPA analyzed the list of inactive
CCR facilities compiled based on comments received in response to the
ANPRM and this rulemaking and knows that almost all these facilities
were opened prior to 1990 (one facility opened in 1996) before
composite liner systems were typically installed. Unless legacy CCR
surface impoundments are very different than impoundments at active
facilities, EPA expects all units of this age to be unlined as defined
by Sec. 257.71.
The D.C. Circuit has also already rejected arguments that EPA can
avoid requiring CCR surface impoundments to close based on claims that
``all impoundments aren't leaking.''
The EPA and Industry Intervenors assert that the composite
lining required for new units is not needed for existing units
because most unlined impoundments do not leak, and an unlined
impoundment that is not leaking is not dangerous. Industry
Intervenors emphasize that the record suggests that ``almost two-
thirds of unlined impoundments do not leak,'' and they assert that
``appropriate controls on impoundments that do leak'' suffice to
meet RCRA's ``no reasonable probability'' standard. The EPA
underscores that it made no finding of any ``reasonable probability
that each and every unlined impoundment will, in fact, result in
adverse effects on health and the environment.'' It insists that
RCRA's ``no reasonable probability'' standard is met by the Rule's
provisions for ``extensive monitoring of groundwater to detect
constituent leaking,'' id. at 83, and ``immediate action to stop
that leak,'' ``redress that leak,'' and to close the site as soon as
a harmful leak is detected.
USWAG, supra at 427. The Court summarily rejected these arguments.
It is inadequate under RCRA for the EPA to conclude that a major
category of impoundments that the agency's own data show are prone
to leak pose ``no reasonable probability of adverse effects on
health or the environment,'' 42 U.S.C. Sec. 6944(a), simply because
they do not already leak.
Id. This holding largely rests on a legal conclusion of what RCRA
section 4004(a) requires, which Congress did not alter when it amended
the statute in the WIIN Act.
The Court similarly rejected arguments that reliance on the part
257 corrective action provisions to clean up releases can effectively
substitute for a national requirement to close impoundments, or that
corrective action alone is sufficient to meet the RCRA section 4004(a)
standard. As the Court explained, that argument focuses on the wrong
risks and addresses only half of the statutory standard. The
contamination of a potential source of drinking water is itself an
adverse effect on the environment, and the statutory requirement to
ensure there will be no reasonable probability of adverse effects on
health or the environment requires the Agency to take measures based on
the risks to prevent this harm from occurring in the first place. It is
not enough to remediate the contamination before it reaches an off-site
receptor.
In defending the Rule here, the EPA looks at too narrow a subset
of risk information and applies the wrong legal test.
The Final Rule's approach of relying on leak detection followed
by closure is arbitrary and contrary to RCRA. This approach does not
address the identified health and environmental harms documented in
the record, as RCRA requires.
. . .
RCRA requires the EPA to set minimum criteria for sanitary
landfills that prevent harm to either ``health or the environment.''
The EPA's criteria for unlined surface impoundments, limited as they
are to groundwater monitoring for contaminant levels keyed to human
health, only partially address the first half of the statutory
requirement.
. . .
But here, too, the EPA has failed to show how unstaunched
leakage while a response is pending comports with the `no reasonable
probability' standard.
Id. at 429-430, 431 (emphasis added). None of this has changed. Nor has
any commenter identified any unique
[[Page 39027]]
characteristic of legacy impoundments that makes any of the Court's
analysis irrelevant or inapplicable. Although some commenters continue
to claim that their units are heavily vegetated or developed and that
reopening or other removal/remediation activities may disrupt current
use of the land, no commenter submitted any data or analysis to
demonstrate that removal or remediation activities would be more
detrimental to health and the environment than not cleaning up the
contaminated groundwater in the aquifer or taking measures to prevent
the legacy CCR surface impoundment from continuing to contaminate the
aquifer. Moreover, the fact that some impoundments have become heavily
vegetated or redeveloped does not mitigate the risks these unlined
legacy CCR surface impoundments continue to pose.
The same is true for those commenters alleging that the closure of
legacy CCR surface impoundments would itself present greater risks than
leaving the disposal unit in its existing state; none presented any
data or analysis, stating instead that possible effects were self-
evident. However, EPA notes that most of these comments appear to have
been premised on the assumption that closure by removal would be
required. As discussed in the next section, EPA is not prohibiting
legacy CCR surface impoundments from closing with waste in place,
provided all of the performance standards in Sec. 257.102(d) have been
met.
EPA also cannot, as the commenters suggest, proceed exclusively on
the basis of site-specific assessments and forego a nationwide risk
assessment, national closure requirement, or universal performance
standards for closure. When Congress amended the statute in 2016, it
added a permitting component but retained without revision the
requirements in RCRA sections 1008(a)(3) and 4004(a) that EPA establish
minimum national standards (``criteria'') by regulation. The statute
relies on these criteria in several provisions, including as the
standard EPA must use to evaluate State programs, to issue permits, and
to determine whether a CCR unit is a sanitary landfill or an open dump.
See, 42 U.S.C. 6945(d)(1)(B), (d)(1)(D), (d)(3), (d)(6). The D.C.
Circuit has also effectively confirmed the continued necessity of
national criteria; if the Court believed that the WIIN Act obviated the
need to comply with RCRA section 4004(a) it would have granted EPA's
request for an abeyance or dismissed the case as moot. That it did
neither demonstrates that the Court believed that its opinion would
remain relevant. See, USWAG, 901 F3d at 436-437 (denying EPA's request
for voluntary remand because ``this claim involves a question--the
scope of EPA's statutory authority--that is intertwined with any
exercise of agency discretion going forward.'')
Accordingly, the final rule requires all legacy CCR impoundments to
close.
ii. Deferral for Legacy CCR Surface Impoundments Under Critical
Infrastructure
As noted above, several commenters stated that some inactive
facilities have been redeveloped and that the CCR surface impoundments
are now located beneath critical infrastructure. These commenters
claimed that requiring closure of units beneath infrastructure could
adversely impact grid reliability, business operations, or other
necessary public services and suggested EPA create exemptions or
extensions for these units. For example, one commenter stated that
closure of units located under other structures is not feasible as EPA
has proposed. The commenter further explained that:
the issue is applicable and even more pronounced with respect to
legacy impoundments. By definition legacy CCR surface impoundments
are located at inactive sites that in some instances have been
partially or completely redeveloped. As a result, former legacy
units at this stage may be completely inaccessible due to
vegetation, new infrastructure like pipelines or transmission lines
that cannot be disturbed without disrupting operations, active CCR
units, buildings, or other obstacles to access. If EPA proceeds to
issue the proposal EPA must address such accessibility issues.
Other commenters supported the decision not to propose an exemption
from the closure requirements for legacy CCR surface impoundments
beneath redevelopments or infrastructure, based on the risks that these
sites can present, and provided specific examples of such sites. Two of
the examples related to a situation in which active CCR disposal units
were built on top of former CCR surface impoundments (i.e., overfills).
In one instance, the commenter described a site where an unlined CCR
surface impoundment had been closed by partially draining the
impoundment and constructing a new CCR landfill (98.9 acres), two
stormwater ponds and a leachate pond (10.8 acres), and a materials
handling area (4.4 acres) on top of the former impoundment. According
to the commenter, the facility claimed that the closed impoundment
rather than any of the active CCR units, was responsible for SSIs
detected in its groundwater monitoring. The commenter referenced
documents on the facility's CCR website which explained that:
Although it has not received sluice water since 2008, the CCR in
the former Main Pond continues to receive, store, and discharge
water, primarily groundwater entering the CCR through the sides of
the filled valley. Groundwater flow into the CCR in the former Main
Pond drains downward and outward to the east through the toe drain
system under the dam.
The commenters explained that overfills can increase groundwater
contamination from the underlying unit by reducing the hydraulic
gradient and increasing the waste and water contact time. They stated
that this has been documented by both an EPRI study and groundwater
monitoring at a specific overfill that showed steady to gradually
increasing concentrations of CCR related constituents in the landfill
monitoring wells, rather than the predicted decline in concentrations
of CCR-related constituents from the closure of the underlying surface
impoundment.
As an initial matter, under both the existing definitions and the
definitions in the final rule a legacy CCR surface impoundment could
not be located below an active CCR unit. A legacy impoundment is
located at an inactive facility, and the presence of an active CCR unit
means that the facility is active, not inactive. See, Sec. Sec.
257.50(b), 257.53 (definition of active facility). This means that in
the example described by the commenter the surface impoundment
underneath the active landfill is an inactive CCR surface impoundment
at an active facility, and would be considered a ``regulated unit''
subject to the existing requirements in part 257, rather than this
final rule.
In any event, EPA disagrees that its proposal did not adequately
account for the circumstance in which a legacy CCR surface impoundment
may be challenging to access, such as where the impoundment is located
beneath infrastructure or buildings. In contrast to the comments
received with respect to CCRMU, no commenter provided a concrete
example in which closure of a legacy CCR surface impoundment would
interfere with critical infrastructure. The overwhelming majority of
commenters provided concrete examples of concerns with respect to CCRMU
and then concluded that EPA needed to address the issue equally for
legacy CCR surface impoundments. The most concrete example of potential
interference with critical infrastructure is the reference to ``new
infrastructure like pipelines or transmission lines that cannot be
disturbed without disrupting
[[Page 39028]]
operations'' quoted above. But even in that case the commenter provided
no explanation of the factual basis for the conclusion that over the
five to 15 years the existing regulations provide to complete closure
the facility could not schedule the outages necessary to move pipelines
or transmission lines, and conduct the closure in stages as necessary
to accommodate scheduling any necessary outages.\62\ In addition, as
discussed in the next Unit of the preamble, EPA has extended the
deadline to initiate closure to 48 months from promulgation. The amount
of time provided by these deadlines is more than adequate to account
for any accessibility issues. Further, EPA has been regulating
utilities under multiple environmental statutes for decades and
reliability issues are often raised when regulations are promulgated,
but EPA is unaware of situations where those reliability concerns have
been realized in the form of electric blackouts caused by compliance
with Federal environmental standards. In this case, in the unlikely
event closure of a legacy CCR surface impoundment cannot occur within
the regulatory timeframe without creating a demonstrated reliability
concern, the Agency will work with the facility, the relevant RTO, and
other relevant Federal agencies to ensure proper closure occurs without
causing the power to go out.
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\62\ Electric generating facilities are required to schedule and
agree upon boiler shutdown periods with their Regional Transmission
Organization (RTO) to ensure grid reliability. Most plants have
regular boiler shutdowns on an annual basis with a more substantial
one every few years. Since regular boiler shutdowns are already
scheduled, the facility can plan the closure construction around the
already scheduled outage; however, the outage may need to be
extended depending on the work. The RTOs require various lead times
of consultation or notice prior to any retirements, outages, or
extended periods of non-operation.
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Finally, as noted above EPA received a substantial number of
comments requesting the agency not require facilities to ``re-close''
any unit that had already completed closure. This final rule does not
mandate that any previously closed unit automatically re-close. But, as
described in the next section, the final rule does require all legacy
CCR surface impoundments to meet the performance standards in Sec.
257.102, although as discussed above, some may not be required to do so
until permitting. EPA does not consider this to be equivalent to a
requirement to ``re-close'' as, depending on the site conditions,
facilities may be able to implement engineering measures, such as the
installation of slurry walls to prevent groundwater infiltration, to
address any deficits without removing the cover system or entirely re-
closing the whole impoundment.
iii. Requirement To Comply With Performance Standards in Sec. 257.102
As discussed above, consistent with USWAG and the proposed rule,
this final rule requires that the closure of legacy CCR surface
impoundments meet the performance standards in either Sec. 257.102(c)
or (d). Under this final rule, all closures initiated after the
effective date of this rule, as well as those that were not completed
prior to the effective date of this rule, will need to comply with
these requirements.
And in general, the same is true with respect to closures that were
completed prior to the effective date of this rule. As discussed
previously, a facility that can certify that its prior closure meets
the performance standards in Sec. 257.102(c) only needs to post the
documentation that it meets the standard. Similarly, if a facility can
demonstrate that the closed unit meets the requirements under Sec.
257.102(d), EPA will consider them to be closed and the only
requirements that will be applicable are those that apply to closed
units under post-closure care--such as groundwater monitoring, and if
necessary, corrective action. EPA never intended to require facilities
that otherwise met the closure standards to go through the process
again and re-close the unit. In addition, where the facility was
subject to standards that are different than the Federal CCR closure
standards (e.g., if the closure were conducted as part of a CERCLA
cleanup or State order) but are otherwise equivalent in terms of
mitigating the risks, the requirement to meet the Sec. 257.102
standards will be deferred to permitting, where a closure equivalency
determination will be made.
In response to EPA's proposal that all legacy CCR surface
impoundments comply with Sec. 257.102, many commenters again
reiterated their request that EPA exempt any unit that has either
completed closure or is in the process of closing pursuant to State law
(e.g., solid waste permit, consent orders or decrees). Commenters also
requested EPA to exempt any site that had closed as part of a cleanup
conducted pursuant to another Federal requirement, such as CERCLA or
RCRA subtitle C. These commenters stated that EPA had failed to
demonstrate that these units posed any risk as a consequence of the
lack of ponded water, and that ``re-closure'' of these previously
closed units is consequently unnecessary and overly burdensome.
By contrast, several commenters supported EPA's proposal to require
all legacy CCR surface impoundments to comply with the performance
standards in Sec. 257.102, even if the closure was previously approved
by a State regulatory agency. These commenters pointed to EPA's
conclusions in 2015 that significant gaps remain in many State
programs; that some programs provide minimal or no regulatory oversight
of CCR units; and that most CCR surface impoundments were permitted
exclusively under NPDES or other surface water pollution prevention
programs. See, 80 FR 21324-21325. The commenters also included recent
examples of closures approved by various State agencies that were not
consistent with the Federal closure standards including: (1) Ohio's
approval of the closure of an unlined CCR surface impoundment at the
Gavin Plant, which EPA subsequently estimated could be sitting in
groundwater as high as 64 feet deep in some locations post closure and
that as much as 8.2 million cubic yards (or as much as 40% of the CCR
in the Fly Ash Resevoir) could still be saturated--and would remain so
indefinitely; (2) Alabama's issuance of several permits authorizing
several facilities to close unlined CCR surface impoundments with large
quantities of free liquids and saturated CCR remaining in the closed
units; and (3) Kentucky's permit authorizing the closure of an unlined
CCR surface impoundment by partially draining the impoundment and
constructing a new CCR landfill (98.9 acres), two stormwater ponds and
a leachate pond (10.8 acres), and a materials handling area (4.4 acres)
on top of the impoundment. The CCR in the underlying closed impoundment
continues to receive, store, and discharge water, primarily groundwater
entering the CCR through the sides of the filled valley, drains
downward and outward to the east through the toe drain system under the
dam.
Finally, several commenters requested that EPA prohibit legacy CCR
surface impoundments from closing in place under Sec. 257.102(d).
EPA disagrees that legacy CCR surface impoundments should be
prohibited from closing with waste in place in accordance with Sec.
257.102(d). The commenters did not demonstrate that legacy impoundments
could never meet the performance standards in Sec. 257.102(d) or
identify unique characteristics or risks of legacy impoundments that
would not be adequately addressed by compliance with those provisions.
Both clean closure and closure with waste in place can be equally
protective, provided that all of the requisite performance
[[Page 39029]]
standards in Sec. 257.102 are met. The final rule therefore requires
legacy impoundments to comply with the same requirements applicable to
other inactive impoundments, that is, to close in accordance with
either Sec. 257.102(c) or (d).
If all of the performance standards for clean closure and the
performance standards for closure with waste in place can be met, an
owner or operator may determine which alternative is appropriate for
their particular unit. The regulations do not require an owner or
operator to use one closure option over the other in such situations.
However, the facility must meet all the performance standards for the
option it has selected, and if it cannot meet all of the performance
standards for one option, then it must meet all of the performance
standards for the other option. 40 CFR 257.102(a) (specifying that
``[c]losure of a CCR landfill, CCR surface impoundments . . . [m]ust be
completed either by leaving the CCR in place and installing a final
cover system or through removal of the CCR and decontamination of the
CCR unit, as described in paragraphs (b) through (j) of this
section.''). For example, if the facility is unable to meet the
performance standards for closure with waste in place for a particular
unit (or portion of a unit), it must close the unit by removal (or that
portion). Whether any particular unit or facility can meet the
performance standards is a fact and site-specific determination that
will ultimately depend on a number of factual and engineering
considerations, such as the hydrogeology of the site, the engineering
of the unit, and the kinds of engineering measures available.
As discussed in the preceding section, this final rule does not
require previously closed legacy CCR surface impoundments to
automatically ``re-close.'' Rather, consistent with the proposal,
facilities will be required to ensure that all closed legacy CCR
surface impoundments meet the performance standards in Sec. 257.102(c)
or (d). To the extent any deficit can be remedied by supplementary
engineering methods, that would be all that is required.
(a) Closure of Legacy CCR Surface Impoundments Under State Law
EPA continues to disagree that it would be appropriate to exempt
any legacy CCR surface impoundment that has completed closure or is
currently in the process of closing pursuant to State requirements. As
EPA repeatedly explained in the proposal, Congress established a
specific process that would authorize State requirements to operate in
lieu of the Federal CCR regulations, and it would be inappropriate for
EPA to substitute its own process to achieve the same ends. Under the
Congressionally mandated process, a State must obtain EPA approval, in
whole or in part, of its CCR permit program, pursuant to RCRA section
4005(d). 42 U.S.C. 6945(d). Those provisions expressly identify the
standard EPA must use to evaluate a State program including, where
applicable, alternative technical criteria that differ from the Federal
CCR regulations, along with requirements for EPA to review approved
programs and, if necessary, to withdraw approval. Finally, the statute
expressly provides that in the absence of a permit issued under an
approved State program, the Federal criteria apply to all CCR units. 42
U.S.C. 6945(d)(6). These provisions reflect Congress' considered
judgment of the appropriate legal structure and relationship between
State and Federal requirements, and it is not appropriate for EPA to
effectively establish its own alternative.
In any event, EPA lacks the record necessary to support a broad
exemption for all closures under any State requirement. As discussed in
more detail below. the information currently available does not
demonstrate that all closures conducted under State authority ``ensure
there is no reasonable probability of adverse effects on health or the
environment.'' 42 U.S.C. 6944(a).
First, commenters' arguments appear to be premised largely on the
existence of a State solid waste program with the attributes of the
municipal solid waste landfill requirements adopted and approved well
after those dates. But as some commenters acknowledged, many legacy
impoundments closed well before any State had developed such
regulations--e.g., during 1970s-1990s.\63\ EPA has no evidence
demonstrating the protectiveness of State requirements during this
period. However, the results of the joint U.S. Department of Energy
(DOE) and EPA study completed in 2006, ``Coal Combustion Waste
Management at Landfills and Surface Impoundments, 1994-2004,'' are not
encouraging. Only 19% (three out of 19) of the surveyed surface
impoundment permits included requirements addressing groundwater
protection standards (i.e., contaminant concentrations that cannot be
exceeded) or closure/post-closure care. The EPA/DOE report also
concluded that approximately 30% of the net disposable CCR generated
was potentially exempt from all State solid waste permitting
requirements (EPA/DOE Report at pp 45-46). For example, at the time of
the report, Alabama did not regulate CCR disposal under any State waste
authority and did not have a dam safety program. Finally, the report
found that a number of States only regulated surface impoundments under
Clean Water Act authorities, and consequently primarily addressed the
risks from effluent discharges to navigable waters, but did not require
liners or groundwater monitoring.
---------------------------------------------------------------------------
\63\ As discussed previously, if an impoundment contained CCR
and liquids on or after October 19, 2015, it is considered a legacy
impoundment under these regulations even if the unit is considered
to have been closed under state law.
---------------------------------------------------------------------------
As part of developing the 2015 CCR Rule, EPA independently reviewed
State statutes and regulations, with a more detailed focus on the 16
States responsible for approximately 74% of the CCR generated in 2009.
See 80 FR 21324. This review identified some programs that provided
minimal or no regulatory oversight of CCR units. For example, Arizona,
New Mexico, and Utah had no regulations applicable to CCR units or
entirely exempted CCR from State regulations governing solid waste.
Similarly, Mississippi, Montana, and Texas (the largest coal-ash
producer) exempted the on-site disposal of CCR (as ``nonhazardous
industrial solid waste'') from some or all key requirements, such as
permits or groundwater monitoring. Such exemptions covered most of the
disposal of CCR within the State, as the majority of utilities dispose
of their CCR on-site. Other States, such as Florida, Indiana, Ohio and
Pennsylvania, exempted CCR landfills or ``monofills'' from many
requirements. For example, Indiana regulations considered surface
impoundments that are dredged at least annually to be ``storage units''
that are exempt from solid waste regulations, including from corrective
action requirements. Many of these States were among the leading
generators of CCR wastes at the time. In total, EPA estimated that in
2015, approximately 20% of the net disposable CCR was entirely exempt
from State regulatory oversight.
However, EPA concluded in 2015 that most States regulated the
management of CCR to varying degrees, although the particular
requirements varied significantly. Most CCR surface impoundments were
permitted exclusively under NPDES or other surface water pollution
prevention programs. In these States, requirements to protect
groundwater, such as liners or groundwater monitoring systems, were
frequently less robust than the corresponding requirements applicable
to CCR landfills.
[[Page 39030]]
EPA did not specifically evaluate State closure requirements in
2015. However, EPA's findings with respect to groundwater monitoring
requirements suggests that it is unlikely States considered the extent
to which a surface impoundment would remain saturated by groundwater
after closure. In 2015 EPA had only limited anecdotal evidence on the
status of groundwater monitoring in six States, including four States
that are among the leading CCR generators. After the Kingston TVA spill
in December of 2008, groundwater monitoring wells were installed at 12
of Illinois's existing surface impoundments, almost doubling the number
of monitored surface impoundments in the State. However, 55 additional
surface impoundments, both active and inactive, still lacked
groundwater monitoring systems. In Ohio, 44 CCR units, out of a total
of 57 CCR units in the State (42 surface impoundments and 15 landfills)
still lacked groundwater monitoring in 2015, even though all the
surface impoundments were permitted decades ago under Ohio's NPDES
program. Ohio acknowledged in their comments that the extent of
groundwater risks in the State was poorly documented, as 40 out of 44
unlined CCR units did not have a groundwater monitoring system. Some
State programs also authorized a buffer zone or a ``zone of
discharge,'' which allows the facility to defer remediation of
groundwater contamination for some period of time, usually until the
contaminant plume has migrated to the facility site boundary. Florida,
Illinois, North Dakota, and Tennessee were among the States with such a
regulatory provision.
EPA acknowledges that some States have substantially revised their
programs since 2015, but this is not universal. In addition, although a
few States provided further information that was not available to EPA
in 2015 about their programs in response to the proposal, most did not.
For the most part, commenters offered general assertions that State
regulatory authorities have considered the site-specific conditions and
determined that the closure or closure plan meets the necessary
requirements for addressing risk, and that EPA should not second guess
these decisions, but provided little, if any, evidence that would
support a wholesale exemption for any closure conducted in accordance
with State requirements.
At the same time, as discussed above, several commenters provided
examples of recent (post-2015) State-authorized closures that are
significantly less protective than Sec. 257.102. For example, at least
two States responsible for a significant percentage of the CCR
generated annually, Ohio and Kentucky, recently (i.e., after 2015)
allowed facilities to close their impoundments by removing the CCR from
the impoundment, but did not require groundwater monitoring to
determine whether groundwater contamination remained at the site. Under
the CCR regulations, closure by removal is only considered complete
with documentation that all Appendix IV constituent concentrations are
below the GWPS in two consecutive groundwater monitoring sampling
events.
More to the point, as EPA explained in the proposal, the record
clearly shows that significant numbers of CCR surface impoundments were
constructed with at least some portion of the unit actually in the
aquifer beneath it, or otherwise consistently saturated by groundwater
or surface water migrating into the unlined impoundment. Many of these
units were closed without addressing the liquids that continued to
saturate the CCR, and the free liquids that remained or the fact that
the unit continues to impound water--in some cases with full approval
from the State. This is especially likely for closures that occurred
prior to 2015. As noted previously, a 2006 DOE/EPA report concluded
that only 19% of the surveyed surface impoundment permits included
requirements addressing groundwater protection standards (i.e.,
contaminant concentrations that cannot be exceeded) or closure/post-
closure care, and approximately 30% of the net disposable CCR generated
was potentially exempt. The risks associated with such closures can be
substantial, as discussed in Unit III.A of this preamble. Ultimately,
under the Federal CCR regulations what determines whether a unit meets
the definition of an inactive CCR impoundment or a closed CCR
impoundment--and what determines whether the unit continues to present
a reasonable probability of adverse effects on health and the
environment--are the conditions that remain and the resulting risks,
rather than whether a facility or even a State regulatory authority has
labeled the unit as ``closed.''
For all of these reasons, EPA cannot exempt: (1) All units that
have closed consistent with State requirements, or (2) All units that
have started closure or have had a closure plan approved under State
requirements prior to the effective date of the final rule.
(b) Deferral of Certain Completed Closures to Permitting
A few commenters provided examples of closure that they believed
were substantially equivalent to closures in accordance with Sec.
257.102, because they involved substantial regulatory oversight, a
site-specific risk assessment, and general consistency between the
programs on the standards to be applied. These included closures under
CERCLA and an approved State's RCRA subtitle C program. According to
these commenters, it is a near certainty that there will be slight
differences in the way the closure activities were designed or
conducted when compared to Sec. 257.102, but because the closure
activities accomplish the same environmental goals and meet the same
ultimate performance standards with respect to avoiding groundwater
impacts, there is little to be gained by duplicative closure activities
under the Federal CCR regulations. Another commenter provided a copy of
a Consent Order entered in State court governing the closure of CCR
surface impoundments at seven sites across the State. The commenter
also provided copies of several human health and ecological risk
assessments that were conducted to support the State's approval of the
closures, along with various third-party reports. The commenter
concluded that based on this factual record, it is unnecessary to
subject these units to the existing closure criteria for CCR surface
impoundments in Sec. Sec. 257.101 and 257.102.
EPA agrees that closures conducted as part of a CERCLA or RCRA
subtitle C response action would normally be expected to be consistent
with the performance standards in Sec. 257.102; the CCR closure
regulations were based on the closure regulations for hazardous waste
facilities, and the CCR regulations would normally be considered ARARs
under CERCLA for any closure of a CCR facility after 2015.
Consequently, these facilities may ultimately be able to support a
certification of compliance with Sec. 257.102. But, as the commenters
noted, there can be slight variations in how the standards are applied,
and a facility may consequently not be confident that it can support a
certification.
Nor are these the only closures that may be substantially
equivalent. As the commenters' examples demonstrate, State
requirements, even where different, can result in closures that are
equally as protective as those conducted in accordance with Federal
requirements.
However, as the commenters noted it is a near certainty that there
will be differences in the way the closure activities were designed or
conducted when compared to Sec. 257.102. EPA does
[[Page 39031]]
not believe that it can craft an exemption that could encompass all
these potential variations. Nor does EPA believe that it could develop
criteria that are sufficiently precise that regulated entities could
determine whether alternative requirements ultimately accomplish the
same environmental goals and meet the same ultimate performance
standards as the Federal requirements. But EPA has detailed criteria to
identify whether a closure is potentially as protective as those
conducted in accordance with Sec. 257.102, and which therefore warrant
a closer evaluation; closures that meet these criteria will be deferred
until a permitting authority can evaluate the adequacy of the closure.
The closures described above all share certain features such as the
risks at the site have been fully evaluated by a regulatory authority
and carefully addressed with oversight by a regulatory authority. Even
though the specific requirements may differ from Sec. 257.102, there
is nevertheless reason to believe that the closure will be protective,
at least in the interim until a permitting authority can evaluate the
adequacy of the closure to the CCR closure requirements. Based on these
considerations, EPA is limiting this deferral to closures where the
facility can document that it meets specific conditions. First, the
deferral is limited to circumstances in which a regulatory authority
played an active role in overseeing and approving the closure
activities. EPA considers a ``regulatory authority'' to include a State
or Federal permit, an administrative order, or consent order issued
after 2015 under CERCLA or by an EPA-approved RCRA State program. The
permitting or other authority must have required groundwater monitoring
to ensure there was no contamination coming from the unit that is not
addressed by corrective action.
Second, to support deferral of evaluation of a prior closure of a
legacy CCR surface impoundment as substantially equivalent, the
facility with a surface impoundment that closed with waste in place
must document that free liquids have been eliminated, consistent with
the standard in Sec. 257.102(d)(2)(i). This requirement directly
addresses the reason that EPA has concluded that many previously
completed closures do not meet the standard in RCRA section 4004(a).
Third, a facility must document that it had installed a groundwater
monitoring system and performed groundwater monitoring that meets a
subset of the performance standards found in Sec. 257.91(a).
Specifically, the facility must demonstrate that the groundwater
monitoring system was capable of: (1) Accurately representing
background water quality; (2) Accurately representing the quality of
water passing the waste boundary; and (3) Detecting contamination in
the uppermost aquifer. Finally, the groundwater monitoring system must
have monitored all potential contaminant pathways. These are the same
subset of standards that apply to a facility certifying that its
closure by removal completed prior to the effective date of this final
rule meets the performance standards in Sec. 257.102(c).
Fourth, a facility would need to demonstrate that a site-specific
risk assessment was conducted or approved by the regulatory authority
prior to (or as part of) approving the closure, and that the closure
and any necessary corrective action has been overseen by the regulatory
authority, pursuant to an enforceable requirement.
These criteria are generally consistent with the criteria a
commenter suggested to identify closures under other authorities that
would be equivalent to those conducted in accordance with Sec.
257.102. These included that the facility had installed a groundwater
monitoring system and performed groundwater monitoring and analysis in
accordance with Sec. Sec. 257.90 through 257.95 and was conducting any
necessary remediation in accordance with Sec. Sec. 257.96 through
257.98, pursuant to an enforceable requirement. Although the commenter
proposed these to serve as a basis for an exemption, EPA considers they
are equally relevant to identifying decisions that can be deferred for
future evaluation.
Fifth, the facility would be required to prepare and include
documentation in the applicability report and operating record,
demonstrating that it has met these criteria and is eligible for
deferral. This would include all relevant specifics such as State
permit, order, data, groundwater monitoring results, etc. This must be
certified by the owner/operator or an authorized representative using
the same language in Sec. 257.102(e).
When it comes time for the permit authority to evaluate the
closure, EPA intends to rely on the permit application process as the
primary mechanism to collect the information to allow a determination
to be made as to whether a legacy CCR surface impoundment that closed
under these alternative standards did so in compliance with the
requirements of Sec. 257.102. The permit application process is a
well-established system for reviewing the types of groundwater, soil
and other sampling and analytical data that will typically be required
in determining the ``equivalency'' of alternative closures.
When the permit application is called in, the facility must provide
sufficient information, including data on contaminant levels in
groundwater, to demonstrate that the applicable Sec. 257.102 standards
have been met. EPA or a Participating State Director will review the
information to determine whether the ``equivalency'' of the closure has
been successfully demonstrated. If EPA determines that the closure has
met the appropriate part 257 closure standard, EPA will issue a permit.
If EPA or a Participating State Director determines that the closure
does not meet the part 257 standards, the owner or operator will be
required to submit a permit application containing all the applicable
information for an operating permit, and EPA or a Participating State
Director will issue a permit that contains the specific requirements
necessary for the closed unit to achieve compliance with Sec. 257.102.
iv. Closure Compliance Deadlines for Legacy CCR Surface Impoundments
(a) Initiation of Closure for Legacy CCR Surface Impoundments
EPA proposed that legacy CCR surface impoundments be subject to the
existing requirement to initiate closure that are applicable to other
unlined CCR surface impoundments because, as discussed in the proposed
rule and in Unit III.B.2.c of this preamble, the current record
indicates that legacy CCR surface impoundments are largely, if not
entirely, unlined. Specifically, EPA proposed that owners or operators
of legacy CCR surface impoundments initiate closure no later than 12
months after the effective date of the final rule because EPA
anticipated 12 months being sufficient time for owners or operators to
identify and delineate the legacy CCR surface impoundment, determine
relevant engineering information (e.g., structural stability),
characterize the site's hydrogeology and other characteristics, and
determine whether any of the uppermost aquifer has been contaminated.
As explained in the proposed rule, EPA acknowledged that most of this
information would be obtained through compliance with the proposed
groundwater monitoring and corrective action requirements.
In the proposed rule, EPA solicited comment on whether the
regulations should provide owners and operators the option to retrofit
a legacy CCR surface impoundment in accordance with the retrofit
requirements in Sec. 257.102(k) as an alternative to
[[Page 39032]]
requiring the closure of a legacy CCR surface impoundment.
As stated in Unit III.B.2.g, generally commenters on the proposed
rule supported requiring legacy CCR surface impoundments to close in
accordance with the existing requirements. However, some commenters
disagreed that closure was appropriate for certain legacy CCR surface
impoundments, including those units underneath infrastructure needed to
support current activities, those that had completed or currently
undergoing closure, and those units that have been demonstrated not to
pose unacceptable risk.
Most commenters stated that the proposed deadline for the
initiation of closure was infeasible due to the factors listed in Units
III.B.2.a.ii and III.B.2.g of this preamble (e.g., labor shortages,
seasonality, limited contractor availability, overlapping regulatory
requirements) and should be extended in consideration of those factors
as well as to allow for the incorporation of the groundwater monitoring
data.
No commenters provided feedback on whether the regulations should
allow owners and operators to retrofit a legacy CCR surface
impoundment.
For the reasons explained in the proposed rule as well as Unit
III.B.2.g, EPA continues to conclude that the closure requirements in
the existing rule are generally appropriate for legacy CCR surface
impoundments. However, as explained in Unit III.B.2.g, EPA recognizes
that in specific situations, mandatory closure of a legacy CCR surface
impoundment by the deadline may cause more harm than benefits to human
health and the environment. Based on information provided by the
commenters and experience with the implementation of the 2015 CCR Rule
(i.e., regulation of inactive CCR surface impoundments), EPA finds that
these situations are limited to those in which the legacy CCR surface
impoundment has completed closure under a State authority and those in
which the unit is beneath infrastructure necessary for current
activities.
For additional closure requirements of a legacy CCR surface
impoundment, the decision to require reclosure will be deferred until a
permitting authority is authorized to issue CCR permits to the
facility, at which point, the permitting authority will be able to look
at site-specific factors and evidence to decide if reclosure is
necessary to protect human health and the environment. EPA concludes
that this approach will mitigate adverse impacts to local communities
and the environment, including environmental justice concerns that may
result from activities associated with reclosing a facility that is not
contaminating groundwater or posing other risk to human health and the
environment, such as increased traffic, increased greenhouse gas
emissions, habitat loss, loss of native vegetation, water consumption,
and additional waste generation.
When the legacy CCR surface impoundment is beneath infrastructure
vital to the continuation of activities, such as beneath a substation,
the initiation of closure will be deferred until the infrastructure is
no longer needed or the closure of the facility, whichever is sooner.
This approach protects human health and the environment while
appropriately accounting for the need for operational continuity and
reliability.
As explained in Unit III.B.2.g, EPA acknowledges the benefit of
allowing owners or operators the time needed to incorporate groundwater
monitoring data into the closure plan. Additionally, as stated in the
proposed rule, EPA acknowledges the importance of using information
gained by compliance with the groundwater monitoring and corrective
action requirements to inform closure decisions and therefore the
initiation of closure. For the reasons explained in Unit III.B.2.f, EPA
is extending the deadline for the groundwater monitoring and corrective
action requirements to a single deadline of no later than 30 months
from the effective date of the final rule. As such, the initiation of
closure is being extended as well. To ensure owners or operators have
enough groundwater monitoring data to draw conclusions about
seasonality impacts on groundwater levels and flow and the source of
any potential groundwater contamination in the area, EPA is finalizing
a deadline of no later than Monday, May 8, 2028, which is 42 months
from the effective date of the final rule. This is codified in the
regulatory text at Sec. 257.101(e)(1).
EPA is finalizing the application of the existing requirements to
initiate closure to legacy CCR surface impoundments as proposed except
for those that fall under the deferral of closure described above
(i.e., units closed under State authority, units beneath critical
infrastructure).
As stated in Sec. 257.102(e), closure has been initiated once any
steps necessary to implement the closure plan as described by Unit
III.B.2.g.ii of this preamble have been taken, including submitting an
application for any necessary State or agency permits or permit
modifications and taking steps to comply with standards of any State or
other agency that are a prerequisite to completing closure of a CCR
unit.
(b) Preparation of a Written Closure Plan for Legacy CCR Surface
Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments comply with the existing requirements of Sec. 257.102(b)
requiring the preparation of a written closure plan no later than 12
months after the effective date of the final rule.
As mentioned above, overall commenters on the proposed rule agreed
that closure requirements, including the written closure plan, would
generally be appropriate for legacy CCR surface impoundments. One
commenter suggested additional requirements for the content of the
closure plan including the elevation of the base of the unit,
groundwater information, and descriptions of compliance with Sec.
257.102 will be achieved (e.g., how free liquids would be eliminated,
how waste will be stabilized, measures to minimize the need for further
maintenance of the CCR unit). A few commenters supported the proposed
deadline but as summarized in Units III.B.2.a.ii and III.B.2.g of this
preamble, other commenters stated the proposed deadline was infeasible
and inappropriate. One commenter suggested the deadline for the closure
plan be extended to be concurrent with the initiation of closure.
Commenters suggestions for the deadline for the completion of the
closure plan ranged from 12 (the 2015 CCR Rule deadline) to 32 months,
or after the collection of the eight baseline groundwater samples.
EPA disagrees with the commenter that additional requirements
regarding the content of the closure plan are necessary. The
information the commenter requested be included in the closure plan is
1) already required to be in the closure plan pursuant to Sec. Sec.
257.102(b) or 2) readily available in other required reports (e.g., the
annual groundwater monitoring and corrective action reports).
Furthermore, the commenter failed to fully explain how compliance with
Sec. 257.102(b) does not provide the information needed to determine
if compliance with the closure performance standards will be met.
Regarding the deadline, as stated above, EPA concludes that the
deadline for the closure plan should be extended from the proposed
deadline to allow for owners or operators to incorporate information
about groundwater quality, groundwater flows, seasonality impacts, and
the migration of contaminants (if any) into the plan. Therefore, EPA is
finalizing a deadline of no later than
[[Page 39033]]
Monday, November 8, 2027, which is 36 months after the effective date.
This is codified in the regulatory text at Sec. 257.100(f)(5)(i).
Based on comments on the proposed rule and experience from the 2015
CCR Rule, EPA expects the incorporation of this information into the
closure plan will allow facilities to select a closure method that most
appropriately addresses issues like waste that is in contact with
groundwater, groundwater contamination, and long-term structural
stability concerns. Closure plans that adequately address these issues
will result in more compliant closure plans and therefore, be more
protective of human health and the environment.
The closure plan describes the steps necessary to close a CCR unit
at any point during the active life of the unit based on recognized and
generally accepted good engineering practices. 40 CFR 257.102(b)(1).
The plan must set out whether the closure of the CCR unit will be
accomplished by leaving CCR in place or through closure by removal and
include a written narrative describing how the unit will be closed in
accordance with the section, or in other words, how the closure will
meet all the performance standards in the regulations. 40 CFR
257.102(b)(1)(i). The written closure plan must also provide a schedule
for completing all activities necessary to satisfy the closure criteria
of the rule. See also 80 FR 21410-21425.
If the CCR is left in place, the closure plan must include a
description of the final cover system and how the final cover system
will achieve the regulatory performance standards. If the base of the
impoundment intersects with groundwater, the closure plan would need to
discuss the engineering measures taken to ensure that the groundwater
had been removed from the unit prior to the start of installing the
final cover system, as required by Sec. 257.102(d)(2)(i). The closure
plan would also need to describe how the facility plans to meet the
requirements in Sec. 257.102(d)(1) to ``control, minimize or
eliminate, to the maximum extent feasible, post-closure infiltration of
liquids into the waste and releases of CCR, leachate, or contaminated
run-off to the ground or surface waters.'' This could include, for
example, the installation of engineering controls that would address
the post-closure infiltration of liquids into the waste from all
directions, as well as any post-closure releases to the groundwater
from the sides and bottom of the unit.
(c) Preparation of a Written Post-Closure Care Plan for Legacy CCR
Surface Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments would be required to comply with the existing requirement
in Sec. 257.104(d) regarding the preparation of a written post-closure
no later than 12 months after the effective date of the final rule.
The comments EPA received on the proposed rule regarding the post-
closure plan requirement are described in Units III.B.2.g and
III.B.2.g.i and can be summarized as requests for an extension of the
post-closure care deadline to allow for a more feasible deadline and
the incorporation of groundwater monitoring data. For the reasons
stated in Units III.B.2.g and III.B.2.g.i, EPA is finalizing a deadline
of no later than Monday, November 8, 2027, which is 36 months from the
effective date of the final rule to comply with the post-closure care
requirement in Sec. 257.104(d). This is codified in the regulatory
text at Sec. 257.100(f)(5)(ii).
Section 257.104(d) requires that an owner or operator of a CCR unit
prepare a written post-closure plan. The contents of the P.E.-certified
plan are stated in the rule at Sec. 257.104(d)(1)(i) through (iii) and
can be summarized as a description of the monitoring and maintenance
activities required for the unit, the frequency that these activities
will be performed, information for the point-of-contact during the
post-closure care period, and planned uses of the property.
(d) Deadline To Complete Closure for Legacy CCR Surface Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundment comply with the existing closure completion time frames in
Sec. 257.102(f).
As stated in Unit III.B.2.g of this preamble, some commenters on
the proposed rule supported the proposed deadline, however, overall
commenters supported applying the existing closure completion time
frames as long as the proposed deadline for the initiation of closure
was extended. For the reasons described throughout this section, EPA
has extended the deadline for the initiation of closure. EPA expects
the extension to the deadlines for the closure plan and initiation of
closure, as well as the options to defer closure requirements for
legacy CCR surface impoundments that have completed closure under a
regulatory authority (see Unit III.B.2.g.iii.b), to address the
concerns commenters expressed with the infeasibility or
inappropriateness of the deadline to complete closure. Therefore, EPA
is finalizing the deadline for the completion of closure of legacy CCR
surface impoundments as proposed.
Section 257.102(f) generally requires an owner or operator of
existing and new CCR surface impoundments to complete closure
activities within five years from initiating closure. However, the
regulations also establish conditions, including documentation
requirements, under which owners or operators can demonstrate and
receive two-year extensions of the deadline. For CCR surface
impoundments of 40 acres or less, the deadline can only be extended by
one two-year extension. For CCR surface impoundments larger than 40
acres, the deadline can be extended in increments of two years for no
more than five times.
(e) Post-Closure Care for Legacy CCR Surface Impoundments
EPA proposed to apply the existing post-closure care requirements
at Sec. 257.104 to legacy CCR surface impoundments without revision.
These criteria are essential to ensuring the long-term safety of legacy
CCR surface impoundments.
No commenters raised specific concern about requiring legacy
impoundments to comply with the existing requirements in Sec. 257.104.
EPA is therefore finalizing this provision without revision.
The existing post-closure care criteria require the monitoring and
maintenance of units that have closed with CCR in place for at least 30
years after closure has been completed. 40 CFR 257.104. During this
post-closure period, the facility would be required to continue
groundwater monitoring and corrective action, where necessary.
h. Recordkeeping, Notification, and Internet Posting Criteria for
Legacy CCR Surface Impoundments
EPA proposed that owners or operators of legacy CCR surface
impoundments be subject to the existing recordkeeping, notification,
and website reporting requirements in the CCR regulations found at
Sec. Sec. 257.105 through 257.107. For reasons specified in the 2015
CCR Rule, the CCR regulations require the owner or operator of a new or
existing CCR unit to record specific information in the facility's
operating record, maintain files of all required information (e.g.,
demonstrations, plans, notifications, reports) that supports
implementation and compliance with the rule, notify State Director and
Tribal authorities, and maintain a public CCR
[[Page 39034]]
website that hosts this information. 80 FR 21427.
A commenter on the proposed rule supported applying recordkeeping,
notification, and internet posting requirements to legacy CCR surface
impoundments but stated that the existing requirements were ineffective
at ensuring compliance with the CCR regulations or allowing for
meaningful public awareness or participation. The commenter suggested
that EPA create mechanisms within the rule to ensure the public has the
opportunity to participate in the decision-making processes at
regulated CCR units; standardize reporting to make the report more
easily understood by the public; establish organizational requirements
for the CCR websites; require public notice and engagement when
notifying the State Director and/or appropriate Tribal authority as
required by the CCR rule; extend the period of time the files required
by the CCR rule must be maintained in the operating record; and require
owners or operators to certify compliance documentation for the CCR
units. This commenter also suggested EPA clarify what records owners or
operators are required to retain and to publish.
EPA agrees with the commenter on the importance of meaningful
public participation. The current regulations allow for public
participation by requiring owner or operators to hold a public meeting
as part of the assessment of corrective measures in Sec. 257.96,
creating a mechanism for the public to file dust complaints in Sec.
257.80(b), and the ``contact us'' form or specific email address on
facilities' public CCR websites for questions or issues from the public
as required by Sec. 257.107(a). EPA does not have evidence to support
the claim by the commenter that these opportunities for public
participation are ineffective. Furthermore, EPA does not find other
decision-making points in the rule appropriate for mandatory public
meetings although facilities are encouraged to engage with the public
and to both solicit and incorporate public input into decisions, such
as closure methods, as able and appropriate.
With respect to the commenter's suggestions that EPA require the
owners or operators of CCR units to certify compliance documentation
and create standardized reporting and website layout requirements, as
explained in the proposed rule, EPA does not have evidence that legacy
CCR surface impoundments are sufficiently different than currently
regulated facilities to necessitate substantially different
requirements. The commenter provided no factual basis to support the
suggestion that requiring owner or operator certifications would
improve compliance with the regulations beyond the certifications
currently required by professional engineers. When justifying the
request for standardized reporting and website layout requirements, the
commenter failed to explain how compliance with the public website
posting requirements in Sec. 257.107, including the requirement to
ensure all information is ``clearly identifiable and must be able to be
immediately printed and downloaded by anyone accessing the site'' is
inadequate or a hinderance to the public accessing the required
information. Therefore, EPA does not believe additional notification,
certification, or public engagement requirements for legacy CCR surface
impoundments would be appropriate.
EPA agrees with the commenter on the need to extend the period of
time files required by the CCR rule must be maintained on the
facilities' public websites and in the operating records. As described
in Unit III.D.5, EPA is extending how long files must be maintained in
the operating record and on the public website. While EPA believes the
regulations at Sec. Sec. 257.105 and 257.107 clearly lay out what
records must be retained and published, EPA has included in Unit
III.D.5 a table that details what records are required to be maintained
in the operating record and on the public website as well as the
corresponding retention periods.
EPA is finalizing the requirement that owners or operators of
legacy CCR surface impoundments comply with recordkeeping,
notification, and internet posting requirements at Sec. Sec. 257.105
through 257.107. Owners or operators must document implementation and
compliance with the rule and must place these files into the facility's
operating record. Each required file must be maintained in the
operating record for the entirety of the retention period specified in
Sec. 257.105 following submittal of the file into the operating
record. Each file must also indicate the date the file was placed in
the operating record. Files are required to be submitted into the
operating record at the time the documentation becomes available or by
the compliance deadline specified in the CCR regulations. Section
257.105 contains a comprehensive listing of each recordkeeping
requirement and corresponding record retention periods.
Furthermore, the owner or operator of a legacy CCR surface
impoundment must maintain a CCR website titled, ``CCR Rule Compliance
Data and Information'' that hosts the compliance information so that it
may be viewed by the public. Unless provided otherwise in the rule
(see, Unit III.E.5), information posted to the publicly accessible
internet site must be available for a period of no less than five years
from the initial posting date for each submission. Posting of
information must be completed no later than 30 days from the submittal
of the information to the operating record. Owners or operators of
legacy CCR surface impoundments have 30 days from the effective date of
this rule to establish a CCR website and post the required applicable
information.
C. CCR Management Unit Requirements
EPA is establishing requirements to address the risks from
previously unregulated solid waste management of CCR that involves the
direct placement of CCR on the land at CCR facilities. Information
obtained since 2015 demonstrates that these exempt solid waste
management practices are currently contaminating groundwater at many
sites, and at others, have the potential to pose risks commensurate
with the risks associated with currently regulated activities.
The closure of CCRMU of 1,000 tons or greater also provides
significant risk mitigation. As laid out in Unit III.A of this
preamble, CCRMU at both active facilities and inactive facilities with
legacy impoundments pose risks to human health and the environment that
are at least as significant as the risks presented by legacy CCR
surface impoundments and the units currently regulated under the 2015
CCR Rule. In particular, for highly exposed individuals off site,
landfill CCRMU were estimated to pose cancer risks as high as 7 x
10-\6\ from arsenic III, while surface impoundment CCRMU
were estimated to pose cancer risks as high as 8 x 10-\5\
from arsenic III and noncancer HQs as high as 2 for arsenic III, two
for lithium, and one for molybdenum. Differences in national risks
between currently regulated units and these older units are attributed
largely to the proportion of units that were modeled at the time as
lined. However, the risks associated with these older units may be even
higher than EPA modeled in the 2014 Risk Assessment for active units.
These units have been present onsite longer and had more time to leak.
In addition, there are several management practices that have the
potential to result in higher leakage, but that were previously modeled
either less frequently for active units--based on a belief that the
practices had declined over time--or not at all--due to data
constraints on a national scale. These include: (1) The greater
prevalence of
[[Page 39035]]
unlined units; (2) The greater likelihood of co-management of CCR with
coal refuse and other wastes in surface impoundments, making the
overall waste pH far more acidic and (3) The potential for the units to
be constructed below the water table or to have become inundated with
groundwater after the time of construction. As discussed in Unit III.A,
each of these practices individually have the potential to result in
nationwide risks higher than previously reported on a national basis
for the currently operating universe of CCR units. For example, unlined
landfill CCRMU were estimated to pose cancer risks as high as 1 x
10-\5\ from arsenic III, while unlined surface impoundment
CCRMU were estimated to pose cancer risks ranging from 2 x
10-\4\ from arsenic III and noncancer HQs as high as 5 for
arsenic III, 3 for lithium, 2 for molybdenum, and 1 for thallium. A
combination of these practices could push risks even higher than
modeled.
Based on these data, EPA is finalizing the addition of a new
category of CCR units that would be subject to a set of requirements
tailored to the characteristics of such units and the risks that they
present. This new category of CCR units, called ``CCR management
units'' or CCRMU, consists of CCR surface impoundments and landfills
that were closed prior to the effective date of the 2015 CCR Rule, and
inactive CCR landfills, which include inactive CCR piles. Under this
final rule, CCR management units are subject to the regulations when
they are located at: (1) A facility currently regulated under the 2015
CCR Rule; (2) Inactive facilities with a legacy CCR surface
impoundment; and (3) Facilities that, on or after October 19, 2015,
produced electricity for the grid but were not regulated under the 2015
CCR Rule because they had ceased placement of CCR in onsite CCR units
and did not have an inactive CCR surface impoundment (the inclusion of
these facilities are discussed in Unit III.C.2.f). EPA refers to the
facilities in the above three categories in this preamble as ``covered
CCR facilities.''
Owners or operators of any of covered CCR facilities are required
to conduct a facility evaluation to identify and delineate any CCRMU
containing one ton (or more) at the facility and document the findings
in two reports. In addition, owners or operators of a covered CCR
facility are required to ensure that all identified CCRMU containing
1,000 tons or more comply with the existing requirements in 40 CFR part
257, subpart D for groundwater monitoring, corrective action (where
necessary), and in certain cases, closure, and post-closure care
requirements. These issues are discussed in more detail in this Unit of
the preamble.
EPA estimates that there are 179 CCRMU at 92 active facilities and
16 CCRMU at 12 inactive facilities that will be subject to the
requirements of this final rule.\64\ These areas include inactive CCR
landfills, closed CCR landfills, closed CCR surface impoundments, and
other solid waste management areas of CCR. EPA also identified 20 CCRMU
at eight other active facilities. This estimate of CCRMU is an increase
from the 134 CCRMU located at 82 facilities identified in the proposed
rule. 88 FR 32028.
---------------------------------------------------------------------------
\64\ An updated list of known potential CCRMU can be found in
the docket for this action. See document titled ``Universe of CCR
Management Units. April 2024.''
---------------------------------------------------------------------------
1. Damage Cases
EPA has a long history of considering damage cases in its
regulatory decisions under RCRA. RCRA specifically directs EPA, when
making a Regulatory Determination for CCR, to consider ``documented
cases in which danger to human health and the environment from surface
run-off or leachate has been proved,'' demonstrating that such
information is to carry great weight in decisions of whether and how to
regulate such wastes. 42 U.S.C. 6982(n)(4). See also 42 U.S.C.
6982(n)(3). In addition, damage cases are among the criteria EPA must
consider under its regulations for determining whether to list a waste
as a ``hazardous waste.'' See 40 CFR 261.11(a)(3)(ix). EPA also relied
on damage cases to develop the specific requirements for CCR in part
257, subpart D. See, 80 FR 21452-21459.
Damage cases generally provide direct evidence of both the extent
and nature of the potential risks to human health and the environment
that have resulted from actual waste management practice. For example,
in the 2015 CCR Rule, EPA relied on damage cases to identify actual
management practices that resulted in harm above and beyond that
already identified through modeling. Based on the damage cases, EPA
identified several additional constituents (antimony, barium,
beryllium, chromium, selenium, and lead) that were added to the
Appendix IV list for groundwater monitoring.
For CCRMU, EPA proposed to rely on ten potential damage cases to
further support the results of the modeling and 2014 Risk Assessment,
and to better understand the characteristics of the sites and units, as
well as the management practices, in order to develop appropriate
requirements. EPA reviewed information received in response to the
ANPRM as well as the documents posted on facilities' CCR websites for
compliance with CCR regulations. See, 88 FR 32012. Specifically, EPA
reviewed groundwater monitoring reports, assessment of corrective
measures reports, corrective measures progress reports, remedy
selection reports, history of construction reports, closure plans and
reports, and fugitive dust control plans for facilities with CCR
websites from 2018, 2019, 2020, and 2021. Through review of the
groundwater monitoring and corrective action reports, EPA found many
instances where the owners or operators of CCR facilities claimed that
the detection of an SSI or SSL in concentrations of Appendix III or IV
constituents in groundwater came from a CCRMU rather than the monitored
regulated CCR unit.
Whenever a facility determines that there is an SSI over background
levels for one or more of the constituents in Appendix III at a
monitoring well at the downgradient waste boundary, the existing CCR
regulations allow the facility an opportunity to complete an ASD
showing that a source other than the unit (i.e., an alternative source)
was the cause of the SSI. 40 CFR 257.94(e)(2). The existing CCR
regulations provide a similar opportunity whenever assessment
monitoring results indicate that an SSL exceeding the GWPS has been
detected at a downgradient well for any of the Appendix IV
constituents. 40 CFR 257.95(g)(3). If a successful ASD for an SSL is
not completed within 90 days, corrective action must be initiated.
In reviewing groundwater monitoring and corrective action reports
EPA found that 42 ASDs or ACMs concluded that a Federally unregulated
CCR source was responsible for the SSI or SSL. The proposed rule
included ten examples (i.e., damage cases) where owners or operators of
CCR facilities claimed that an SSI or SSL is attributable to a CCR
source rather than the Federally regulated CCR unit.
In addition to reviewing the groundwater monitoring and corrective
action reports, EPA reviewed the history of construction reports,
closure plans and reports, and fugitive dust control plans for
facilities with CCR websites from 2018, 2019, 2020, and 2021. These
documents contained either site maps, which identified currently
regulated units, and in some cases, inactive or closed units at the
facility, or narrative discussions of the site history, which included
identification of where CCR
[[Page 39036]]
were previously disposed or managed at the facility.
EPA received numerous comments about the damage cases provided in
the proposed rule. Some commenters provided information to demonstrate
that many of EPA's listed damage cases did not meet EPA's criteria for
a damage case to be considered ``a proven damage case,'' that had been
developed for purposes of the Bevill Regulatory Determinations
described in 65 FR 32214, 32224 (May 22, 2000). One commenter
mischaracterized these criteria as ``EPA's criteria for identifying
damage cases in RCRA rulemakings,'' and claimed that groundwater
exceedances are not sufficient to prove that there is any risk to human
health. The commenter stated that ``exceedances [must be] measured in
ground water at a sufficient distance from the waste management unit to
indicate that hazardous constituents had migrated to the extent that
they could cause human health concerns'' citing the 2000 Regulatory
Determination (65 FR 32224, May 22, 2000), and the 2010 proposed CCR
Rule (75 FR 35131, June 21, 2010). The commenter asserted that without
such information, none of the cases can be used to justify EPA's
proposed regulation of CCR management units.
Another commenter argued that ``the damage cases are not
representative of all CCRMUs, and, consequently, cannot legitimately be
relied upon to develop national standards and requirements for all
CCRMUs.'' The commenter claims that a report generated by Gradient
documents ``many examples of CCRMUs that are not causing any GWPS
exceedances, are not associated with any undue risk, and are being
effectively regulated under state purview.'' Additionally, the
commenter claims that the ``damage cases cited by US EPA do not
demonstrate that CCRMUs are currently impacting groundwater quality and
causing an unacceptable risk because EPA has not addressed whether the
groundwater impacts that they have attributed to CCRMUs result from the
current condition of each CCRMU or its historical operating
condition.'' The commenter concludes that because EPA has provided no
evidence to determine whether the impacts are being caused by the
current condition of each CCRMU (potentially closed, inactive, and/or
dewatered), EPA's conclusions that the damage cases provide evidence of
potential risks associated with CCRMU is misguided and unsupported.
One commenter also took issue with EPA's inclusion of ``only'' ten
``hand-picked'' damage cases to justify regulation of CCRMU. The
commenter complained that ``EPA's damage cases are not based on
information collected by EPA, but rather are based on information
compiled by advocacy groups using data collected from CCR websites,
[and t]here is no indication EPA has conducted its own data collection,
or verified the data that was collected.'' The commenter went on to
say,
Much of the data refers to alternative source analyses conducted
for regulated CCR units, suggesting that the discussed `CCRMU' may
be the source of groundwater contamination; however, EPA makes no
statements regarding whether, and conducts no analysis to determine
whether, it agrees with those analyses. This is highlighted by the
carefulness of EPA's declaration that its review of the third-party
compiled information identified 42 areas ``potentially contaminating
groundwater.'' . Potential groundwater impacts does not rise to the
RCRA protectiveness level of ``reasonable probability of adverse
effects on health or the environment from disposal of solid waste at
such facility.
Finally, one commenter complained that of the 134 areas EPA
identified where the management of CCR remain exempt, less than one
third were found to potentially have groundwater impacts, yet EPA seeks
to regulate the entire universe of 134 areas and more. According to
this commenter, even assuming the potential groundwater impacts are
real, they are not necessarily an indication that the CCR management
practice creates a reasonable probability of an adverse effect on human
health or the environment, as the commenter believes there are several
other factors, such as the nature and extent of the CCR management
practice, whether a hydraulic head is present, the hydraulic
conductivity of surrounding soils, and the proximity of the material to
water and the likelihood of contact with water, that must be considered
before concluding a CCR management practice creates a reasonable
probability of an adverse effect.
EPA disagrees that it is inappropriate to characterize the cited
SSIs and SSLs as damage cases. As explained in the 2015 CCR Rule
preamble, EPA has a long history of considering damage cases in its
regulatory decisions under RCRA. 80 FR 21452. The statute specifically
directs EPA to consider ``documented cases in which danger to human
health and the environment from surface runoff or leachate has been
proved,'' in reaching its Regulatory Determination for these wastes,
demonstrating that such information is to carry great weight in
determining whether to regulate these wastes. 42 U.S.C. 6982(n)(4).
Damage cases, even if only potential damage cases, are also relevant
under the third Bevill factor: ``potential danger, if any, to human
health and the environment from the disposal and reuse of such
materials.'' 42 U.S.C. 6982(n)(4). In addition, damage cases are among
the criteria EPA must consider under its regulations for determining
whether to list a waste as a ``hazardous waste.'' See 40 CFR
261.11(a)(3)(ix). Damage cases generally provide extremely potent
evidence in hazardous waste listings.
As with the 2015 CCR Rule, EPA considers that both proven and
potential damage cases provide information directly relevant to this
rulemaking. Damage cases--whether proven or potential--provide evidence
of both the extent and nature of the potential risks to human health
and the environment. The primary difference between a proven and a
potential damage case is whether the contamination has migrated off-
site of the facility. But the mere fact that groundwater contamination
has not yet migrated off-site does not change the fact that a
potentially harmful constituent has leached from the unit into
groundwater. Whether the constituent ultimately causes further damage
by migrating into drinking water wells does not diminish the
significance of the environmental damage caused to the groundwater
under the site, even where it is only a future source of drinking
water. As explained in the original 1979 subtitle D criteria, EPA is
concerned with groundwater contamination even if the aquifer is not
currently used as a source of drinking water. Sources of drinking water
are finite, and future users' interests must also be protected. (See 44
FR 53445-53448.) (``The Act and its legislative history clearly reflect
Congressional intent that protection of groundwater is to be a prime
concern of the criterion. . . . EPA believes that solid waste
activities should not be allowed to contaminate underground drinking
water sources to exceed established drinking water standards. Future
users of the aquifer will not be protected unless such an approach is
taken.''). EPA is therefore presenting its findings with regard to
damage cases because this information further supports the results of
EPA's 2014 and 2024 Risk Assessments, which together provide the
factual bases for the actions taken in this final rule.
EPA also disagrees with the arguments that attempt to minimize the
significance of the damage case record. EPA is relying on the damage
cases to evaluate the extent and nature of the risks associated with
particular CCR management practices. Facts
[[Page 39037]]
demonstrating the consequences from particular activities therefore
remain relevant, particularly (although not solely) where the
management practices continue to occur. In other words, what matters in
this regard are facts that provide information on the reasons that unit
leaked, the particular contaminants that were present, the levels of
those contaminants, and the nature of any impacts caused by that
contamination. This is entirely consistent with RCRA section 8002(n),
which requires EPA to evaluate the ``potential danger, if any, to human
health and the environment from the disposal and reuse of such
materials'' in addition to ``documented'' damage cases. 42 U.S.C.
6982(n)(3)-(4).
EPA further disagrees that only the presence of receptors within
the impact sphere of a contaminating facility merits consideration of a
particular damage case. EPA's longstanding and consistent policy across
numerous regulatory programs has been that groundwater contamination is
a significant concern that merits regulatory action in its own right,
whether or not the aquifer is currently used as a source of drinking
water. Sources of drinking water are finite, and future users'
interests must also be protected. The absence of current receptors is
therefore also not an appropriate basis on which to discount damage
cases. And for all the reasons discussed above, EPA also disagrees that
only exceedances of health-based standards of contaminants that have
migrated off-site (i.e., only proven damage cases) should be accounted
for as part of this rulemaking.
EPA further disagrees with commenters' assertions about the sources
of information that EPA included in the proposed rule and that EPA is
relying upon in this final rule. In the proposal EPA discussed
information that the Agency obtained from comments submitted in
response to the ANPRM, and from other sources provided by environmental
groups. However, EPA conducted an independent review of information
posted on facility websites, including groundwater monitoring reports,
assessment of corrective measures reports, corrective measures progress
reports, remedy selection reports, history of construction reports,
closure plans and reports, and fugitive dust control plans for
facilities with CCR websites from 2018, 2019, 2020, and 2021 to develop
the record for the proposed rule. 88 FR 32012-32013.
Several commenters disagreed with EPA's characterization in the
proposed rule of certain sites as damage cases because the units have
now been closed or the contamination has been remediated (or is in the
process of being remediated) under State oversight. For example, one
commenter noted that they are ``aware of situations where over the
years CCR was intermittently dispersed within fill to facilitate
facility expansions (commonly referred to as ``made land''), which was
a common practice along heavily industrialized shores of the Great
Lakes.'' The commenter further stated that, the ``Phases I and II of
the Landfill at NIPSCO's R.M. Schahfer Generating Station, is an
example of how the Proposed Rule mischaracterizes the risk associated
with CCRMU.'' According to the commenter Phases I and II have been
closed in a manner that is protective of groundwater, and the data
demonstrates that the groundwater plume resulting from Phases I and II
is stable, with concentrations of constituents declining.
Another commenter similarly objected to EPA's inclusion of Reid
Gardner as an example of CCRMU with identified SSIs. The commenter said
EPA mistakenly assumed the historical ponds under the regulated units
may be a cause of SSIs. They said these historical ponds were excavated
and removed prior to 2015 so these units cannot be deemed to be a
CCRMU. As a result, they said EPA's characterization of Reid Gardner as
a damage case is inaccurate and inappropriate and should be removed
from the final rule. In addition, they disagreed with EPA's reliance on
``standard GWPS'' equivalent to MCLs, stating that by doing so, EPA
fails to consider site-specific factors such as pre-existing
groundwater contamination, natural variation in groundwater, and the
site conceptual model, as well as EPA guidance for statistical
analysis. Finally, the commenter said that corrective actions at Reid
Gardner are comprehensively regulated under the State, which governs
the performance and/or completion of Environmental Contaminant
characterization, the screening and selection of Corrective Action, and
the implementation and long-term Operation and Maintenance of [NDEP]
approved Corrective Action concerning Pollution Conditions at the Site
(Nevada Division of Environmental Protection Administrative Order on
Consent Reid Gardner Generating Station, I.4, page 2). According to the
commenter, interim corrective actions completed under the
Administrative Order have already resulted in the removal of over 2.5
million cubic yards of CCR and associated materials from the site.
The same commenter also disagreed with EPA's inclusion of
Huntington as an example of a CCRMU with identified SSLs. They said
EPA's statement that the plant's remedy selection report ``does not
appear to address releases from the Old Landfill,'' is incorrect, as
the selected remedy--a groundwater capture system--has been placed to
capture groundwater from both the regulated landfill and the Old
Landfill. In addition, the commenter said the Old Landfill is subject
to separate State oversight and corrective action, including
elimination of infiltration, capping of closed sections and capture of
any seepage. As a result, they disagreed with EPA's characterization of
Huntington as a damage case and stated it should be removed from the
final rule.
One commenter claimed that the damage case example concerning East
Kentucky Power Cooperative's Cooper Station does not support the
conclusion EPA draws from it. Specifically, EPA's proposal refers to a
former surface impoundment below the current landfill at the facility,
but, as the proposal recognizes, the facility conducted an ASD that did
not identify the former impoundment as an alternate source of
groundwater impact and the unit therefore remains in detection
monitoring, with no conclusion having been drawn. As such, the
commenter said, ``EPA is relying on an ASD which did not identify the
impoundment as an alternative source to justify more stringent
regulation of CCRMU with respect to groundwater impacts that have not
been found to have resulted from the unit.'' EPA agrees that this
facility should not be included in the final list of damage case
examples based on this comment.
Other commenters provided information about EPA's Damage Case
Compendiums developed for the 2015 CCR Rule to show some of those
include potential CCRMU. They also provided additional damage cases and
lists of potential CCRMU for EPA to include in the record.
Except as noted above, EPA disagrees that the damage cases are not
representative of CCRMU, even if the units are regulated under State
programs. The data from these units shows these CCRMU are contributing
to groundwater contamination, irrespective of any prior State
oversight.
EPA also continues to believe that, as EPA explained in the 2015
CCR Rule, cases where contamination has been remediated remain relevant
to this rulemaking. EPA is relying on the damage cases to evaluate the
extent and nature of the risks associated with particular CCR
management practices.
[[Page 39038]]
Facts demonstrating the consequences from particular activities
therefore remain relevant, particularly (although not solely) where the
management practices continue to occur. In other words, what matters in
this regard are facts that provide information on the reasons that unit
leaked, the particular contaminants that were present, the levels of
those contaminants, and the nature of any impacts caused by that
contamination. None of these facts are affected by whether the damage
is ultimately mitigated or remedied. This is entirely consistent with
RCRA section 8002(n), which requires EPA to evaluate the ``potential
danger, if any, to human health and the environment from the disposal
and reuse of such materials'' in addition to ``documented'' damage
cases. 42 U.S.C. 6982(n)(3)-(4). Accordingly, the fact that any
contamination has subsequently been remediated is not a basis for
disregarding a damage case. See 80 FR 21455.
In summary, EPA continues to believe the damage cases provide
extremely valuable evidence that is directly relevant to the question
of whether and how to regulate CCR. For example, the damage cases
provide ``real world'' evidence against which to compare EPA's risk
modeling estimates, such as evidence regarding the frequency with which
particular constituents leach into groundwater. 80 FR 21326. They also
provide direct evidence regarding specific waste management practices
at electric utilities, along with the potential consequences of those
practices. Accordingly, EPA has sufficient confidence in the veracity
of the collected information to rely on it in making decisions in this
rule. EPA expects that additional damage cases will be discovered in
response to the installation of the groundwater monitoring systems
required by the final rule.
a. Examples of CCRMU With Identified SSLs
Under the existing CCR regulations, when a facility determines
there is an SSL for one or more Appendix IV constituents and completes
a successful ASD showing that a source other than the regulated unit is
the cause of the SSL(s), the facility is not required to initiate
corrective action for that particular constituent. Through reviewing
the ASD posted on facility websites, EPA identified several areas at
active facilities where CCR is managed outside of a regulated unit and
is identified as a source of one or more Appendix IV SSL(s). The
following facilities are examples of situations in which such areas
have been identified as the source of an SSL and therefore support
EPA's determination that such areas warrant regulation under RCRA
section 4004(a).
James H Campbell Power Plant, West Olive, Michigan
The JH Campbell Power Plant, owned and operated by Consumers Energy
Company, is located within a mile of Lake Michigan. The facility has
five regulated CCR units, including three CCR surface impoundments
(Pond A, Bottom Ash Ponds 1-2, and Bottom Ash Pond 3) and two CCR
landfills. The ``wet ash ponds area'' is approximately 267 acres and is
bounded by perimeter dikes with a system of internal dikes separating
the individual ash ponds. In addition to the five regulated CCR units,
there are at least seven other unregulated, unlined ``closed''
impoundments \65\ that ceased placement of waste prior to October 19,
2015, do not have an engineered cap nor vegetative cap, and have a
closure plan that was approved by the State. Based on the groundwater
monitoring report reviews, there were SSIs over background at many
wells at all units and some had an SSL for arsenic and selenium. At
Pond A, which closed with waste in place in 2019, there are SSIs for
boron and sulfate, and SSLs were identified for arsenic (13 [micro]g/L
[MCL of 10 [micro]g/L]) and selenium \66\ (143 [micro]g/L [MCL of 50
[micro]g/L]) for which an assessment of corrective measures was
completed, and the selected remedy is source removal and final cover as
the primary corrective action. In the 2021 Annual Groundwater
Monitoring and Corrective Action Report posted in January 2022,
Consumers Energy concluded there was an ASD for Pond A and said,
``Increases in Appendix III constituents (e.g. boron) and direct
exceedances of the selenium GWPS in JHC-MW-15011, JHC-MW-15010, JHC-MW-
15009, and JHC-MW-15008R that have not yet resulted in a statistically
significant exceedance suggest a detectable influence from the
immediately adjacent, upgradient, closed, pre-existing CCR units on-
site. The closed, preexisting units are not regulated under the RCRA
CCR Rule, but remedial action is being taken under Consent Agreement
WMRPD No. 115-01-2018. A [remedial action plan] for these units was
submitted to [Michigan's Department of Environment, Great Lakes, and
Energy] on September 30, 2021.'' During the 2021 groundwater monitoring
period for Bottom Ash Ponds 1-2, which closed by removal in 2018, SSIs
were identified for boron, calcium, chloride, pH, sulfate, and total
dissolved solids (TDS); also, one SSL was identified for arsenic (38
[micro]g/L [MCL of 10 [micro]g/L]).\67\ An assessment of corrective
measures has been completed for the CCR unit and the primary selected
remedy is source removal and final cover. Consumers Energy also said in
the 2022 semiannual progress report that the facility is reevaluating
the groundwater ``monitoring system for [Bottom Ash] Ponds 1-2 to more
accurately account for the influence from the closed, pre-existing
units.''
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\65\ These ``closed'' impoundments (Pond B, Pond C, Pond D, Pond
F, Pond G (G1 and G2), Pond H, and Pond K) are listed in a figure on
page 12 of the 2021 Annual Groundwater Monitoring and Corrective
Action Report, JH Campbell Power Plant Pond A, January 2022,
Prepared for Consumer's Energy.
\66\ JH Campbell Semiannual Progress Report--Selection of
Remedy, Ponds 1-2 North and 1-2 South, and Pond A, July 30, 2022.
Pages 3-4.
\67\ Annual Groundwater Monitoring and Corrective Action Report,
JH Campbell Power Plant Ponds 1-2 North and 1-2 South, January 2022,
Prepared for Consumers Energy. Page 23.
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New Castle Generating Station, Pennsylvania
GenOn Power Midwest LP (GenOn) operates the New Castle Generating
Station located in West Pittsburg, Pennsylvania. The New Castle
Generating Station has two CCR units subject to the regulations--an
impoundment (North Bottom Ash Pond) and a landfill (New Castle Plant
Ash Landfill). Each of these CCR units has relevance to this proposal
due to other unregulated disposal units located adjacent to the
regulated CCR units.
The North Bottom Ash Pond was used for the management of bottom ash
until 2016 when the facility transitioned from coal to natural gas.
After the transition to natural gas, GenOn initiated closure of the
North Bottom Ash Pond by removing all waste from the impoundment.
Closure of the impoundment was certified in 2019.\68\ Groundwater
monitoring associated with the impoundment while the unit was operating
detected arsenic at SSL above the GWPS in all downgradient monitoring
wells.\69\ In accordance with the procedures in the regulations for CCR
units in 40 CFR 257.94(e)(2), GenOn determined that an alternative
source was responsible for these SSLs of arsenic. Specifically, the ASD
found that a 120-acre unlined CCR surface impoundment located
immediately adjacent to the North Bottom Ash Pond
[[Page 39039]]
was responsible for the arsenic concentrations in the downgradient
monitoring wells.\70\ According to the 2019 Annual Report prepared by
GenOn, there were SSLs for arsenic (0.087 mg/L [MCL of 10 [micro]g/L])
in the downgradient monitoring wells.\71\ Consequently, because the
SSLs of arsenic were attributed to another source (i.e., a former
unlined CCR surface impoundment), GenOn concluded it was not required
to remediate the arsenic contamination under the Federal CCR
regulations.
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\68\ CCR Compliance, Closure Certification Report, Closure by
Removal, New Castle North Bottom Ash Pond. June 2019.
\69\ Id. At 5.
\70\ Id.
\71\ CCR Compliance, Groundwater Monitoring and Corrective
Action Annual Report, New Castle North Ash Pond and Ash Landfill.
January 2020.
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GenOn also determined that there were SSIs above background levels
for multiple analytes at the New Castle Plant Ash Landfill (Ash
Landfill), which is the other regulated CCR unit at the New Castle
Generating Station. In its most recent annual groundwater monitoring
report in 2022, GenOn reported SSIs for boron, calcium, fluoride,
sulfate, and total dissolved solids.\72\ GenOn determined that an
alternative source was responsible for these analyte increases,
specifically pointing to an ``underlying historic ash impoundment and
other closed stages of the landfill.'' \73\ Prior to development of the
60-acre Ash Landfill, CCR was disposed in an impoundment from
approximately 1939 to 1978.\74\ After the impoundment was dewatered in
1978, dry CCR was disposed in this area in several stages of CCR
placement up until the time Ash Landfill began operation. Since 2018,
GenOn has attributed SSIs for boron, calcium, fluoride, sulfate, and
TDS to this historic disposal of CCR.
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\72\ CCR Compliance, Groundwater Monitoring and Corrective
Action Annual Report, New Castle Ash Landfill. December 2022.
\73\ Id. At 3.
\74\ New Castle Plant Ash Landfill--Annual CCR Unit Inspection
Report. January 16, 2018.
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Huntington Power Plant, Utah
The Huntington Power Plant in Huntington, Utah is owned and
operated by PacifiCorp and has one regulated unit, the Huntington CCR
Landfill. While conducting the required groundwater monitoring for the
Huntington CCR Landfill, there were SSLs for chromium, cobalt, lithium,
molybdenum, selenium, fluoride, and arsenic, so the owner or operator
conducted assessment of corrective measures. There is also a former
combustion waste landfill called the Old Landfill, which is located
northwest of the regulated Huntington CCR Landfill. The ACM report \75\
assumes the SSLs are the result of groundwater interactions with both
the Huntington CCR Landfill and the Old Landfill. Both landfills have
stormwater run-on from the area surrounding the landfill. This run-on
is routed around the landfills via diversion ditches and run-off from
the landfills itself is collected and retained in a sediment basin
north of the Huntington CCR Landfill. The facility is implementing a
remedy to address releases only from the regulated CCR Huntington
Landfill, but the remedy selection report \76\ does not appear to
address releases from the Old Landfill.
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\75\ Corrective Measures Assessment CCR Landfill--Huntington
Power Plant Huntington, Utah. May 2019.
\76\ Remedy Selection Report CCR Landfill--Huntington Power
Plant, Huntington, Utah. August 2020.
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J.B. Sims, Grand Haven, Michigan
The J.B. Sims Generating Station, owned and operated by Grand Haven
Board of Light and Power, is located on Harbor Island, north of Grand
Haven, Michigan. Harbor Island is bound to the north, east, and west by
the Grand River and to the south by the South Channel, tributaries of
Lake Michigan. The facility has two Federally regulated CCR units (Unit
1 & 2 and Unit 3), both of which are inactive, unlined surface
impoundments. Unit 1 & 2 is approximately 1.2 acres and includes areas
where, prior to October 19, 2015, CCR was placed in unlined
impoundments and used as fill in low-lying areas of adjacent wetlands.
Unit 3 is approximately 0.5 acres and was built on top of historically
placed CCR. The boundary of Unit 1 & 2 was updated in an agreement with
EPA and the State in January 2021,\77\ to include an area that received
CCR prior to 1978. Therefore, the groundwater monitoring network and
closure plan are currently being updated to reflect the new boundary
and better address contamination from historical CCR across the
units.\78\ Additionally, in March 2022, the State issued an enforcement
notice \79\ to J.B. Sims citing inadequate groundwater monitoring and
failure to address all areas where CCR were managed (e.g., stored,
placed) prior to disposal during the unit's operation. As such, the
facility is considering expanding Unit 3's groundwater monitoring
network. The units are often partially flooded, and groundwater
elevations and flow direction are influenced by precipitation and water
levels in the Grand River and the South Channel.
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\77\ The meeting between Grand Haven Board of Light and Power,
the State, and EPA during which the new boundaries for Unit 1 & 2
were agreed to is discussed on page 3 (PDF page 10) of the 2021
Annual Groundwater Monitoring & Corrective Action Report by Golder
Associates. January 28, 2022.
\78\ Letter to Grand Haven Board of Light and Power-Update To
The October 14, 2019 J.B. Sims Generating Station Inactive Units \1/
2\ Impoundment And Unit 3 Closure Plan--Interim Conditions For
Closure. October 22, 2021.
\79\ The State of Michigan, Department of Environment, Great
Lakes, and Energy (EGLE) issued an enforcement notice via email
March 22, 2022, to Grand Haven Board of Light and Power, J.B. Sims.
---------------------------------------------------------------------------
Based on groundwater monitoring report reviews, both units have had
SSIs and SSLs since groundwater monitoring was initiated in 2017.
During 2021, both Unit 1 & 2 and Unit 3 had SSIs for all Appendix III
constituents and SSLs for arsenic (98 [micro]g/L [MCL is 10 [micro]g/
L]), chromium (270 [micro]g/L [MCL is 100 [micro]g/L]), cobalt (22
[micro]g/L [GWPS is 6 [micro]g/L], fluoride (13 mg/L [MCL is 4 mg/L]),
and lithium (2800 [micro]g/L [site-specific GWPS is 59 [micro]g/
L]).\80\ In December 2020, J.B. Sims submitted an ASD for Unit 3's 2019
SSLs for chromium, cobalt, fluoride, lead, and lithium, pointing to the
historic fill across the island as the source of the SSLs.
81 82 Furthermore, the Fourth Quarterly 2021 Monitoring
Report suggested the continued SSIs and SSLs at Unit 3 were due to
historical CCR fill beneath the unit, historical fill outside of Unit 1
& 2, and waste historically placed across the site.\83\ However, until
the groundwater monitoring networks are finalized, the extent of
groundwater contamination and the source of all contamination cannot be
determined. The assessment of corrective measures for both units began
in February 2019 and is ongoing, pending finalization of the
groundwater monitoring networks. Based on groundwater monitoring
reports, EPA has found that due to the fluctuations in groundwater
elevations in response to precipitation and nearby surface water
levels, portions of the facility, including Unit 1 & 2, can be
inundated or partially in contact with groundwater.
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\80\ SSL concentrations can be found in Appendix B (PDF page
512) of the 2021 Groundwater Monitoring & Corrective Action Report
prepared by Golder Associates on behalf of Grand Haven.
\81\ 2020 Alternate Source Demonstration J.B. Sims Generating
Station--Unit 3 Impoundments Submitted to: Grand Haven Board of
Light and Power Submitted by Golder Associates Inc. December 28,
2020.
\82\ Technical Memorandum to Michigan Department of Environment,
Great Lakes, and Energy-Unit 3 Impoundments Alternate Source
Demonstration Response Grand Haven Board Of Light And Power--JB Sims
Power Generating Station. February 12, 2020.
\83\ Memorandum to Michigan Department of Environment, Great
Lakes, and Energy- Fourth Quarter 2021 Monitoring Report, Former JB
Sims Generating Station, Unit 3 A&B Impoundments--Response to
Comments. March 8, 2022.
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[[Page 39040]]
b. Examples of CCRMU With Identified SSIs
Under the existing CCR regulations, when a facility determines
there is an SSI for one or more Appendix III constituents and completes
a successful ASD showing that a source other than the regulated unit is
the cause of the SSI(s), the facility is not required to initiate
assessment monitoring for that particular constituent. 40 CFR
257.94(e). Through ASD reviews, EPA identified several areas at active
facilities where CCR was managed outside of a regulated unit and was
identified as a source of one or more Appendix III SSI(s). As such, any
groundwater contamination from these potential CCRMU have not been
investigated under the existing Federal CCR regulations. The following
facilities are examples of situations in which potential CCRMU have
been identified as the source of an SSI and demonstrate the need to
regulate CCRMU.
Reid Gardner Generating Station, Moapa Valley, Nevada
Reid Gardner Generating Station (Reid Gardner), owned and operated
by NV Energy, is located adjacent to the Muddy River and the Moapa Band
of Paiutes reservation, approximately 45 miles northeast of Las Vegas.
Reid Gardner has seven regulated CCR units: four unlined inactive
surface impoundments (Pond 4B-1, Pond 4B-2, Pond 4B-3, and Pond E-1),
two active unlined surface impoundments (Pond M-5 and Pond M-7), and
one partially lined landfill (Mesa Landfill). The inactive surface
impoundments covered 47 acres and were closed by removal in 2017.\84\
The inactive surface impoundments were constructed in 2003 (Pond E-1)
and 2006 (Pond 4B-1, Pond 4B-2, and Pond 4B-3) to replace four of the
eleven historical unlined evaporation ponds located at the facility
that made up the evaporation pond complex (Pond 4A, Pond 4B-1, Pond 4B-
2, Pond 4B-3, Pond 4C-1, Pond 4C-2, Pond D, Pond E-1, Pond E-2, Pond F,
and Pond G).\85\ The evaporation pond complex was built within the
Muddy River floodplain and used from approximately 1974 until
approximately 2002 to evaporate CCR and other process wastewaters from
the facility. The two active surface impoundments (Ponds M-5 and M-7)
were constructed in 2010 approximately 0.75 miles south of the
historical evaporation ponds and cover 28 acres. Mesa Landfill was
constructed and operational prior to the 2015 CCR Rule and has a
surface area of roughly 252 acres.
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\84\ Reid Gardner Generating Station Inactive Coal Combustion
Residual Surface Impoundments Ponds 4B-1, 4B-2, 4B-3, and E-1
Closure Certification, April 2019.
\85\ Construction History, Pond E1, Reid Gardner Generating
Station. April 11, 2018.
---------------------------------------------------------------------------
Based on groundwater monitoring report reviews, the inactive
surface impoundments had no Appendix III SSIs above their established
background concentrations during the detection monitoring event in
2019.86 87 88 89 90 91 However, the inactive surface
impoundments did have Appendix IV constituent concentrations above the
standard GWPS, including arsenic (2.52 mg/L [MCL is 0.01 mg/L]),
cadmium (0.0072 mg/L [MCL is 0.005 mg/L]), cobalt (242 [micro]g/L
[standard GWPS is 6 [micro]g/L]), fluoride (35.4 mg/L [MCL is 4.0 mg/
L]), lithium (27,300 [micro]g/L [standard GWPS is 40 [micro]g/L]),
molybdenum (6,390 [micro]g/L [standard GWPS is 100 [micro]g/L]),
selenium (0.204 mg/L [MCL is 0.05 mg/L]), thallium (0.026 mg/L [MCL is
0.002 mg/L]), and radium 226 & 228 combined (8.02 pCi/L [MCL is 5 pCi/
L]). Ponds M-5 and M-7 and the Mesa Landfill have had SSIs for fluoride
every year of detection monitoring for which ASDs have been performed
pointing to natural variation in groundwater
quality.92 93 94 95 96 97 ASDs were also performed for SSIs
at Mesa Landfill for pH (2019 and 2021) and turbidity (2020 and 2021)
that attributed the SSIs to natural variation in groundwater quality.
Therefore, since ASDs have been performed for all SSIs and the active
units, Reid Gardner has not moved from detection monitoring to
assessment monitoring. The facility also claims the historical, co-
located evaporation ponds are the source of groundwater contamination
in the area and not the CCR-regulated units. Specifically, in the
closure certification for the inactive surface impoundments, the
facility points to documentation as far back as the 1980s that describe
seepage from Pond D, the historical Pond E-1 and E-2, Pond F, and Pond
G and leakage at an estimated rate of 50 acre-feet/year from Ponds 4C-1
and 4C-2 and historical Ponds 4B-1, 4B-2, and 4B-3.
---------------------------------------------------------------------------
\86\ Reid Gardner Generating Station Inactive CCR Surface
Impoundment E-1. Coal Combustion Residual 209 Annual Groundwater
Monitoring and Corrective Action Report. July 31, 2019.
\87\ Reid Gardner Generating Station Inactive CCR Surface
Impoundments 4B-1, 4B-2, and 4B-3. Coal Combustion Residual 2019
Annual Groundwater Monitoring and Corrective Action Report. Revision
1. May 14, 2020.
\88\ Reid Gardner Generating Station Mesa Impoundments M5 and M7
Coal Combustion Residual 2019 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source Demonstration. January
31, 2020.
\89\ Reid Gardner Generating Station Mesa Impoundments M5 and M7
Coal Combustion Residual 2020 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source Demonstration. January
29, 2021.
\90\ Reid Gardner Generating Station Mesa Impoundments M5 and M7
Coal Combustion Residual 2021 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source Demonstration. January
28, 2022.
\91\ Alternate Source Demonstration and Addendum to the Coal
Combustion Residual 2017 Annual Groundwater Monitoring and
Corrective Action Report Reid Gardner Generating Station Mesa CCR
Surface Impoundments (Ponds M5 and M7). Prepared for NV Energy.
April 13, 2018.
\92\ Reid Gardner Generating Station Mesa Landfill Coal
Combustion Residual 2018 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source Demonstration. January
31, 2019.
\93\ Reid Gardner Generating Station Mesa Impoundments M5 and M7
Coal Combustion Residual 2018 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source Demonstration. January
31, 2019.
\94\ Reid Gardner Generating Station Mesa Landfill Coal
Combustion Residual 2019 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source Demonstration. January
31, 2020.
\95\ Reid Gardner Generating Station Mesa Landfill Coal
Combustion Residual 2020 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source Demonstration. January
31, 2021.
\96\ Reid Gardner Generating Station Mesa Landfill Coal
Combustion Residual 2021 Annual Groundwater Monitoring and
Corrective Action Report and Alternate Source Demonstration. January
28, 2022.
\97\ Alternate Source Demonstration and Addendum to the Coal
Combustion Residual 2017 Annual Groundwater Monitoring and
Corrective Action Report Reid Gardner Generating Station Mesa
Landfill. Prepared for NV Energy. April 13, 2018
---------------------------------------------------------------------------
Seminole Electric Cooperative, Florida
Seminole Electric Cooperative (Seminole) operates the Seminole
Generating Station located in Palatka, Florida. For CCR that is not
beneficially used, CCR is disposed at the facility in a landfill
(Increment One Landfill), which is subject to the CCR regulations. This
CCR landfill is a double-lined landfill with a leachate collection
system and, because part of the Increment One Landfill overlaps with
the side-slope of a former, Federally unregulated landfill, the liner
system also includes a high-density polyethylene geomembrane where the
two units interface.\98\ Seminole determined there were SSIs above
background levels for multiple analytes in one or more monitoring wells
at the downgradient waste boundary in 2018, including SSIs for boron,
calcium, chloride, sulfate, and TDS. Seminole determined that one or
more alternative sources were responsible for these analyte increases.
These sources include
[[Page 39041]]
former test cells (i.e., areas where CCR was placed in the 1980s for
purposes of construction evaluations that are now located beneath the
Increment One Landfill), a former CCR landfill adjacent to the
Increment One Landfill, and several process water ponds next to the
Increment One Landfill.\99\ Since 2018, Seminole has attributed SSIs
for these analytes to these alternative sources and therefore, has not
moved from detection monitoring to assessment monitoring.
---------------------------------------------------------------------------
\98\ Seminole Generating Station Increment One Landfill Annual
Groundwater Monitoring and Corrective Action Report. January 31,
2019.
\99\ Id. at 20.
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R.M. Schahfer Generating Station, Indiana
The R.M. Schahfer Generating Station, owned and operated by
Northern Indiana Public Service Company, LLC (NIPSCO), has several CCR
units subject to the regulations, including several CCR impoundments
and a CCR landfill consisting of multiple cells or phases of operation
(``Landfill''). The Landfill is of particular relevance to this
proposal because includes three cells subject to Federal CCR
regulations (Phases V through VII) and four landfill cells that are not
(Phases I through IV). In the course of conducting the required
groundwater monitoring for the regulated cells of the Landfill, in
January 2018, NIPSCO determined that there were SSIs above background
levels for all seven analytes in Appendix III at one or more monitoring
wells at the downgradient waste boundary of the regulated CCR units.
This included SSIs for boron, calcium, chloride, fluoride, pH, sulfate,
and TDS.\100\ Through procedures laid out in the regulations for
regulated CCR units in 40 CFR 257.94(e)(2), NIPSCO determined that
these groundwater SSI impacts were not due to a release from the
regulated CCR landfill cells, but instead were attributable to another
source. Specifically, NIPSCO has concluded that ``a release from the
non-regulated, unlined portions of the landfill, Phases 1 and II, is
the source of the identified SSIs.'' \101\ Subsequent groundwater
monitoring of the regulated Landfill cells since 2018 continues to
identify SSIs and NIPSCO continues to attribute those impacts to
releases from the unregulated Phase I and II cells.\102\
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\100\ 2018 Annual Groundwater Monitoring and Corrective Action
Report--Landfill Phase V and Phase VI, NIPSCO R.M. Schahfer
Generating Station. January 31, 2019.
\101\ Northern Indiana Public Service Company, R.M. Schahfer
Generating Station, Wheatfield, Indiana, Schahfer Landfill Phase V
and Phase VI, Alternative Source Demonstration. April 13, 2018.
Begins on PDF page 20 of the 2018 Annual Groundwater Monitoring and
Corrective Action Report--Landfill Phase V and Phase VI. April 13,
2018.
\102\ 2021 Annual Groundwater Monitoring and Corrective Action
Report, Landfill Phase V, Phase VI, and Phase VII, NIPSCO LLC R.M.
Schahfer Generating Station. January 31, 2022.
---------------------------------------------------------------------------
Landfill Phase I is a 20-acre unlined cell that received CCR (flue
gas desulfurization materials and fly ash) between 1984 and 1991 and
subsequently closed with a final cover system in 1999. Phase II of the
Landfill is an unlined 42-acre cell where flue gas desulfurization
materials and fly ash were disposed between 1991 to 1998. The Phase II
cell was closed with a final cover system in 1998. CCR landfills such
as the Phase I and II cells are not regulated by the existing
regulations because the cells have not received CCR on or after October
19, 2015. As a result, NIPSCO has not been required under the existing
Federal CCR regulations to investigate further and remediate as
necessary groundwater impacts from the unlined Phase I and II cells.
Waukegan Generating Station, Illinois
An example of CCR used as fill on-site is Midwest Generation's
Waukegan Generating Station in Waukegan, Illinois. There are two CCR
surface impoundments named the East Ash Pond and West Ash Pond, which
were used interchangeably during the facility's operational history and
have a multi-unit groundwater monitoring system. The East Ash Pond has
a surface area of 9.8 acres with a storage capacity of 184,000 cubic
yards. The West Ash Pond has a surface area of 10 acres with a storage
capacity of 223,000 cubic yards. According to the 2018 Annual
Groundwater Monitoring and Corrective Action Report, there was
detection of SSIs over background for Appendix III constituents,
including pH and sulfate.\103\ An ASD was completed that claimed other
potential historic sources were the cause of the SSIs. In the 2019
Annual Groundwater Monitoring and Corrective Action Report, an ASD for
Appendix III constituents identified calcium and TDS with the same
claim that other potential historic sources were the cause of the
SSIs.\104\ The ASDs discuss that the downgradient monitoring wells were
installed within the berms for the surface impoundments that consisted
of a ``mixture of fill and beneficially reused coal combustion by-
product''.105 106 The 2018 ASD also notes that a upgradient
well, MW-05 which is not a part of the CCR groundwater monitoring
network, has substantially higher sulfate and boron concentrations than
the downgradient wells suggesting an upgradient source. Furthermore,
the 2019 ASD mentions that the fluctuating TDS concentrations at
downgradient well MW-16 are correlated to fluctuations in TDS at MW-05
further suggesting an upgradient source. While these ASDs suggest that
the sources may be CCR within the berms and a upgradient source they do
not analyze these potential sources to verify the claims. EPA did
verify that the boring logs for groundwater monitoring wells MW-01
through MW-05 and MW-16 show they were installed within 11 to 20 feet
of CCR in the berms surrounding the surface impoundments.\107\ In
addition, construction drawings in the history of construction show
``existing fill'' or CCR was used in the construction of the surface
impoundment access ramps and underneath the surface impoundments
liners.\108\ The facility continued to use the ASDs for SSIs in 2020
and 2021, therefore, the surface impoundments remain in detection
monitoring.
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\103\ 2018 Waukegan Generating Station Annual GWMCA Report,
Appendix B, PDF pg. 100. January 2019.
\104\ 2019 Waukegan Generating Station Annual GWMCA Report,
Appendix B, PDF pg. 100. January 2020.
\105\ 2020 Waukegan Generating Station Annual GWMCA Report.
January 2021.
\106\ 2021 Waukegan Generating Station Annual GWMCA Report.
January 2022.
\107\ Waukegan boring well logs.
\108\ October 2016, Waukegan Generating Station History of
Construction.
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White Bluff Steam Electric Station, Arkansas
The White Bluff Steam Electric Station in Redfield, Arkansas is
owned or operated by Entergy and has three CCR units: two CCR surface
impoundments (A Recycle Pond/South Pond and B Recycle Pond/North Pond);
and one CCR landfill (Existing CCR Landfill Cells 1-4). CCR previously
was disposed in a 20-acre ravine,\109\ which was closed and covered in
accordance with the original facility State-issued permit. The active
landfill was then built on top of, and adjacent to, the unlined, closed
landfill. In 2018, the facility conducted intrawell monitoring of the
groundwater at the facility and SSIs for pH, calcium, TDS, and boron
were detected. An ASD was completed and determined that the sources of
the SSIs were: (1) Releases from portions of the Coal Ash Disposal
Landfill (CADL) closed before the effective date of the CCR Rule
(October 19, 2015); (2) Surface water that has come into contact with
on[hyphen]site CCR and has migrated into the subsurface; and/or (3)
Natural variation
[[Page 39042]]
in groundwater quality. Therefore, the landfill remains in detection
monitoring.
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\109\ Entergy Arkansas, LLC White Bluff Steam Electric Station
Landfill Cells 1-4 2021 Annual Groundwater Monitoring and Corrective
Action Report. January 31, 2022.
---------------------------------------------------------------------------
c. Examples of CCRMU With Identified SSIs or SSLs From Comments
EPA received several comments about potential damage cases from
CCRMU. In addition, many comments provided additional potential CCRMU
but evidence of a thorough groundwater quality investigation in this
area was not presented. If there are monitoring wells at the facility,
the wells are not sufficient to characterize groundwater impacts from
the CCRMU. Therefore, due to lack of data, EPA and the commenters could
not definitively determine if certain unregulated placement of CCR at
facilities is a CCRMU or if the CCRMU could be potential damage cases.
EPA presents the following additional examples of CCRMU that have
adequate groundwater monitoring to show impacts.
Brandywine Ash Management Facility, Maryland
The Brandywine Ash Management Facility in Prince George's County,
Maryland has a 217-acre CCR landfill. It is operated by GenOn MD Ash
Management, LLC. CCR has been landfilled at the facility since
approximately 1971. As of 2018, an estimated 6.8 million cubic yards,
or 7 billion kilograms, of CCR were placed at the site. CCR at
Brandywine has contaminated groundwater and surface water, leading to
legal action by the State of Maryland. A 2013 Consent Decree resulted
in the development of a Corrective Measures Plan and a Nature and
Extent of Contamination Study.110 111 According to the
Consent Decree, ``The original design of the disposal cells and
operation of the disposal areas. . .has resulted in some leachate
escaping the disposal cells via groundwater and constructed outfalls
and entering surface waters . . .'' \112\
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\110\ Consent Decree, State of Maryland et. al v. Genon MD Ash
Management, LLC (No. 8:12-cv-03755-PJM, D. Md., May 1, 2013).
\111\ Id.
\112\ Id.
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``Based on a review of the quarterly Discharge Monitoring Reports .
. . and other quarterly and annual monitoring reports submitted by
GenOn, [Maryland Department of the Environment (MDE)] has determined
that wastewater discharges from monitoring points at Brandywine have at
times exceeded ambient surface water quality standards for cadmium and/
or selenium. MDE has also determined that leachate has entered
groundwater and is causing the [maximum contaminant level (MCL)] for
cadmium to be exceeded at times at certain groundwater monitoring
points, as were federally recommended secondary standards for
manganese, sulfate, iron, [total dissolved solids (TDS)], aluminum and
chloride.'' \113\
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\113\ Geosyntec Consultants. 2018. 2017 Annual Groundwater
Monitoring And Corrective Action Report, Brandywine Ash Management
Facility Phase II, Brandywine, Maryland. Prepared for GenOn MD Ash
Management. January.
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This broader context related to State law--which is absent from
documents submitted pursuant to the 2015 CCR Rule--is important for
understanding the complexity of the Brandywine site and its impacts.
For example, unsafe lithium levels hundreds of times higher than the
default GWPS in the 2015 CCR Rule have been documented at groundwater
monitoring wells, as have unsafe molybdenum levels up to approximately
80 times higher than its default GWPS. Some of these unsafe levels are
found in monitoring wells not included in the network used to
demonstrate compliance with the Federal CCR Rule.\114\
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\114\ Earthjustice et al. Legacy Proposal Comment Appendix VI.
EPA-HQ-OLEM-2020-0107-0368.
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The Brandywine site includes four areas of interest: Historical
Area 1, Historical Area 2, Phase I, and Phase II.115 116
Because these four areas are all part of a single landfill and in some
cases overlap, they should have all been subject to the 2015 CCR Rule--
even though three of the areas were closed before the rule took effect.
In its filings to comply with the 2015 CCR Rule, GenOn has treated the
Historical Area 1, Historical Area 2, and Phase I areas as unregulated
units and has pointed to these areas as the source of pollution in its
ASDs. For this reason, the site has remained in detection monitoring
through at least 2021.\117\
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\115\ Geosyntec Consultants. 2018. Nature and Extent of
Contamination Study, Final Report, Brandywine Ash Management
Facility, Brandywine, Maryland. Prepared for GenOn MD Ash
Management. June.
\116\ Geosyntec Consultants. 2018. Corrective Measures Plan,
Brandywine Ash Management Facility, Brandywine, Maryland. Prepared
for GenOn MD Ash Management. June.
\117\ Geosyntec Consultants. 2022. 2021 Annual Groundwater
Monitoring and Corrective Action Report, Federal CCR Rule,
Brandywine Ash Management Facility, Phase II, Brandywine, Maryland.
Prepared for GenOn MD Ash Management. January.
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Bull Run Fossil Plant, Tennessee
The Bull Run Fossil Plant is owned and operated by Tennessee Valley
Authority (TVA) in Clinton, Tennessee and has two unregulated CCR
landfills. Groundwater monitoring results show the landfills have been
leaching arsenic, boron, cobalt, manganese, and molybdenum into the
groundwater for decades, resulting in groundwater that exceeds health
standards for these toxins by many times. In addition, a portion of one
of the landfills, the Dry Fly Ash Stack, is not regulated by the 2015
CCR Rule as it ceased receipt of CCR in 2015 an interim soil cover was
placed on Phase 2, and in accordance with a permit issued by the
Tennessee Department of Environment and Conservation, it will be closed
in conjunction with the currently operating Dry Fly Ash Stack Lateral
Expansion.\118\ Among other things, the 2023 Bull Run Environmental
Assessment Report states that the Dry Fly Ash Stack contains 3.7
million cubic yards of coal ash, and shows that lithium and molybdenum
in downgradient groundwater exceed groundwater screening levels by at
least an order of magnitude.\119\
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\118\ Tennessee Valley Authority. Bull Run Environmental
Assessment Report. Appendix D-CCR Management Unit Cross Sections.
August 2023.
\119\ Tennessee Valley Authority. Bull Run Environmental
Assessment Report. Bull Run Fossil Plant, Clinton, Tennessee. August
2023.
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Hennepin Power Station, Illinois
The Hennepin Power Station in Hennepin, Illinois has five CCR units
including four CCR surface impoundments (Ash Pond No. 2, East Ash Pond,
Old West Ash Pond, and Old West Polishing Pond) and one CCR landfill
(CCR Landfill). The East Ash Pond System includes Ash Pond No. 2, the
East Ash Pond, and Ash Pond No. 4, which were built on top of historic
CCR fill.\120\ Ash Pond No. 4 was a 30-foot-deep gravel quarry where
coal ash fill was disposed in the mid-1980s.\121\ Groundwater
downgradient of the East Ash Pond System, showed concentrations of
sulfate and boron that exceeded State groundwater standards.\122\ The
groundwater was (and may still be) contaminated with coal ash
constituents.\123\
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\120\ U.S. EPA, Damage Case Compendium, Technical Support
Document, Vol. IIa: Potential Damage Cases (Reassessed, Formerly
Published), Docket ID EPA-HQ-RCRA-2009-0640-12119 (Dec. 18, 2014) at
30, ns.110.
\121\ Id at 30.
\122\ Id at 30.
\123\ Id at 30.
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Will County Station, Illinois
The Will County Station in Romeoville, Illinois is owned and
operated by Midwest Generation Co. The facility has two CCR surface
impoundments, Ash Pond 2S and Ash Pond 3S. Ash Ponds 1N and 1S were
removed from service in 2010, and although they were not actively used
for
[[Page 39043]]
waste storage, they still contained at least one inch of water in 2019
and the base of these unlined impoundments are in contact with at least
one foot of groundwater.\124\ In addition, through borings taken at the
facility, historical CCR has been buried around the ash ponds, and the
Former Slag and Bottom Ash Placement Area has been identified at the
southeast corner of the station's boundary.
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\124\ Interim Opinion and Order, Sierra Club et al vs. Midwest
Generation, LLC, Illinois Pollution Control Board, June 20, 2019.
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When constructing the groundwater monitoring system in 2010 and
2011, well borings also showed a thick layer of CCR buried along the
eastern edge of the four ash ponds. MW-1, MW-2, MW-3, MW-4, and MW-6
show layers of fill between five and twelve feet thick containing
CCR.\125\ Historical topographic maps and aerial imagery document ponds
extending from north of Pond 1N to close to the southern property
boundary. These historical waste storage areas would have surrounded
the current regulated ponds and the area where CCR has been found
buried near the ponds. The topographic map and aerial imagery from 1962
show a large pond extending from north of Pond 1N to the southern
property boundary. In 1973, waste storage areas are present in the
vicinity of Ponds 2S and 3S and extend to the southern property
boundary. By 1980, waste areas are depicted south of Pond 3S and
surrounding Pond 1N. The series of unregulated ponds near the southern
property boundary south of Pond 3S are visible on available maps until
present day.126 127
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\125\ Id.
\126\ Earthjustice et al. Legacy Proposal Comment Appendix VI.
EPA-HQ-OLEM-2020-0107-0368.
\127\ Earthjustice Appendix II. Examples of historical satellite
imagery and topographic maps are included in Figure 23, Figure 24,
and Figure 25. EPA-HQ-OLEM-2020-0107-0368.
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Historical ash in fill near the ponds is in contact with
groundwater. Groundwater elevations fluctuate between 579 and 584 feet
above mean sea level in this area. CCR is buried at elevations as low
as 578.6 feet above mean sea level. MW-2 provides an example of ash in
contact with groundwater. The boring log completed during its
installation shows CCR down to 578.6 feet above mean sea level and the
groundwater elevation was at 580.6 feet above mean sea level, meaning
that at least two feet of groundwater was in contact with CCR at that
time. Groundwater measurements at this well commonly range from 582 to
584 feet, meaning three to five feet of CCR are routinely saturated
with groundwater near MW-2.\128\
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\128\ Interim Opinion and Order, Sierra Club et al vs. Midwest
Generation, LLC, Illinois Pollution Control Board, June 20, 2019.
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The Former Slag and Bottom Ash Placement Area is located at the
southeast corner of the Will County site. A Phase II Environmental Site
Assessment completed in 1998 identified this location as an ash
disposal area. Borings revealed coal ash mixed with gravel up to three
feet below the ground surface.\129\
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\129\ Id.
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Groundwater monitoring completed under the 2015 CCR Rule also
demonstrates groundwater contamination at Will County. SSIs for
chloride, fluoride, and TDS have been identified since the inception of
the monitoring program in 2017 and in 2022, SSLs for arsenic and
selenium were detected.\130\
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\130\ Earthjustice et al. Legacy Proposal Comment Appendix VI.
EPA-HQ-OLEM-2020-0107-0368.
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While the regulated ponds are likely contributing to groundwater
contamination, historical ash at the station is also a likely culprit.
Historical ash along the eastern boundary of the four ponds is not
capped or lined and is thus exposed to precipitation and groundwater.
The regulated and unregulated ponds are unlined and are in contact with
groundwater, making these units potential sources of groundwater
contamination. Groundwater contamination increases as it passes
through/under the ponds. Boron and sulfate concentrations doubled
between well MW-1 upgradient of Pond 1N and MW-7 downgradient of the
pond in monitoring data collected between 2010 and 2018.\131\
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\131\ Earthjustice et al. Legacy Proposal Comment Appendix VI.
EPA-HQ-OLEM-2020-0107-0368.
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ASDs also provide evidence of a contaminant source other than the
regulated ponds. An ASD completed in 2018 following SSIs for chloride,
fluoride, and TDS at the regulated units concluded that the SSIs were
from ``other potential sources'' and not from the regulated units.\132\
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\132\ Id.
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Groundwater monitoring during 2022 identified SSIs for boron,
calcium, chloride, fluoride, and TDS across the monitoring network.
SSLs for selenium at one well and arsenic at two wells were also
identified and resulted in initiation of an ACM for the site. Notably,
the two upgradient monitoring wells are contaminated. MW-06 had an SSI
for calcium and an SSI for boron and SSL for selenium were detected at
MW-05. These two upgradient wells are located along the eastern edge of
the ponds in the area known to contain buried ash. SSIs and SSLs in
downgradient wells indicate that the regulated ponds may also be
contributing to groundwater contamination.\133\
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\133\ Id.
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The ASD completed following identification of SSLs at regulated
Pond 2S and 3S determined that Pond 3S is likely contributing to
groundwater contamination. The ASD reported statistically significant
decreasing trends in chloride concentrations in both upgradient
monitoring wells and statistically significant increasing trends in
chloride concentrations in MW-09 and MW-11, both of which are
immediately downgradient of Pond 2S.\134\
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\134\ Id.
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The prevailing groundwater flow at the site is from the east to the
west across the ponds. Because historical ash is present along the
eastern boundary of the ponds, the current monitoring network is not
capable of accurately measuring groundwater contamination from each
potential source. Further, all the wells designated upgradient are
within the likely footprint of the historical CCR disposal area
described above. Thus, none of the wells can assess upgradient
groundwater quality accurately.
EPA Impoundment Assessments
Commenters provided additional reviews of EPA's impoundment
assessment reports that were conducted in 2011-2013. During the
impoundment assessments, EPA documented eight power plants with
historical ponds where coal dams were constructed in whole or part of
coal ash.\135\ These plants include six plants on EPA's list of
potential legacy CCR surface impoundments: Glen Lyn (VA), Hutsonville
(IL), Jefferies (SC), Muskigum River (OH), Philip Sporn (WV), and
Tanners Creek (IN). At two additional plants where historical ponds are
identified, Cape Fear (NC) and Frank E. Ratts (IN), EPA also found coal
ash used in the construction of the dams. The commenters included these
plants as additional potential CCRMU.
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\135\ EPA, Coal Combustion Residuals Impoundment Assessment
Reports (2014), https://www.epa.gov/sites/default/files/2016-06/documents/ccr_impoundmnt_asesmnt_rprts.pdf.
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2. Applicability and Definitions Related to CCR Management Units
EPA is finalizing new definitions and revising several existing
definitions necessary to implement the new requirements for CCRMU.
Specifically,
[[Page 39044]]
the final rule establishes new definitions for ``CCR management unit,''
``Contains CCR and liquids,'' ``Inactive CCR landfill,'' ``Liquids,''
and ``Regulated CCR unit'' and revises existing definitions for ``CCR
landfill or landfill,'' ``CCR unit,'' ``Operator,'' ``Owner,'' and
``State Director.'' Some of these definitions are discussed elsewhere
in the preamble.
EPA is also revising Sec. 257.50(d) to specify that part 257,
subpart D applies to CCRMU of 1,000 tons or greater, located at
facilities with a regulated CCR unit or active facilities without a
regulated CCR unit. That provision also applies to CCRMU greater than
or equal to one ton and less than 1,000 tons, located at active
facilities or facilities legacy CCR surface impoundment are only
subject to the requirements of the FER in Sec. 257.75 until a
permitting authority determines that regulation of these units, either
individually or in the aggregate, is warranted and determines the
applicable requirements. Under the 2015 CCR Rule, Sec. 257.50(d)
exempted from regulation those CCR landfills that had ceased receiving
CCR prior to October 19, 2015. This action amends the exemption
included in the 2015 CCR Rule.
The sections below briefly explain what EPA proposed, summarize the
public comments received, and provide the Agency's responses. The
Agency addresses new and revised definitions in the following order:
(1) CCR management unit; (2) CCR unit; (3) Owner and operator; and (4)
Conforming revisions to other existing definitions.
a. Definition of CCR Management Unit
EPA proposed to define a CCR management unit or CCRMU to capture
the solid waste management practices that have been demonstrated in the
2014 and 2024 Risk Assessments and the damage cases to have the
potential to contaminate groundwater. EPA proposed to define a CCRMU as
any area of land on which any non-containerized accumulations of CCR
are received, placed, or otherwise managed, that is not a CCR unit. EPA
explained in the proposed rule that the definition of a CCRMU is based
on the current definitions of a CCR pile--which is currently regulated
as a CCR landfill under part 257, subpart D--and of a CCR surface
impoundment, which both rely on the concept of ``accumulations of
CCR.'' See, 40 CFR 257.53 and 88 FR 32018.
EPA proposed that CCRMU would include historical solid waste
management units such as CCR landfills and surface impoundments that
closed prior to the effective date of the 2015 CCR Rule (October 19,
2015), as well as inactive CCR landfills (including abandoned piles).
The proposal stated that a CCRMU would also include any other areas
where the solid waste management of CCR on the ground has occurred,
such as structural fill sites, CCR placed below currently regulated CCR
units, evaporation ponds, or secondary or tertiary finishing ponds that
have not been properly cleaned up, and haul roads made of CCR if the
use does not meet the definition of beneficial use in Sec. 257.53. EPA
explained that all of these examples involved the direct placement of
CCR on the land, in sufficient quantities to raise concern about
releases of hazardous constituents, and--in most, if not all cases--
with no measures in place to effectively limit the contact between the
CCR and liquids, and subsequent generation and release of any leachate.
EPA acknowledged that the proposed definition was broad, but the
Agency did not intend that the placement of any amount of CCR would
necessarily constitute a CCRMU. Accordingly, EPA proposed that the
following would not be considered CCRMU: consistent with the current
regulations, closed or inactive process water ponds, cooling water
ponds, wastewater treatment ponds, and stormwater holding ponds or
aeration ponds. EPA explained that these units are not designed to hold
an accumulation of CCR, and in fact, do not generally contain a
significant amount of CCR. See, 80 FR 21357. EPA also explained,
consistent with the existing regulations, neither an area or unit at
which exclusively non-CCR waste is managed, nor any containerized CCR,
such as a silo, would be considered CCRMU because neither of these
units present conditions that give rise to the risks modeled in EPA's
assessment or identified in the damage cases. See, Id. at 21356.
For similar reasons, the Agency proposed that any CCR used in
roadbed and associated embankments would not be considered CCRMU. As
EPA explained in the 2015 rule the methods of application are
sufficiently different from CCR landfills that EPA cannot extrapolate
from the available risk information to determine whether these
activities present similar risks. Roadways are subject to engineering
specifications that generally specify CCR to be placed in a thin layer
(e.g., six to 12 inches) under a road. The placement under the surface
of the road limits the degree to which rainwater can influence the
leaching of the CCR. There are also significant differences between the
manner in which roadways and landfills can potentially impact
groundwater, such as the nature of mixing in the media and the leaching
patterns. First, CCR landfills are typically a homogenously mixed
system, and as a result, there are no spatial variations of the
chemical and physical properties of the media (e.g., bulk density,
hydraulic conductivity and contaminant concentration). By contrast,
roadways are generally constructed of several layers with different
material properties (heterogeneity). This difference affects the
hydraulic conductivity of a mass of CCR in a landfill, as compared to
CCR placed in an embankment. Any potential leaching will tend to spread
over the length of the embankment, as opposed to the leaching in a
downward motion that would occur in a homogenously filled landfill.
Finally, EPA is concerned that groundwater monitoring of a road may not
be practicable. However, even though EPA considers that the available
information does not demonstrate that use in roadbed present sufficient
risk to warrant the suite of requirements applicable to CCRMU, that
calculus changes in the event the CCR in roadbed is contaminating
groundwater. Accordingly, EPA proposed that if a facility subsequently
determines that the CCR in onsite roadbed is contributing to
contamination to the aquifer, the facility would be required to address
the contamination. For example, if during an ongoing corrective action,
a facility identifies the roadbed as an additional source of
contamination, it would be required to address that contamination as
part of the ongoing remediation of the aquifer. In addition, the
measures EPA proposed to require facilities to take would not be
expected to identify truly de minimis quantities of CCR. As discussed
in greater detail in the next section, EPA proposed that facilities
would only be required to identify accumulations if records confirm the
existence of the CCRMU or visual evidence of CCR placement on the
ground.
In addition, EPA proposed to define the term inactive CCR landfill
to mean an area of land or an excavation that contains CCR but that no
longer receives CCR on or after the effective date of this final rule
and that is not a surface impoundment, an underground injection well, a
salt dome formation, a salt bed formation, an underground or surface
coal mine or a cave. For purposes of this subpart, this term also
includes sand and gravel pits that received CCR and abandoned CCR
piles.
[[Page 39045]]
i. RCRA Authority
Some commenters contended that West Virginia v. EPA, 142 S. Ct.
2587, 2609 (2022) requires EPA to have clear congressional
authorization to regulate CCRMU, and that Congress has not provided EPA
with such authorization under either RCRA sections 4004(a) or 4005(d).
The commenters are incorrect. All of the requirements adopted in this
rulemaking to regulate CCRMU fall squarely within the authority
Congress delegated to the Agency in RCRA sections 1008(a)(3), 4004(a),
and 4005(d). Commenters' arguments to the contrary are based
misunderstandings of the statutory structure and EPA's historical
practice. The rule does not expand the scope of CCR regulation beyond
what Congress envisioned. Further, in large part, commenters' arguments
are premised on aspects of the proposal which have been revised in this
final action in response to comments. Although the revisions were not
necessary under West Virginia v. EPA (because EPA's exercise of
authority through this rule does not implicate a major question), the
revisions resolve many of the commenters' objections based on their
view of the major questions doctrine. EPA addresses the comments in
turn.
Some commenters based their claim that the regulation of CCRMU
presents a major question on the assertion that the proposal would
regulate an undefinable number of past CCR management and disposal
practices, ``irrespective of risk, location, or even whether such past
activities have been (or are currently being) addressed by state
governments or by EPA itself under other federal authorities.'' These
commenters claimed that the proposal has no bounds.
Just as an example, the Proposal would require operating power
generation facilities to identify every CCRMU within its boundaries,
even if located under existing structures critical to a plant's
energy production operations, and to ``close,'' and in many cases
reclose, those CCRMUs under the CCR rule's closure provisions. The
Proposal blithely ignores whether in fact such requirements could be
met, the associated costs, and the resulting interruption to power
generation activities that could be incurred in attempting to meet
these requirements.
These commenters also note that Congress's failure to include the
same authority for corrective action applicable to permitted hazardous
waste sites found in section 3004(u) under subtitle D demonstrates that
EPA lacks the authority to require CCRMU to comply with the part 257
corrective action and closure requirements.
Another commenter argued that the proposal ``would impermissibly
expand EPA's role in the Subtitle D statutory regime beyond the limited
role that Congress envisioned for the Agency'' based on their belief
that the Congressional intent behind the WIIN Act was ``to restore the
States to their historical, congressionally-intended lead role under
RCRA Subtitle D in the implementation and enforcement of solid waste
management programs.'' According to this commenter,
[w]hether or not EPA should have such a ``central role'' in the
regulation of CCR under RCRA Subtitle D--one that would allow the
Agency to assert federal jurisdiction over any area of land in any
state simply because the land was, at any time, used to manage any
non-containerized accumulation of CCR, regardless of whether the
land has been and is in compliance with applicable state
regulations--is a major policy question of significant national
economic and political magnitude that Congress has not clearly
delegated EPA the authority to address. . . At its core, EPA's
delegated RCRA Subtitle D authority entails only the authority to
promulgate guidelines and criteria, to be implemented by the States,
to prohibit open dumping and to ensure that units are classified as
sanitary landfills ``only if there is no reasonable probability of
adverse effects on health or the environment from disposal of solid
wastes at such facility. EPA's Proposal construes ``open dumps'' and
``sanitary landfills'' to now include historically state-regulated
solid waste management and resource conservation and recovery
practices that Congress never intended (clearly or otherwise) for
the Agency to regulate federally, as most recently evidenced by
Congress's definition of a ``sanitary landfill'' in the WIIN Act as
a CCR unit that complies with a state CCR permit, or a federal CCR
permit in a nonparticipating state, or the requirements of the CCR
Rule applicable to CCR units in the absence of a federal CCR
permitting program.
This commenter stated that the WIIN Act limited the reach of EPA's
authority to `` `CCR units,' as defined in the 2015 CCR Rule, i.e., to
`any CCR landfill, CCR surface impoundment, or lateral expansion of a
CCR unit, or a combination of more than one of these.' '' In addition,
the commenter argued that EPA lacks the authority to now regulate units
that were expressly exempted from regulation under the EPA regulations
that Congress specifically incorporated by reference in the WIIN Act.
According to this commenter, in 2015 EPA interpreted its RCRA Subtitle
D statutory authority to regulate, as ``CCR units,'' only existing and
new CCR landfills, existing and new CCR surface impoundments, and
inactive CCR surface impoundments at active facilities, and Congress
did not in 2016 grant the Agency any authority to regulate anything
else. The commenter further claimed that EPA has acknowledged that the
definition of a ``CCR unit'' does not include the areas of land that
EPA proposed to regulate as CCRMU. Finally, the commenter objected that
the proposal would regulate activities or sites that ``have
historically been regulated under state programs, per EPA approved
State Solid Waste Management Plans, and have closed or continued to
operate in accordance with the State's program and plan.''
EPA disagrees that the regulation of CCRMU under this final rule is
fairly characterized as an ``unprecedented'' expansion of authority
under RCRA Subtitle D or otherwise presents a major question under West
Virginia v. EPA, 142 S. Ct. at 2609. The commenters have
mischaracterized EPA's proposal, which largely just removes regulatory
exemptions adopted in 2015, and requires the owners and operators of
solid waste disposal units to clean up the contamination from their
disposal of solid waste (CCR). These are the same requirements that
apply to the currently regulated CCR landfills and CCR impoundments--
most of which are located at the same sites as the CCRMU regulated
under this final rule--and that Congress incorporated into RCRA in the
2016 WIIN Act. See, e.g., See, 42 U.S.C. 6945(d)(3), (6), (7). EPA has
imposed these types of requirements on these kinds of entities and
activities since 1980. Characterizing this as novel or unprecedented
fundamentally misstates both the nature of EPA's action and the
authority Congress delegated to the Agency in RCRA sections 1008(a)(3),
4004(a), and 4005(d).
(a) Types of Units and Activities Regulated
As an initial matter, these commenters have mischaracterized EPA's
statements about the extent of its authority under subtitle D. EPA
never stated that its authority was limited to the particular CCR units
regulated by the 2015 CCR Rule. The only citation the commenter
provides to support its assertion is 80 FR 21303, which is simply a
factual recitation of the CCR units covered by the 2015 CCR Rule. That
section contains no statement about EPA's authority to regulate; nor
does any other section of the 2015 CCR Rule preamble contain such a
statement.
Similarly, EPA never stated or in any way suggested in the May 2023
proposed rule that the existing regulatory definition of a CCR unit--
and by implication, the statutory term in 4005(d)--does not include the
``areas of land that EPA proposed to regulate as
[[Page 39046]]
CCRMUs.'' Based on the pages in the proposal that the commenter cites,
it appears the commenter was confused by EPA's explanation that it was
proposing to use two different terms to distinguish between: (1) the
CCR units that would be subject to all of the requirements in part 257
and (2) the CCR units that would subject to only a subset of the
existing requirements. EPA proposed to use the terms CCR unit and
CCRMU, respectively, to refer to these two categories of units. To
effectuate this, EPA proposed to revise the existing definition of a
CCR unit by adding a statement that CCR management units are not
covered by the definition. If the commenter were correct that EPA did
not consider CCRMU to be a type of CCR unit, EPA would not have needed
to revise the definition.
But to the larger point, the CCRMU regulated under this rule
clearly fall within RCRA sections 1008(a)(3), 4004(a) and 4005(d). In
essence, as the commenter recognizes, CCRMU are simply CCR landfills
and CCR surface impoundments that were not regulated by the 2015 Rule:
inactive CCR landfills, or CCR surface impoundments and landfills that
were closed prior to the effective date of the 2015 rule.\136\ As EPA
explained in the May 2023 proposal, the proposed definition of a CCRMU
was based on the existing definitions of a CCR pile--which is currently
included in the definition of a CCR landfill--and of a CCR surface
impoundment, which both rely on the concept of ``accumulations of
CCR.'' See, 40 CFR 257.53 and 88 FR 32018. And the record for this
rulemaking documents that the CCRMU regulated under this final rule
present risks at least as significant as the units regulated under the
2015 rule. CCRMU thus clearly are CCR units under both the regulations
and the statute. As the commenter itself notes, when the WIIN Act was
passed in 2016, and Congress incorporated the term CCR unit into the
statute, the 2015 CCR Rule defined (and still defines) a CCR unit as
``any CCR landfill, CCR surface impoundment, or lateral expansion of a
CCR unit, or a combination of more than one of these.'' 40 CFR 257.53
(emphasis added).
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\136\ The proposal described an additional category: any solid
waste management that involves the placement or receipt of CCR
directly on the land; such activities fall within the existing
definition of a CCR pile, which is in turn defined as a CCR
landfill.
---------------------------------------------------------------------------
The commenter relies heavily on the fact that CCRMU were exempt
under the 2015 CCR Rule; but that is ultimately irrelevant. First, as
noted above, CCRMU actually fall within the 2015 regulatory definition
of a CCR unit. More to the point, Congress did not define the term
``CCR unit,'' thereby leaving it to EPA develop a definition. Although
the WIIN Act incorporates the 2015 regulations into the statute,
Congress simultaneously made clear that EPA retains the authority to
modify or expand those requirements as necessary to ensure that the
standard in section 4004(a) will continue to be met. See, e.g., 42
U.S.C. 6945(d)(1)(A)(i), (3), (6) (referencing ``or successor
regulations promulgated pursuant to sections 6907(a)(3) and 6944(a) of
this title''). The commenters never acknowledge these provisions or
address their logical implications.
Instead, the commenters focus on two aspects of the CCRMU
definition to support their claims of an ``unprecedented expansion'':
(1) the proposal to define a CCRMU as ``any non-containerized
accumulation of CCR'' without limitation or threshold; and (2) the
regulation of ``any area of land'' on which CCR ``is received, placed,
or otherwise managed at any time.'' With the incorporation of the
thresholds in Sec. 257.50(d) the first issue has been rendered moot.
EPA has also deleted the phrase ``at any time'' from the CCRMU
definition. EPA had originally included that phrase to clarify that it
did not matter when the CCR was originally placed, received, or
otherwise managed, provided the CCR remained at the site. EPA deleted
the phrase from the final definition because, as the D.C. Circuit
explained, this concept is fully communicated by the phrase ``is
placed.''
Importantly, while the ``is'' retains its active present tense,
the ``disposal'' takes the form of a past participle (``disposed'').
In this way, the disposal itself can exist (it ``is''), even if the
act of disposal took place at some prior time . . . . Properly
translated then, an open dump includes any facility (other than a
sanitary landfill or hazardous waste disposal facility), where solid
waste still ``is deposited,'' ``is dumped,'' ``is spilled,'' ``is
leaked,'' or ``is placed,'' regardless of when it might have
originally been dropped off. See 42 U.S.C. 6903(3), (14).
901 F.3d at 440. The same logic applies to the phrases ``is
received'' and ``is otherwise managed.'' Including the phrase ``at any
time,'' is consequently at best redundant, and at worst confusing--as
demonstrated by the above comments.
In any event, these aspects of the CCRMU definition were either
taken directly from or largely mirror existing regulatory or statutory
definitions. The phrase ``any non-containerized accumulation of CCR''
appears verbatim in the existing ``CCR pile'' definition, which as EPA
previously explained, essentially mirrors the existing definition of a
``waste pile or pile'' from Sec. 257.2 (i.e., the regulation that
applied to CCR facilities prior to 2015), as well as the definition in
part 260 that has been in place since 1982. See 80 FR 21356. Compare,
Sec. Sec. 257.2, 257.53, and 260.10. More to the point, regulating the
placement of non-containerized \137\ CCR directly on any land is fully
consistent with RCRA's definition of disposal, which is defined in part
as the `` `placing of any solid waste or hazardous waste into or on any
land or water so that such solid waste or hazardous waste or any
constituent thereof may enter the environment or be emitted into the
air or discharged into any waters, including ground waters.'' 42 U.S.C.
6903(3) (emphasis added). Similarly, and as illustrated by the D.C.
Circuit decision quoted above, the phrase ``is received, is placed, or
is otherwise managed,'' flows from the statutory definition of an open
dump, which RCRA defines as ``any facility or site where solid waste is
disposed of . . . .'' 42 U.S.C. 6903(14) (emphasis added).
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\137\ The phrase ``non-containerized'' means that specific
measures to control exposures to human health and the environment
have not been adopted. See 80 FR 21356.
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EPA responds to comments about the ``any area of land'' portion of
the CCRMU definition in relevant portions of the discussions below.
(b) Extent of Requirements
The commenters complain that the proposal was ``virtually
unbounded'' as it would require operating power generation facilities
to identify every CCRMU within its boundaries, even if located under
existing structures critical to a plant's energy production operations,
and to ``close,'' and in many cases reclose, those CCRMUs under the CCR
rule's closure provisions. While EPA disagrees with the commenters'
characterization of the proposal, the final rule, in any event, is more
limited than the proposal, and is not unbounded. Under the final rule a
covered facility must still identify every CCRMU of one ton or more
within its boundaries, but groundwater monitoring, corrective action,
closure, and post-closure requirements apply only to CCRMU containing
at least 1,000 tons of CCR. Regulation of CCRMU between one and 1,000
tons is deferred to a subsequent permitting authority who will assess
the risks posed by these smaller CCRMU, individually and/or in the
aggregate, and determine which, if any, requirements are appropriate
for the CCRMU. In addition, this final rule defers the requirement to
demonstrate
[[Page 39047]]
compliance with Sec. 257.102 for CCRMU that closed prior to the
effective date of this rule in accordance with alternative,
substantially equivalent requirements. EPA is also deferring the
requirement to initiate closure where the CCRMU is located beneath
critical infrastructure, such as high power electric transmission
towers, air pollution control or wastewater treatment systems, or an
electrical substation until the infrastructure is no longer needed, a
permit authority determines closure is necessary to ensure that there
is no reasonable probability of adverse effects on human health or the
environment, or the closure or decommissioning of the facility,
whichever occurs first.
The commenters also objected to the imposition of corrective action
and closure obligations on disposal units that were closed in
accordance with State law or on areas where the State considered the
placement of CCR on the land to be beneficial use under State law. But
the regulation under subtitle D of closed or inactive disposal units or
of activities exempt under State law is neither novel nor
unprecedented. Indeed, many CCR units currently regulated under the
2015 CCR rule were inactive or exempt under State law. See, 80 FR
21322-21323, 21456. And in this case EPA is only extending the part 257
regulations to activities or placements of CCR that, as discussed
above, are already defined as ``disposal'' under Federal law--and that
the record demonstrates present risks exceeding the threshold for
regulation in section 4004(a).
Under section 4004(a), EPA is charged with issuing regulations to
address all ``reasonable probabilities of adverse effects'' (i.e., all
reasonably anticipated risks) to health and the environment from the
disposal of solid waste.\138\ The statute is clear that this includes
regulations to address the current risks from previous solid waste
management activities (including disposal). EPA explained at length the
basis for this conclusion as part of the Agency's rationale for
regulating inactive impoundments. See, 80 FR 21344-21345. See also
USWAG, et al. v. EPA 901 F.3d at 440. See also In re Consolidated
Consol. Land Disposal Regulation Litig., 938 F.2d 1386, 1389 (D.C. Cir.
1991) (EPA's reading of the term ``disposal'' in RCRA's Subtitle C, 42
U.S.C. 6924, to include ``the continuing presence of waste'' was
reasonable); USWAG, 901 F.3d at 453-54 (Henderson, J., concurring)
(same). By the same logic, these provisions authorize EPA to regulate
inactive landfills and closed disposal units that continue to pose
risks to health or the environment, for example by requiring the owners
and operators of such units to remediate any contamination from these
units, or to take action to prevent such contamination.
---------------------------------------------------------------------------
\138\ Although section 1008(a)(3) expands EPA's authority to
address the risks from any of the listed activities, the CCRMU
regulated under this final rule--consisting of CCR surface
impoundments and landfills (including CCR piles) only involve
disposal.
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The 2016 WIIN Act amendments reaffirmed EPA's authority over these
activities. In section 4005(d), Congress relied on the 2015
regulations, and expressly stated that the amendments were not intended
to limit or restrict the authority already provided under sections
1008(a)(3) and 4004(a). See, 42 U.S.C. 6945(d)(3), (6), (7). With these
amendments, Congress also affirmed the Agency's authority to impose the
kind of requirements established in part 257 (e.g., corrective action
to remediate groundwater contamination and closure to prevent it). This
rule simply extends many of those same requirements to additional areas
at which disposal of CCR is occurring--often at the same sites covered
by the original 2015 CCR Rule. Moreover, Congress made clear that EPA
retains the authority to modify or expand the requirements in the 2015
CCR rule as necessary to ensure that the standard in section 4004(a)
will continue to be met. See, e.g., 42 U.S.C. 6945(d)(1)(A)(i), (3),
(6) (referencing ``or successor regulations promulgated pursuant to
sections 6907(a)(3) and 6944(a) of this title''). None of the
commenters acknowledge these provisions or address their logical
implications.
Moreover, this rule requires CCR facilities to remediate only the
contamination associated with the disposal of CCR on site of a facility
with other currently regulated CCR disposal units. Although expanding
the corrective action obligations to other areas of CCR disposal on
site may seem similar to the facility wide corrective action
obligations applicable under the hazardous waste program--in that a
facility will be required to clean up all of the on-site contamination
caused by its disposal of CCR--the two requirements are not
commensurate. For example, in contrast to a clean up under 3004(u),
this rule does not require a facility to clean up any Appendix IV
constituent from any source on-site, such as a spilled commercial
product, unconnected to the solid waste (CCR) in the disposal unit.
Rather, this rule imposes the same unit specific obligations that CCR
facilities have been required to comply with since 2015, that were
clearly authorized under 4004(a) and that Congress effectively affirmed
in 2016 with the WIIN Act.
(c) Relationship to State Law
Finally, EPA disagrees that either the proposed or final rule
expands ``EPA's role in the Subtitle D statutory regime'' or otherwise
alters the Congressionally mandated relationship between EPA and the
States.
The fact that EPA regulation affects the status of activities or
units that were previously regulated under State law is precisely what
the statute authorizes. Even under the more limited authority conferred
upon the Agency prior to WIIN Act, EPA's subtitle D criteria
established minimum national standards with which facilities were
required to comply, irrespective of State law. See 80 FR 21310-21311.
Moreover, the commenter has misunderstood both the intent and
effect of the WIIN Act. Under the legal framework in place when the
2015 CCR rule was enacted,
EPA's delegated RCRA Subtitle D authority entails the authority
to promulgate guidelines and criteria, to be implemented by the
States, to prohibit open dumping and to ensure that units are
classified as sanitary landfills ``only if there is no reasonable
probability of adverse effects on health or the environment from
disposal of solid wastes at such facility
See 80 FR 21310-21311. Congress deliberately expanded EPA's role
under that framework in 2016 when it granted EPA the authority to
enforce the Federal criteria, issue permits in nonparticipating States,
and to establish the minimum national standards that are both
applicable directly to facilities and used to evaluate State programs.
The commenter's description of the section 4005(d)(6) definition of a
``sanitary landfill'' is similarly misleading. Congress did not define
a sanitary landfill as a CCR unit that complies with any State CCR
permit, but a State permit issued in accordance with an EPA approved
program. See 42 U.S.C. 6845(d)(6)(A)(i).
(d) Other Comments Concerning Authority To Regulate CCRMU
Other commenters stated that the proposed CCRMU definition exceeds
the Agency's authority under RCRA subtitle D because EPA has failed to
demonstrate that any amount of CCR placed anywhere on the land at any
time presents the level of risk necessary to warrant regulation under
section 4004(a). These commenters contend that the proposed CCRMU
definition unlawfully eliminates the concept of risk out of the
statutory definition of disposal. These commenters further asserted
that the authority to regulate
[[Page 39048]]
``solid waste management practices'' under section 1008(a)(3) similarly
does not authorize the regulation of any amount of CCR placed anywhere
on the land at any time. Finally, a commenter raised concern that the
proposed definition would encompass CCR used as fill material pursuant
to acts of Congress or validly issued Section 404 permits under the
Clean Water Act, which commenter alleged falls outside the scope of
RCRA.
EPA disagrees that it lacks the authority for any of the provisions
in this final rule. The record demonstrates that the CCRMU regulated
under the final rule meet the standard for regulation under section
4004(a). This rule is supported by two separate risk assessments; the
final rule adheres closely to the results, and regulates only the units
and activities that present risks that warrant regulation under
sections 1008(a)(3) and 4004(a). Further, the results of EPA's risk
assessments are consistent with the damage cases discussed in Unit
III.C.1 of this preamble.
As discussed at length in Unit III.A of this preamble, leakage from
CCRMU can adversely impact groundwater quality and pose risk to future
receptors in the range that EPA typically considers for regulation.
Closed and inactive landfills and surface impoundments pose
substantially the same levels of risk to offsite receptors as those
estimated in 2014 for currently regulated units. This is particularly
true if the unit has not been properly closed, e.g., lacks a final
cover system.
In response to comments received on the proposed rule raising
concerns about the adequacy of EPA's basis for regulating smaller
CCRMU, EPA modeled groundwater concentrations at the boundary of
smaller CCRMU fills to understand the potential for exceedance of GWPS
that would trigger corrective action. The results of that 2024 Risk
Assessment confirm that smaller CCRMU fills can pose risk to onsite
receptors and materially contribute to broader groundwater
contamination across the facility. In addition, depending on the
location of these fills, they can also pose risk to offsite receptors
that exceed the levels at which EPA normally regulates. On the whole,
this analysis identified the potential for both moderate and high-end
groundwater concentrations of molybdenum (among other Appendix IV
constituents) to exceed GWPS.
EPA conducted further sensitivity analysis to better understand
whether there is an amount below which there is no reasonable
probability of adverse impacts to groundwater quality. EPA remodeled
quantities of CCR between one ton and 78,000 tons to determine both the
risks associated with the potential for groundwater contamination and
radioactivity. EPA modeled only individual placements of CCR in these
quantities rather than the aggregate risks from the placement of
multiple small quantities of CCR co-located at the same site.
This analysis found that exceedances of the GWPS by a factor of as
much as 40 are still possible for placements below 1,000 tons of CCR.
Thus, such placements can meaningfully contribute to groundwater
contamination at these facilities, including, for example by adding two
contaminant plumes already present on site from larger placements, or
in the aggregate. Although further analysis of the results indicates
that there will be a tonnage that does not present a reasonable
probability of adverse effects to groundwater quality, EPA was unable
to identify that amount based on the available information. EPA
conducted no modeling below one ton; however all indications in the
existing data are that groundwater concentrations from individual
quantities below one ton are very unlikely to exceed GWPSs. In other
words, although EPA's modeling indicates that some amount between one
ton and 1,000 tons is likely below EPA's level of concern, EPA cannot
determine what that precise amount would be. It was not possible to
identify a limit much lower than 1,000 tons because too few model runs
were conducted at smaller amounts to support extrapolation.
To ensure that the final rule is consistent with the Agency's
authority under RCRA section 4004(a), this final rule incorporates
thresholds consistent with the results of its risk analyses.
Accordingly, the final rule only requires CCRMU containing 1,000 tons
or more of CCR to comply with the applicable requirements for CCRMU.
However, EPA estimated the risks associated with a 1,000 ton CCRMU
to be an HQ of 40, which exceeds the Agency's normal level of
acceptable risk by a significant margin. In addition, EPA's risk
assessment may underestimate the risks at some sites. EPA modeled the
risks associated with individual CCRMU of varying sizes, rather than
the aggregate risks associated with numerous smaller CCRMU across the
facility. It is possible that even though smaller CCRMU may not
individually give rise to levels of concern, the risks may be greater
when all of the CCRMU are considered together. According to many of the
commenters, it is common for multiple small CCRMU to be located at a
single facility. And although EPA's modeling estimated radiation risks
of concern at lower quantities, EPA's concerns were based on a future
residential use of the property (e.g., after clean closure of the
regulated units, but where smaller CCRMU remain on site). As several
commenters noted, current exposures at existing facilities
(occupational) are very different. To address these risks, as section
4004(a) requires, the final rule does not exempt CCRMU containing
between one and 1,000 tons of CCR, but defers the regulation of such
units to a permitting authority who will assess the risks posed by
these smaller CCRMU, individually and/or in the aggregate, and
determine which, if any, requirements are appropriate for the CCRMU to
ensure there will be no reasonable probability of adverse effects on
health or the environment. In order to facilitate this, the final rule
requires facilities to identify these smaller units as part of the FER,
so that this information can be submitted as part of their permit
application. The facility will also continue to monitor the regulated
units and larger CCRMU at the site, consistent with the requirements in
this rule and the existing regulations. To the extent that these
smaller unmonitored CCRMU are leaching contaminants and contributing to
groundwater plumes, that should become apparent as the facility
continues to monitor and conduct any necessary corrective action at the
currently monitored units.
EPA has codified these provisions in the ``Scope'' section of the
regulations, at Sec. 257.50(d). The provision reads as follows:
(1) This subpart applies to CCR management units of 1,000 tons
or greater, located at facilities with a regulated CCR unit or
active facilities without a regulated CCR unit.
(2) CCR management units greater than or equal to 1 ton and less
than 1,000 tons, located at facilities with a regulated CCR unit or
active facilities without a regulated CCR unit, are only subject to
the requirements of the facility evaluation report in Sec. 257.75
until a permitting authority determines that regulation of these
units, either individually or in the aggregate, is warranted and
determines the applicable requirements.
Finally, the commenter is mistaken that CCR used as fill material
pursuant to acts of Congress or validly issued CWA section 404 permits
under the State falls outside the scope of RCRA. To support its
allegation, the commenter references section 1006(a), claiming that
this ``expressly carves out any activity covered by 33 U.S.C. 1251 et
seq.'' But RCRA section 1006(a) does not bar EPA
[[Page 39049]]
from imposing requirements under one of the listed statutes and RCRA on
the same units and waste streams, unless those requirements are
inconsistent with a requirement in one of the statutes. 42 U.S.C.
6906(a). This is clear from the second sentence, which provides that
``such integration shall be effected only to the extent that it can be
done in a manner consistent with the goals and policies expressed in
this chapter and in the other acts referred to in this subsection,''
and thus expressly contemplates that there will be situations in which
EPA regulates under both RCRA and one of the listed statutes. Id. See,
Chemical Waste Management v. EPA, 976 F2d 2, 23, 25 (D.C. Cir. 1992).
Numerous courts have upheld this interpretation. See, Ecological
Rights Foundation v. Pacific Gas & Electric Co., 874 F.3d 1083, 1095
(9th Cir., 2017) (``RCRA's anti-duplication provision does not bar
RCRA's application unless that application contradicts a specific
mandate imposed under the CWA (or another statute listed in RCRA
section 1006(a))''); Goldfarb v. Mayor and City Council of Baltimore,
791 F.3d 500 510 (4th Cir. 2015) (The CWA must require something
fundamentally at odds with what RCRA would otherwise require to be
``inconsistent'' under 1006(a)); Edison Electric Institute v. EPA, 996
F.2d 326, 337 (D.C. Cir.1993) (rejecting ``generalized claim'' that EPA
action was barred under section 1006(a) because it interfered with
``the primary purpose'' of the Atomic Energy Act); U.S. v. E.I. du Pont
de Nemours & Co., Inc., 341 F.Supp.2d 215, 236 (W.D. N.Y. 2004)
(approving EPA action as ``not inconsistent'' under RCRA where CERCLA's
heightened standard would not be met by release of hazardous
substance). The commenter has identified no requirement in the Clean
Water Act that is inconsistent with EPA's regulation of CCRMU.
The same is true with respect to the commenter's contention
regarding acts of Congress. Although the commenter refers to ``acts of
Congress'' it cites only to 33 U.S.C. 59d. That provision of the Clean
Water Act states only that a particular area is not a water of the
United States, and authorizes the owner to place fill in the area.
The old channel of the River Raisin in Monroe County, Michigan,
lying between the Monroe Harbor range front light and Raisin Point,
its entrance into Lake Erie, is declared to be not a navigable
stream of the United States within the meaning of the Constitution
and the laws of the United States, and the consent of Congress is
hereby given for the filling in of the old channel by the riparian
owners on such channel.
Regulation of CCRMU neither contradicts a specific mandate nor is
fundamentally at odds with this provision, which does not require the
owner to place CCR in the old channel or grant the owner an exemption
from any requirement other than section 404 of the Clean Water Act.
ii. Subcategorization Is Appropriate for CCRMU Because CCRMU Are
Dissimilar
Commenters stated that the proposal groups all pre-2015 CCR Rule
disposal areas into one large category. According to the commenters,
this approach treats many different scenarios as a worst-case by
imposing burdensome requirements for all. Commenters provided examples
of potential subcategories, including: past CCR disposal varies based
on site location (close to a surface water body), geography (eastern vs
western sites), hydrology (flow variability/distance to uppermost
aquifer), regulatory status (State closed-units vs unaddressed CCR
sites), and historical CCR disposal areas currently used to harvest CCR
for beneficial use. By categorizing all these situations together, the
commenters claimed that EPA ignores the risk profiles of these
subcategories and forces actions not tailored to the issues at hand.
Some of these commenters opposed including in the CCRMU definition
former landfills, impoundments and other accumulations of CCR that been
closed in accordance with existing Federal or State regulations and
regulatory oversight that pose no risk to groundwater.
As discussed in Unit III.A, the risk record does not support the
distinctions the commenters make. This final rule already imposes only
a subset of the regulations in part 257 on CCRMU, consisting primarily
of groundwater monitoring and closure. Corrective action is required
only if triggered by site-specific determinations particular to
individual units. EPA disagrees that the commenters have shown that any
further differentiation is warranted.
iii. Size Threshold for a CCRMU
Many commenters stated that the proposed definition of CCRMU does
not provide the regulated community with ``fair notice'' of what in
fact is forbidden or required. Citing to FCC v. Fox Television
Stations, Inc., 567 U.S. 239, 253 (2012), these commenters stated that
due process requires that ``laws which regulate persons or entities
must give fair notice of conduct that is forbidden or required.''
According to these commenters, the proposed CCRMU definition does not
give fair notice of what is regulated because it is an overly broad
definition that would apply to ``any non-containerized accumulation of
CCR.'' Furthermore, commenters raised concern that EPA has not provided
any clarity on how much non-containerized CCR is enough to trigger
regulation, nor does the proposal provide any criteria for determining
significance, but instead points to examples where it does not expect
this to be the case, such as closed or inactive process water ponds,
cooling water ponds, wastewater treatment ponds, and stormwater holding
ponds or aeration ponds. These commenters also questioned the
references to evaporation ponds or secondary or tertiary finishing
ponds that have not been properly cleaned up as examples of potential
CCRMU, because in the 2015 CCR Rule preamble, EPA had identified these
as examples of impoundments that would not be considered CCR surface
impoundments because they contained only de minimis concentrations of
CCR. These commenters argued that the burden is on EPA to provide the
regulated community with ascertainable certainty as to what the
regulation requires, a mark for which they believe the proposed CCRMU
definition falls short.
Commenters also pointed out that the limitations of or exemptions
from the definition were only discussed in the preamble to the proposed
rule but were not reflected in the regulatory text itself. These
commenters argued that the CCRMU definition must include various
limitations and exceptions in the final rule, such as, specifying a de
minimis or insignificant quantity threshold in the definition of a
CCRMU. Commenters further stated that without such clarity, owners or
operators would be required to consider all CCR placement as CCRMU.
As discussed in the preceding section, EPA has revised the rule to
be consistent with the results of the 2024 Risk Assessment, and the
final rule defers the regulation of CCRMU containing between one and
1,000 tons of CCR to a permitting authority. Only CCRMU containing
1,000 tons or more of CCR will be subject to the applicable
requirements for CCRMU after the effective date of this rule. Although
EPA has codified the thresholds in Sec. 257.50(d) rather than the
CCRMU definition, the effect is the same. In addition, as discussed in
more detail in Unit III.C.2.a, EPA has revised the CCRMU definition in
response to concerns raised by commenters that the definition was
confusing and unclear. The combined effect of these revisions is more
than sufficient to address the commenters' concerns about the clarity
of the definition including claims that
[[Page 39050]]
the proposed regulations would not provide regulated entities fair
notice of what the regulations require.
Finally, EPA acknowledges that the reference in the proposal to
evaporation ponds, or secondary or tertiary finishing ponds that have
not been properly cleaned up as examples of potential CCRMU was a
mistake. EPA agrees that these units would generally be expected to
contain no more than a de minimis amount of CCR.
iv. Exemption for Beneficial Use of CCR
Several commenters stated that the CCRMU definition is too broad
and does not account for the beneficial use of CCR. According to these
commenters, the proposal to regulate CCRMU effectively revoked or
amended the current exemption for beneficial use in Sec. 257.50, and
the broad CCRMU definition now requires previously approved beneficial
uses to be reexamined for potential regulation. Several of these
commenters criticized the agency for failing to address the issue in
the proposal, and argued that the Agency lacked the authority to
include such beneficial uses, either because neither RCRA section
1008(a)(3) nor section 4004(a) authorize EPA to regulate use or because
such regulation would be inconsistent with the 2015 Regulatory
Determination. These commenters recommended that the CCRMU definition
be revised to exclude any beneficial use of CCR as defined by Sec.
257.53 or as previously approved by State agencies.
By contrast, several commenters request EPA to prohibit the use of
coal ash as fill unless full protective measures such as liners,
monitoring, and caps are required everywhere it is placed. Commenters
claimed that immediate attention to this recommendation will protect
the health and environment of millions of U.S. residents by preventing
the spread of toxic coal ash pollution.
EPA disagrees that the proposal to regulate CCRMU effectively
revoked or amended the current exemption for beneficial use in Sec.
257.50. The proposal merely accurately reflects the existing
regulations, which these commenters have misunderstood.
Under the existing regulations, the direct placement of CCR on the
land on site of a utility, with nothing to control releases is, by
definition, a CCR pile and therefore not beneficial use. The examples
of historical CCRMU discussed in the proposal, structural fill and CCR
placed below currently regulated CCR units on-site of a utility also
clearly fit that definition.
These are the same provisions that have been in place since 2015.
The existing definition of a CCR pile is
Any non-containerized accumulation of solid, non-flowing CCR that is
placed on the land. CCR that is beneficially used off-site is not a
CCR pile.
Sec. 257.53 (emphasis added). The second sentence expressly limits the
beneficial use of CCR to ``off site,'' and thus any non-containerized
CCR placed directly on the land on-site of a utility is not beneficial
use.
EPA previously explained this in its August 14, 2019, proposal
``Hazardous and Solid Waste Management System: Disposal of Coal
Combustion Residuals From Electric Utilities; Enhancing Public Access
to Information; Reconsideration of Beneficial Use Criteria and Piles''
to revise the definition of a CCR pile with respect to temporary piles.
84 FR 40353. Specifically, EPA proposed to establish a new set of
requirements that would apply equally to temporary or ``storage piles''
located on-site and off-site of a utility. As part of the background to
that proposal, EPA described the requirements under the existing
regulation so that the public could fully understand what it was-and
was not \139\--proposing to revise. The proposal reiterated the
existing definition of a CCR pile in Sec. 257.53, and explained that
this definition closely mirrors the RCRA definition of disposal, which
is defined in part as the ``placing of any solid waste or hazardous
waste into or on any land or water so that such solid waste or
hazardous waste or any constituent thereof may enter the environment or
be emitted into the air or discharged into any waters, including ground
waters.'' See 42 U.S.C. 6903(3). EPA further explained:
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\139\ EPA expressly advised the public that it was ``not
reconsidering, proposing to reopen, or otherwise soliciting comment
on any other provisions of the final CCR rule beyond those
specifically identified in this proposal.'' 84 FR 40355.
Under this regulation, CCR piles constitute disposal and are
consequently subject to all regulatory criteria applicable to CCR
landfills. In contrast, activities that meet the definition of a
beneficial use are not considered disposal, even if they involve the
direct placement on the land of ``non-containerized'' CCR. See
Sec. Sec. 257.50(g) and 257.53 (definitions of CCR landfill and CCR
pile); 80 FR 21327-30.
The current regulation distinguishes piles of CCR on-site (at an
electric utility or independent power producer site) from temporary
piles of CCR off-site (at a beneficial use site), based on whether
CCR from the pile could fairly be considered to be in the process of
being beneficially used. See Sec. 257.53 (definition of CCR pile);
80 FR 21356 (April 17, 2015). While the CCR from the pile on-site
may someday be beneficially used, it is not currently in the process
of being beneficially used . . . If CCR is not containerized, the
pile is a CCR pile and subject to the same requirements as a CCR
landfill. See Id.
In contrast, the regulations treat CCR stored off-site at a
beneficial use site in a temporary pile to be in the process of
being beneficially used (even though a pile is not itself a
beneficial use). If the CCR is temporarily placed at a beneficial
use site and meets the regulatory definition of a beneficial use,
the pile is not a CCR pile and is not subject to disposal
requirements.
. . . .
In the current definition [of a CCR pile], EPA distinguishes between
piles on-site (which were almost always regulated as landfills) and
piles off-site, (which, if temporary, were generally considered to
be beneficial use, subject only to the four criteria in the
definition). The current regulation also distinguishes between on-
site piles that are not containerized and those that are
containerized. See 80 FR 21356 (April 17, 2017); Sec. 257.53.
84 FR 40365.
Thus, under the 2015 CCR Rule the activities covered under the
definition of a CCRMU (i.e., permanent placement of CCR on the land,
on-site of a utility, without controlling releases) were defined as
disposal rather than beneficial use. In 2019, EPA did not propose to
revise or reconsider that. Instead, EPA proposed to extend that
existing requirement to permanent piles located off-site of a utility.
EPA therefore declines to reconsider the issue here.
In the May 2023 proposed rule EPA expressly stated that it did not
intend to reopen or reconsider any issue other than those on which the
agency expressly solicited comment.
In this proposal, EPA is not reconsidering, proposing to reopen, or
otherwise soliciting comment on any other provisions of the existing
CCR regulations beyond those specifically identified in this
proposal. For the reader's convenience, EPA has provided a
background description of existing requirements in several places
throughout this preamble. In the absence of a specific request for
comment and proposed change to the identified provisions, these
descriptions do not reopen any of the described provisions.
88 FR 31984. EPA further advised the public that it would ``not respond
to comments submitted on any issues other than those specifically
identified in this proposal, and such comments will not be considered
part of the rulemaking record.'' Id.
Nowhere in the May 2023 proposed rule did EPA solicit comment on or
suggest that it was in any way reconsidering the existing definition of
[[Page 39051]]
a CCR pile. The sole mention in the proposal is EPA's explanation that
its proposed definition of a CCRMU was ``based on the current
definitions of a CCR pile--which is currently regulated as a CCR
landfill. . . .'' Id at 32018. Consistent with the interpretation that
all CCR placed on the land on-site of a utility is currently regulated,
EPA also characterized structural fill and CCR placed below currently
regulated CCR units on-site of a utility as ``historical'' solid waste
management. Id. While commenters mischaracterize such activities as
beneficial use, EPA's characterization of this conduct as
``historical'' shows that the Agency assumed that facilities were
complying with the existing requirement and had not continued these
practices on-site.
Accordingly, EPA declines the commenters' request to reconsider the
definition of a CCR pile. EPA also declines to prohibit the use of CCR
structural fill as part of this rulemaking. That issue is related to
the 2019 proposal \140\ to revise the fourth criterion in the
definition of beneficial use, which remains pending.
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\140\ 84 FR 40353 (August 14, 2019).
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v. Exemption for Roadbeds and Associated Embankments
EPA proposed to exempt CCR used in roadbeds and associated
embankments. EPA further proposed that if a facility subsequently
determined that the CCR in onsite roadbed is contributing to
contamination of the aquifer, the facility would be required to address
the contamination as part of the ongoing remediation.
No commenters opposed EPA's proposal, and several commenters
supported it. However, commenters pointed out that EPA had neglected to
include an exemption for roadbeds and associated embankments in the
proposed regulatory text.
EPA is finalizing the exemption for roadbeds as proposed, and has
amended the definition of a CCRMU accordingly.
b. Revision to Definition of CCR Unit
In order to distinguish between CCR units that would be subject to
all of the requirements in part 257, and those that would be subject to
only a subset, EPA proposed to rely on two terms: (1) CCR unit and (2)
CCR management unit. Under the proposal the term, ``CCR units'' would
refer to only the units subject to all of part 257, subpart D. As
defined in the proposal, the term ``CCR management unit'' would refer
to the units subject only to the subset of groundwater monitoring,
corrective action, closure, and post-closure requirements. To
effectuate this EPA proposed to modify the definition of CCR unit by
stating that CCR management units are not covered by the definition of
a CCR unit. Under the existing regulations, CCR units are defined as
``CCR landfills and CCR surface impoundments, as well as any lateral
expansion of a CCR landfill or CCR surface impoundment. In addition,
the term CCR unit already covers inactive CCR surface impoundments at
active facilities because these units are CCR surface impoundments.''
40 CFR 257.53
Commenters raised concern about the ``circularity'' of these
definitions. and requested clarification on what type of unit would be
considered a CCR unit, CCRMU, CCR landfill, or CCR surface impoundment.
Several commenters noted that
``[f]or instance, `CCR landfill,' `CCR management unit,' and `CCR
unit' are defined by reference to each other. For example, a `CCR
landfill is `not a surface impoundment'' and not a `CCRMU,' while a
`CCRMU' is ``not a CCR unit'' but includes `inactive CCR landfills'
and ``CCR units that closed prior to October 17, 2015.'' And
similarly, a `CCR unit' is ``not a CCRMU,'' but includes CCR
landfills and CCR surface impoundments. Similar circular references
are contained in the definitions of `inactive CCR landfill,'
`inactive facility,' and `legacy CCR surface impoundment.'
Commenters claimed that defining one term by exclusion of another and
in turn defining the latter term by exclusion of the former provides no
clarity on the boundary between the two. These commenters went on to
state that ``in a context in which definitional clarity is essential
for regulatory clarity--i.e., what's ``in'' and what's ``out''--such
ambiguity is fatal, EPA must clarify these definitions to define these
terms by their essential characteristics, not by circular references to
each other.'' And as discussed in a previous section, some commenters
were also confused by EPA's explanation in the proposal that, because
it planned to use the term ``CCR unit'' to refer only to those CCR
units that would be subject to all of the regulations in subpart D,
CCRMU would not be included in this term.
In light of these comments, EPA reevaluated the proposed
definitions and agrees that revisions are necessary. As noted, the
proposed terms were intended to categorize units according to the
requirements that would eventually be applied to them. EPA hoped that
as a consequence, few revisions to the regulations would be necessary,
with the idea that this would be less confusing to regulated entities
and the public. Unfortunately, that was not the case and as the
commenters noted, the definitions were frequently circular.
Consequently, the final rule relies on three definitions: CCR unit,
Regulated CCR unit, and CCR management unit.
EPA has largely reverted to the existing definition of a CCR unit.
The definition, as it was promulgated in 2015, provides that
``CCR unit means any CCR landfill, CCR surface impoundment, or
lateral expansion of a CCR unit, or a combination of more than one
of these units, based on the context of the paragraph(s) in which it
is used. This term includes both new and existing units, unless
otherwise specified.
Section 257.53. To avoid any ambiguity, EPA has also added a sentence
stating that ``This term includes both Regulated CCR units and CCR
management units.'' This is now the broadest term under the regulations
and encompasses all units subject to 40 CFR part 257, subpart D.
This final rule now also includes the term Regulated CCR unit,
which refers to the units regulated by the 2015 CCR rule, i.e., new CCR
landfills and new CCR surface impoundments (which include all lateral
expansions of CCR landfills and CCR surface impoundments), existing CCR
landfills, existing CCR surface impoundments, and inactive surface
impoundments at active facilities. It also includes legacy CCR surface
impoundments. Because legacy CCR surface impoundments will be subject
to the same requirements as other inactive CCR surface impoundments,
using this term will allow the Agency to implement this with relatively
few revisions to the regulatory text.
Finally, the final rule largely reverts to the proposed definition
of a CCR management unit. This final rule defines CCR management unit
to mean any area of land on which any noncontainerized accumulation of
CCR is received, is placed, or is otherwise managed, that is not a
regulated CCR unit. This term includes inactive CCR landfills and CCR
units that closed prior to October 19, 2015. EPA has also included a
definition of the phrase, ``closed prior to October 19, 2015,'' which
provides that the term means ``the CCR landfill or surface impoundment
completed closure of the unit in accordance with state law prior to
October 19, 2015.''
EPA deleted the phrase ``at any time'' from the proposed
definition. EPA had originally included that phrase to clarify that it
did not matter when the CCR was placed, received, or otherwise managed,
provided the CCR remained present at the site. EPA deleted the phrase
from
[[Page 39052]]
the final definition because, as the D.C. Circuit has already
explained, this concept is fully communicated by the phrase ``is
placed,'' and the inclusion of the phrase ``at any time,'' is therefore
redundant. In addition, several commenters were confused by the phrase,
assuming it meant that if CCR had ever been placed on the land at any
time, even if it is no longer present, the site would be considered a
CCRMU.
These definitions are all codified in the regulatory text at Sec.
257.53. EPA also made conforming changes throughout 40 CFR part 257,
subpart D to clarify which types of CCR units are subject to which
requirements. As discussed elsewhere in this preamble, consistent with
the proposal, EPA is extending only a subset of the existing
requirements in part 257, subpart D to CCRMU, consisting of
requirements for groundwater monitoring, corrective action, closure,
post-closure care, and recordkeeping.
c. Revisions to Definitions of Owner and Operator
EPA proposed revisions to the existing definitions of Owner and
Operator. The existing definition of Owner is the ``person(s) who owns
a CCR unit or part of a CCR unit.'' First, EPA proposed to revise the
definition to incorporate the concept of CCRMU into the existing
definition because CCRMU would otherwise be excluded from the
definition of a CCR unit as discussed in the preceding Unit of the
preamble. This would be accomplished by adding ``or CCR management
unit'' to the existing definition. Second, the Agency proposed to
revise the definition of Owner to include the owner(s) of the entire
facility, which would be achieved by adding ``or a facility, whether in
whole or in part'' to the definition. EPA did not propose to revise the
definition of a ``facility,'' which under the existing regulations
means ``all contiguous land, and structures, other appurtenances, and
improvements on land, used for treating, storing, disposing, or
otherwise conducting solid waste management of CCR. A facility may
consist of several treatment, storage, or disposal operational units
(e.g., one or more landfills, surface impoundments, or combinations of
them).'' 40 CFR 257.53.
Some commenters opposed changing the definition of Owner. One
commenter said ``It may be the current owner is unaware he owns the
newly regulated facility. The current operator may have none of those
parties responsible conducting activities since the parties may have
ceased to exist long ago. Or, if the current owner is unwilling to work
with those who previously disposed of the ash (potentially
beneficially) there are legal issues (including potential access and
trespass rules) that will need to be resolved.''
Commenters agreed that it would not be appropriate to include an
innocent owner provision, specifically because of the difficulty in
defining complex owner structures where direct accountability is
difficult to define. One commenter ``does not fully agree with this
``limited accountability'' and suggest accountability must also honor
indemnity and the assignment of liability defined in a Purchase and
Sale Agreement (PSA). Specifically, any entity should transition or
maintain liability based on an established purchase and sale agreement,
thus responsibility cannot be limited to only the current owner. In
addition, it is reasonable to expect that for known active or inactive
CCR Units at an active facility, the current owner should be
responsible for required closure that satisfies the requirements of the
2015 CCR Rule and for corrective action that does not exceed industry
standard for remediation. However, it is unreasonable to expect only
current owners to be accountable for all past practices and the
responsibility for the unknown, specifically for areas that were
undefined and unknown and most importantly unregulated at the time of a
transaction from a previous owner, most often a regulated utility.''
EPA proposed and is finalizing this revision in part to account for
the more complicated ownership arrangements that exist at some
utilities. EPA has found that there may be multiple owners at the same
facility; for example, one entity may hold title to a single
impoundment, while another entity may own the remaining disposal units
at the site. Moreover, ownership can change over time, as individual
units or portions of the facility are parceled off. This final rule
also more accurately reflects the nature of the obligations EPA is
establishing for CCRMU. For example, as discussed below, EPA is
finalizing the regulations to require an investigation of the entire
facility to identify CCRMU. At many sites, this would involve areas
other than those encompassed by the definition of a CCR unit, extending
to all areas where disposal or other solid waste management may be
occurring. Moreover, relying exclusively on the ``owner'' of the CCRMU
may be ambiguous in this context, as at some sites the owner may not
yet be aware that a CCRMU is present (e.g., because it results from the
historic placement or accumulation of CCR). EPA recognizes that this
final rule will apply to currently regulated facilities and newly
regulated facilities, but EPA does not expect that this revision will
actually amend the entities that currently are liable. EPA expects that
most (if not all) utilities currently operate as though the regulation
already required the owner and operator of the facility to take
actions; for example, under the existing regulations owners and
operators are required to conduct corrective action even where the
plume has migrated beyond the footprint of the regulated unit. In
addition, EPA is extending the deadlines for the CCRMU requirements,
which can accommodate any issues with access to the facility in order
to conduct the applicable requirements.
For similar reasons, EPA proposed to revise the definition of
Operator to incorporate the concept of CCRMU into the existing
definition by adding ``or CCR management unit'' to the existing
definition. In addition, the Agency proposed revisions to account for
the unique characteristics of a CCRMU. In cases where the CCRMU is
closed (i.e., not receiving waste or otherwise in operation) or is a
historic placement or accumulation of CCR, there may not be an entity
that neatly fits the normal concept of an ``operator,'' because there
may not be any current or ongoing oversight or activity with respect to
the continued use of the unit. To avoid any ambiguity, EPA proposed to
revise the definition of ``operator'' to clarify that the term Operator
includes those person(s) or parties responsible for disposal or
otherwise actively engaged in solid waste management of CCR. It also
includes those responsible for directing or overseeing groundwater
monitoring, closure, or post-closure activities at a CCR unit or CCRMU.
Commenters said the revised definition of operator is ``too broad
and may be interpreted to impose CCR Rule liability on individuals or
contractors who are retained by owners or operators to `actively
engage' in CCR waste management. This definition should be revised to
reflect the standard principles for `operator' liability under
environmental laws, which should not include employees, individuals, or
contractors operating under the direction of a responsible owner or
operator.'' Another commenter disagreed with the revised definition of
Operator, ``which can imply the operator could have obligations under
this rule. We disagree. While some owners and operators are one and the
same many facilities are operated by third parties operators and in
these cases, such operators should have no obligations under this
proposed rule. We request EPA clarify that distinction
[[Page 39053]]
and clearly state that third party operators have no obligation.''
Another commenter stated ``Companies actively engaged in the solid
waste management of CCR'' would include the construction contractors
responsible for installation of CCR units including excavation, lining,
filling, regrading, covering, closure, and more. Companies
``responsible for directing or overseeing groundwater monitoring,
closure or post-closure activities'' would include well drillers, the
professional engineers who certify the plans for CCR units, and again,
construction contractors. Contractors will no longer be willing to
`actively engage[ ] in the solid waste management of CCR' or `direct[ ]
or oversee[ ] groundwater monitoring, closure or post-closure
activities' if they will consequently become liable for compliance with
the CCR rule. As a result, the `shortage of contractors' will continue
and grow worse. EPA should revise the definition of `Operator' to
clarify that contractors are not Operators.''
The revision to the definition of Operator is not intended to
include every person who is ``actively engaged in the solid waste
management of CCR'' but would follow the standard ``operator''
liability under environmental regulations. Such liability would include
the operator who oversees the facility to ensure compliance with the
regulations.
Because multiple entities may potentially be liable, (i.e., owners
and operators) EPA is providing the following guidance. Consistent with
EPA's typical practice, unless otherwise provided in the regulations,
as long as one responsible entity (an owner or operator) has complied
with the requirements, EPA will consider the obligation satisfied as to
all potentially liable parties and will initially rely on owners and
operators to determine among themselves how best to ensure compliance
with the requirements. See, e.g., 45 FR 33295 (May 19, 1980). (``EPA
has no intention to require both owner and operator to take all or even
most compliance actions in tandem. EPA will regard compliance by either
owner or operator with any given obligation under the permit as
sufficient for both of them'').
EPA is finalizing the revisions to Owner and Operator as proposed
without revision. This is codified in the regulatory text at Sec.
257.53.
d. Conforming Revisions to Other Existing Definitions
EPA proposed revisions to eight definitions in Sec. 257.53 to
refer to CCRMU. These definitions currently refer only to CCR units and
EPA proposed to add the words ``or CCR management unit'' to the
definitions to incorporate the concept of CCRMU into the existing
definition. The eight definitions for which EPA proposed this revision
are: Active life or in operation, Active portion, Closed, CCR landfill
or landfill, Qualified person, Qualified professional engineer, State
Director, and Waste boundary. EPA received comments only about
clarifying the definition of ``closed,'' which is discussed in the
Volume II Response to Comments document. EPA did not receive comments
about the other seven definitions for which EPA proposed this revision.
As described in Unit III.C.2.b of this preamble, EPA has revised the
definition of ``CCR unit'' in response to comments, and as a
consequence the definitions for Active life or in operation, Active
portion, Closed, Qualified person, Qualified professional engineer, and
Waste boundary no longer need to be amended. EPA is finalizing the
proposed revisions to the definitions of CCR landfill and State
Director. These are codified in the regulatory text at Sec. 257.53.
e. Scope of Regulated Facilities With CCRMU
EPA proposed to require the owners or operators of both active
facilities with one or more currently regulated CCR unit(s) and
inactive facilities with a legacy CCR surface impoundment to comply
with the CCRMU regulations. The term active facility or active electric
utilities or independent power producers is defined in Sec. 257.53.
Inactive facilities are discussed in Unit III.A.1.c of this preamble.
Some commenters on the proposed rule opposed limiting the universe
to active facilities and inactive facilities with at least one CCR
unit. They argued that CCR in landfills, dewatered surface
impoundments, and CCRMU at other, currently unregulated, active
facilities pose the same risks to groundwater, surface water, and air
as facilities with CCR units. These commenters said RCRA section
4004(a) cannot be met if these leaking units are arbitrarily excluded
from regulation. Other commenters said EPA does not have the authority
to regulate CCRMU at all and should limit the scope of the final rule
to units that pose risks.
After reviewing the comments on the proposed rule, EPA reconsidered
whether the regulated universe should be expanded to include other
facilities currently generating power for the electrical grid that only
have CCRMU on-site. These unregulated active facilities, or ``Other
Active Facilities,'' are those that: (1) On or after October 19, 2015,
were producing electricity for the grid; (2) Had ceased placement of
CCR in their on-site CCR units before the effective date of the 2015
CCR Rule (October 19, 2015); and (3) Had no inactive CCR surface
impoundments. As such, CCRMU (e.g., inactive CCR landfills, closed CCR
landfills, or closed CCR surface impoundments) are located at these
facilities. Commenters on the proposed rule identified 13 units at six
other active facilities, based on sourced data, and these units
including inactive CCR landfills, closed CCR landfills, or closed CCR
surface impoundments. Based on the most recent information, including
from NODA comments, EPA believes there are nine units at five other
active facilities.\141\
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\141\ This universe is included in ``Universe of CCR Management
Units. April 2024.'' in the docket for this action.
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The addition of these units provides regulatory consistency; the
CCRMU at these active facilities pose the same risks to human health
and the environment whether or not they are co-located with a currently
regulated CCR unit or a legacy CCR surface impoundment. And with the
expansion of corrective action and closure obligations to CCRMU, these
facilities are more similarly situated to the currently regulated
active utilities and independent power producers than they are to the
inactive facilities that remain exempt under this final rule (i.e.,
inactive facilities with only CCRMU). Moreover, in contrast to the
exempt facilities, EPA was able to identify the affected facilities and
evaluate the potential consequences of regulating them.
EPA disagrees that it lacks the authority to regulate these CCRMU,
for the same reasons discussed in Units II.C and III.C.2.a of this
preamble.
The Agency also considered whether to regulate all CCRMU at
inactive power plants. But as EPA explained in Unit III.B.1.b.i.(b) of
this preamble, the location and number of inactive facilities without a
legacy CCR surface impoundment are unknown, as is the number and
condition of the units at these facilities. Without being able to
better understand the full extent of the sites and entities that could
be affected, EPA is not prepared to expand the regulations to this
extent at the current time. Even though CCRMU pose the same risk when
located at active or inactive facilities, EPA considers that the higher
priority is to ensure that active facilities address the full extent of
the contamination that currently exists, and to prevent further
contamination at
[[Page 39054]]
these sites--in other word to address rather ``those ills we have, than
fly to others that we know not of.''
Therefore, EPA is finalizing amendments to regulate CCRMU at all
active electric utilities or independent power producers that generated
power for the electrical grid on or after October 19, 2015, in addition
to those facilities with legacy CCR surface impoundments. As noted, EPA
refers to these facilities as ``covered facilities'' throughout this
preamble. This is codified in the regulatory text at Sec. 257.50(d).
3. Facility Evaluation for Identifying CCR Management Units
EPA proposed that owners or operators of active facilities with a
currently regulated unit or inactive facilities with a legacy CCR
surface impoundment would need to conduct facility evaluations. The
purpose of the facility evaluation is to confirm whether any CCRMU
exist on-site, and, if so, to delineate the lateral and vertical extent
of the unit(s). In developing the proposal, EPA relied heavily on the
RCRA subtitle C Facility Assessment process for identifying solid waste
management units at a hazardous waste facility. In addition, EPA
accounted for certain existing requirements in the CCR regulations; for
example, under the 2015 CCR Rule, facilities were required to compile a
history of construction for their existing impoundments. 40 CFR
257.73(c)(1). Facilities were generally able to obtain all information
specified in Sec. 257.73(c)(1)(i) through (ix), even for units
constructed decades ago. EPA expected that facilities will similarly be
able to obtain the information that EPA proposed would be required in
the Facility Evaluation Report (FER).
EPA proposed that facilities prepare one report, to be completed in
two consecutive steps, with a single deadline. As proposed, the first
step would consist of a thorough review of available records in
combination with a physical facility inspection and any necessary field
work, such as soil sampling, to fill any data gaps from the information
obtained from the review of available records. The second step of the
facility evaluation would be to generate a FER to document the findings
of the facility evaluation. EPA proposed separate deadlines to complete
the investigation and to compile the report: a deadline of no later
than the effective date of this final rule to initiate the facility
evaluation and a deadline of no later than three months after the
effective date to complete the FER. Commenters suggested that EPA
follow more closely the investigation processes developed under the
current RCRA and CERCLA regulatory programs, that is, RCRA Facility
Assessment Guidance, CERCLA all appropriate inquiry (Phase I and Phase
II) process. Commenters suggested that separating the information
collection requirements from the physical evaluation requirements will
provide a more thorough evaluation of existing available information to
better inform the physical evaluation to fill data gaps and properly
identify CCRMU.
EPA is finalizing the procedures for facility evaluation for
identifying CCR management units with a few revisions from the
proposal. Owners or operators of any covered facilities will need to
conduct a facility evaluation. The purpose of the facility evaluation
is to confirm whether any CCRMU containing one ton (or more) exist on-
site, and, if so, to delineate the lateral and vertical extent of the
unit(s). In developing the final rule EPA relied heavily on the
investigation processes EPA developed under the current RCRA and CERCLA
regulatory programs, that is, the RCRA subtitle C Facility Assessment
process for identifying solid waste management units at a hazardous
waste facility, and the CERCLA all appropriate inquiry (Phase I and
Phase II) process.
There is a two-step process for a facility evaluation. The first
step consists of a thorough review of available records. The second
step of the facility evaluation is to conduct a physical facility
inspection and any necessary field work, such as soil sampling, to fill
any data gaps from the information obtained from the review of
available records.
In response to comments, EPA examined facility evaluation processes
currently being implemented under RCRA and CERCLA and concurs that
creating two separate reports--one for each step of the process--is
consistent with these established approaches. EPA believes this two-
step approach to facility evaluation will reduce the need for rework
and the overall burden for both facility owners or operators and
contractors who may be hired to complete this work. Additionally, EPA
concludes this approach increases transparency by allowing the public
the opportunity to see the work plan developed by the owner or
operator.
Therefore, the final rule creates two parts to the facility
evaluation--the Part 1 FER includes the results of the available
information collection and evaluation. The Part 2 FER addresses data
and information gaps through a physical evaluation of the facility.
Together, the Part 1 and Part 2 reports will give a complete picture of
the historic use, placement and the current status of CCR at each
facility, ultimately identifying any CCRMU containing 1,000 tons or
more that will be required to meet the regulatory requirements of this
final rule. The FER must also identify those CCRMU containing between
one and 1,000 tons, whose regulations is deferred until permitting.
See, Unit III.C.2.a.iii of this preamble for further discussion.
a. Final Requirements for Facility Evaluation for CCR Management Units
During the facility evaluation, the owner or operator of a covered
facility will need to identify and delineate the extent, laterally and
vertically, of any CCRMU containing one ton or more at the facility. To
begin, the owner or operator reviews all existing records and documents
reasonably and readily available to (including information that is
readily and reasonably attainable by) the facility, that contain
information regarding any past and present CCR management that resulted
in the accumulation of CCR on the ground. Consistent with the
definition of a CCRMU, in this context EPA considers the terms
``placement'' and ``receipt'' to include situations in which spilled or
released CCR has been left on the ground. During this first step, the
facility is required to gather and review reasonably and readily
available information to identify potential locations of CCR placement
at, and to determine preliminary boundaries, lateral and vertical
dimensions, and estimates of volume of any CCRMU. Then, at the second
step, the facility evaluation requires physical inspection of the
facility. Where necessary, the physical inspection must include field
investigation activities, such as conducting exploratory soil borings,
geophysical assessments, or any other similar physical investigation
confirmation activities to establish the location and boundaries of
identified CCRMU, and to affirmatively rule out other areas of
potential CCR placement at the facility that were identified during the
information review. The scope of the facility evaluation is the entire
facility as the term is currently defined in 40 CFR 257.53.
As noted, the facility evaluation begins with a review of all
reasonably and readily available information regarding past and present
placement of CCR at the facility. In this first stage, the facility
must gather all reasonably and readily available existing information
that may be useful to determine any locations at the facility where CCR
may have been placed (including spilled) on the ground. EPA expects
that in this
[[Page 39055]]
initial phase, the facility will cast a wide net, and collect all
reasonably and readily available information that could potentially
contain useful information to identify the potential locations of CCR
placement at the facility. Finally, to complete the information review,
the investigatory process must be documented, any data gaps identified,
and plans for conducting a physical inspection of the site to verify
locations, boundaries, and volumes of CCR placement at the facility
formalized. This information is documented in the Part 1 FER. Then, at
Part 2, the physical inspection must be documented. Each step of this
process is described in greater detail below.
All recorded observations and data gathered during the facility
evaluation, including any conclusions regarding the status of each
CCRMU containing one ton or more of CCR at the facility (e.g.,
delineation of the lateral and vertical extent of each CCRMU and an
associated site map that identifies the location of the CCRMU
(including GIS coordinates)), must be assembled and incorporated into
the FER.
If, after conducting a thorough document review and a visual
inspection, the facility has found no evidence of any CCRMU containing
one ton or greater, no further testing or sampling is required to
conclude that no such CCRMU are present at the facility. Consistent
with the proposal, the final rule does not require facilities to
conduct widespread site sampling to prove that no such CCRMU exists on-
site.
The FER must include a certification to be signed by a P.E. and the
owner or operator or an authorized representative. Owners or operators
of active or inactive facilities with one or more CCR unit(s) that do
not contain any CCRMU would need to complete and place in the operating
record a certified FER documenting the steps taken during the facility
evaluation to determine the absence of any CCRMU. Both Part 1 and Part
2 of the FER must be placed in the facility operating record (Sec.
257.105(f)(25)), submitted to the appropriate regulating entity (Sec.
257.106(f)(24)), and published on the facility's website (Sec.
257.107(f)(24)). Further, the Agency is requiring that the FER include
a certification to be signed by the owner or operator or an authorized
representative similar to the certification that is required at Sec.
257.102(e) and (f) for existing units undergoing closure.
i. Facility Evaluation Report Part 1--Information Collection, Data Gap
Identification
The first step in the facility evaluation process involves the
collection of reasonably and readily available information that
contains any detail or information on whether CCR was either routinely
and systematically placed on land, or where facility activities
otherwise resulted in measurable accumulations of CCR on land. The
quality and reliability of the information review will depend greatly
on the owner's and operator's ability to collect relevant information.
Information reviews may provide misleading results when significant
sources of information are not considered. The information that must be
gathered during this step should include any documents that contain
information relevant to past facility operations and waste disposal
processes. By the conclusion of the facility evaluation, EPA expects
that the facility would be able to identify the date, locations,
durations, and volumes or estimated quantities of CCR placement.
EPA expects that the amount of available written information and
documentation that will be available for review during the document
review phase may vary by facility. However, the following documents
developed as part of complying with 40 CFR part 257, subpart D, which
are reasonably and readily available to facilities, would normally
contain information that can be useful in identifying CCRMU: inspection
reports; history of construction reports; fugitive dust control plans;
annual groundwater monitoring and corrective action reports; ASDs; ACM
reports or other corrective action reports; and closure plans and
reports. Further, there are other sources of reasonably and readily
available data that frequently contain information relevant to past
facility operations and waste disposal processes, such as facility
compliance reports produced for non-CCR programs (e.g., Toxic
Substances Control Act [TSCA]/Occupational Safety and Health
Administration [OSHA]/National Pollutant Discharge Elimination System
[NPDES]/Clean Air Act [CAA]/Clean Water Act [CWA]); permits and permit
applications, including NPDES, solid waste, dam safety, and air
permits; historical and contemporary monitoring and reporting data, and
facility operating logs and maps; and site imagery including available
historical aerial photographs, site photographs, topographic maps, and/
or engineering or construction drawings, including drawings for
physical facility improvement projects, such as surface water control,
water and power infrastructure and utilities, roads, berms, ponds and/
or other physical features at the facility. EPA expects that facilities
will search all reasonably and readily available records to determine
whether they contain information relevant to the potential existence
and locations of CCRMU containing at leat one ton of CCR.
EPA proposed that as part of this process, owners and operators
must further gather information by conducting meetings with current
facility personnel familiar with the facility to the extent that those
persons are available and have knowledge about past and/or present
facility operations. The goal of the meeting process was to help gather
any information relevant to the facility operations and waste disposal
processes.
Commenters objected that conducting interviews of current or former
facility personnel and any available State and local officials is
burdensome and will place a significant strain, specifically, on State
and local agencies. In addition, commenters stated that interviews with
State personnel would put the State personnel in a difficult position
to verify compliance on EPA's behalf without receiving State permit
approval first.
In this final rule, EPA is not requiring the owner or operator to
conduct interviews of current or former facility personnel, nor any
available State and local officials. The regulatory language of the
final rule only requires documentation of any interviews that are
conducted as part of the information collection process. Nevertheless,
owner and operator interviews of current or former personnel could well
assist in identification of data and information that will be helpful
in identifying CCRMU, particularly at those facilities that have not
been in operation recently. Consequently, EPA continues to recommend
that facilities use good faith efforts to collect information through
interviews where current or past personnel are willing to assist in the
identification of information or data that will assist the
identification of CCRMU.
During this stage, EPA is requiring that a P.E. review the
documents and information gathered during the information review
process to draw conclusions regarding the existence of CCRMU at the
facility. At the end of this stage, EPA expects the facility to
identify: (1) Any areas where the facility can affirmatively conclude
based on the reasonably and readily available information that one or
more CCRMU
[[Page 39056]]
containing greater than one ton are present; and (2) Any areas where
the reasonably and readily available information indicates that CCR may
have been either routinely and systematically placed on the land, or
where facility activities otherwise could have resulted in one ton of
CCR on the land (i.e., areas where the available information indicates
that one or more CCRMU may be present).
Each of the information sources discussed above can provide
valuable information that can be used to identify the existence and
locations of CCRMU. In addition, some specific examples are provided
below:
Environmental reports for multimedia inspections contain
useful information on site management practices, monitoring data, and
unit conditions. These reports can also describe comprehensive
monitoring evaluations at the site that can indicate where releases or
areas of concern exist.
Multimedia permit and permit applications contain large
amounts of information on the facility design, waste management
practices including how wastes were disposed of, and the physical
characteristics of the surrounding area. These documents can contain
old topographic maps, facility figures and drawings, wastestream flow
diagrams, and unit and process descriptions.
If a groundwater monitoring report for a CCR unit
indicates that contaminant levels in groundwater monitoring wells are
the result of CCRMU rather than the monitored CCR unit, this would need
to be further investigated during the facility evaluation process to
fully delineate the locations of areas where CCR was placed on the
ground, including the size of the unit and other related unit details.
Similarly, a review of aerial photographs can identify
potential CCRMU at the facility at locations that have become overgrown
or otherwise hidden over time. When used in conjunction with USGS
topographic maps, owners or operators can look for evidence that may be
indicative of placement of CCR on the ground. As an example, if aerial
photographs and USGS topographic maps indicate the existence of a pond
or dam system at the site, this may be enough to warrant further
investigation of available documents and may require field
investigation depending on the strength of information to determine if
the changes were made to allow placement of CCR on the ground.
One of the primary purposes of the information review is to provide
an understanding of the CCR management activities at the facility,
allowing for subsequent observations during the physical site
inspection to be focused to the greatest extent practical. While
information obtained during the review may be insufficient to support
affirmative conclusions regarding the existence or non-existence of a
CCRMU, based on the information available at most facilities, EPA
expects that it will be possible to determine which areas at the
facility would need to be inspected, and the type of data that would be
needed to draw definitive conclusions. The Agency expects that the
information gathered in the information review will be relevant to
determining the areas to be inspected during the physical (visual) site
inspection. Further, the information gathered during the information
review would be used to support any necessary field activities.
EPA notes that the amount of available written information and
documentation that will be available for review during the document
review phase will vary by facility. Commenters confirmed this
expectation by noting that many of the facilities subject to this final
rule may have ceased operations years, and sometimes decades, ago. They
also stated that record retention and storage locations may be
difficult to determine and require some effort to access for some
facilities. Based on past experience, EPA continues to believe that
sufficient information is reasonably and readily available to allow
facilities to obtain the information required under the FER. For
example, as discussed in the proposal, under the 2015 CCR Rule
facilities were generally able to obtain all of the information needed
to compile a history of construction for their existing impoundments,
even for units constructed decades ago. See, 40 CFR 257.73(c)(1).
Nevertheless, owners or operators are required to compile this
information only to the extent it is reasonably and readily available.
EPA acknowledges that there may be certain information or data that may
be unknown or lost. EPA intends that facilities provide relevant
information only if documentation exists or if it is obtained during
the physical site inspection. EPA does not expect owners or operators
to provide anecdotal or speculative information regarding the presence
or absence of CCRMU. However, if data gaps exist, owners or operators
subject to these provisions may need to collect additional field data
to fill the gaps.
The Part 1 FER must also include a narrative that documents the
data reviewed as part of the facility evaluation process, and that
lists all of the data and information reviewed that indicates the
presence or absence of CCR management units at the facility. Finally,
the FER must identify any data gaps, and provide a plan for remedying
all identified data gaps through a physical examination of the
facility, including any field or laboratory work needed to remedy data
gaps identified in the narrative in the Part 1 FER record. The plan
must include the major milestones needed to fill each identified data
gaps (e.g., a physical examination of the facility, sampling of media,
measurements of CCR concentrations or physical presence, delineation of
CCRMU) and dates to complete the needed tasks.
EPA is finalizing that Part 1 FER must contain the following: (1)
The name and address of the person(s) owning and operating the
facility; the unit name associated with any regulated CCR unit and
CCRMU containing one ton or more of CCR at the facility; and the
identification number of each CCR unit and CCRMU if any have been
assigned by the State or by the owner; (2) The location of any CCRMU
identified on the most recent U.S. Geological Survey (USGS) 7.5-minute
or 15-minute topographic quadrangle map, or a topographic map of
equivalent scale if a USGS map is not available, with the location of
each regulated CCR unit at the facility identified. The location of
each regulated CCR unit at the facility must also be identified in the
same manner; (3) A statement of the purpose(s) for which each CCRMU at
the facility is or was being used; (4) A description of the physical
and engineering properties of the foundation and abutment materials on
which each CCRMU is constructed; (5) A discussion of any known spills
or releases of CCR, including any associated remediation activities,
from each CCRMU and whether the spills or releases were reported to
State or Federal agencies; (6) Any record or knowledge of structural
instability of each CCRMU; (7) Any record or knowledge of groundwater
contamination associated or potentially associated with each CCRMU; (8)
The size of each CCRMU, including the general lateral and vertical
dimensions and an estimate of the volume of waste contained within the
unit; (9) Identification of all types of CCR in each CCRMU at the
facility; (10) A narrative description of any closure activities that
have occurred, including any applicable engineering drawings or
reports; (11) A narrative that documents the data reviewed as part of
the facility evaluation process, and that lists all data and
information indication the
[[Page 39057]]
presences or absence of CCRMU at the facility; (12) Any supporting
information used to identify and assess CCRMU at the facility,
including but not limited to any construction diagrams, engineering
drawings, permit documents, wastestream flow diagrams, aerial
photographs, satellite images, historical facility maps, any field or
analytical data, groundwater monitoring data or reports, inspection
reports, documentation of interviews with current or former facility
workers, and other documents or sources of information used to identify
and assess CCRMU at the facility; (13) narrative description of any
data gaps, for information in paragraphs (c)(i) through (xiii) of this
section, not available in existing information collection records and a
plan for remedying identified data gaps through a physical examination
of the facility, including any field or laboratory work needed to
remedy data gaps in the FER Part 1 record. The plan must include the
major milestones needed to fill the identified data gaps (e.g., a
physical examination of the facility, sampling of media, measurements
of CCR concentrations in and around the unit or physical presence,
delineation of CCR management unit(s)) and dates to complete such
needed tasks. Also, as necessary and timely, any updates to data gap
remedy plans must be added to the public record during the FER Part 1.
In addition, the FER is required to include a certification from a P.E.
stating that the FER meets the requirements at Sec. 257.75(c).
ii. Facility Evaluation Report Part 2--Physical Evaluation and Remedy
of Data Gaps
A facility must conduct a physical site inspection of the entire
facility in all cases. The purpose of the physical site inspection is
to visually inspect the entire facility for evidence of CCR placement
on the land, ensure that all CCRMU containing one ton or more of CCR
have been identified, and fill any data gaps identified during the
initial information evaluation. To that end, EPA is finalizing without
revision the requirement that the physical site inspection must consist
of a visual inspection of the entire facility to look for evidence that
CCR is currently being managed on the land. At a minimum, a facility is
required to visually inspect the site to confirm the information
obtained from the information review phase and to identify any
anomalies that warrant further investigation, such as an unnatural
topographic rise or depression or an area where unspecified liquid
waste was applied over several years. In addition, the facility is
required to conduct any field work, such as soil sampling, necessary to
determine whether areas that had been identified as a potential CCRMU
in fact contain at least one ton of CCR and to obtain the information
required for the FER.
The complexity of past and current facility operations, combined
with the amount of data that was available for review during the
information review phase would impact how extensive the facility
inspection must be. For example, if facility records are sparse or
contain data gaps, the Agency expects that the facility inspection
would be more thorough than in situations where detailed records exist.
However, even in situations where detailed facility records exist, the
facility must still conduct a visual inspection to ensure that all
CCRMU containing one ton or more of CCR have been identified, whether
or not those areas were identified in the initial document review. In
addition, EPA expects that in most cases, a facility will need to
conduct some sampling or other fieldwork to obtain all the information
required for the FER. For example, even if the facility had as-built
engineering drawings for an old landfill, EPA expects that in some
cases the facility may still need to conduct some sampling to establish
the lateral and vertical dimensions of the CCRMU.
A facility can use a variety of visual means to inspect the entire
site (e.g., physically walking the site, using motorized vehicles to
inspect the site, using drone video footage to inspect the site) to
confirm the information obtained from the information review in Part 1
and to identify any anomalies that warrant further investigation, such
as an unnatural topographic rise or depression or an area where
unspecified liquid waste was applied over several years. EPA recommends
that any sampling be conducted using standard industry methods,
including any relevant standards and methodologies established by State
environmental agencies. The FER must also include a discussion of
quality assurance procedures, sampling equipment handling, sample
collection, analytical methods, and data reporting.
If, after conducting a thorough document review and a visual
inspection, the facility has found no evidence of any CCRMU, no further
testing or sampling would be required to conclude that there is no
CCRMU present at the facility. EPA is not requiring facilities to
conduct widespread site sampling to prove that no CCRMU exists on-site.
All recorded observations and data gathered during the facility
evaluation, including any conclusions regarding the status of each
CCRMU at the facility, must be assembled and incorporated into a FER,
which is described in detail below.
EPA is finalizing that Part 2 FER must contain the following: (1)
The name and address of the person(s) owning and operating the
facility; the unit name associated with any regulated CCR unit and
CCRMU containing one ton or more of CCR at the facility; and the
identification number of each CCR unit and CCRMU if any have been
assigned by the State; (2) The location of any CCRMU containing one ton
or greater identified on the most recent U.S. Geological Survey (USGS)
7.5-minute or 15-minute topographic quadrangle map, or a topographic
map of equivalent scale if a USGS map is not available. The location of
each regulated CCR unit at the facility must also be identified in the
same manner; (3) A statement of the purpose(s) for which each CCRMU at
the facility is or was being used; (4) A description of the physical
and engineering properties of the foundation and abutment materials on
which each CCRMU was constructed; (5) Any further evidence of known
spills or releases of CCR, including any associated remediation
activities, of CCR from each CCRMU and whether the spills or releases
were reported to State or Federal agencies; (6) Any further evidence of
structural instability of each CCRMU; (7) Any further evidence of
groundwater contamination associated or potentially associated with
each CCRMU; (8) The size of each CCRMU, including the general lateral
and vertical dimensions and an estimate of the volume of CCR contained
within the unit; (9) Identification of the types of CCR in each CCRMU;
(10) A narrative description of any closure activities that have
occurred, including any applicable engineering drawings or reports;
(11) A narrative that documents the nature and extent of field
oversight activities and data reviewed as part of the facility
evaluation process, and that lists all data and information that was
reviewed indicating the presence or absence of CCRMU at the facility;
and (12) Any additional supporting information used to identify and
assess CCRMU at the facility, including but not limited to any
construction diagrams, engineering drawings, permit documents,
wastestream flow diagrams, aerial photographs, satellite images,
historical facility maps, any field or analytical data, groundwater
monitoring data or reports, inspection reports, documentation of
interviews with
[[Page 39058]]
current or former facility workers, and other documents or sources of
information used to identify and assess CCRMU at the facility. In
addition, the FER is required to include a certification from a P.E.
stating that the FER meets the requirements at Sec. 257.75(c).
In addition to the information described in numbers (1)-(12) in the
preceding paragraph, Part 2 of the FER must include a narrative that
documents the nature and extent of field oversight activities and data
reviewed as part of the facility evaluation process, and that lists all
data and information reviewed that indicated the absence or presence of
any CCRMU containing one ton or more of CCR at the facility. The
narrative must also discuss how each data gap identified in Part 1 was
addressed. As many commenters stated, the physical examination and any
field work will require the hiring of specialized contractors. EPA
understands this level of field and laboratory work will require a
detailed work plan, and EPA expects the FER Part 1 data gap remedy plan
to reflect this detail, including milestones and time frames for
completion. EPA also anticipates that as field activities commence,
plans to address data gaps may change and/or additional field work may
be necessary based on ongoing discoveries. In these cases, the owner or
operators will need to update the plans accordingly and update the
publicly available information in the Part 1 or Part 2 FER, depending
on the timing of the update.
b. Certification of Facility Evaluation Report--Part 1 and Part 2
The Agency proposed to require that the FER include a certification
from a P.E. stating that the FER meets the requirements at Sec.
257.75(c). Further, the Agency proposed to require that the FER include
a certification to be signed by the owner or operator or an authorized
representative similar to the certification that is required at Sec.
257.102(e) and Sec. 257.102(f) for existing units undergoing closure.
Commenters raised concerns that the rules were not sufficiently
objective or technically precise for a P.E. to be able to certify. One
commenter raised that EPA has indicated that no facility has
successfully implemented the 2015 CCR Rule's requirements to date, even
though facilities have secured the certification of Qualified
Professional Engineers as prescribed by the 2015 CCR Rule.
These commenters have misunderstood the purpose and role of the
P.E. in the FER reports. The P.E. does not make final determinations;
the role of the P.E. is to act as an engineer in information
collection, data gap identification, physical site inspection, and
remedy of data gaps and certify accordingly. As stated in the preamble
of the 2015 CCR Rule, EPA reasoned that the requirement for a P.E.
maintains the most important components of any certification
requirement: (1) That the engineer be qualified to perform the task
based on training and experience; and (2) that she or he be a
professional engineer licensed to practice engineering under the title
Professional Engineer which requires following a code of ethics with
the potential of losing his/her license for negligence. The final rule
requirements are sufficient for an P.E. to implement the final rule and
follow industry standards.
Other commenters raised that the P.E. certification requirement is
overly burdensome and will extend the timeframe to complete the
facility evaluation. EPA has re-structured the process for the FER by
extending the time frame and separated the FER into two parts with
separate and adequate time frames to prepare the reports. When
determining the new compliance deadlines, EPA considered the shortages
and backlogs of qualified contractors as well as the increased strain
on those contractors.
Another commenter asked for EPA to modify or add language to
acknowledge the good faith and due diligence efforts of a P.E.,
especially when considering the age and nature of the potential CCRMUs.
EPA does not agree with this suggestion. As discussed above, EPA
discussed in the preamble of the 2015 CCR Rule that the P.E. follows a
code of ethics with the potential of losing their license for
negligence. As stated in the 2015 CCR Rule preamble, the Agency
maintains that an engineer is able to give fair and technical review
because of the oversight programs established by the State licensing
boards that will subject the professional engineer to penalties,
including the loss of license and potential fines if certifications are
provided when the facts do not warrant it.
EPA does not agree with suggestions to modify the certification and
therefore we are finalizing the certification language as proposed.
c. Facility Evaluation Reports Deadlines
The majority of the comments related to the timing and due date of
the FER report stated that EPA had not allowed sufficient time to
gather the required information and conduct a physical inspection of
the facility. Comments cited many concerns with the proposed time
frame, i.e., the time frame was too short to complete all the tasks
required, for the FER, e.g., the difficulty in collecting historic
information/data that may or may not be accessible at the facility or
place of off-site records retention, the possible extensive volume of
information, reports and/or data that owner or operators would need to
review, the possible iterative nature of field work and sampling, the
impact of seasonal disruptions to field work, the lack of qualified
field personnel and the timing to acquire their services through
contracts. Commenters suggested allowing significantly more time to
complete individual aspects of the FER requirements.
EPA has reviewed the information provided by commenters citing the
shortages and backlogs of qualified contractors, increased strain on
those contractors related to the number of CCR units complying with the
CCR rule simultaneously, difficulty accessing and reviewing historical
documentation, potential seasonal disruptions, and time needed to
perform quality control and quality assurance, and considers it to be
persuasive. After considering these factors EPA has extended the time
frame and separated the FER into two parts with separate and adequate
time frames to prepare the reports.
The FER Part 1 is required to be prepared and placed in the
operating record and posted on the facility's website, pursuant to
Sec. 257.105(f) no later than 15 months after the effective date of
the final rule. This time frame was determined based on suggestions
from commenters as to the time necessary to conduct a thorough review
of historic records, and, if necessary, conduct interviews of those
with facility and site knowledge, and by EPA further considering the
time needed under RCRA Subtitle C and CERCLA to do similar reviews for
historic sites.
The FER Part 2 is required to be prepared and included in the
public record no later than 27 months after the effective date of the
final rule. EPA established this time frame by also considering
suggestions from commenters, who gave examples of timelines to hire
contractors and conduct site work, as well as EPA's own experience and
timelines at RCRA Subtitle C and CERCLA sites for conducting facility
investigations. EPA believes the provided limited additional time is
adequate to perform all necessary tasks under the FER, Part 1 and Part
2 respectively.
After completing the information gathering part of the facility
evaluation process, owners or operators of covered facilities must
compile and place in the operating record information pertaining
[[Page 39059]]
to every CCRMU containing one ton or more of CCR located at the
facility no later than the deadline identified below. Both Part 1 and
Part 2 of the FER must be posted to the facility's CCR publicly
accessible internet site within 30 days of that date. In developing the
list of items to be included in the FER, the Agency examined certain
requirements from existing regulations for History of Construction
reports that must be generated for existing CCR surface impoundments at
Sec. 257.73(c)(1) as well as other requirements necessary to provide
basic information about each CCRMU containing one ton or more of CCR at
the facility.
After gathering the information required for the FER Part 1 (i.e.,
not including a physical evaluation of the facility), the owner or
operator must prepare a Part 1 FER by placing the information required
in the facility's operating record as required by Sec. 257.105(f)(25).
4. Applicable Existing CCR Requirements for CCR Management Units and
Compliance Deadlines
EPA proposed that in addition to the facility evaluation
requirements discussed in Unit III.C.3 of this preamble, owners or
operators of a CCR facility comply with the existing requirements in
part 257 for fugitive dust, groundwater monitoring, corrective action,
closure, post-closure care, recordkeeping, notification, and internet
posting. As explained in the preamble of the proposed rule, these
requirements are intended to address the risks posed by any existing
releases of CCR or CCR constituents to the groundwater, regardless of
when the CCR was placed in the units and prevent future releases. The
other existing requirements in 40 CFR part 257, subpart D are not
necessary for CCRMU. For example, (1) since CCRMU should not contain
sufficient liquids to create a hydraulic head or to otherwise cause the
conditions that might lead to a structural failure, the structural
stability requirements are not appropriate; (2) similar to legacy CCR
surface impoundments, since CCRMU are existing units and will be
required to close, the location restriction and liner design
requirements would not be appropriate. EPA proposed that the fugitive
dust, groundwater monitoring, corrective action, closure, post-closure
care, recordkeeping, notification, and internet posting requirements
apply to all CCRMU at active facilities and at inactive facilities with
one or more legacy CCR surface impoundment.
Several commenters generally supported the regulatory approach,
although a commenter suggested that CCRMU be subject to more existing
CCR regulations, namely the location restrictions at Sec. Sec. 257.60
through 257.64, the liner design criteria at Sec. 257.71, and the
structural stability requirements at Sec. 257.73. This commenter
stated that these requirements were necessary to protect human health
and the environment from the risk of failure posed by poorly
constructed and sited CCRMU and to provide information ``critical'' to
developing unit closure plans and any necessary corrective action.
EPA disagrees that generally applying location restrictions, the
structural stability requirements, and the liner design criteria to
CCRMU would be appropriate. First, as explained in the proposed rule,
the structural stability criteria are more appropriate for operational
units and those units that maintain a hydraulic head. Second, the
consequence of failing to comply with the location restrictions and
liner design criteria requirements is closure by a specific date. 40
CFR 257.101(a) through (b)(1). Except for those situations described in
Unit III.C.4.e (i.e., deferral for CCRMU beneath critical
infrastructure and deferral for CCRMU closed under a regulatory
authority), because CCRMU are not operational CCR units and will in any
event be required to close, the consequence for failure to comply with
location restrictions or the liner design criteria (i.e., ceased
receipt of waste and closure) is moot. Additionally, the commenter
failed to identify any information necessary for conducting corrective
action pursuant to Sec. Sec. 257.96 through 257.98 or closure in
accordance with Sec. Sec. 257.101 and 257.102 that would be gained by
requiring CCRMU to comply with the location restrictions or liner
design criteria that would not be gained by compliance with the
facility evaluation and groundwater monitoring requirements.
Other commenters opposed the regulation of CCRMU holistically,
citing lack of authority or lack of demonstrated risk to human health
or the environment from CCRMU. Other commenters opposed EPA's proposal
to apply specific existing requirements to CCRMU (i.e., groundwater
monitoring, corrective action, closure). Several of the commenters that
opposed requiring CCRMU to comply with the existing regulations stated
that applying a ``one-size-fits-all'' approach to CCRMU was not
appropriate due to the variety of units that would be captured in the
definition of CCMRU and suggested the EPA wait to regulate these units
until site-specific requirements could be developed (i.e., permitting
programs). Comments regarding lack of authority or lack of demonstrated
risk from CCRMU are summarized and addressed in Units III.A and
III.C.2.a.i of this preamble, respectively. Comments about the
applicability of specific existing requirements are described and
responded to in later portions of this unit (Unit III.C.4). Regarding
comments about the existing regulations being what commenters
characterized as a ``one-size-fits-all'' approach to the variety of CCR
units captured under the definition of CCRMU, EPA disagrees that the
existing regulations are not holistically appropriate to apply to CCRMU
or to address the potential risk from these units. Furthermore,
commenters did not provide suggestions on how to regulate these units
under the existing regulatory framework (i.e., self-implementing rule)
and EPA, as explained in Units III.A and III.C.1, finds the risks posed
by these units to be not only credible but significant enough to
warrant regulation at this time (i.e., under the self-implementing rule
as opposed to waiting until the Federal permitting program is
established).
In response to comments and for the reasons laid out below, EPA is
finalizing the requirements for CCRMU to comply with fugitive dust,
groundwater monitoring, corrective action, closure, post-closure care,
recordkeeping, notification, and internet posting requirements. These
requirements apply to all CCRMU at active CCR facilities, at inactive
facilities with one or more legacy CCR surface impoundments, and at
active facilities that ceased placement of CCR in onsite CCR units
before October 19, 2015, regardless of how or when the CCR was placed
in the CCRMU. These issues are discussed in more detail in this Unit of
the preamble.
a. Compliance Deadlines for CCR Management Units
EPA proposed compliance deadlines for CCRMU that closely aligned to
the proposed compliance deadlines for legacy CCR surface impoundments.
The proposed rule explained that the 2015 CCR Rule compliance deadlines
were based on the amount of time determined to be necessary to
implement the requirements and the proposed compliance dates for legacy
CCR surface impoundments, and CCRMU were determined using the same
approach. The proposed rule further explained that some factors
considered in determining the 2015 CCR Rule compliance deadlines were
not relevant for CCRMU, such as the need to coordinate compliance
deadlines with
[[Page 39060]]
the then recently promulgated ELG rule. In addition, EPA anticipated
most owners or operators of CCRMU would already be familiar with the
existing regulations, and therefore most of the proposed requirements
for CCRMU. Consequently, EPA proposed generally expedited deadlines, as
compared to the 2015 CCR Rule deadlines, based on the expected shortest
average amount of time needed to complete the necessary activities to
meet the requirements. In the proposed rule, EPA requested comment on
the proposed compliance deadlines and the feasibility of meeting the
proposed compliance time frames for CCRMU.
EPA received numerous comments regarding the proposed compliance
deadlines. Several commenters expressed support for the proposed
compliance deadlines for CCRMU. Generally, these commenters stated that
expedited compliance was appropriate due to significant risk posed by
these units, the likelihood that these units are actively contaminating
groundwater, and the urgent need for corrective action to address that
contamination for the protection of human health and the environment.
Some of these commenters echoed the proposed rule, stating that owners'
or operators' familiarity with the existing requirements, along with
the fact that these units are no longer in use and therefore would not
need time to cease receipt of waste, further justified the expedited
deadlines.
Many other commenters stated the proposed compliance deadlines were
infeasible and should, at a minimum, allow as much time for compliance
as the 2015 CCR Rule deadlines, although several commenters expressed
that even the 2015 CCR Rule deadlines were inadequate, and that the
insufficient time frames were likely a factor in the gap between EPA's
expectations and facilities' good faith efforts and utilization of best
practices in developing groundwater monitoring networks, sampling and
analysis plans, corrective action programs, and closure plans.
Commenters pointed to several factors that they believed EPA did not
fully incorporate into the proposed deadline calculations that make
compliance with the proposed deadlines infeasible: EPA's grossly
underestimated number of CCRMU; the large number of CCR units (i.e.,
existing CCR units, legacy CCR surface impoundments, CCRMU) competing
for limited resources to meet overlapping compliance deadlines; the
limited number of qualified contractors available to conduct necessary
activities to reach the compliance deadlines; the nationwide labor
shortage exacerbated by impacts from the COVID-19 pandemic; limited
existing alternative disposal options; overlapping regulatory
requirements (e.g., State drilling permits, timing restrictions related
to protected habitats, State CCR permits, Consent Decrees/Orders);
seasonality impacts in different regions across the nation; and
accessibility and completeness, or lack thereof, of historical
documentation and information. One commenter provided specific
information regarding typical delays experienced during the
implementation of the 2015 CCR Rule caused by third-party availability
and backlogs: two to four weeks for contractor mobilization; two to six
weeks for site clearing; two to three weeks for surveys; three to 12
weeks for environmental drillers; and three to four weeks for
laboratory analyses. These commenters also said EPA grossly
underestimated the amount of time needed to hire a contractor, locate
and review historical information, access historical or heavily
vegetated portions of facilities, characterize and delineate a site,
comply with the groundwater monitoring requirements, and conduct
quality control or quality assurance on data and reports. Several of
these commenters expressed the belief that the proposed deadlines would
result in unintentional non-compliance despite facilities' best efforts
to comply due to the constraints listed above. Finally, a few
commenters suggested EPA create alternative deadlines or mechanisms for
extensions based on site-specific characteristics.
In response to comments, EPA reevaluated the compliance deadlines
for CCRMU. EPA reconsidered the impact of the following on the amount
of time facilities needed to complete the activities involved in
meeting the requirements: the potential size of the CCRMU universe;
accessibility and abundance, or lack thereof, of historical
documentation; seasonality; clearing restrictions and required local
and State approvals to clear vegetation or drill wells; need to
coordinate with local or State regulatory authorities; existing
disposal options; impact of the national labor shortage and contractor
and laboratory backlogs; and the strain on limited resources from
overlapping compliance deadlines for legacy CCR surface impoundments,
existing units (i.e., groundwater monitoring, closure, and post-closure
care), and CCRMU. Overall, EPA found the information provided regarding
the infeasibility of the proposed deadlines convincing. Specifically,
EPA acknowledges the potential for an underestimation of the CCRMU
universe given the number of comments received regarding non-
containerized CCR historically being spread across facilities.
Additionally, EPA agrees that the shortage of qualified contractors and
laboratory resources has persisted, if not increased, since the 2015
CCR Rule and that the increasing demand on these finite resources from
new and existing CCR units, legacy CCR surface impoundments, and CCRMU
complying with overlapping requirement deadlines will likely result in
additional delays. EPA acknowledges that the proposed deadlines did not
adequately account for those nationwide impacts of seasonality and
extreme weather events; necessary coordination with outside parties
(e.g., State agencies, local governments); locating disposal capacity
for those units closing by removal; the need to comply with overlapping
regulatory requirements, such as State drilling permits or timing
restrictions related to protected habitats; or necessary quality
assurance and quality control in calculating the proposed deadlines.
Furthermore, as detailed in Unit III.C.3.c, EPA recognizes that the
proposed CCRMU deadlines did not provide sufficient time for the
completion of the FER which serves as the prerequisite requirement for
all other CCRMU requirements. Additionally, the concurrent deadlines
for legacy CCR surface impoundments and CCRMU did not allow for
inactive facilities to first determine if there is a legacy CCR surface
impoundments onsite before complying with the CCRMU regulations.
Therefore, as detailed in Units III.C.3 and III.C.4.c through e, EPA
extended the deadlines for CCRMU to provide: (1) At least as much time
facilities had to come into compliance with the 2015 CCR Rule, (2)
Sufficient time for owners or operators to complete a robust FER, and
(3) Additional time such that the deadlines for legacy CCR surface
impoundment do not coincide with the CCRMU deadlines, with the
exception of the requirement to establish a CCR website and the
completion of the history of construction (for legacy CCR surface
impoundments) and the FER Part 1 (for CCRMU) which can be conducted
concurrently. These extended deadlines for CCRMU will mitigate factors
mentioned by commenters that convinced EPA the proposed deadlines would
be infeasible for CCRMU. Overall, most of the comments EPA received
supported deadlines that allowed at least as much time as EPA
originally provided in the 2015 CCR Rule.
[[Page 39061]]
Note that all deadlines herein are framed by reference to the
effective date of the rule; the final rule will be effective six months
after publication of the final rule. Accordingly, facilities will have
an additional six months beyond the deadlines to come into compliance.
The Agency has included a document in the docket for this rule that
summarizes the finalized compliance deadlines.\142\
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\142\ A document ``Final Rule Compliance Deadlines for CCR
Management Units. April 2024.'' is available in the docket for this
action.
Table 2--Final Compliance Time Frames for CCRMU
----------------------------------------------------------------------------------------------------------------
Description of Deadline (months after
40 CFR Part 257, Subpart D requirement to be effective date of the Date
requirement completed final rule)
----------------------------------------------------------------------------------------------------------------
Internet Posting (Sec. 257.107).... Establish CCR website.. 15..................... Monday, February 9,
2026.
Facility Evaluation Report (Sec. Complete the Facility 15..................... Monday, February 9,
257.75). Evaluation Report Part 2026.
1.
Facility Evaluation Report (Sec. Complete the Facility 27..................... Monday, February, 8,
257.75). Evaluation Report Part 2027.
2.
GWMCA (Sec. 257.91)................ Install the groundwater 42..................... Monday, May 8, 2028.
monitoring system.
GWMCA (Sec. 257.93)................ Develop the groundwater 42..................... Monday, May 8, 2028.
sampling and analysis
program.
GWMCA (Sec. Sec. 257.90-257.95)... Initiate the detection 42..................... Monday, May 8, 2028.
monitoring and
assessment monitoring.
Begin evaluating the
groundwater monitoring
data for SSIs over
background levels and
SSLs over GWPS.
GWMCA (Sec. 257.90(e))............. Complete the initial January 31, 2029....... January 31, 2029.
annual GWMCA report.
Closure (Sec. 257.102)............. Prepare written closure 48..................... Wednesday, November 8,
plan. 2028.
Post-Closure Care (Sec. 257.104)... Prepare written post- 48..................... Wednesday, November 8,
closure care plan. 2028.
Closure and Post-Closure Care (Sec. Initiate closure....... 54..................... Tuesday, May 8, 2029.
257.101).
----------------------------------------------------------------------------------------------------------------
b. Fugitive Dust Requirements for CCR Management Units
The air criteria in the existing regulations address the pollution
caused by windblown dust by requiring the owners or operators of CCR
units to minimize CCR from becoming airborne at the facility. 40 CFR
257.80. These requirements apply to the entire facility, which means
that the owner or operator is required to minimize CCR fugitive dust
originating not only from the CCR unit, but also from roads and other
CCR management and material handling activities at the facility.
Consequently, under the proposal, CCRMU would already be covered by the
fugitive dust requirements in Sec. 257.80 because CCRMU are located at
facilities with a CCR unit. EPA therefore only proposed to make those
changes to the fugitive dust requirements in Sec. 257.80 that are
necessary to make clear that these requirements also apply to CCRMU.
Specifically, EPA proposed to amend the regulations to add ``CCRMU'' to
the list of units subject to the requirements under Sec. 257.80 and
associated provisions under Sec. Sec. 257.105 through 257.107.
Additionally, EPA solicited comments on amending Sec. 257.80(b)(6) to
include a deadline for facilities to amend the fugitive dust control
plan no later than 30 days following a triggering event, such as the
closure of a CCRMU or change in facility or CCR unit operations.
No commenters raised concern about requiring CCRMU to comply with
the existing requirements in Sec. 257.80. EPA is therefore finalizing
this provision without revision.
One commenter supported creating a deadline for the amendment of
the fugitive dust plan no later than 30 days following a triggering
event. This commenter went on to suggest that EPA further revise Sec.
257.80 to require owners or operators to notify potentially impacted
populations including residents living within three miles of the plant,
populations potentially impacted by transportation of CCR, and
residents living near disposal areas where CCR will be off-loaded and
disposed and to require air monitoring at excavation sites and plant
boundaries. The commenter was not clear on the circumstances in which
owners or operators would notify potentially impacted population or
what these populations would be notified of and did not provide a
factual basis to support the need for air monitoring at regulated CCR
units. Therefore, EPA is therefore only finalizing an amendment to
Sec. 257.80(b)(6) to require owners or operators to amend the fugitive
dust plan no later than 30 days following a triggering event, such as
the closure of a CCR unit or change in facility or CCR unit operations.
c. Groundwater Monitoring and Corrective Action Requirements for CCR
Management Units
EPA proposed to require CCRMU to comply with the existing
groundwater monitoring and corrective action criteria in 40 CFR 257.90
through 257.98, with one revision, to require sampling and analysis of
constituents listed in Appendix IV at the same time as those listed in
Appendix III. As explained in the proposed rule at 88 FR 32003,
Sec. Sec. 257.90 through 257.95 require owners or operators of a CCR
unit to install a system of monitoring wells, specify procedures for
sampling these wells, and set forth methods for analyzing the
groundwater data collected to detect hazardous constituents (e.g.,
toxic metals) and other monitoring parameters (e.g., pH, total
dissolved solids) released from the units. If the groundwater
monitoring required in Sec. 257.95, demonstrates an exceedance of the
groundwater protection standards for constituents identified in
Appendix IV of part 257, corrective action is required as laid out in
Sec. Sec. 257.96 through 257.98. These requirements apply until
closure in accordance with Sec. 257.102(c) is
[[Page 39062]]
complete or the post-closure care period of the CCRMU ends.
Several commenters expressed support for requiring CCRMU to comply
with these groundwater monitoring and corrective action requirements,
stating CCRMU can and have caused groundwater contamination. Some
commenters suggested additional requirements be added to those in
Sec. Sec. 257.90 through 257.98, including a mandate to test
groundwater quality outside the boundary of the facility and make those
results public, a deadline for the completion of the selection of
remedy required by Sec. 257.97, and a prohibition against using
intrawell groundwater data comparisons at CCRMU. However, other
commenters stated that applying the existing groundwater monitoring and
corrective action requirements to CCRMU is not appropriate and
suggested that instead EPA incorporate flexibility into the CCRMU
regulations by providing for alternative groundwater monitoring
standards and site-specific risk-based corrective action into the CCR
regulations. These commenters suggested groundwater monitoring
standards that allow owners or operators to complete evaluations to
determine if Appendix IV constituents are above the GWPS instead of
conducting monitoring, allowing a site-wide groundwater network, and
exempting units from groundwater monitoring when owners or operators
are able to demonstrate through site-specific risk assessments there is
no probable risk to groundwater. These commenters said these
alternative approaches are necessary to address the overburdensome
nature of compliance with groundwater monitoring and corrective action
when a unit has already completed closure under a State authority and
when units are completing groundwater monitoring under a State or other
Federal program. Some of these commenters stated that EPA does not have
the record to demonstrate potential risk from these units to justify
requiring groundwater monitoring and corrective action as laid out in
the existing regulations, especially for units that have already
completed closure under a State authority. Other commenters said that
flexibility is needed due to the diversity of CCR units captured in the
definition of CCRMU, age of some of the units, and overlapping State
requirements.
EPA further proposed two deadlines for the groundwater monitoring
requirements, as opposed to the single deadline in the 2015 CCR Rule.
EPA received numerous comments on EPA's proposal to split the single
deadline for groundwater monitoring requirements contained within the
2015 CCR Rule (24 months from the effective date of the final 2015
rule) into two separate deadlines (six months from the effective date
of the final rule for the installation of the groundwater monitoring
network and development of the groundwater sampling and analysis plan
and 24 months from the effective date of the final rule for the
initiation of the combined detection and assessment monitoring). A few
commenters expressed support of the two separate deadlines for
groundwater monitoring requirements, stating it increased
accountability and ensured owners or operators were not unnecessarily
delaying the installation of the groundwater monitoring system.
However, overall, commenters stated that the groundwater monitoring
requirements should have a single deadline as the separate deadlines
made compliance with the rule infeasible. Several commenters said the
proposed split deadlines eliminated the flexibility necessary for
compliance that was contained within the 2015 CCR Rule's single
deadline. Those commenters went on to say the single deadline allowed
facilities to accommodate for delays associated with factors outside
their control, such as third-party availability, weather, and required
permits or approvals, by making schedule adjustments necessary to
achieve compliance (e.g., expedite the development of the sampling plan
in the case of delays with the well installation). Other commenters
said the proposed two deadlines were unnecessarily prescriptive. One
commenter pointed out that the proposed rule contained no deliverables
to verify compliance for the installation of wells or the development
of the sampling and analysis plan.
As explained in the proposed rule, the existing groundwater
monitoring and corrective action requirements are essentially the same
requirements that have been applied to both hazardous waste and
municipal solid waste disposal units for decades, and with the one
exception discussed below, there is nothing about CCRMU that makes them
distinct enough to warrant separate groundwater monitoring requirements
from other CCR units. No commenter provided any factual basis for
treating CCRMU differently than all of the other units that currently
comply with the same groundwater monitoring and corrective action
requirements. Specifically, for commenters who requested alternative
groundwater monitoring requirements to allow site-wide or property-
boundary groundwater monitoring due to the potential presence of CCRMU
across the facility, the commenters failed to explain how the
provisions at Sec. 257.91(d), which allow for multiunit groundwater
monitoring systems fail to address their concern.
Regarding the request for alternative groundwater monitoring
criteria to mitigate the inappropriateness of requiring compliance with
the CCR groundwater monitoring and corrective action requirements when
the CCRMU has already completed closure under a State authority or when
the CCRMU is already subject to another State or Federal groundwater
monitoring program, the commenters did not provide any factual or
specific information to support the conclusions that groundwater
monitoring and corrective action is not appropriate for all CCRMU that
have completed closure under a State authority or that utilizing or
augmenting an existing groundwater monitoring network that may have
been required as part of the State closure or other groundwater
monitoring program would be infeasible or inappropriate. Furthermore,
as explained in Unit III.C.4.e, EPA received comments regarding State
closures during which no groundwater monitoring was required, thereby
highlighting the need for groundwater monitoring and corrective action,
if necessary, even in situations in which closure has been completed
under a State authority.
For those commenters requesting that EPA adopt ``risk-based
groundwater monitoring and corrective action'' into the requirements,
EPA notes that the commenters have provided no further explanation of
what requirements in the existing regulations they wanted EPA to
revise, what the revisions should accomplish, or any factual basis for
why they are necessary or appropriate. As a general matter EPA
considers that the corrective action regulations in Sec. Sec. 257.95
through 257.98 do currently require facilities to tailor remedies to
address the risks to human health and the environment, based on the
conditions at the site. It is unclear what more the commenters are
seeking. Accordingly, EPA is finalizing the proposal that CCRMU comply
with the existing groundwater monitoring and corrective action
requirements with one modification, combined detection and assessment
monitoring.
However, EPA agrees that having a single deadline for groundwater
monitoring requirements as opposed to two deadlines allows flexibility
to complete tasks, such as installing groundwater wells and collecting
[[Page 39063]]
independent samples, that is necessary for compliance with a nationwide
rule. The activities involved in achieving compliance with the
groundwater monitoring requirements (i.e., drilling wells, collecting
samples, receiving lab results) are more susceptible to factors outside
a facility's control, such as extreme weather events, shortages of
qualified contractors, and permitting or approval delays, and
therefore, warrant greater flexibility. Additionally, activities can be
restricted dependent on the time of year and the location of the
facility (e.g., due to seasonality, protected species, clearing
restrictions). Because the groundwater monitoring requirements build
upon each other, EPA must ensure that facilities nationwide are
reasonably able to achieve regulatory compliance by the deadline.
Utilizing a single deadline for the groundwater monitoring requirements
allows facilities to make reasonable accommodations for regional
factors in a way the proposed deadlines do not, while still maintaining
the same level of protection for human health and the environment.
Furthermore, EPA agrees that the proposed rule does not have a clear
mechanism for facilities to prove compliance or for interested parties
to verify compliance with the separate deadlines for the installation
of the groundwater monitoring network and the development of the
groundwater sampling and analysis plan.
As stated in Unit III.C.4.a, EPA recognizes that the proposed CCRMU
deadlines did not provide sufficient time for the completion of the FER
and therefore extended the deadline for the completion of the FER by 24
months as detailed in Unit III.C.3.c. The FER informs the owner or
operator of the presence or absence of CCRMU at the facility, which is
vital information for the completion of the groundwater monitoring
system requirements (i.e., design and installation of the groundwater
monitoring system). As such, the deadline for the groundwater
monitoring requirements must be extended as well to allow owners or
operators time to locate CCRMU as part of the FER. Furthermore, EPA was
convinced that the deadlines for compliance with the legacy CCR surface
impoundments and CCRMU requirements should be offset to mitigate
impacts mentioned by commenters regarding the current labor shortages
and backlogs experienced by third-parties necessary to accomplish tasks
involved in complying with the groundwater monitoring requirements
(e.g., drillers for well installation, laboratories for sample
analysis) and the need for owners or operator of inactive facilities to
first determine if there are legacy CCR surface impoundments onsite.
Finally, based on the above-mentioned factors and the information
provided by commenters, specifically the information regarding the
suspected underestimation of the CCRMU universe due to historic
facility-wide placement of non-containerized CCR on land, time needed
to obtain necessary approvals (e.g., State permits to drill water wells
or clear vegetation), and to accommodate for seasonality, EPA has
calculated 18 months as the appropriate extension of the groundwater
monitoring system deadlines for the latest groundwater monitoring
requirement. In the proposed rule, the latest proposed deadline for
groundwater monitoring requirements was the deadline of 24 months from
the effective date of this final rule for the initiation of the
combined detection and assessment monitoring and the collection of the
eight baseline samples. Therefore, EPA is finalizing a single deadline
of no later than 42 months after the effective date of this final rule
for the groundwater monitoring requirements found at Sec. Sec. 257.90
through 257.95.
i. Design and Installation of the Groundwater Monitoring System for CCR
Management Units
EPA proposed that owners or operators of CCRMU install the
groundwater monitoring system as required by Sec. 257.91 no later than
six months from the effective date of this final rule. EPA further
proposed that existing monitoring wells can be used as a part of the
CCRMU groundwater monitoring systems provided the wells meet the
Federal criteria. As explained in the proposed rule, based on the
amount of time most facilities needed to complete or to collect
baseline sampling, EPA calculated that facilities would be able to
install the necessary monitoring wells within a single year.
As mentioned earlier, some commenters supported the expedited
deadlines. However, most commenters stated the proposed deadline of six
months from the effective date of the final rule for the design and
installation of the groundwater monitoring network was infeasible and
should be extended to no less than 24 months from the effective date to
align with the 2015 rule deadline. As explained above, many of these
commenters expressed the need for a single deadline for groundwater
monitoring requirements. Furthermore, as described in Unit III.C.4.a of
this preamble, these commenters cited seasonality restrictions, the
nationwide labor shortages, limited qualified contractor availability,
the need for State approvals and permits, and the number of facilities
competing for limited resources as reasons for why the proposed
expedited deadline is infeasible. A few commenters noted that in recent
decisions on Part A demonstrations, EPA cited deficiencies in the
groundwater monitoring network as a basis for noncompliance. These
commenters went on to state that the proposed deadline does not
facilitate the establishment of a monitoring system that would meet the
standards laid out in the CCR rule or the recent proposed decisions and
thus, the proposed deadline creates de facto non-compliance. Some of
these commenters elaborated by saying that the deadline does not allow
facilities to acquire the permits that may be required to drill wells
and precludes the observation of groundwater levels over time, which is
needed to properly characterize groundwater flow. Other commenters
stated meeting the proposed compliance deadline would prevent a
facility from conducting proper site characterization, which is needed
to inform well placement and depth and providing P.E.s sufficient
information to certify the groundwater monitoring system. Lastly,
commenters stated that contrary to EPA's assertion in the proposed rule
that expediting the installation of the groundwater monitoring network
is protective of human health and the environment, to meet the proposed
deadline, facilities would likely be forced to design groundwater
monitoring systems based on inadequate data resulting in unreliable
groundwater monitoring data. Commenters provided estimates of time
needed to comply with the design and installation of the groundwater
monitoring system requirements ranging from nine to 36 months.
As stated in Unit III.C.4.a of this preamble, in response to
comments EPA reevaluated the compliance deadline for the design and
installation of the groundwater monitoring network and found the
information provided regarding the general infeasibility of the
proposed deadline compelling. Specifically, EPA agrees that more time
is needed to allow inactive facilities time to determine if a legacy
CCR surface impoundment is online prior to complying with the CCRMU
requirements and to account for limited third-party availability (e.g.,
contractor shortages and laboratory backlogs), seasonality and extreme
weather events, procuring a contractor, complying with
[[Page 39064]]
overlapping regulatory requirements, and coordinating with outside
parties. EPA acknowledges the importance of proper site
characterization as the foundation for designing a groundwater
monitoring system and is convinced that although there may be some
facilities that have adequate information for site characterization,
many of these facilities, especially inactive facilities, may need to
conduct more extensive site reconnaissance and field work to obtain the
necessary information due to the widespread use of non-containerized
CCR across facilities. EPA further recognizes that groundwater
monitoring systems designed using inadequate data would be unable to
properly monitor groundwater quality coming from the unit and therefore
would not be protective of human health and the environment. Lastly,
because EPA is convinced by information from the commenters that
facilities would be unable to conduct all the steps necessary to design
and install a groundwater monitoring system capable of meeting the
standards in Sec. 257.91 by the proposed deadline, EPA has extended
the deadline.
As stated in Unit III.C.4.c, based on information provided by
commenters, EPA concluded that a single deadline of 42 months from the
effective date of this final rule should be used for the groundwater
monitoring requirements. Therefore, EPA is finalizing a deadline for
the completion of the design and installation of the groundwater
monitoring system of no later than Monday, May 8, 2028, which is 42
months from the effective date of this final rule. This is codified in
the regulatory text at Sec. 257.90(b)(3)(i).
To complete the installation of the groundwater monitoring system,
the owner or operator of a CCRMU must ensure the monitoring system
consists of sufficient number of wells both upgradient and downgradient
of the CCR unit, installed at appropriate locations and depths, to
yield groundwater samples from the uppermost aquifer that accurately
represent the quality of background groundwater and groundwater passing
the downgradient waste boundary of the CCR unit, monitoring all
potential contaminant pathways. 40 CFR 257.91(a)(1) through (2).
Because hydrogeologic conditions vary so widely from one site to
another, the regulations do not prescribe the exact number, location,
and depth of monitoring wells needed to achieve the general performance
standard. Rather the regulation requires installation of a minimum of
one upgradient and three downgradient wells, as well as any additional
monitoring wells necessary to achieve the general performance standard
of accurately representing the quality of the background groundwater
and the groundwater passing. See, 80 FR 21399. The number and placement
of the monitoring wells is critical to proper characterization of the
groundwater. Thus, the specific number, spacing, and depth of the
monitoring wells must be determined based on site-specific information,
including but not limited to the thorough characterization of aquifer
thickness, groundwater flow rate, groundwater flow direction throughout
seasonal and temporal fluctuations, the unit's geological setting, and
the unit's hydrogeological setting.
The monitoring wells must be cased, constructed, operated, and
maintained in a way that preserves the integrity of the monitoring well
borehole, screened interval and other components so as to ensure the
well performs to the design specifications throughout the life of the
monitoring system. EPA expects owners or operators to ensure the
groundwater monitoring wells are adequately protected from activities
that may damage the wells or otherwise adversely impact their
performance, such as accidental damage caused by livestock, vehicles,
machinery, or other activities near the unit.
The owner or operator of the unit must ensure that the design,
installation, development, and decommissioning of any aspect of the
groundwater monitoring system is thoroughly documented and included in
the operating record. Furthermore, the owner or operator must obtain a
P.E. certification or approval from the Participating State Director or
EPA stating the groundwater monitoring system meets the standards set
out in Sec. 257.91.
ii. Development of the Groundwater Sampling and Analysis Plan for CCR
Management Units
EPA proposed to require owners or operators of CCRMU to comply with
the existing groundwater sampling and analysis program requirements for
CCR units, including the selection of the statistical procedures that
will be used for evaluating groundwater monitoring data. 40 CFR 257.93.
EPA proposed a deadline of no later than six months after the effective
date of the final rule for owners or operators to comply with this
requirement.
One commenter suggested EPA prohibit use of intrawell groundwater
data comparisons for CCRMU. This commenter stated that intrawell
comparisons are only appropriate when the background samples are
collected before CCR was placed in the unit and therefore, since these
units are likely already contaminating groundwater, they would be
ineligible for intrawell data comparisons. Other commenters requested
EPA allow alternative groundwater monitoring requirements, such as
alternative groundwater sampling procedures and statistical analysis
because of the inability to collect groundwater samples unaffected by
CCR at some facilities due to the number of CCRMU at the site. As
stated in Unit III.C.4.c, the existing groundwater monitoring and
corrective action requirements are essentially the same requirements
that have been applied to both hazardous waste and municipal solid
waste disposal units for decades, and with the one exception discussed
below, there is nothing about CCRMU that makes them distinct enough to
warrant separate or additional requirements. Furthermore, while EPA
expects many CCRMU have leaked or are potentially leaking, the
commenter did not provide any evidence for creating a prohibition
against intrawell data comparisons. Therefore, EPA will not be
finalizing a prohibition on intrawell data comparisons at CCRMU.
However, EPA acknowledges that since the 2015 CCR Rule went into
effect, intrawell groundwater data comparisons have been misused to a
large degree. Regarding the commenter who stated that the owner or
operator would be unable to accurately represent background groundwater
quality due to the potential extensive presence of CCRMU across the
facility, during implementation of the 2015 CCR Rule, EPA has not found
a situation in which representing background groundwater quality was
impossible nor does EPA believe such a situation exists, as owners or
operators are allowed to collect samples as far upgradient as needed,
even offsite, to ensure that the groundwater sample is not impacted by
CCR. Additionally, at Sec. 257.91(a)(1), EPA allows the owner or
operator to collect background groundwater samples at other
representative wells when hydrogeologic condition do not allow the
determination of what wells are hydraulically upgradient wells or when
other wells are more representative of background groundwater quality
than upgradient wells. Furthermore, the commenter's assertion relied
solely on the exhaustive presence of CCRMU at the facility as evidence
of the inability to represent background water quality and did not
provide any factual basis to support their claim that the requirement
to
[[Page 39065]]
establish background groundwater quality as part of the groundwater
monitoring requirements is infeasible. EPA is therefore finalizing this
provision without revision. This is codified in the regulatory text at
Sec. 257.90(b)(3)(ii).
EPA received several comments on the proposed deadline for the
development of the groundwater sampling and analysis plan. As mentioned
in Unit III.C.4.c, some commenters supported the expedited deadline.
However, several other commenters pointed out that the sampling and
analysis plan cannot be completed prior to the collection of the
baseline samples, which had a proposed deadline of 24 months from the
effective date. Many of these commenters went on to state that the
proposed expedited deadline for the development of the sampling and
analysis plan could result in too frequent sampling leading to non-
independent, autocorrelated baseline samples for a large number of
facilities, undermining the required statistical analysis. A few
commenters further stated that EPA published decisions on Part A and
Part B demonstrations citing lack of statistical independence in
sampling as a basis for non-compliance, and failure for EPA to extend
the deadline for the sampling and analysis plan to allow adequate time
for facilities nationwide to gather independent samples would create de
facto non-compliance.\143\ Commenters also said that the proposed
deadlines do not account for the backlogs already experienced due to
the existing CCR units using the small number of laboratories qualified
to conduct the specialized analyses required by the rule, coupled with
the national labor shortages. The commenters predicted the backlogs
with laboratories will only increase with the regulation of legacy CCR
surface impoundments and CCRMU, making the proposed deadlines even more
infeasible. Finally, as mentioned in Unit III.C.4.c, commenters
emphasized the need for one deadline for all groundwater monitoring
requirements.
---------------------------------------------------------------------------
\143\ On January 25, 2023, EPA proposed determinations on six
Part B applications for alternate liner demonstrations (``Part B'').
All six proposals are proposed denials. The CCR Part B Final Rule
(85 FR 72506, November 12, 2020), allowed a limited number of
facilities to demonstrate to EPA or a Participating State Director
that, based on groundwater data and the design of a particular
surface impoundment, the unit has and will continue to ensure there
is no reasonable probability of adverse effects to human health and
the environment.
---------------------------------------------------------------------------
EPA agrees that a sampling and analysis plan cannot reasonably be
completed before the collection of baseline samples. EPA also
acknowledges the adverse impact of too frequent sampling on the
validity of statistical analysis and the need to account for seasonal
variability in groundwater flow, groundwater levels, and constituent
concentrations. EPA further acknowledges that providing insufficient
time for the collection of baseline samples or the development of the
sampling and analysis plan would likely result in ineffective
groundwater monitoring programs that may fail to alert facilities to
groundwater contamination coming from CCR units. As explained in Unit
III.C.4.a and Unit III.C.4.c respectively, EPA recognizes the need for
more time to accommodate third-party availability and a single deadline
for the groundwater monitoring requirements. As stated in Unit
III.C.4.c.i, for the reasons laid out above, EPA is finalizing a single
deadline for the groundwater monitoring requirements of no later than
Monday, May 8, 2028, which is 42 months from the effective date of this
final rule. This is codified in the regulatory text at Sec.
257.90(b)(3)(ii).
The owner or operator must develop the groundwater sampling and
analysis program that satisfies the requirements in Sec. 257.93 and
includes a list of monitoring wells to be sampled (i.e., the monitoring
network), the schedule for sampling, sampling procedures and
techniques, sample preservation and shipping protocols, analytical
procedures including an appropriate statistical method for analysis,
and quality assurance and quality control methods. The sampling and
analysis plan must include all analytes listed in Appendix III and
Appendix IV. Recommendations and information on how to comply with many
of the requirements for the groundwater sampling and analysis program
(e.g., analytical procedures, QA/QC controls, sampling protocol) can be
found in the following EPA guidance documents (e.g., RCRA Groundwater
Monitoring: Draft Technical Guidance, 1992, EPA/530/R-93/001; Low-Flow
(Minimal Drawdown) Ground-Water Sampling Procedures, 1996, EPA/540/S-
95/504).
iii. Detection Monitoring Program and Assessment Monitoring Program
Combined
EPA proposed to require sampling and analysis of constituents
listed in Appendix IV at the same time as those listed in Appendix III.
The proposed rule explained that this would expedite groundwater
monitoring and initiation of corrective action by at least six months
at sites where units have potentially been leaking for a long period of
time, as is likely the case at CCRMU. The proposed rule further
explained that the expediting Appendix IV constituent detection and any
resulting corrective action is necessary for the protection of human
health and the environment. EPA proposed no other revisions to the
existing groundwater monitoring requirements in Sec. Sec. 257.90
through 257.95.
EPA received several comments on its proposal to combine detection
and assessment monitoring. One commenter pointed out the increased
demand on laboratory services, facility staff and/or contractors, and
professional engineers that would result from having CCRMU comply with
both monitoring programs simultaneously. Another commenter stated that
by combining detection and assessment monitoring and assuming
groundwater contamination, EPA has rendered detection monitoring
superfluous. Further, the commenter asserted that skipping detection
monitoring entirely would lose critical data regarding whether there
are statistically significant increases in groundwater constituents
specifically due to the unit being monitored. One commenter stated that
EPA lacked the record demonstrating risk posed by CCRMU to warrant
combined detection and assessment monitoring and should either maintain
the approach in the existing regulations or only apply groundwater
monitoring to those CCRMU that have been identified as a source of an
SSI or SSL in an ASD. Another commenter said that the justification in
proposed rule regarding phased groundwater monitoring being ``best
suited to situations where there is little likelihood of pre-existing
contamination'' conflicts with EPA's position in the 2015 CCR Rule.
According to the commenter, in the 2015 CCR Rule, the Agency was aware
many CCR surface impoundments were decades old and potentially leaking;
yet EPA still adopted a phased approach with detection monitoring to
monitor indicators of potential groundwater contamination and
assessment monitoring to determine if releases of CCR constituents of
concern did occur.
As a practical matter, EPA expects combining Appendix III and
Appendix IV constituents into a unified sampling and analysis plan and
approach will likely have only minor effects on schedules, as this
change will not require additional field mobilizations or sampling
events and will only require collection of a slightly larger number of
sample containers at each monitoring well to allow for analysis for
both Appendix III and IV constituents. As such, no additional shipments
of
[[Page 39066]]
samples to the analytical laboratory will be required. However, EPA
acknowledges that combining Appendix III and Appendix IV constituents
into a unified sampling and analysis plan may increase the total
throughput burden on analytical laboratories and related services.
Similarly, while combined monitoring may require additional evaluation
(e.g., concentration and trend analysis of data concerning both
Appendix III and Appendix IV constituents), this incremental increase
is unlikely to significantly increase the overall reporting level of
effort, as the number of reports will be essentially unchanged.
Nevertheless, as discussed in Units III.C.4.a and III.C.4.c of this
preamble, EPA acknowledges the commenters' concerns regarding existing
and projected labor shortages, backlogs, and third-party availability,
and agrees this has the potential to affect facilities' ability to
comply with the proposed deadlines for groundwater monitoring
requirements. EPA is therefore extending the deadline, as well as
building in flexibility for facilities to accommodate for delays, by
finalizing a single deadline for groundwater monitoring requirements in
lieu of the proposed split deadlines.
However, EPA disagrees that combining detection and assessment
monitoring will render detection monitoring redundant, and that
critical data would be lost, by sampling for Appendix IV constituents
at the same time as Appendix III constituents (i.e., by collecting more
information). The commenters provided no further explanation of what
information they thought would be lost, but under the combined
monitoring, the facility would collect the same information on Appendix
III constituents that is collected under the detection monitoring in
Sec. 257.94. Given that under the existing assessment monitoring
provisions, facilities must simultaneously analyze samples for all
parameters in Appendix III and for any Appendix IV constituent detected
in the initial sampling, it is not apparent why the commenter believes
that requiring simultaneous monitoring more broadly is appreciably
different. 40 CFR 257.95(d)(1).
As stated in the previous paragraph, concurrent monitoring for
Appendix III and Appendix IV constituents provides considerably more
information and enables a more complete understanding of the
geochemical nature, fate, and transport of any detected releases.
Additionally, simultaneously collecting samples for Appendix III and
Appendix IV constituents will still provide the basis for determining
SSIs, should they exist, so no information will be lost. Contrary to
the commenter's concern, additional information will be gained in an
expedited manner (e.g., the potential spatial and temporal correlation
of Appendix III SSIs with exceedances of SSLs for Appendix IV
constituents). Furthermore, EPA disagrees that its explanation that
phased groundwater monitoring is ``best suited to situations where
there is little likelihood of pre-existing contamination''
fundamentally conflicts with EPA's decision to adopt phased monitoring
in the 2015 CCR Rule. Unlike this rule, the 2015 CCR Rule applied to
both new facilities, which would be expected to have little likelihood
of pre-existing contamination, and to existing facilities. Over the
long-term, EPA expected that there would eventually be a greater
percentage of new units than existing units as the older units reached
capacity and closed. In addition, as discussed in the proposal at 88 FR
32010 and in Unit III.A.2 of this preamble, it is clear from the data
posted on facilities' websites that in 2015 EPA significantly
underestimated the number of unlined units (both impoundments and
landfills), and consequently, significantly underestimated the number
of leaking units and the extent of contamination at these sites.
Under the phased approach in the current regulations, detection
monitoring was intended to provide an early detection of whether
groundwater was potentially being contaminated. In selecting the
parameters for detection monitoring, EPA chose constituents present in
CCR that would be expected to move rapidly through the subsurface and
thus provide an early detection of a potential problem before
significant releases of constituents of greatest concern (i.e., those
in Appendix IV) had occurred. This approach rests on a presumption that
the unit is not already leaking and the record shows (see Unit III.C.1)
that presumption is largely inappropriate for CCRMU.
If an alternate source is causing an exceedance of an Appendix III
constituent, it may also be the source of any SSL detected for any
Appendix IV constituents; in such a case, a facility may simply prepare
a single ASD that covers constituents from both appendices. The sole
difference between phased monitoring and combined monitoring is if the
alternate source is only responsible for the Appendix III constituent,
but the unit actually is releasing one or more Appendix IV
constituents. In such a case, under a phased approach detection of the
Appendix IV constituent can be delayed or even remain undetected,
because the facility would not trigger assessment monitoring absent an
SSI from another Appendix III constituent. In such situations, combined
monitoring can make the monitoring program more accurate; it is unclear
why the commenter believes this is inappropriate.
Ultimately, the combined monitoring expedites the initiation of
assessment monitoring which in turn, allows for more expeditious
identification of statistically relevant exceedances of Appendix IV
constituents. This will in turn expedite ASD development or corrective
action, depending on the circumstances.
The phased approach in the 2015 CCR Rule provides for a graduated
response to groundwater contamination as the evidence of contamination
increases over time. This approach allows facilities ample time to
investigate the source of contamination as well as the transport
characteristics of CCR constituents in groundwater, while usually being
protective of human health and the environment. However, at sites where
there is a strong likelihood that groundwater contamination has been
occurring for a long time, the advantages provided by a protracted
graduated response are outweighed by disadvantages of persistent or
even increasing contamination that continues to move downgradient. At
these sites, the need to protect human health and the environment
necessitates the quick detection of Appendix IV constituents of concern
to expedite any necessary corrective action. See, USWAG, 901 F.3d at
427-30. In this case, as highlighted in Unit III.A, the record provides
strong reason to conclude that many CCRMU are contaminating
groundwater, given the large number of currently regulated CCR units
that have been found to be leaking.
Therefore, EPA is finalizing this requirement as proposed to be
completed no later than Monday, May 8, 2028, which is 42 months after
the effective date of this final rule. This is codified in the
regulatory text at Sec. 257.90(b)(3)(iv) and (v).
iv. Collection and Analyses of Eight Independent Samples for CCR
Management Units
EPA proposed that no later than 24 months after the effective date
of the final rule, owners or operators of CCRMU initiate the detection
monitoring program by completing sampling and analysis of a minimum of
eight independent samples for each background and downgradient well, as
[[Page 39067]]
required by Sec. 257.94(b). The proposed rule explained that within 90
days after initiation of the detection monitoring program, owners or
operators must identify any SSIs over background levels for the
constituents listed in Appendix III, as required by Sec. 257.94. To
expedite the time to initiate any required corrective action, EPA also
proposed that by this same deadline owners or operators initiate the
assessment monitoring program by establishing groundwater protection
standards and by starting to evaluate the groundwater monitoring data
for an SSL over GWPS for the constituents listed in Appendix IV as
required by Sec. 257.95.
EPA is finalizing this requirement as proposed. This is codified in
the regulatory text at Sec. 257.90(b)(3)(iii).
EPA received several comments on the proposed deadline for the
collection of the eight baseline samples. As mentioned in Unit
III.B.2.a.ii, some commenters supported the expedited deadline.
However, several other commenters requested that the groundwater
monitoring requirement deadlines be combined into a single deadline
that provided at least as much time to come into compliance as was
provided in the 2015 CCR Rule deadlines (i.e., 24 months after the
effective date of the final rule). As stated in Unit III.C.4.c, based
on information provided by commenters, EPA concluded that a single
deadline of 42 months after the effective date of this final rule
should be used for the groundwater monitoring requirements. Therefore,
EPA is finalizing a deadline for the completion of sampling and
analysis of a minimum of eight independent samples for each background
and downgradient well of no later than Monday, May 8, 2028, which is 42
months from the effective date of this final rule.
v. Preparation of Initial Groundwater Monitoring and Corrective Action
Report for CCR Management Units
EPA proposed to apply the existing requirements in Sec. 257.90(e)
to CCRMU and require that owners or operators of CCRMU comply no later
than January 31 of the year following the calendar year after a
groundwater monitoring system has been established (and annually
thereafter).
One commenter suggested that the initial groundwater monitoring and
corrective action report be due no later than January 31 of the year
following the collection of the eight baseline samples and the first
semi-annual sampling event in order to allow facilities to provide all
the documentation required by Sec. 257.90(e). EPA disagrees that the
information required by Sec. 257.90(e) would not be available to a
facility upon completion of the groundwater monitoring system, as the
annual report serves as an update on the activities related to the
groundwater monitoring program, including the installation of
groundwater monitoring wells. Additionally, when specific actions are
not required by the CCR regulations (e.g., a facility has not triggered
corrective action), facilities are not out of compliance merely because
they do not have activities related to that action to discuss in the
groundwater monitoring and corrective action annual report (e.g., not
describing progress in selecting a remedy when not in corrective
action).
EPA is finalizing the requirement for owners or operators of CCRMU
to comply with the requirements in Sec. 257.90(e), which mandate the
preparation of an annual groundwater monitoring and corrective action
report no later than January 31, 2029 and annually thereafter. This is
codified in the regulatory text at Sec. 257.90(e).
The report documents the activities associated with the groundwater
monitoring program and progress of any corrective action over the past
year and must contain specific information identified in the
regulations, including but not limited to maps; aerial images or
diagrams showing the CCRMU and all upgradient (background) and
downgradient wells; identification of any monitoring wells installed or
decommissioned in the previous year; monitoring data collected under
Sec. Sec. 257.90 through 257.98; and a narrative discussion of any
transition between monitoring programs (i.e., detection and assessment
monitoring). The annual reporting requirement will help ensure that
groundwater level data collected over the reporting period is
tabulated, presented, and analyzed to determine groundwater levels
relative to any residual CCR left in place as well as to confirm or
determine groundwater flow directions.
Upgradient and downgradient well locations and depths should be
validated annually with respect to measured and mapped flow directions.
Groundwater quality sampling data should be included in appendices and
summarized and tabulated in the annual reports. If appropriate,
exceedances (SSIs and SSLs) of Appendix III and IV constituents should
be tabulated and highlighted. As mentioned in some comments, annual
reports should identify the nearest downgradient surface water bodies
as well as groundwater supply wells in the vicinity of the unit.
It is critical that annual corrective action and monitoring reports
provide the basis for selection and documentation of corrective actions
as early as possible. The owner or operator must not only document
compliance in the annual report, but also post the annual report on the
public CCR website to allow the public to review the groundwater
monitoring results. It is critical that the annual reports contain the
basic data which informs the positions and status reported in those
documents, including but not limited to boring logs, monitoring well
installation diagrams, water level data, field sampling data sheets for
groundwater sample collection, laboratory analytical data including QA/
QC data, data validation, etc. In summary, the annual groundwater
monitoring and corrective action reports should not only contain the
information required by the regulations but should be organized in such
a way that: (1) Compliance with the CCR regulations is evident; (2)
Data supporting compliance conclusions are easily located within the
document; and (3) The public is readily able to review the groundwater
monitoring data and related information. Lastly, the name of the
document on the public CCR website should be such that it is clear what
the file is and it must be capable of being readily printed and
downloaded by the public.
vi. Corrective Action Requirements for CCR Management Units
EPA proposed to require owners or operators of CCRMU to comply with
the existing corrective action criteria, as appropriate in Sec. Sec.
257.96 through 257.98. The proposed rule explained that conducting the
sampling simultaneously would expedite groundwater monitoring and,
where necessary, initiation of corrective action by at least six months
at sites where units have potentially been leaking for a long period of
time, as is likely the case at many CCRMU. The proposed rule further
explained that expediting Appendix IV constituent detection, assessment
and any required corrective action would protect human health and the
environment.
Under the existing regulations, if groundwater monitoring
demonstrates an exceedance of the groundwater protection standards for
constituents identified in Appendix IV of part 257, corrective action
is required, as laid out in Sec. Sec. 257.96 through 257.98. These
requirements apply throughout the active life and any post-closure care
period of the CCR unit.
[[Page 39068]]
A commenter suggested EPA create a deadline for the completion of
the selection of remedy required by Sec. 257.97 of 90 days after the
completion of the assessment of corrective measures (ACM) with the
ability to extend the deadline up to 180 days after the completion of
the ACM. The commenter pointed to the failure of owners and operators
of units regulated by the 2015 CCR Rule to select a remedy as soon as
feasible after the completion of the ACM as required by the rule and
the subsequent unnecessary delay in addressing contaminated
groundwater. Other commenters stated that applying the existing
groundwater monitoring and corrective action requirements to historic
sites, such as CCRMU, is not appropriate and suggested that instead EPA
incorporate site-specific risk-based corrective action or State
corrective action programs into the CCR regulations. Finally, some
commenters requested EPA adopt a RCRA subtitle C approach and utilize
existing EPA guidance. One of these commenters further stated that the
application of the existing CCR corrective action requirements conflict
with EPA's decision-making frameworks in other programs such as RCRA
and CERCLA due to lack of site-specific risk assessments to evaluate
risk and drive corrective action decisions. This commenter suggested
that EPA utilize site-specific, risk-based corrective action that is
consistent with the guidance documents EPA has developed for RCRA and
CERCLA programs.
EPA acknowledges the widespread non-compliance with the mandate to
complete the selection of remedy as soon as feasible after the
completion of the ACM. However, EPA disagrees with the commenter's
suggested deadline for two reasons. First, the recommended deadline
extends the deadline for the completion of the selection of remedy
beyond that in 2015 CCR Rule since ``as soon as feasible'' in many
cases would likely be before 90 days after the completion of the ACM
and granting owners or operators more time to select a remedy would be
less protective of human health and the environment. Second, EPA is
taking action to address the non-compliance related to the failure of
owner or operators to select a remedy as soon as feasible as part of
the EPA's National Enforcement and Compliance Initiative and expects
this enforcement initiative to address the concern raised by the
commenter.\144\
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\144\ EPA Enforcement Alert, National Enforcement and Compliance
Initiative, Protecting Communities from Coal Ash Contamination. EPA
Document #310F23002. December 2023. https://www.epa.gov/system/files/documents/2023-12/ccr-enf-alert-2023.pdf.
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EPA disagrees with the suggestion that existing corrective action
requirements, if triggered, are inappropriate at CCRMU. As stated in
Units III.A and III.C.4.d, the physical characteristics and potential
risks of CCRMU are not sufficiently different from currently regulated
units to justify different requirements. For those commenters
requesting that EPA adopt ``risk-based corrective action'' into the
requirements, EPA notes that the commenters have provided no further
explanation of what requirements in the existing regulations they
wanted EPA to revise, what the revisions should accomplish, or why such
revisions are necessary or appropriate. As a general matter EPA
considers that the corrective action regulations in Sec. Sec. 257.95
through 257.98 do currently require facilities to tailor remedies to
address the risks to human health and the environment, based on the
conditions at the site. It is unclear what more the commenters are
seeking. Additionally, regarding incorporating or allowing State
corrective action programs to substitute for the existing corrective
action requirements, the commenters failed to demonstrate through
factual or specific information that the State corrective action
programs referenced are either different than that required by the CCR
regulations or adequate to address the risks posed by CCRMU. Even if
individual examples were sufficient to overcome the record with respect
to State programs generally, none of the examples presented by the
commenters provided sufficient detail for EPA to actually evaluate the
adequacy of the corrective action programs. More to the point, EPA
lacks the record necessary to support a broad exemption for all CCRMU
conducting corrective actions under any State requirements. Regarding
comments requesting a RCRA subtitle C approach be adopted for CCRMU, a
RCRA subtitle C approach is more appropriate for regulation under a
permitting program than under the existing regulatory framework (i.e.,
self-implementing) and as explained in Units III.A and III.C.1, EPA
finds the risks posed by CCRMU to be not only credible but significant
enough to warrant regulation at this time (i.e., under the self-
implementing rule as opposed to waiting until the Federal permitting
program is established). Lastly, the commenter that stated that the
existing corrective action regulations conflict with other EPA programs
(i.e., RCRA and CERCLA) failed to fully explain how the existing
corrective action regulations conflict with EPA-published RCRA or
CERCLA guidance documents or how they preclude corrective action
decisions driven by site-specific risks. Accordingly, EPA is
finalizing, without revision, its proposal that CCRMU comply with the
existing corrective action requirements at Sec. Sec. 257.95 through
257.98.
As explained in the proposed rule at 88 FR 32003, Sec. Sec. 257.90
through 257.95 require that an owner or operator of a CCR unit to
install a system of monitoring wells, specify procedures for sampling
these wells, and set forth methods for analyzing the groundwater data
collected to detect hazardous constituents (e.g., toxic metals) and
other monitoring parameters (e.g., pH, total dissolved solids) released
from the units (i.e., all parameters listed in Appendices III and IV).
If the groundwater monitoring required in Sec. 257.95, demonstrates an
exceedance of the groundwater protection standards for constituents
identified in Appendix IV of part 257, corrective action is required as
laid out in Sec. Sec. 257.96 through 257.98. These requirements apply
throughout the active life and post-closure care period of the CCRMU.
When corrective action is required, it must be initiated without
delay, in accordance with the time frames laid out in the regulations.
The corrective action program includes initiating an ACM to prevent
further releases, to remediate any releases, and to restore affected
areas to original conditions, as specified in Sec. 257.96(a). After
the ACM has been completed, the owner or operator must select a remedy
that meets prescribed standards, including a requirement that the
remedy attain the groundwater protection standards. See Sec. 257.97(a)
and (b). Finally, the corrective action program requires the owner or
operator of the CCR unit to initiate remedial activities within 90 days
of selecting a remedy. See Sec. 257.98(a). The requirement to address
releases under this requirement is identical to those requirements for
any CCR unit undertaking groundwater corrective action with the
additional requirement that implementation of corrective action begin
during the active life of the unit.
EPA expects that when assessing corrective measures and selecting a
remedy, the owner or operator of the unit will consider the impact of
the corrective measures on the water quality and safety of the nearest
surface water bodies and the nearest private and/or public groundwater
wells.
With respect to completion of an ACM and remedy selection, Sec.
257.96(a) requires an ACM be initiated within 90
[[Page 39069]]
days of determining an SSL has occurred, and then completed within
another 90 days. An extension, not to exceed 60 days, may be warranted
due to site-specific conditions or circumstances. Prior to closure of a
CCR unit, the facilities have been required to characterize site
conditions, including groundwater flow conditions and geology. The
facilities have knowledge of the wastestreams and water volumes it
discharges to CCR units. This information can be used to develop a
groundwater model to predict groundwater flow conditions after waste
stream disposal ceases and closure is initiated. Therefore, EPA
believes this would provide sufficient characterization of post-closure
conditions to assess and compare groundwater cleanup alternatives to
complete an ACM.
Once the ACM is complete, a public meeting has been held, and
community input has been considered, a remedy must be selected as soon
as feasible. A selected remedy may include closure by removal to comply
with source control requirements. This would constitute commencing
implementation of a remedy. However, the selected groundwater
remediation portion of the remedy must also be implemented within a
reasonable time, in accordance with the schedule established in the
remedy selection report. 40 CFR 257.97(d). Implementation of the source
control measure does not negate this requirement.
d. Closure and Post-Closure Care Criteria for CCR Management Units
EPA proposed that all of the existing closure and post-closure care
requirements in Sec. Sec. 257.101 through 257.104 would apply to
CCRMU, except for the alternative closure requirements in Sec.
257.103(f). EPA further explained that the alternative closure
provisions in Sec. 257.103(f) were not appropriate for CCRMU as these
units, by definition, are inactive impoundments at inactive facilities
and could not therefore demonstrate the need to continue to use the
disposal unit, which is a qualifying component of the alternative
closure provisions. In addition, EPA solicited comments on two
potential revisions to the existing closure standards in Sec.
257.102(d). The first potential revision would extend the existing
dewatering requirement in Sec. 257.102(d)(2)(i) to any CCR landfill
constructed in groundwater or otherwise saturated by liquids. The
second potential revision would incorporate a definition of the term
``infiltration'' into Sec. 257.102.
EPA also proposed to require that all CCRMU initiate closure within
12 months of the effective date of this final rule. While EPA proposed
that the CCR unit closure requirements would apply, EPA also solicited
comment on other approaches to how a facility might implement the
requirement to close at a site where the CCRMU lies beneath an
operating unit.
Finally, EPA proposed to apply the existing post-closure care
requirements in Sec. 257.104 to CCRMU. Each of these proposals and the
comments are discussed in detail below.
EPA received numerous comments on its proposal to apply the
existing closure and post-closure care requirements Sec. Sec. 257.100-
257.104 to CCRMU. Several commenters stated that EPA must require all
CCRMU to close, because the risks EPA identified in the proposal,
together with information provided by regulated facilities under the
2015 CCR Rule, indicate that CCRMU pose significant and ongoing threats
of contamination if not properly closed. These commenters also
identified several examples of units that the commenters believe
demonstrate the need for CCRMU to close. One commenter referenced a
report it submitted to support EPA's proposal to regulate CCRMU. The
report focuses on six sites with both CCR units currently regulated by
the CCR Rule and with CCRMU. According to the commenter the report
documents significant and harmful coal ash pollution that has been
allowed to persist under the 2015 CCR Rule and that would be remediated
under the proposed rule.
For example, the report analyzes the Brandywine Ash Management
Facility in Maryland, which has a single landfill that its operator
GenOn has treated as four distinct CCR dumpsites for purposes of the
CCR Rule. This artificial division of the landfill has enabled GenOn
to claim that three of the four areas of the landfill are
unregulated under the CCR Rule; to attribute contamination at the
site, such as molybdenum levels eighty times above the GWPS, to the
three purportedly unregulated areas; and to keep the site in
detection monitoring through ASDs. The Proposed Rule will compel
GenOn to address all coal ash at the site.
Another site that demonstrates the necessity of regulating CCRMU
under the Proposed Rule is the Joliet #29 Station owned by Midwest
Generation in Illinois. This site has one regulated pond, Ash Pond
2, and a number of additional units that would be treated as CCRMU
under the Proposed Rule. In fact, the site was used for coal ash
disposal long before it had a power plant, potentially as early as
1917, indicating the presence of unlined landfills going back
decades. Midwest Generation has found statistically significant
increases (``SSIs'') for TDS, sulfates, chloride, and calcium at the
site, but is only monitoring the groundwater around Ash Pond 2 and
two former ash ponds, and not monitoring the groundwater around
three large onsite landfills.
These commenters also described a facility where, according to the
commenters, two million tons of fill containing CCR sits behind
corroding steel pilings on the shore of Lake Michigan, and is leaking
arsenic and other hazardous chemicals into the lake, as well as into an
adjacent creek commonly used for fishing and boating. These commenters
also pointed to a facility with an inactive 90-acre unlined CCR
landfill that, according to the commenter, is contaminating groundwater
with unsafe levels of sulfate, lithium, radium, cobalt, arsenic,
molybdenum and selenium. Similarly, a private citizen also provided the
following example of a potential CCRMU during one of public hearings:
My utility is City Utilities. Once the current coal ash landfill is
full, CU plans to dispose of future coal ash at a temporarily closed
landfill next to Lake Springfield, which feeds into the James River.
Both dumps are in karst terrain. This makes them susceptible to
sinkhole collapses and leakage of pollutants into the James River
watershed and the area's shallow and deep aquifers. These waters
affect a four-state area, including Table Rock Lake near Branson
where tourism is the main industry. Safer methods of disposal exist,
although they are more cumbersome and expensive, In December 2022,
CU held a public meeting regarding the utility's future. After
questions about pollution, one representative said he wasn't aware
of any pollutants coming from the landfill. The Interdisciplinary
Environmental Clinic at Washington University School of Law
researched this. Twelve rounds of sampling done by CU from late 2016
to early 2018 showed 387 statistically significant increases in
pollutants in every down-gradient well. Those increases included 27
out of the 35 monitored parameters. Regarding CU's dye tests at the
dump site, a 2017 memo from the Missouri Department of Natural
Resources stated, ``Dye is moving through the karst system and not
being detected by the monitoring well network.''
These commenters also pointed to the high likelihood that many CCRMU
have waste in contact with groundwater, as many are located in
floodplains, wetlands, or near large rivers and lakes. According to the
commenters, if EPA does not mandate closure of CCRMU, aquifer
contamination would not be identified until it is too late to be
prevented--in contravention of RCRA's protectiveness standard. These
commenters have also argued that CCRMU are inactive units with no
practical justification to avoid closure.
A number of other commenters however argued that a national
requirement to close was not appropriate for CCRMU and that EPA should
instead determine whether
[[Page 39070]]
closure is warranted at each site based on a finding that the
individual unit at that particular site poses unacceptable risks. Many
of these commenters suggested that the risks associated with CCRMU can
be better managed through corrective action implemented under a permit
program, which the commenters believed would make the mandate to close
these units unnecessary. For example, one commenter claimed that
mandating the closure of all CCRMU as part of the proposed CCR
corrective action regime is more stringent than what EPA requires under
subtitle C for solid waste management units (SWMUs), and therefore any
final CCRMU rule cannot impose a mandatory closure requirement on
CCRMU. According to this commenter, the subtitle C process does not
require the closure of SWMUs, because EPA recognizes that addressing
the risks from SWMUs via the site-specific subtitle C corrective action
process alone is fully protective. Many commenters also raised concern
that CCRMU at their facilities are located beneath vital
infrastructure, such as pipelines or transmission lines, active CCR
units, or buildings and that requiring closure of these CCRMU could
adversely impact grid reliability, business operations, or other
necessary public services (e.g., military infrastructure). These
commenters suggested that EPA exempt these units or at least extend the
closure time frames to allow for closure of the CCRMU when the other
unit or structure is closed or decommissioned.
Numerous commenters again requested that EPA exempt any CCRMU that
had been closed in accordance with State requirements. These commenters
claimed that these closures were protective and that EPA should only
regulate these CCRMU where the Agency has affirmative evidence that the
particular unit is contaminating groundwater or otherwise presents
unacceptable risks. For example, one commenter stated that a more
rational approach to regulating CCRMU would be first to determine if
the uses are impacting groundwater before requiring expensive closure.
According to the commenter,
[i]t is not clear why EPA requires closure before groundwater data
indicates there is a problem. If groundwater is impacted by the
CCRMU then other corrective action measures should be taken, but
only after data indicates that groundwater is being affected. As
noted earlier, the 2015 CCR Rule did not require unlined landfills
to close unless they failed to meet the location restrictions for
unstable areas. In the event an unlined CCR landfill is the source
of groundwater contamination, the unit is subject to the CCR Rule's
corrective action requirements, but closure is not mandatory.
But many other commenters characterized the proposed deadline as
infeasible for the reasons discussed in Unit III.B.2.a.ii, including
seasonality, the need to comply with overlapping regulatory
requirements, labor shortages, and the limited resources available to
achieve compliance (e.g., contractors, laboratories, P.E.s), which the
commenters claimed would become even more limited as a consequence of
the number of CCR units that would need to come into compliance at the
same time. Commenters also stated that compliance with the closure
requirements should not be required until after the groundwater
monitoring system was installed and baseline samples collected so that
closure could be informed by the groundwater monitoring data.
EPA has largely adopted the proposal, with a few significant
revisions. This final rule requires CCRMU that contain 1,000 tons or
greater of CCR to comply with the existing closure and post-closure
care requirements in Sec. Sec. 257.101 through 257.104, except for the
alternative closure requirements in Sec. 257.103(f). The final rule
also extends the existing dewatering requirement in Sec.
257.102(d)(2)(i) to any CCR landfill constructed in groundwater or
otherwise saturated by liquids, and incorporates a definition of the
term ``infiltration'' in Sec. 257.53.
However, consistent with the provision adopted for legacy CCR
surface impoundments, EPA is deferring, in certain cases, the
requirement to demonstrate compliance with Sec. 257.102 for CCRMU that
closed prior to the effective date of this rule in accordance with
alternative requirements that are likely to be as protective as the
requirements in Sec. 257.102. This is the same provision that EPA is
establishing for legacy CCR surface impoundments, as EPA is not aware
of a reason to treat CCRMU differently. In addition, EPA is deferring
the requirement to initiate closure where the CCRMU is located beneath
critical infrastructure or large buildings or structures vital to the
continuation of current site activities, such as beneath high power
electric transmission towers, air pollution control or wastewater
treatment systems, large buildings, or an electrical substation. In
this case, the potential exists for adverse, localized impacts on
electric reliability (e.g., voltage support, local resource adequacy)
from requiring all facilities to meet these requirements on the same
time frame, and EPA lacks the record to determine that such impacts are
unlikely. Consequently, EPA is deferring the requirement to initiate
closure of such a CCRMU until the infrastructure is no longer needed, a
permit authority determines closure is necessary to ensure that there
is no reasonable probability of adverse effects on human health or the
environment, or the closure or decommissioning of the facility,
whichever occurs first.
Finally, EPA has extended the deadline to initiate closure to
Wednesday, November 8, 2028, which is 48 months the effective date of
the final rule to allow groundwater monitoring data to inform closure,
consistent with the approach for legacy CCR surface impoundments.
Each of these issues are discussed in greater detail in subsequent
sections of this preamble.
i. Requirement To Initiate Closure
The final rule requires CCRMU containing 1,000 tons or greater of
CCR to close. Closure will address the existing risks associated with
these units. In addition, requiring the closure of CCRMU is consistent
with the existing regulations, which require closure of all units that
no longer receive waste as a preventative measure, whether or not the
unit is currently leaking. See, 40 CFR 257.102(e)(1). CCRMU, which
consist of inactive CCR landfills and previously closed CCR surface
impoundments and CCR landfills, meet these criteria as they also no
longer receive waste.
The closure of CCRMU of 1,000 tons or greater also provides
significant risk mitigation. As laid out in Unit III.A of this
preamble, CCRMU at both active facilities and inactive facilities with
legacy impoundments pose risks to human health and the environment that
are at least as significant as the risks presented by legacy CCR
surface impoundments and the units currently regulated under the 2015
CCR Rule. In particular, for highly exposed individuals off site,
landfill CCRMU were estimated to pose cancer risks as high as 7 x
10-6 from arsenic III, while surface impoundment CCRMU were
estimated to pose cancer risks as high as 8 x 10-5 from
arsenic III and noncancer HQs as high as two for arsenic III, two for
lithium, and one for molybdenum. Differences in national risks between
currently regulated units and these older units are attributed largely
to the proportion of units that were modeled at the time as lined.
However, the risks associated with these older units may be even higher
than EPA modeled in the 2014 Risk Assessment for active units. These
units have been present onsite
[[Page 39071]]
longer and had more time to leak. In addition, there are several
management practices that have the potential to result in higher
leakage, but that were previously modeled either less frequently for
active units--based on a belief that the practices had declined over
time--or not at all--due to data constraints on a national scale. These
include: (1) The greater prevalence of unlined units; (2) The greater
likelihood of co-management of CCR with coal refuse and other wastes in
surface impoundments, making the overall waste pH far more acidic and
(3) The potential for the units to be constructed below the water table
or to have become inundated with groundwater after the time of
construction. As discussed in Unit III.A, each of these practices
individually have the potential to result in nationwide risks higher
than previously reported on a national basis for the currently
operating universe of CCR units. For example, unlined landfill CCRMU
were estimated to pose cancer risks as high as 1 x 10-5 from
arsenic III, while unlined surface impoundment CCRMU were estimated to
pose cancer risks ranging from 2 x 10-4 from arsenic III and
noncancer HQs as high as 5 for arsenic III, 3 for lithium, 2 for
molybdenum, and 1 for thallium. A combination of these practices could
push risks even higher than modeled.
In addition, the modeling conducted in 2024 confirms that smaller
CCRMU fills can meaningfully contribute to groundwater contamination
across a facility. The 90th percentile concentrations at the waste
boundary exceeded GWPS by factors of 26 for arsenic III, 19 for arsenic
V, 156 for molybdenum, and 19 for thallium. The 50th percentile
concentrations exceeded GWPS by a factor of two for molybdenum. EPA's
modeling also confirms that any prior contamination from CCRMU is
likely to still be present. EPA calculated, for example, that it could
take around 2,300 years from the time of first exceedance for high-end
releases of arsenic V to fully dissipate.
Depending on their location, leakage of Appendix IV constituents
from individual CCRMU fills may not migrate off-site at levels of
concern. However, according to the commenters it is highly unlikely
that only one CCRMU would be present on-site. In addition, these
concentrations can combine with contamination from other CCRMU,
currently regulated CCR units, or legacy CCR surface impoundments that
are also present on the same site. EPA did not model the aggregate or
cumulative risk associated with these potential sources of co-located
contamination, which may underestimate the risks. At a minimum, EPA
expects that the presence of multiple sources of potential
contamination at the same facility would increase the likelihood of a
contaminant plume that could migrate off-site at levels of concern. In
sum, the record confirms that, at a minimum, regulation of the smaller
sized CCRMU fills is necessary for any corrective action to
successfully reduce the concentrations of Appendix IV constituents in
the aquifer to concentrations below the GWPS.
Available toxicological profiles indicate that ingestion of arsenic
is linked to increased likelihood of cancer in the skin, liver, bladder
and lungs, as well as nausea, vomiting, abnormal heart rhythm, and
damage to blood vessels; ingestion of lithium is linked to neurological
and psychiatric effects, decreased thyroid function, renal effects,
cardiovascular effects, skin eruptions, and gastrointestinal effects;
and ingestion of molybdenum is linked to higher levels of uric acid in
the blood, gout-like symptoms, and anemia. 80 FR 21451. To date,
groundwater monitoring required by the 2015 CCR Rule has revealed that
at least 40% of currently regulated surface impoundments and landfills
have identified groundwater contamination and require corrective action
to mitigate the associated risks. This number is expected to increase
as more facilities come into compliance with the groundwater monitoring
requirements. Another 23% of existing CCR units have identified
evidence of leakage and continue to monitor groundwater to ensure that
contamination does not occur before the unit can be closed and source
controls put in place. In many cases, CCRMU are historical landfills
and surface impoundments. Thus, the relevant release pathways, exposure
routes, and associated harm that can result are the same.
Given the locations of many CCRMU (located in floodplains, or
wetlands, or near large surface water bodies), EPA is also concerned
that the base of these units may intersect with the groundwater beneath
the unit. If such CCRMU were not required to close, EPA would not
adequately address the risks from those units that still contain CCR
saturated with free liquids.
In general, EPA considers that closure is the only effective way to
adequately address the source of potential or existing releases from
these units. Although, as some commenters suggested, EPA could rely
upon the existing corrective action requirements to achieve source
reduction, the Agency is concerned that this will not adequately
prevent harm, as the statute requires, because these requirements would
only apply upon a determination that the CCRMU has contaminated the
aquifer above the GWPS. In addition, the closure requirements in Sec.
257.102 provide a uniform approach that EPA is confident will
adequately protect human health and the environment.
Contrary to the commenter's contentions the regulation of CCRMU
under RCRA section 4004(a) is not analogous to the corrective action
requirements applicable to SWMUs under RCRA section 3004(u). Nor is the
absence of a national mandate to close SWMUs as part of every
corrective action under section 3004(u) based on the recognition that
closure is unnecessary because the corrective action process alone is
fully protective. The closure and corrective action regulations are
distinct and independent requirements that generally serve different
purposes. The closure requirements under both subtitle C and D are
largely intended to be prevent contamination from occurring in the
first place, by ensuring that the closed unit does not become a source
of future contamination. See, e.g., 47 FR 32318, 32321, 32323. By
contrast, corrective actions are remedial or retrospective in that they
are designed to clean up contamination that has already occurred. EPA
has previously promulgated regulations mandating the closure of
disposal units for wastes under both subtitles C and D for wastes
within each subsection's jurisdiction. See, 40 CFR 264, subpart G, 258,
subpart F. But the requirement for corrective action of solid waste
management units under the provisions applicable to hazardous wastes
under section 3004(u) is an anomaly; Congress has otherwise limited
subtitle C to the regulation of hazardous wastes. The appropriate
comparison is thus not to EPA's regulation of SWMUs under subtitle C,
but rather to EPA's regulation of hazardous waste units under subtitle
C, where the Agency requires hazardous waste units to comply with both
closure and corrective action requirements.
In sum, the record demonstrates that closure is warranted for
CCRMU, even for those that are not yet leaking. As the D.C. Circuit
explained, RCRA requires EPA to set minimum criteria for sanitary
landfills that prevent harm, not merely to ensure that contamination is
remediated. See, USWAG, 901 F.3d at 430.
Consistent with the requirements for legacy CCR surface
impoundments, EPA is not requiring previously closed CCRMU to
automatically re-close but simply to evaluate whether the unit
[[Page 39072]]
meets the requirements of Sec. 257.102(d), and if they do not, to take
such measures as are necessary to bring the unit into compliance.
ii. Deferral for CCRMU Under Critical Infrastructure
As noted above, many commenters stated that some CCRMU are
currently located beneath critical infrastructure. For example, a
number of commenters stated that CCR has historically been used on-site
at generating stations for many years as structural fill, including for
utility line bedding, and under site infrastructure such as
switchyards, coal piles, railroad embankments, and occupied buildings.
Additionally, commenters pointed to many areas at their existing
facilities with CCR currently located under existing critical energy
infrastructure such as generating units, cooling towers, substations,
levees, dikes, on-site wastewater treatment systems, dams, transmission
towers, gas lines, and solar installations.
These commenters claimed that requiring closure of CCRMU beneath
infrastructure could adversely impact grid reliability, business
operations, or other necessary public services and suggested EPA create
exemptions or extensions for these units. According to these
commenters, attempting to close any of these areas under the rule's
closure standards would not only be impossible, but also would require
disturbing and/or even disassembling critical components of power
plant's energy infrastructure, which would only further exacerbate the
pressures on grid reliability. Other commenters raised concern that
remediation would require removal of existing infrastructure to access
the CCR, which in some cases could present significant operational risk
and potential danger. As one commenter characterized it,
Particularly at active power plants, requiring closure of CCRMU . .
. would cause massive ripple effects that need to be more carefully
considered. Closure would be incredibly disruptive for these type of
sites--particularly given the inadequate time for electricity
resource planning--and exacerbate the grid reliability challenges
that co-ops and other utilities are already facing. Moreover, EPA
must consider and allow for power plant owners to follow the
mandated procedures put in place by the relevant balancing
authority, such as regional transmission organizations or electric
utilities, and by state authorities which have a role in ensuring
the reliability of the local grid.
Several commenters also expressed concern about the closure of
CCRMU located under active CCR landfills, asserting that such closures
pose complex challenges that EPA did not fully understand or account
for in the proposed rule. Many of these commenters asserted that these
closed landfill or surface impoundment CCRMU present no risks. For
example, one commenter discussed a closed surface impoundment located
beneath its active CCR landfill. The commenter asserted that the
permitted, Federally regulated CCR landfill above the closed unit,
combined with the collective effect of the CCR landfill liner and
leachate collection system, runoff controls, and engineered cap, keeps
the impoundment isolated from exposure to stormwater runoff and other
sources of water infiltration. The commenter further asserts that there
is no evidence that this former impoundment is impounding or otherwise
contains any significant amount of free liquids, and that such a
condition is unlikely given the overlying landfill infrastructure.
By contrast, numerous commenters supported the proposed mandate to
close due to the substantial risks that these kinds of ``overfill''
units can pose. As one of these commenters explained,
In this situation the underlying CCRMU serves the function of the
foundation of the overlying CCR unit. The liner of the overlying CCR
unit serves as a cap over the underlying CCRMU. CCR contaminants
released from either the overlying CCR unit or underlying CCRMU can
adversely impact groundwater quality with little potential for
distinguishing between contaminants released from one or the other
of these units. Each of the co-located units must be capable of
containing CCR contaminants if releases to the environment are to be
avoided.
Construction of a CCR unit over a previously existing CCRMU is known
to have the potential to increase concentrations of CCR groundwater
contaminants. A 2001 study by the Electric Power Research Institute
(EPRI) showed that reducing the hydraulic gradient beneath a CCR
impoundment can induce increased contaminant concentrations when the
waste is in contact with groundwater. EPRI concluded that reducing
the hydraulic gradient by dewatering an impoundment slowed
groundwater flow and increased contact time between the waste and
groundwater. Contact time between waste and water is an important
variable that influences concentrations of contaminants found in
groundwater.
Release of contaminants from the overlying unit, while possible, is
not necessary to cause increasing contaminant concentrations. The
bottom liner of the overlying CCR unit reduces infiltration of water
from above, reducing the hydraulic gradient and increasing waste/
water contact time. The increased contact time can increase
contaminant concentrations in downgradient monitoring wells.
The commenters acknowledged that where the waste in the CCRMU is dry
and the owner/operator can assure that separation of the waste from
water (groundwater and/or infiltration from above) will be maintained
the unit may be closed in place under the CCR rule without posing
ongoing risks. The commenter also noted, however, that where unlined
waste units are continually or periodically in contact with
groundwater, more extensive closure techniques such as engineering
controls designed to prevent groundwater from flowing through waste or
to stabilize the waste and fix contaminants in place may be attempted,
or excavation and clean closure of the unit may ultimately be
necessary.
Unlike the comments received on legacy CCR surface impoundments,
the overwhelming majority of commenters provided concrete examples of
concerns with respect the timing of closure activities for to CCRMU. In
total, these commenters have provided sufficient information to raise a
legitimate question whether adverse, localized impacts on electric
reliability (e.g., voltage support, local resource adequacy) could
result from a nationwide requirement to close all CCRMU within the
deadlines under the regulations.
EPA agrees that closing CCRMU underlying critical infrastructure at
active generating facilities is very different and more challenging
than closing disposal units at inactive utilities. When it was
developing the proposal, EPA was unaware of the extent to which
facilities had historically used CCR as part of the foundation
supporting generating units, cooling towers, substations, or on-site
wastewater treatment systems. In some cases, it appears that in order
to close these CCRMU individual facilities may need to disturb
substantial portions of the entire site and disassemble critical
components of the power plant's energy infrastructure, such as high
power electric transmission towers, and electrical substations.
EPA agrees that its proposal did not adequately account for this
circumstance. This is particularly true in the case of a CCRMU located
beneath infrastructure necessary for energy production, where the
potential exists for adverse, localized impacts on electric reliability
(e.g., voltage support, local resource adequacy). This issue arises
whenever multiple facilities need to take their EGU offline for an
extended period to complete construction or other compliance
activities. The likelihood of an adverse impact on electric reliability
can be greater if multiple facilities need to schedule outages
simultaneously in order to comply with EPA's closure deadlines. EPA
understands that it is
[[Page 39073]]
also possible that in some instances temporarily taking generating
units (including coal-fired units) offline could have an adverse,
localized impact on electric reliability (e.g., voltage support, local
resource adequacy). If a generating asset were needed for local
reliability requirements, the grid operator might not approve a request
for a planned outage. In such instances, the owners/operators of the
generating unit could find themselves in the position of either
operating in noncompliance with RCRA or halting operations and thereby
potentially causing adverse reliability conditions. In addition,
failure of an electric transmission or generation system can lead to
substantial risks to human health (e.g., if an outage impairs the
ability of emergency services to function properly or it causes home
heating or cooling systems to fail, which increases risk, particularly
for vulnerable populations).
However, such impacts are far less likely to arise from an
individual facility-specific decisions, and should normally be
adequately managed by the established RTO processes for scheduling
outages. EPA recognizes that this final rule provides a substantial
amount of time for facilities to complete these closures. In contrast
with the proposal, the final rule provides facilities 54 months to
initiate closure, and depending on the CCRMU, the facility may have as
much as an additional seven to 15 years to complete closure. Based on
the comments, however it appears that the overwhelming majority of
CCRMU below critical energy production infrastructure are likely to be
landfills, and therefore the seven year deadline is more likely to be
applicable.
Further, this situation is not analogous to the closure of unlined
and clay lined impoundments in response to the USWAG vacatur, and thus
the information used to develop the deadline for those CCR units in the
Part A rule cannot be used to develop a comparable requirement for
these CCRMU. For example, there appear to be a greater number of CCRMU
at these sites and the construction estimates EPA relied upon in 2020
in the Part A final rule applied exclusively to the six specific
technologies that a facility might use to develop alternative disposal
capacity. That rulemaking did not involve the potential effect of
disturbing substantial portions of the entire site or disassembling
critical components of the power plant's energy infrastructure, such as
high power electric transmission towers or electrical substations,
which is what some commenters have alleged will be necessary in this
case.
Unfortunately, because EPA only became aware of these facts after
development of the proposal the Agency has not had the time to obtain
the information necessary to evaluate--or to consult with balancing
authorities and other electric reliability authorities (e.g., DOE or
NERC) on the feasibility of mandating closure of all CCRMU within these
deadlines, within the time to complete this rulemaking.\145\
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\145\ EPA is obligated to take final action on the proposal no
later than May 6, 2024, pursuant to Statewide Organizing for
Community eMpowerment v. EPA, No. 1:22-cv-2562-JDB (D.D.C.).
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EPA acknowledges that the risks associated with CCRMU above the
regulatory threshold are substantial, and generally warrant a mandate
to close in accordance with Sec. 257.102. Moreover, the fact that EPA
did not model the aggregate risks associated with the widespread use of
small amounts of unencapsulated CCR throughout the entire facility
raises questions about whether EPA may have underestimated the
potential risks associated with these CCRMU. EPA also agrees that
overfills can present significant risks, particularly when the closed
CCR unit remains inundated by groundwater or otherwise continues to
contain free liquids. EPA therefore concludes that exempting these
CCRMU from the requirement to close in accordance with Sec. 257.102 is
not appropriate.
Given that EPA has the ability to rely on the permitting process to
address issues on a case-by-case basis, and because doing so will allow
the Agency to adequately address both the competing environmental and
reliability risks presented at individual sites, it is reasonable for
the Agency to choose this option. Consequently, EPA is deferring the
requirement to initiate closure of CCRMU located beneath critical
infrastructure until either: (1) The infrastructure is no longer
essential for the activity to be successful; (2) A permit authority
determines closure is necessary to ensure there will be no reasonable
probability of adverse effect on health or the environment; or (3) The
closure or decommissioning of the facility, whichever occurs first.
The final rule also includes an additional condition on CCRMU under
active disposal units. In order for these units to qualify for the
deferral, the facility must document that the CCRMU meets one of two
existing performance standards: either (1) The standard in Sec. 257.60
that the unit was constructed with a base that is located no less than
1.52 m (5 feet) above the upper limit of the uppermost aquifer, or must
demonstrate that there is no intermittent, recurring, or sustained
hydraulic connection between any portion of the CCR unit and the upper
limit of the uppermost aquifer or surface water; or (2) The dewatering
standard in Sec. 257.102(d)(2)(i) that all free liquids have been
eliminated. EPA believes the location standard in Sec. 257.60 is
likely to be more directly applicable to many CCRMU, as they are
landfills that would not have been constructed or designed to hold free
liquids. EPA has also included the dewatering standards in Sec.
257.102(d)(2)(i) for those closed CCR surface impoundment CCRMU. Based
on the descriptions provided by commenters EPA expects that this
requirement will largely be relevant to closed CCRMU located beneath
active disposal units, rather than CCRMU located beneath infrastructure
vital to energy production, which are unlikely to be inundated by
groundwater. Moreover, this requirement directly addresses the reason
that EPA has concluded that many previously completed closures do not
meet the standard in RCRA section 4004(a).
To be clear, EPA is not exempting these CCRMU from the requirement
to close as commenters requested, but merely extended the deadline for
compliance until the Agency can address it on an individualized basis
as part of permitting. In addition, these units will be required to
comply with all other requirements applicable to CCRMU, including the
requirements for groundwater monitoring and corrective action, if
necessary.
As noted above and discussed in the next section, in response to
public comments, EPA has extended the deadline to initiate closure to
Tuesday, May 8, 2029, which is 54 months after the effective date of
this final rule. Based on its current schedule, EPA expects to be
issuing permits before that deadline.
EPA is defining ``critical infrastructure'' as infrastructure,
large buildings, or other structures vital to the success or
continuation of current site operations or activities for the public
welfare. This does not include infrastructure, large buildings, or
other structures that solely provide commercial or financial benefit to
private entities. Examples of critical infrastructure include high
power electric transmission towers, large buildings, and electrical
substations. The structures must be both (1) necessary for the
continued generation of power or currently used for an ongoing site
activity; and (2) not readily replaced or relocated. For example, a
[[Page 39074]]
parking lot that could easily be replaced by a parking lot in a
different location onsite would not qualify as critical infrastructure;
but a lined industrial stormwater ponds, wind or solar farms,
substations, or military infrastructure would qualify.
The owner or operator of a CCRMU located under critical
infrastructure must include information documenting their eligibility
for the deferral in the FER part 2 in Sec. 257.75(d) that includes at
a minimum a description of the infrastructure, its current and
anticipated use(s), and the decommissioning date or anticipated active
lifespan. The documentation must also demonstrate that the CCRMU
complies with either Sec. 257.60 or Sec. 257.102(d)(2)(i). The
documentation must also demonstrate that the structures are both: (1)
Necessary for the continued generation of power or currently used for
an ongoing site activity; and (2) Not readily replaced or relocated.
When it comes time for a permit authority to evaluate the CCRMU,
EPA intends to rely on the permit application process as the primary
mechanism to collect the information to allow a determination to be
made as to whether to require closure of the CCRMU prior to facility
closure. The permit application process is a well-established system
for reviewing the types of groundwater, soil and other sampling and
analytical data that will typically be required in determining the
potential risks associated with the CCRMU.
When the permit application is called in, the facility must provide
sufficient information, including data on contaminant levels in
groundwater, to demonstrate that the criteria listed above for the
deferral have been met, and for the permit authority to be able to
evaluate the risks associated with the CCRMU. EPA (or other permit
authority) will review the information to determine whether the
criteria for deferral have been met and whether closure is necessary to
mitigate unacceptable risks to human health or the environment from the
CCRMU.
Finally, EPA received a substantial number of comments requesting
that the Agency not require facilities to ``re-close'' any unit that
already completed closure. This final rule does not mandate that any
previously closed unit automatically re-close. But as described in the
next section, the final rule does require all CCRMU to meet the
performance standards in Sec. 257.102, although as discussed above,
some may not be required to do so until the permitting process begins
for that unit. EPA does not consider this to be equivalent to a
requirement to ``re-close'' as facilities may be able to implement
engineering measures to address any deficits without removing the cover
system or entirely re-closing the whole impoundment. Whether any
particular measure will be effective is a site-specific determination,
but some reasonably available engineering measures that may be
effective and should be considered include the installation of physical
barriers (e.g., slurry walls), groundwater diversion techniques (e.g.,
interception trench) or hydraulic containment systems (e.g.,
groundwater extraction wells) to prevent groundwater infiltration.
iii. Requirement To Comply With Performance Standards in Sec. 257.102
As discussed above, this final rule requires that the closure of
CCRMU meet the performance standards in either Sec. 257.102(c) or (d).
Under this final rule all closures initiated after the effective date
of this rule, as well as to those that were not completed prior to the
effective date of this rule, will need to comply with these
requirements.
And in general, the same is true with respect to closures that were
completed prior to the effective date of this rule. As discussed
previously, a facility that can certify that prior closure of a unit
meets the performance standards in Sec. 257.102(c) only needs to post
the documentation that the closure meets the standard. Similarly, if a
facility can demonstrate that the closed unit meets the requirements
under Sec. 257.102(d), EPA will consider the unit to be closed and the
only requirements that will be applicable are those that apply to
closed units under post closure care--that is groundwater monitoring,
and if necessary, corrective action. EPA never intended to require
facilities that otherwise met the closure standards to go through the
process again and re-close the unit. In addition, as discussed in the
next section, where the facility was subject to standards that are
different than the Federal CCR closure standards--e.g., if the closure
was conducted as part of a CERCLA cleanup--but otherwise is equivalent
in terms of mitigating the risks, the requirement to meet the Sec.
257.102 standards will be deferred to permitting, where a closure
equivalency determination will be made.
(a) Closure of CCRMU Under State Law and Deferral of Certain Completed
Closures to Permitting
In response to EPA's proposal that all CCRMU comply with Sec.
257.102, many commenters requested that EPA exempt any unit that has
either completed closure or is in the process of closing pursuant to
State law (e.g., solid waste permit, consent orders or decrees).
Commenters also requested that EPA exempt any site that closed as part
of a cleanup conducted pursuant to another Federal requirement, such as
CERCLA or RCRA subtitle C. For the most part, these commenters simply
repeated the comments that they had made with respect to legacy CCR
surface impoundments, stating that EPA had failed to demonstrate that
these units posed any risk as a consequence of the lack of ponded
water, and that ``re-closure'' of these previously closed units is
consequently unnecessary and overly burdensome. However, several
commenters also presented individual examples of CCRMU that had been
closed in accordance with State requirements, which the commenters
believed would demonstrate the State closures were equally as
protective as those conducted in accordance with Sec. 257.102. These
included the following examples:
[A facility] has an approximately 20-acre dry stack landfill with 20
plus years of groundwater monitoring that does not show groundwater
exceedances, zero potential receptors downstream (from the direction
of groundwater) that use wells for drinking water (also no potable
wells within a two-mile radius). The landfill construction using
best practices to minimize erosion potential, including only
placement of stabilized material in the landfill, perimeter ditch
surrounding the entire landfill to collect any runoff that is
processed before discharge, and the unit is regulated by the Florida
Department of Environmental Protection that includes semi-annual
groundwater monitoring results review and yearly on-site regulatory
inspections.
[Another facility] had two CCRMU landfills that were closed prior to
the effective date of the 2015 CCR Rule and were closed in
accordance with the State of Florida's Chapter 62-701, F.A.C., for
municipal and solid waste landfills. Neither landfill was built on
top of a liner system. The closed landfills were subject to design
criteria for cover systems and stormwater management, as well as
long-term operations and maintenance provisions. The groundwater
monitoring system requirements for landfills in Florida are similar
to, but not the same as, those in the 2015 CCR rule. Both closed
cells would be subject to corrective action if dictated by the
monitoring program. Maintenance, inspections, and repair of the
cover systems, as needed, are also part of the long-term care
program.
[Another facility] reported closing an inactive CCR landfill in the
1980s. The 20-acre site was used to dispose of bottom and fly ash,
including scrubber sludge. The owner performed monitoring of a
nearby spring to demonstrate whether any ponded water was leaking.
Upon visual inspection, it was determined that the bentonite/clay-
lined pond remained intact throughout the active
[[Page 39075]]
operation of the landfill. However, because of the age of the site,
groundwater monitoring wells were not required.
In addition, several States provided information about their
existing programs or individual closures. In some instances, the
information was intended to demonstrate that the closures were equally
as protective as Sec. 257.102, and to provide factual support for an
exemption for CCRMU that closed in accordance with State requirements.
Other States acknowledged the risks but urged EPA to make the CCRMU
requirements ``more flexible and allow for practical alternatives to
closure and corrective action for units that have not impacted
groundwater,'' or to provide an opportunity to demonstrate if the
previous closure of the CCRMU is protective of human health and the
environment.
By contrast, several commenters supported EPA's proposal to require
all CCRMU to comply with the performance standards in Sec. 257.102,
even if the closure was previously approved by a State regulatory
agency. These commenters also largely made the same comments they had
made with respect to legacy CCR surface impoundments, pointing to EPA's
conclusions in 2015 that significant gaps remain in many State
programs. These commenters also identified recent examples of closures
approved by various State agencies that they believed were not
consistent with the Federal closure standards.
No commenter submitted any information that would support a
conclusion that different provisions are warranted for CCRMU that
closed prior to the effective date of this rule than EPA adopted for
similarly situated legacy CCR surface impoundments. Even if individual
examples were sufficient to overcome the record with respect to State
programs generally, none of the examples presented by the commenters
provided sufficient detail for EPA to actually evaluate the adequacy of
the closures. For instance, in the three examples presented above,
neither of the first two examples actually describe the groundwater
monitoring that was required; while the second states that
``groundwater monitoring system requirements for landfills in Florida
are similar to, but not the same as, those in the 2015 CCR rule'' it
provides no further information. The third example explains that no
groundwater monitoring at all was required because of the age of the
unit; it is unclear why the commenter believes that this supports a
finding that the State program is as protective as those in part 257.
More to the point, as EPA explained in Unit III.B.2.g of this
preamble, with respect to legacy CCR surface impoundments, EPA lacks
the record necessary to support a broad exemption for all CCRMU
closures under any State requirement. The limited information currently
available does not demonstrate that all closures conducted under State
authority, particularly those completed prior to 2015, ``will ensure
there is no reasonable probability of adverse effects on health or the
environment.'' 42 U.S.C. 6944(a).
EPA, however, agrees that there are examples of closures that are
substantially equivalent to those conducted in accordance with Sec.
257.102. Moreover, EPA has no basis for concluding that the same
considerations that warrant deferral of certain legacy CCR surface
impoundments closures are not equally applicable to comparable CCRMU
closures. Accordingly, EPA is deferring the requirement for a CCRMU
that closed prior to the effective date of this rule to demonstrate
compliance with Sec. 257.102(d) until a permit application is required
to be submitted where the facility can document that all of the
following conditions have been met. First, the deferral is limited to
circumstances in which a regulatory authority played an active role in
overseeing and approving the closure activities. EPA considers a
``regulatory authority'' to include a State or Federal agency or
department that oversaw implementation of requirements imposed through
a permit, an administrative order, or consent order issued after 2015
under CERCLA or by an EPA-approved RCRA State program. The permit,
order, regulatory or other authority must have required groundwater
monitoring to ensure there was no contamination coming from the unit
that is not addressed by corrective action until cleanup standards are
achieved.
To support deferral of a prior closure of a CCRMU as substantially
equivalent, the facility must also document that the CCRMU meets one of
two existing performance standards: either: (1) The standard in Sec.
257.60 that the unit was constructed with a base that is located no
less than 1.52 m (5 feet) above the upper limit of the uppermost
aquifer, or must demonstrate that there is no intermittent, recurring,
or sustained hydraulic connection between any portion of the CCR unit
and the upper limit of the uppermost aquifer or surface water; or (2)
The dewatering standard in Sec. 257.102(d)(2)(i) that all free liquids
have been eliminated. This requirement directly addresses the reason
that EPA has concluded that many previously completed closures do not
meet the standard in RCRA section 4004(a).
In addition, a facility must document that it had installed a
groundwater monitoring system and performed groundwater monitoring that
meets a subset of the performance standards found in Sec. 257.91(a).
Specifically, the facility must demonstrate that the groundwater
monitoring system was capable of: (1) Accurately representing
background water quality, (2) Accurately representing the quality of
water passing the waste boundary, and (3) Detecting contamination in
the uppermost aquifer. The groundwater monitoring system must have
monitored all potential contaminant pathways.
Next, a facility would need to demonstrate that a site-specific
risk assessment was conducted or approved by the regulatory authority
prior to (or as part of) approving the closure, and that the closure
and any necessary corrective action has been overseen by the regulatory
authority, pursuant to an enforceable requirement.
Finally, the facility would be required to prepare and include
documentation in the applicability report and operating record,
demonstrating that it has met these criteria and is eligible for
deferral. The documentation must include specifics including the State
permit, order, data, GWM results, etc. This must be certified by the
owner/operator or an authorized representative using the same language
in Sec. 257.102(e).
When it comes time for the permit authority to evaluate the
closure, EPA intends to rely on the permit application process as the
primary mechanism to collect the information to allow a determination
to be made as to whether a CCRMU that closed under these alternative
standards did so in compliance with the requirements of Sec. 257.102.
The permit application process is a well-established system for
reviewing the types of groundwater, soil and other sampling and
analytical data that will typically be required in determining the
``equivalency'' of alternative closures.
When the permit application is called in, the facility must provide
sufficient information, including data on contaminant levels in ground
water, to demonstrate that the applicable Sec. 257.102 standards have
been met. EPA or an approved State Director (the permitting authority)
will review the information to determine whether the ``equivalency'' of
the closure has been successfully demonstrated. If EPA determines that
the closure has met the
[[Page 39076]]
appropriate part 257 closure standard, EPA or an approved State
Director will issue a post-closure permit. If EPA or an approved State
Director determines that the closure does not meet the part 257
standards, the owner or operator will be required to submit a permit
application containing all the applicable information for an operating
permit, and EPA will issue a permit that contains the specific
requirements necessary for the unit to achieve compliance with Sec.
257.102.
(b) Revisions to Performance Standards for Closing With Waste in Place
(1) Expansion of Sec. 257.102(d)(2)(i) to CCR Landfills
Given the locations of many CCRMU (located in floodplains, or
wetlands, or near large surface water bodies), EPA is concerned that
the base of these units may intersect with the groundwater beneath the
unit. As EPA has previously explained, where the base of a surface
impoundment intersects with groundwater, the facility will typically
need to include engineering measures specifically to address any
continued infiltration of groundwater into the impoundment in order to
close with waste in place consistent with Sec. 257.102(d). See, e.g.,
87 FR 72989 (November 28, 2022), 85 FR 12456, 12464 (March 3, 2020).
The same holds true for CCRMU that intersect with groundwater. The
existing requirements in Sec. 257.102(d)(1) and (3) apply to all CCR
units and EPA proposed that these provisions would also apply to CCRMU
without revision. By contrast, the existing requirements in Sec.
257.102(d)(2), which establish performance standards for drainage and
stabilization of the unit, only apply to CCR surface impoundments.
These performance standards are critical to ensuring that units that
contain liquids are properly and safely closed, and therefore should
apply to any unit, including a CCRMU and a CCR landfill, where free
liquids remain in the unit. Accordingly, EPA proposed to revise Sec.
257.102(d)(2) so that it applies to all CCR units and CCRMU. To assist
commenters, the proposal included a background discussion of the
existing closure performance standards. Finally, EPA explained that if
there are no liquids in the unit, the proposed revision would not
require the facility to do anything to meet the performance standards.
Several commenters supported the proposed revision. For example,
one commenter provided data about an unlined CCR landfill that was
constructed above the groundwater table and was found to be ``impacting
groundwater with high concentrations of heavy metals, with particularly
high concentrations of boron fluctuating between 14 and 30 mg/L.'' The
State of Michigan required closure of this landfill due to groundwater
impacts and after the landfill completed closure, ``the boron
concentrations returned to background concentrations approximately five
years later.'' The commenter further went on to state, ``this example
is provided to demonstrate that any type of water contact with CCR
disposal areas can impact groundwater, causing concentrations to rise
to concerning levels above water quality standards.'' Another commenter
suggested that, consistent with its statement in the proposal, EPA
should further revise Sec. 257.102 to clarify that the performance
standards are met if there is no liquid in the CCRMU. The commenter
recommended the following revisions to Sec. 257.102(d)(1) and (2):
(1) General performance standard. The owner or operator of a CCR
unit or CCR management unit that contains liquid must ensure that,
at a minimum, the CCR unit or CCR management unit is closed in a
manner that will: * * *
(2) Drainage and stabilization of CCR units and CCR management
units. The owner or operator of any CCR unit or CCR management unit
that contains liquid must meet the requirements of paragraphs
(d)(2)(i) and (ii) of this section prior to installing the final
cover system required under paragraph (d)(3) of this section.
A few commenters opposed extending Sec. 257.102(d)(2) to CCR
landfills and CCRMU, asserting that EPA had failed to provide a factual
basis to justify the revision. For example, one commenter stated that:
There are two purposes for free liquids removal--addressing
stability and potential groundwater contamination. For long-closed
units, stability is demonstrably not a concern. For groundwater, any
potential contamination can be addressed through corrective action
rather than closure. . . . EPA does not explain why the existing
corrective action regulations--which would require corrective action
and potentially source control in the event groundwater contact
causes impacts to groundwater--are insufficient. In short, the
proposed extension of the requirements is unnecessary and
unsupported by the record.
Another commenter contested the factual basis for the ``proposed rule's
assumption'' that CCR are in contact with groundwater. According to the
commenter, CCR surface impoundments and CCR landfills are not located
in the same hydrogeological environments and requires a site-specific
evaluation to determine, which is beyond the requirements of the
existing CCR regulations. One commenter criticized EPA for failing to
identify the 19 landfills ``already regulated under the 2015 CCR final
rule, but which have waste in contact with groundwater,'' and depriving
the public of an opportunity to comment on the accuracy of that
proposed finding. Another commenter said it takes a very long time to
eliminate free liquids in a CCRMU or landfill, which typically happens
during post-closure care.
EPA disagrees that it has failed to justify the revision. The
proposed rule did not rest on an assumption but on information (e.g.,
annual groundwater monitoring and corrective action reports, closure
plans) posted to facility CCR websites showing that the bases of their
CCR landfills are in contact with groundwater. EPA has included a list
of these facilities in the docket for this final rule. In addition,
other commenters have provided further examples of landfills that are
submerged in the aquifer. Moreover, while the commenter is correct that
whether groundwater is infiltrating a particular unit is a site-
specific determination, the commenter failed to provide any factual
basis for its assertion that CCR surface impoundments and CCR landfills
are never located in the same hydrogeological environments. And
contrary to the commenter's assertion EPA has repeatedly explained why
it is insufficient to rely on corrective action rather than closure to
address the risks associated with CCR landfills. The closure and
corrective action regulations are distinct and independent
requirements, each of which must be met. The closure in-place standards
are designed to ensure that the waste in the closed unit has been dried
out and is kept dry so that leachate cannot form in the closed unit and
subsequently be released to the environment. See, e.g., 47 FR 32318,
32321, 32323. For impoundments that are not yet leaking compliance with
these provisions are largely designed to ensure that the closed unit
does not become a source of future contamination. In other words, the
closure standards are expressly designed to prevent groundwater
contamination. By contrast, the corrective action provisions in
Sec. Sec. 257.96 through 257.98 contain the standards and procedures
for cleaning up the contamination in the groundwater that has already
leaked out of the unit. See, e.g., 40 CFR 257.97(b)(2) and (4)
(requiring that clean up remedies ``attain the groundwater protection
standard [in] Sec. 257.95(h)'' and ``remove from the environment as
much of the contaminated material as was released
[[Page 39077]]
from the CCR unit as feasible''). See, USWAG, 901 F.3d at 429-430, 431.
EPA appreciates the commenter's suggested alternative regulatory
text; however, EPA is concerned that the suggested revision is
effectively redundant of the new definition of ``contains CCR and
liquids'' and would not clearly communicate the entities that are
subject to the regulation. Therefore, EPA is finalizing this
requirement as proposed. In addition, because it can take a significant
amount of time to meet the performance standards in Sec.
257.102(d)(2), EPA has extended the closure deadlines applicable to any
CCR landfill that needs to meet these standards.
(2) Definition of Infiltration
EPA requested comment on whether to adopt a regulatory definition
of the term ``infiltration,'' consistent with term's plain meaning and
the dictionary definitions discussed in the preamble.
Several commenters agreed that EPA should adopt a regulatory
definition of infiltration that explicitly recognizes the myriad ways
that liquids can infiltrate CCR surface impoundments. Some commenters
supported EPA's proposed definition of ``infiltration'' because
industry has argued that ``the presence of groundwater in ash ponds is
essentially irrelevant to closure compliance and that the CCR Rule's
closure in place requirements are limited to draining the surface
portion of the pond, constructing a final cover, and preventing surface
water--but not groundwater--infiltration thereafter.'' Another
commenter stated EPA should define ``infiltration'' to make clear that
it is ``a general term that refers to the migration or movement of
liquid into or through a CCR unit from any direction, including the
top, sides, and bottom of the unit.''
Other commenters objected to EPA's proposal to adopt a definition,
citing on-going litigation in Electric Energy, Inc., et al. v. EPA,
Case Nos. 22-1056 and 23-1035. These commenters complained that EPA
makes no mention of this litigation in the proposed rule, even as it
claims that its interpretation is ``sufficiently clear that a
definition is not necessary.'' One commenter further stated that if EPA
ultimately elects to adopt regulatory definitions of those terms, it
should wait until the court rules so that the definitions are informed
by and consistent with any such ruling.
Another commenter asserted that EPA must acknowledge (and make a
good faith attempt to reconcile) the competing interpretations of key
terms of art in the 2015 CCR Rule before extending them into this final
rule.
One commenter argued that even if EPA adopted its proposed
definition, the rule provides no criteria--in contrast to the detailed
criteria for the necessary cover system--for how to ``control, minimize
or eliminate to the maximum extent feasible'' horizontal groundwater
``infiltration.'' The commenter alleged that ``this type of undefined
performance standard would be void for vagueness, especially when
compared to the great lengths EPA went to specify the other technical
criteria to address vertical infiltration in the performance
standard.''
EPA also received numerous comments recommending that infiltration
be defined by reference to technical definitions that define
infiltration as exclusively the vertical flow of water from the surface
down into the unit. These included a definition provided by the U.S.
Geological Survey (``USGS''), as ``flow of water from the land surface
into the subsurface.'' Also, according to the USGS: ``Water that
infiltrates at land surface moves vertically downward to the water
table to become ground water. The ground water then moves both
vertically and laterally within the ground-water system.''
As discussed previously, EPA disagrees that it is necessary to wait
until the court issues its decision in the pending litigation (Electric
Energy, Inc., et al. v. EPA, Case Nos. 22-1056 and 23-1035). However,
the court may rule on the procedural question at issue, it would not
resolve the substantive question EPA posed in the proposal, of whether
the inclusion of a definition would be useful.
EPA also disagrees that it should adopt a definition of
infiltration as exclusively the vertical flow of water from the surface
down into the unit. The purpose of adopting a definition is not to
establish a generic definition of infiltration, but to assist in the
application of standards to ensure that a CCR unit closes in a manner
that will protect human health and the environment. When promulgating
definitions applicable in regulatory programs, EPA relies not only on
available dictionary definitions, but also the surrounding context of
the regulation as a whole, as well as what will best achieve the
overall purpose of the regulation, and the Agency's statutory mandate.
None of the commenters address-any of these factors in recommending
that EPA adopt their various technical definitions. In this case, the
plain language definition of infiltration best fits within the context
of the regulation as a whole, and best achieves both the purpose of the
regulation and the RCRA section 4004(a) mandate to protect human health
and the environment. This is because under the commenters'
unnecessarily restrictive definitions the regulation would allow a
significant number of sites to continue leaking hazardous constituents,
such as arsenic and mercury, indefinitely.
Accordingly, the final rule adopts a definition of infiltration
based on the dictionary definitions discussed in the proposal. The
final rule defines infiltration to mean ``the migration or movement of
liquid, such as surface water or ground water, into or through a CCR
unit from any direction, including from the surface, laterally, and
through the bottom of the unit.'' This definition also is consistent
with two technical sources that use infiltration more broadly by
incorporating lateral flow through continuous porous media. As EPRI
explained in its comments, Geotechnical Aspects of Landfill Design and
Construction (Qian 2002) does not contain an explicit definition of
infiltration but does refer to both ``surface water infiltration'' and
``groundwater infiltration'' in its description of landfill leachate.
Similarly, the National Research Council in Assessment of the
Performance of Engineered Waste Containment Barriers (National Research
Council 2007) does not explicitly define infiltration but uses
infiltration to describe surface water and groundwater movements into
waste as well as soil migration into drainage systems.
With respect to the comment requesting EPA to ``acknowledge (and
make a good faith attempt to reconcile) the competing interpretations
of key terms of art in the 2015 regulation,'' EPA considers that its
adoption of this definition does this. As noted, the definition is
consistent with both the plain language meaning of the term, and with
relevant technical sources. Further, the definition fits within the
context of the regulation as a whole and best achieves both the purpose
of the regulation and RCRA's mandate to protect human health and the
environment.
Finally, EPA disagrees that the regulation, with or without a
regulatory definition of infiltration, is unconstitutionally vague. The
scope of the regulatory definition is clear, and thus regulated parties
have adequate notice of the rule's requirements.
In point of fact, the commenter's complaint is not that it cannot
[[Page 39078]]
determine what is required under the regulation, but that it dislikes
what the plain language clearly compels. Relying on the plain language
definition of infiltration simply requires facilities that want to
close an unlined CCR impoundment with waste in place to implement
engineering measures to ``control, minimize, or eliminate, to the
maximum extent feasible'' liquid entering the unit from the sides or
the base of the unit. EPA has previously identified several reasonably
available engineering measures exist that can prevent, or at least
control, the flow of groundwater into the unit (and consequently the
releases out of the unit). For example, EPA's 1982 guidance on the
closure of hazardous waste surface impoundments, which the commenter
also references, identifies several engineering controls ``to prevent
the subsurface flow of ground water into the impounded waste.'' EPA
Office of Solid Waste, Closure of Hazardous Waste Surface Impoundments,
SW-873, p 81 (September 1982), Revised Edition (emphasis added). In
other words, the regulation ``clearly proscribes'' the commenter's
preferred conduct of closing its CCR impoundments without addressing
the groundwater in its unit. Finally, Sec. 257.102(d)(1)(i) is no more
vague than the corresponding requirement in Sec. 265.111(a), which has
been in effect since 1982 (requiring interim status facilities to
``control, minimize or eliminate to the extent necessary to protect
human health and the environment, post-closure releases of leachate . .
.). The clarity of this regulation is shown by the fact that, over the
past 40 years the regulation has been in effect, interim status
hazardous waste facilities have been able to adequately determine what
the regulation requires and comply with it. The commenter has offered
nothing to distinguish the interim status requirements from those in
Sec. 257.102(d)(i).
(3) Closure in Place Performance Standards Under Sec. 257.102(d)
The May 2023 proposal explained how the performance standards for
closing with waste in place applied to a CCR surface impoundment that
intersected with groundwater. EPA received a number of comments that
agreed with the Agency's explanation, as well as several that opposed
it. Several commenters raised objections they had previously presented
in the context of prior decisions. EPA has previously responded to
these comments in detail in (1) U.S. EPA. Denial of Alternative Closure
Deadline for General James M. Gavin Plant, Cheshire, Ohio (November 18,
2022) in the docket at EPA-HQ-OLEM-2021-0590-0100; (2) 88 FR 31982 (May
18, 2023); and (3) 88 FR 55220 (August 14, 2023). EPA continues to be
unpersuaded by the commenters objections and to avoid any confusion is
reiterating below the explanation provided in the May 2023 proposal.
The CCR closure requirements applicable to closing with waste in
place include general performance standards and specific technical
standards that set forth individual engineering requirements related to
the drainage and stabilization of the waste and to the final cover
system. The general performance standards and the technical standards
complement each other, and both must be met at every unit.
The specific technical standards related to the drainage of the
waste in the unit require that, ``free liquids must be eliminated by
removing liquid wastes or solidifying the remaining wastes and waste
residues.'' 40 CFR 257.102(d)(2)(i). Free liquids are defined as all
``liquids that readily separate from the solid portion of a waste under
ambient temperature and pressure,'' regardless of whether the source of
the liquids is from sluiced water or groundwater. 40 CFR 257.53.
Consequently, the directive applies to both the freestanding liquid in
the impoundment and to all readily separable porewater in the
impoundment, whether the porewater was derived from sluiced water,
stormwater run-off, or groundwater that migrates into the impoundment.
In situations where the waste in the unit is inundated with
groundwater, the requirement to eliminate free liquids thus obligates
the facility to take engineering measures necessary to ensure that the
groundwater, along with the other free liquids, has been permanently
removed from the unit prior to installing the final cover system. See,
40 CFR 257.102(d)(2)(i).
In addition to the process-specific technical requirements, all
closures must meet the requirements in the general performance standard
to ``control, minimize or eliminate, to the maximum extent feasible,''
both post closure infiltration of liquids into the waste and releases
of CCR or leachate out of the unit to the ground or surface waters, and
to ``preclude the probability of future impoundment of water, sediment,
or slurry.'' 40 CFR 257.102(d)(1)(i), (ii).
In situations where the groundwater intersects an unlined CCR unit,
water may infiltrate into the unit from the sides and/or bottom of the
unit because the base of the unit is below the water table. In this
scenario, the CCR in the unit will be in continuous contact with water.
This contact between the waste and groundwater provides a potential for
waste constituents to be dissolved and to migrate out of (or away from)
the closed unit. In such a case, the general performance standard also
requires the facility to take measures, such as engineering controls,
that will ``control, minimize, or eliminate, to the maximum extent
feasible, post-closure infiltration of liquids into the waste'' as well
as ``post-closure releases to the groundwater'' from the sides and
bottom of the unit. 40 CFR 257.102(d)(1).
Whether any particular unit can meet these performance standards is
a fact and site-specific determination that will depend on a number of
considerations, such as the hydrogeology of the site, the design and
construction of the unit, and the kinds of engineering measures
implemented at the unit. Accordingly, the fact that prior to closure
the base of a unit intersects with groundwater does not mean that the
unit may not ultimately be able to meet the performance standards in
Sec. 257.102(d) for closure with waste in place.
Depending on the site conditions, a facility may be able to meet
these performance standards by demonstrating that a combination of
engineering measures and site-specific circumstances will ensure that
as a consequence of complying with the closure performance standards,
the groundwater will no longer be in contact with the waste in the
closed unit. As one example, where groundwater intersects with only a
portion of an impoundment, the facility could close that portion of the
unit by removing the CCR from that area of the unit but leaving waste
in place in other areas. As another example, if the entire unit sits
several feet deep within the water table, engineering controls can
potentially be implemented to stop the continued flow of groundwater
into and out of the waste. See, EPA Office of Solid Waste, Closure of
Hazardous Waste Surface Impoundments, SW-873, p 81 (September 1982),
Revised Edition.
(4) Methods and Tools for the Identification and Elimination of Free
Liquids
Many commenters requested EPA provide greater clarity regarding the
closure performance standard that requires that ``free liquids must be
eliminated by removing liquid wastes or solidifying the remaining
wastes and waste residues.'' 40 CFR 257.102(d)(2)(i). Commenters stated
that there continues to be confusion over
[[Page 39079]]
what technical means and methods can be implemented to meet EPA's
expectations and, in particular, what design considerations must be
taken into account to achieve compliance with the existing closure
performance standards (as applied to both currently and newly regulated
units). The commenters explained that there are no regulatory
specifications for eliminating free liquids prior to installing the
final cover system or controlling, minimizing or eliminating, to the
maximum extent feasible, the post-closure infiltration of liquids as
required by Sec. 257.102(d)(2)(i) and (d)(1)(i), respectively.
In response to these requests, EPA is providing further information
with this final rule. EPA has included in the docket to this rulemaking
a document titled ``Methods and Tools for the Identification and
Elimination of Free Liquids.'' A summary of some of the main points of
the guidance are discussed below.
The document discusses many of the methods and tools needed to
identify and eliminate free liquids that are already widely used by
industry to investigate and close surface impoundments. For example,
tools that may be used to identify free liquids include soil borings
and cone penetrometers to map the stratigraphy of the CCR unit and
characterize the geotechnical and hydraulic properties of the various
CCR layers, as well as the installation of traditional piezometers,
monitoring wells and vibrating wire piezometers to monitor pore
pressures and water levels. Properly constructed wells and piezometers
screened in the appropriate locations and depths have a prominent role
in networks of instruments necessary for assessing free liquids in that
their design directly measures water levels under ambient conditions.
At the most basic level water levels in wells and piezometers are
indicative of free liquids. Conversely, networks of wells and
piezometers could be used as part of a program used to determine that
free liquids no longer exist. Similarly, methods and tools to eliminate
free liquids within the CCR, such as rim ditches, pumping wells,
extraction wellpoints are also currently employed by industry. These
technologies also provide insights into the presence and nature of free
liquids at a given CCR unit, e.g., rim ditches and open excavations
enable direct observation of free liquids.
Finally, the document identifies considerations useful to
developing successful site-specific strategies and approaches to
identify, measure, monitor and eliminate free liquids. Longer term
variables such as potential groundwater intrusion or other influences
are also discussed. In summary, full compliance requires successful
sustained attainment of performance standards over the long term.
Designing successful approaches will necessarily involve careful
consideration of all potential sources of free liquids, including
groundwater. Owners or operators of units that contain CCR in contact
with groundwater will likely need to take additional actions such as
CCR removal or implement specific engineering measures applied over
time frames needed to preclude groundwater from intruding back into CCR
units after free liquids have been initially eliminated.
iv. Preparation of a Written Closure Plan for CCR Management Units
EPA proposed that owners or operators of CCRMU comply with the
existing requirements of Sec. 257.102(b) requiring the preparation of
a written closure plan no later than 12 months after the effective date
of the final rule.
As mentioned in Unit III.C.4.d, aside from those commenters that
disagreed with requiring CCRMU to comply with overall closure
requirements, commenters on the proposed rule agreed that the written
closure plan requirement would generally be appropriate for CCRMU. One
commenter suggested additional requirements for the content of the
closure plan including the elevation of the base of the unit,
groundwater information, and descriptions of compliance with Sec.
257.102 will be achieved (e.g., how free liquids would be eliminated,
how waste will be stabilized, measures to minimize the need for further
maintenance of the CCR unit). A few commenters supported the proposed
deadline but as summarized in Units III.C.4.a and III.C.4.d of this
preamble, other commenters stated the proposed deadline was infeasible
and inappropriate. One commenter suggested the deadline for the closure
plan be extended to be concurrent with the initiation of closure.
Another commenter requested EPA create extension mechanisms for this
requirement based on the number of CCRMU at the facility. Commenters
suggestions for the deadline for the completion of the closure plan
ranged from 12 (the 2015 CCR Rule deadline) to 60 months.
EPA disagrees with the commenter that additional requirements
regarding the content of the closure plan are necessary. The
information the commenter requested be included in the closure plan is
1) already required to be in the closure plan pursuant to Sec. Sec.
257.102(b) or 2) readily available in other required reports (e.g., the
annual groundwater monitoring and corrective action reports).
Furthermore, the commenter failed to fully explain how compliance with
Sec. 257.102(b) does not provide the information needed to determine
if compliance with the closure performance standards will be met.
Regarding the deadline, for the same reasons in Units III.B.2.g and
III.B.2.g.iv.b for legacy CCR surface impoundments, EPA concludes that
the deadline for the closure plan should be extended from the proposed
deadline to allow for owners or operators to incorporate information
about groundwater quality, groundwater flows, seasonality impacts, and
the migration of contaminants (if any) into the plan. Therefore, EPA is
finalizing a deadline of no later than Wednesday, November 8, 2028,
which is 48 months after the effective date. This final deadline
extends the proposed deadline by 36 months and EPA expects that this
adequately address the concern regarding the infeasibility of the
deadline expressed by a commenter requesting EPA create extension based
on the number of CCRMU at the facility. This is codified in the
regulatory text at Sec. 257.102(b)(2)(iii).
However, consistent with the requirements for legacy CCR surface
impoundments, EPA is not requiring compliance with the written closure
plan requirement for CCRMU that, by the effective date of this final
rule, have completed: (1) closure with waste in place or (2) a closure
eligible for deferral to permitting as described in Sec. 257.101(g).
Instead, the final rule requires the owner or operator to provide
information on the completed closure of the CCRMU, along with
supporting documentation to demonstrate that the closure meets the
performance standards in Sec. 257.102(d) or the standards specified in
Sec. 257.101(g). This is codified in the regulatory text at Sec.
257.102(b)(2)(v).
Based on comments on the proposed rule and experience from the 2015
CCR Rule, EPA expects the incorporation of this information into the
closure plan will allow facilities to select a closure method that most
appropriately addresses issues like waste that is in contact with
groundwater, groundwater contamination, and long-term structural
stability concerns. Closure plans that adequately address these issues
will result in better protection of human health and the environment.
The closure plan describes the steps necessary to close a CCR unit
at any
[[Page 39080]]
point during the active life of the unit based on recognized and
generally accepted good engineering practices. 40 CFR 257.102(b)(1).
The plan must set out whether the closure of the CCR unit will be
accomplished by leaving CCR in place or through closure by removal and
include a written narrative describing how the unit will be closed in
accordance with the section, or in other words, how the closure will
meet all the performance standards in the regulations. 40 CFR
257.102(b)(1)(i). The written closure plan must also provide a schedule
for completing all activities necessary to satisfy the closure criteria
of the rule. See also 80 FR 21410-21425.
If the CCR is left in place, the closure plan must include a
description of the final cover system and how the final cover system
will achieve the regulatory performance standards. If the base of the
impoundment intersects with groundwater, the closure plan would need to
discuss the engineering measures taken to ensure that the groundwater
had been removed from the unit prior to the start of installing the
final cover system, as required by Sec. 257.102(d)(2)(i). The closure
plan would also need to describe how the facility plans to meet the
requirements in Sec. 257.102(d)(1) to ``control, minimize or
eliminate, to the maximum extent feasible, post-closure infiltration of
liquids into the waste and releases of CCR, leachate, or contaminated
run-off to the ground or surface waters.'' This could include, for
example, the installation of engineering controls that would address
the post-closure infiltration of liquids into the waste from all
directions, as well as any post-closure releases to the groundwater
from the sides and bottom of the unit.
v. Preparation of a Written Post-Closure Care Plan for CCR Management
Units
EPA proposed that owners or operators of CCRMU would be required to
comply with the existing requirement in Sec. 257.104(d) regarding the
preparation of a written post-closure no later than 12 months after the
effective date of the final rule.
As mentioned in Unit III.C.4.d, aside from those commenters that
disagreed with requiring CCRMU to comply with overall closure
requirements, commenters on the proposed rule agreed that the written
post-closure care plan requirement would generally be appropriate for
CCRMU. Overall commenters requested an extension of the post-closure
care deadline to allow for a more feasible deadline and the
incorporation of groundwater monitoring data. Another commenter
requested EPA create extension mechanisms for this requirement based on
the number of CCRMU at the facility. For the same reasons in Units
III.B.2.g and III.B.2.g.iv.c for legacy CCR surface impoundments, EPA
is finalizing a deadline of no later than Wednesday, November 8, 2028,
which is 48 months from the effective date of the final rule to comply
with the post-closure care requirement in Sec. 257.104(d). This final
deadline extends the proposed deadline by 36 months and EPA expects
that this adequately address the concern regarding the infeasibility of
the deadline expressed by commenter requesting EPA create extension
based on the number of CCRMU at the facility. This is codified in the
regulatory text at Sec. 257.104(d)(2)(iii).
Section 257.104(d) requires that an owner or operator of a CCR unit
prepare a written post-closure plan. The contents of the P.E.-certified
plan are stated in the rule Sec. 257.104(d)(1)(i) through (iii) and
can be summarized as a description of the monitoring and maintenance
activities required for the unit, the frequency that these activities
will be performed, information for the point-of-contact during the
post-closure care period, and planned uses of the property.
vi. Deadline To Initiate Closure for CCR Management Units
EPA proposed that owners or operators of CCRMU initiate closure no
later than 12 months after the effective date of the final rule. As
explained in the proposed rule, the proposed deadline was expedited
from the 2015 CCR Rule to address the risks posed from these units and
EPA's estimated minimum amount of time necessary to collect the
information needed to determine whether to close the unit in place or
close by removal.
Several commenters expressed support for the proposed 12-month
deadline to initiate closure, stating that the shorter deadlines are
necessary to address the increased risk from CCRMU and likelihood these
units are and have been contaminating groundwater. However, as
mentioned in Unit III.C.4.d, many other commenters characterized the
proposed deadline as infeasible for the reasons mentioned in Unit
III.C.4.a, including seasonality, need to comply with overlapping
regulatory requirements, labor shortages, and the strain on the limited
resources necessary to achieve compliance (e.g., contractors,
laboratories, P.E.s) caused by the number of CCR units coming into
compliance at the same time. Commenters emphasized the importance of
the groundwater monitoring data to inform closure, stating that
compliance with the closure requirements should not be required until
after the groundwater monitoring system was installed and baseline
samples collected. These commenters pointed to recent EPA Part A and
Part B decisions as evidence of the gap between EPA's expectations and
the closure and post-closure plans developed by owners or operators and
best practices; these commenters further stated that the proposed
deadline precludes the incorporation of groundwater monitoring data in
developing closure plans and is likely a contributing factor to the gap
between EPA's expectation and closure and post-closure care plans
submitted by owners or operators of currently regulated units.
Additionally, as described in Unit III.C.4.d.ii, several commenters
requested the delays for the initiation of closure for CCRMU beneath
critical infrastructure until the decommissioning or closure of the
infrastructure or facility. Finally, a few commenters suggested EPA
create extensions for the deadline to initiate closure to address
concerns about comply with overlapping State permitting requirements or
based on the number of CCRMU present at the facility. Commenters'
suggestions for alternative deadlines to initiate closure ranged from
12 with extensions to 60 months, or at least after the collection of
the baseline groundwater monitoring samples required by Sec. 257.94.
Consistent with the approach for legacy CCR surface impoundments
closure, EPA acknowledges the benefit of allowing owners or operators
the time needed to incorporate groundwater monitoring data into the
closure plan. Additionally, as stated in the proposed rule, EPA
acknowledges the importance of using information gained by compliance
with the groundwater monitoring and corrective action requirements to
inform closure decisions and therefore the initiation of closure. For
the reasons explained in Unit III.C.4.c, EPA is extending the deadline
for the groundwater monitoring and corrective action requirements to a
single deadline of no later than 42 months from the effective date of
the final rule. As such, the initiation of closure is being extended as
well. To ensure owners or operators have enough groundwater monitoring
data to draw conclusions about seasonality impacts on groundwater
levels and flow and the source of any potential groundwater
contamination in the area, EPA is finalizing a deadline of no later
than Tuesday, May 8, 2029, which is 54 months from the effective
[[Page 39081]]
date of the final rule. This is codified in the regulatory text at
Sec. 257.101(f)(1). This final deadline extends the proposed deadline
by 42 months and EPA expects that the concerns expressed by commenters
requesting EPA create extensions (i.e., the need to comply with State
permitting requirements and the number of CCRMU at the facility) are
addressed by this overall deadline extension. Finally, regarding those
CCRMU under critical infrastructure, owners or operators of these units
have the opportunity to defer the deadline to initiate closure until
the Agency can address these units on an individual basis as part of
permitting. See Unit III.C.4.d.ii.
vii. Deadline To Complete Closure for CCR Management Units
EPA proposed to apply the current CCR surface impoundment closure
time frames at Sec. 257.102(f) to CCRMU. The existing CCR regulations
currently require an owner or operator of a CCR surface impoundment
generally to complete closure activities within five years from
initiating closure. The regulations also establish the conditions for
extending this deadline, upon a showing that additional time is
necessary. Consistent with the existing requirements for CCR surface
impoundments, EPA proposed the amount of additional time that an owner
or operator could obtain would vary based on the size (using surface
area acreage of the CCR unit as the surrogate of size) of the CCRMU.
For CCRMU 40 acres or smaller, the proposed maximum time extension is
two years. For CCRMU greater than 40 acres, the proposed maximum time
extension is five 2-year extensions (10 years), and the owner or
operator must substantiate the factual circumstances demonstrating the
need for each year extension.
Several commenters expressed support for the proposed deadlines to
complete closure, citing the increased risk from CCRMU and likelihood
these units are and have been contaminating groundwater. However, many
commenters on the proposed rule requested an extension of the deadline
to complete closure to allow for a more feasible deadline and to
mitigate the factors mentioned in Unit III.C.4.a. Some of these
commenters stated if the deadline to initiate closure was extended to
no less than the time granted for CCR unit closure in the 2015 CCR
Rule, then the proposed deadlines would be feasible. These commenters
supported the ability of CCRMU to seek extensions of the deadline based
on size. However, a few of the commenters requested longer extensions
or an increase in the maximum number of extensions for CCRMU. These
commenters cited factors mentioned in Unit III.C.4.a as reasons to
allow for longer or more extensions (i.e., third-party availability,
need to comply with State permitting requirements prior to certain
activities, backlogs, number of CCR units coming into compliance at the
same time). One commenter stated more extensions were necessary to meet
the closure performance standards in Sec. 257.102 (i.e., remove liquid
from the unit and meet the groundwater protection standards).
For the reasons described throughout this Unit of the preamble, EPA
has extended the deadline for the initiation of closure. EPA expects
the extension to the deadlines for the closure plan and initiation of
closure, as well as the options to defer closure requirements for CCRMU
under critical infrastructure and those that have completed closure
under a regulatory authority (see Units III.C.4.d.ii and
III.C.4.d.iii.a, respectively), to address the concerns commenters
expressed with the infeasibility or inappropriateness of the deadline
to complete closure. Furthermore, with respect to requests for longer
or more extensions for CCRMU as compared to the existing CCR
regulations, EPA still concludes that as explained in the proposed
rule, CCRMU closure will closely resemble CCR impoundment closures
because of half of these identified potential CCRMU were associated
with former, Federally unregulated CCR surface impoundments.
Additionally, the requirements for former impoundments to be closed
with waste in place (i.e., procurement, transportation, and placement
of substantial volumes of soil or borrow material), would also apply to
certain CCR fill placements as well as to inactive CCR landfills where
past waste disposal did not reach the landfill's design capacity (i.e.,
landfill airspace was not fully utilized). As such, in these
situations, EPA has determined the time frames to complete closure for
existing CCR surface impoundments are appropriate (i.e., 5 years).
Finally, as discussed in proposed rule, the Agency believes that the
base of at least some CCRMU may intersect with the groundwater because
CCRMU may be located in floodplains or wetlands, or near large surface
water bodies. EPA's experience in implementing the regulations is that
such closures are generally more complex and take longer to complete.
EPA thus believes the time frames to complete closure of CCRMU should
be the same as the time frames provided for existing CCR surface
impoundments. No commenters provided factual information or evidence to
support the conclusion that CCRMU closure, apart from those CCRMU under
critical infrastructure or closed under a regulatory authority
mentioned above, is different enough from closure of units regulated
under the 2015 CCR Rule to warrant additional extensions or separate
requirements. Therefore, EPA is finalizing the deadline for the
completion of closure of CCRMU as proposed. This is codified in the
regulatory text at Sec. 257.102(f).
viii. Post-Closure Care for CCR Management Units
EPA proposed to apply the existing post-closure care requirements
at Sec. 257.104 to CCRMU without revision. These criteria are
essential to ensuring the long-term safety of CCRMU.
As mentioned in Unit III.C.4.d, aside from those commenters that
disagreed with requiring CCRMU to comply with overall closure
requirements, no commenters raised specific concern about requiring
CCRMU to comply with the existing requirements in Sec. 257.104.
However, one commenter suggested that EPA allow units that have closed
under a State program to either continue post-closure care under that
State program or reduce the post-closure care period for these units by
the number of years of post-closure care completed under the State
program. As described in Unit III.C.4.d.iii(a), EPA is finalizing a
provision to address closures completed under other authorities
provided the closure meets specific criteria by deferring any closure
activities to permitting, including the determination of when post-
closure care is completed. In instances where the criteria for deferral
to permitting has been met and units have conducted post-closure care
under a State program for many years, the permitting authority, once
authorized, will be able to look at the site-specific information,
including the closure and the specific activities required by the
State's post-closure care program, and determine what, if any, further
closure or post-closure activities would be appropriate. EPA is
therefore finalizing this provision without revision.
The existing post-closure care criteria require the monitoring and
maintenance of units that have closed in place for at least 30 years
after closure has been completed. 40 CFR 257.104. During this post-
closure period, the facility would be required to continue groundwater
monitoring and corrective action, where necessary.
[[Page 39082]]
e. Recordkeeping, Notification and Internet Posting for CCR Management
Units
EPA proposed that, like legacy CCR surface impoundments, owners or
operators of CCRMU be subject to the existing recordkeeping,
notification and website reporting requirements in the CCR regulations
found at Sec. Sec. 257.105 through 257.107. EPA also proposed changes
to add CCRMU to Sec. 257.107(a) to require the facility to notify the
Agency using the procedures for the establishment of the website no
later than the effective date of the final rule. For reasons specified
in the 2015 CCR Rule, the CCR regulations require the owner or operator
of a new or existing CCR unit to record specific information in the
facility's operating record, maintain files of all required information
(e.g., demonstrations, plans, notifications, and reports) that supports
implementation and compliance with the rule, notify State Director and
Tribal authorities, and maintain a public CCR website that hosts this
information. 80 FR 21427.
A commenter supported applying recordkeeping, notification, and
internet posting requirements to CCRMU but stated that the existing
requirements were ineffective at ensuring compliance with the CCR
regulations or allowing for meaningful public awareness or
participation. The commenter suggested that EPA create mechanisms
within the rule to ensure the public has the opportunity to participate
in the decision-making processes at regulated CCR units; standardize
reporting to make the report more easily understood by the public;
establish organizational requirements for the CCR websites; require
public notice and engagement when notifying the State Director and/or
appropriate Tribal authority as required by the CCR rule; extend the
period of time the files required by the CCR rule must be maintained in
the operating record; and require owners or operators certify
compliance documentation for the CCR units. This commenter also
suggested EPA clarify what records owners or operators are required to
retain and to publish. Other commenters suggested the website
requirement not be due until the first document is required to be
posted.
EPA agrees with the commenter on the importance of meaningful
public participation. The current regulations allow for public
participation by requiring owner or operators to hold a public meeting
as part of the assessment of corrective measures in Sec. 257.96,
creating a mechanism for the public to file dust complaints in Sec.
257.80(b), and the ``contact us'' form or specific email address on
facilities' public CCR websites for questions or issues from the public
as required by Sec. 257.107(a). Public comment periods are also held
as part of the determination process for Part A and Part B
demonstrations; however, these demonstrations are not applicable to
CCRMU. EPA does not have evidence to support the claim by the commenter
that these opportunities for public participation are ineffective.
Furthermore, EPA does not find other decision-making points in the rule
appropriate for mandatory public meetings or public comment periods
although facilities are encouraged to engage with the public and to
both solicit and incorporate public input into decisions, such as
closure methods, as able and appropriate.
With respect to the commenter's suggestions that EPA require the
owners or operators of CCR units to certify compliance documentation
and create standardized reporting and website layout requirements, as
explained in the proposed rule, EPA does not have evidence that CCRMU
are sufficiently different than currently regulated facilities to
necessitate substantially different requirements. The commenter
provided no factual basis to support the suggestion that requiring
owner or operator certifications would improve compliance with the
regulations beyond the certifications currently required by
professional engineers. When justifying the request for standardized
reporting and website layout requirements, the commenter failed to
explain how compliance with the public website posting requirements in
Sec. 257.107, including the requirement to ensure all information is
``clearly identifiable and must be able to be immediately printed and
downloaded by anyone accessing the site'' is inadequate or a hinderance
to the public accessing the required information. Therefore, EPA does
not believe additional notification, certification, or public
engagement requirements for CCRMU would be appropriate.
EPA agrees with the commenter on the need to extend the period of
time files required by the CCR rule must be maintained on the
facilities' public websites and in the operating records. As described
in Unit III.D.5, EPA is extending how long files must be maintained in
the operating record and on the public website. While EPA believes the
regulations at Sec. Sec. 257.105 and 257.107 clearly lay out what
records must be retained and published, EPA has included in Unit
III.D.5. a table that details what records are required to be
maintained in the operating record and on the public website as well as
the corresponding retention periods. No commenters raised concerns
about requiring CCRMU to comply with the existing requirements in
Sec. Sec. 257.105 through 257.107.
Lastly, EPA agrees with the commenters who suggested the deadline
for the establishment of the website coincide with the first required
document (i.e., the FER Part 1). Therefore, EPA is finalizing a
deadline of 15 months after the effective date for the establishment of
the website.
EPA is also finalizing the requirement that owners or operators of
CCRMU comply with recordkeeping, notification, and internet posting
requirements at Sec. Sec. 257.105 through 257.107.
As discussed in Unit III.B.2.h of this preamble, owners or
operators must document implementation and compliance with the rule and
must place these files into the facility's operating record. Each
required file must be maintained in the operating record for the
entirety of the retention period specified in Sec. 257.105 following
submittal of the file into the operating record. Each file must also
indicate the date the file was placed in the operating record. Files
are required to be submitted into the operating record at the time the
documentation becomes available or by the compliance deadline specified
in the CCR regulations. Section 257.105 contains a comprehensive
listing of each recordkeeping requirement and corresponding record
retention periods.
Furthermore, the owner or operator of a CCRMU must maintain a CCR
website titled, ``CCR Rule Compliance Data and Information'' that hosts
the compliance information so that it may be viewed by the public.
Unless provided otherwise in the rule (see, Unit III.E.5), information
posted to the CCR website must be available for a period no less than
five years from the initial posting date for each submission. Posting
of information must be completed no later than 30 days from the
submittal of the information to the operating record. Owners or
operators of CCRMU have 15 months from the effective date of this rule
to establish a CCR website and post the required applicable
information.
D. Closure of CCR Units By Removal of CCR
1. Background
On March 3, 2020, in the Proposed Rule entitled: Hazardous and
Solid Waste Management System: Disposal of CCR; A Holistic Approach to
Closure Part B: Alternate Demonstration for
[[Page 39083]]
Unlined Surface Impoundments; Implementation of Closure, EPA proposed
to revise the 2015 CCR Rule to, among other things, provide facilities
with an additional option for CCR units being closed by removal of CCR.
85 FR 12456. Specifically, EPA proposed to allow a facility to complete
the closure in two stages: first, by completing all removal and
decontamination procedures; and second, by completing all groundwater
remediation in a separate post-closure care period. 85 FR 12456. In
this final rule, the Agency is taking final action on this proposal.
The closure by removal regulation consists of two performance
standards. In the first standard, the owner or operator must remove all
CCR from the unit and decontaminate all areas affected by releases from
the CCR unit. In the second standard, the regulation specifies that
closure is complete when all CCR in the unit and any areas affected by
releases from the CCR unit have been removed and groundwater monitoring
demonstrates that there are no exceedances of any groundwater
protection standard. See Sec. 257.102(c). Importantly, the second
performance standard requires groundwater corrective action of a unit
to be completed in order for closure of the unit to be considered
complete.
As previously discussed, the CCR regulations also establish
deadlines to initiate and complete closure activities. For example, the
regulations generally require owners and operators of CCR surface
impoundments to complete closure activities within five years of
commencing closure activities, while closure of CCR landfills must be
completed within six months. See Sec. 257.102(f)(1). Notwithstanding
these deadlines to complete closure, the CCR regulations also allow for
additional time provided the owner or operator can make the prescribed
demonstrations that are based on site-specific circumstances beyond the
facility's control. For CCR surface impoundments, the amount of
additional time beyond the five years varies based on the demonstrated
need and the surface area acreage of the impoundment. For impoundments
40 acres or smaller, the maximum time extension that can be obtained is
two years. For impoundments greater than 40 acres, the maximum time
extension is five two-year extensions (for a total extension of ten
years). For CCR landfills, the amount of additional time beyond the six
months does not vary according to the size of the landfill, rather the
maximum time extension is two one-year extensions (for a total
extension of two years). To obtain additional time, owners or operators
of CCR units must substantiate the factual circumstances demonstrating
the need for the extension. See Sec. 257.102(f)(2). In all instances
the number of time extensions is capped to a certain number of years.
The CCR regulations also require the owner or operator of the CCR
unit to obtain a certification from a qualified professional engineer
or approval from the Participating State Director (or EPA where EPA is
the permitting authority) verifying that closure has been completed in
accordance with the written closure plan and all applicable closure
requirements of Sec. 257.102. See Sec. 257.102(f)(3). In addition,
the owner or operator must prepare a notification stating that closure
of the unit has been completed. This notification must be completed
within 30 days of completion of unit closure and must include the
certification required by Sec. 257.102(f)(3). See Sec. 257.102(h). As
the CCR regulations are currently structured for units closing by
removal of CCR, the closure certification and notification cannot be
completed until all CCR removal and decontamination activities,
including groundwater corrective action,\146\ are completed. Prior to
this final rule, owners and operators that complete closure of a unit
by removal of CCR were exempt from any other post-closure care
requirements for the unit and were also exempt from the deed notation
requirements upon certification that closure by removal of CCR has been
completed.
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\146\ For purposes of this preamble discussion, the term
``groundwater corrective action: includes those actions taken to
implement the selected remedy specified in Sec. 257.98(c) to attain
the groundwater protection standards in Sec. 257.95(h).
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2. March 2020 Proposed Rule
Under the March 2020 proposal, an owner or operator that cannot
complete groundwater corrective action by the time all other closure by
removal activities have been completed (i.e., during the active life
\147\ of the CCR unit) may complete groundwater corrective action
during a post-closure care period. Under this option, the owner or
operator must first complete all other removal and decontamination
activities within the time frames provided for completing closure. In
addition, EPA proposed to require the owner or operator to have
implemented the remedy selected under Sec. 257.97 such that all
components of the remedy are in place and operating as intended prior
to completing all removal and decontamination activities. Upon
completion of all removal and decontamination activities (except for
completion of groundwater corrective action) and implementation of the
selected remedy, the owner or operator would be allowed to certify that
the CCR unit has been closed. Thereafter, the CCR unit would be
required to continue to conduct corrective action in accordance with
the existing requirements in Sec. 257.98 and would be subject to the
existing post-closure care requirements in Sec. 257.104 until
completion of groundwater corrective action. EPA did not propose any
substantive revisions to the current closure standard when closing by
removal of CCR under Sec. 257.102(c), but presented the current
closure standard in a slightly revised format to accommodate the
proposed action.
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\147\ The ``active life'' of a CCR unit is defined in Sec.
257.53 as the period of operation beginning with the initial
placement of CCR in the CCR unit and ending at completion of closure
activities in accordance with Sec. 257.102.
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EPA proposed this option because the Agency received new
information indicating that the closure of CCR units will likely be
more complex than EPA envisioned in 2015, and that more than 40% of
existing CCR surface impoundments were planned to be closed by removal
of CCR. In addition, available information indicated that more than 70%
of all CCR surface impoundments are unlined. EPA determined that, given
the number of unlined CCR units, many of which have already reported
exceedances of groundwater protection standards, it was evident that
many CCR units have released CCR constituents into the surrounding
soils and groundwater. EPA concluded that this meant that closure would
not simply be a matter of removing CCR from the unit, but would likely
require a significant undertaking to remediate impacted soil and
groundwater in order to achieve the current CCR removal and
decontamination standards. The proposal explained that based on this
new information EPA concluded that the existing timelines to complete
closure by removal of CCR were not designed to also provide sufficient
time to complete groundwater corrective action. The Agency explained
that it was also concerned that the existing deadlines in Sec.
257.102(c) may create a disincentive to close a unit by removal of CCR.
After considering the comments received, the same considerations
discussed in the proposal remain relevant. Moreover, the groundwater
monitoring installed pursuant to the 2015 CCR Rule has documented
groundwater contamination that is more extensive and more frequent that
EPA had originally estimated. It is now apparent not only that a
greater number
[[Page 39084]]
of facilities are electing to close by removal than EPA originally
estimated, but also that some facilities may need to close by removal
because they are unable to meet the standards to close with waste in
place due to the site conditions. And more critically, EPA is concerned
that, based on the existing time frames, some facilities could not
comply with either performance standard because it is not feasible to
remediate the contamination within the existing deadlines in Sec.
257.102(f). EPA has therefore incorporated this provision into this
final rule.
Most of the comments EPA received on this proposal \148\ related to
the revised regulatory text in Sec. 257.102, the requirement to
implement the corrective action remedy during the active life of the
unit and the requirement for deed notifications. One commenter also
stated that there was nothing in the record to demonstrate that
facilities were not able to meet the existing Sec. 257.102(c)
performance standard by deadlines in Sec. 257.102(f). The commenter
also expressed concern that the proposed option would allow exceedances
of groundwater protection standards to continue indefinitely after an
impoundment is closed by removal. Further, the commenter contended that
the proposed change did not include any additional requirements for
owners and operators to substantiate the need to take additional time
following removal activities. This, they stated, could incentivize the
selection of the slowest, least protective corrective measures such as
``natural attenuation,'' allowing dangerous contamination to persist
for long periods of time when it could have been stopped decades
earlier. They were concerned that owners or operators would
unreasonably select remedies that take much longer to achieve
compliance over other available options that could achieve compliance
faster.
---------------------------------------------------------------------------
\148\ See the Response to Comments document found in the docket
for this rule.
---------------------------------------------------------------------------
The Agency disagrees that there is no record to support the need
for additional time to complete groundwater remediation within the time
frames provided in Sec. 257.102(f). For example, this same commenter
submitted comments on the May 2023 proposed rule providing examples of
numerous plants who have certified the removal portion of closure by
removal while noting the need for additional time beyond the existing
deadlines in Sec. 257.102(f) in order to be able to certify compliance
with GWPS.\149\ These facilities include Duke Energy's Gibson Station,
LG&E-KU's Ghent Generating Station, and Dominion Energy's Possum Point
Power Station.
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\149\ EPA-HQ-OLEM-2020-0107-0368.
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Additionally, EPA compiled data on remediation efforts published in
the Superfund 5-Year Review Reports conducted pursuant to CERCLA Sec.
121(c).\150\ The data review focused on sites that presented releases
of metals similar to those expected at CCR facilities and sites that
were likely to choose remediation technologies that could also be
applicable to CCR facilities. The compilation included data for 20
sites with groundwater remediation remedies in place for at least 15
years. There were eight sites that implemented a combination of
remediation strategies (for example, pump and treat and vertical
barrier wall in the same site). The most common remedy noted was pump
and treat (14 sites), followed by monitored natural attenuation (MNA)
(eight sites), barrier walls (five sites), in-situ stabilization (two
sites), and permeable reactive barriers (one site). At the time of this
data compilation, 18 out of 20 remedies were still ongoing with cleanup
durations ranging from 15 to more than 32 years. 11 of 20 remedies
exceeded 20 years of operation.
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\150\ Memorandum from RTI International to Mary Jackson, U.S.
EPA, Development of Benchmark Times for Conducting the Closure of
CCR Units, February 29. 2024. Superfund 5-Year Review Reports
conducted pursuant to CERCLA Sec. 121(c). Available in the docket.
---------------------------------------------------------------------------
The Agency also disagrees that the proposal would allow exceedances
to continue indefinitely, and the owner or operator to purposely choose
the slowest, least protective groundwater remediation technology. The
facility would remain subject to the existing requirements for
corrective action, Sec. Sec. 257.96 through 257.98, which prohibit the
actions the commenter describes. Additionally, the facility must have
initiated remedial activities as required by Sec. 257.98(a) during the
active life of the unit in order to be eligible for this closure
alternative. The sole exception to this would be where the facility
only triggered corrective action for the constituent near the end of
the closure process, and the facility cannot extend the active life of
the unit because it would exceed a deadline in Sec. 257.102(f). In
such a case, the facility would be required to document that (1) it was
in compliance with all applicable requirements in Sec. Sec. 257.96
through 257.98; and (2) that it could not extend the active life of the
unit, consistent with Sec. 257.102(f).
3. What EPA Is Finalizing Related to the March 2020 Proposed Rule
EPA is finalizing its proposal with some limited revisions adopted
in response to public comments. Under this final rule and consistent
with the proposal an owner or operator would be able to able to close a
CCR unit by completing removal of all CCR from the unit and
decontamination of all areas affected by releases from the CCR unit,
except for groundwater, during the active life of the CCR unit, and
completing the groundwater corrective action during post-closure care.
The owner or operator will need to meet the following requirements when
closing a CCR unit under this option. First, the owner or operator must
complete all removal and decontamination activities, except groundwater
corrective action, during the active life of the unit. Second, with one
exception, the owner or operator must have begun to implement the
corrective action remedy selected in accordance with Sec. Sec. 257.96
through 257.97 to achieve compliance with the GWPS during the active
life of the unit (i.e., before completing closure). Third, groundwater
corrective action must be completed during post-closure care. Fourth,
the owner or operator must amend the written closure and post-closure
plans to reflect this approach to close the unit. Fifth, the owner or
operator must obtain the certification or approval of closure
completion within the current time frames for closure in Sec.
257.102(f). Finally, prior to the start of the post-closure care
period, the owner or operator must record the notation on the deed to
the property that the land has been used as a CCR unit. Each of these
requirements is discussed further below. EPA is revising the regulatory
text of Sec. 257.102(c) and Sec. 257.104(g) and (h). The revisions to
Sec. 257.104 are to make it clear that the unit must be in detection
monitoring in order to complete post closure care.
a. Removal and Decontamination Activities
EPA proposed to revise the closure performance standard at Sec.
257.102(c) to specify all of the various actions that would be required
prior to certifying that closure is complete. EPA proposed that this
would include removing or decontaminating all CCR and CCR residues,
containment system components, contaminated subsoils, contaminated
groundwater, and CCR unit structures and ancillary equipment. To
qualify for the new closure by CCR removal option, owners or operators
would need to complete all the specified removal and decontamination
[[Page 39085]]
activities within the closure time frame except for completing
groundwater remediation. The proposal specified that to demonstrate
that all CCR has been removed from the unit, the owner or operator
would need to remove the entire contents of the CCR unit, including all
CCR and any CCR residues. This would include, for example, the removal
of any fugitive dust (CCR) discovered outside the waste unit boundary.
In addition, the proposal specified that any containment system
components such as a bottom liner, contaminated subsoils, and unit
structures and equipment (e.g., concrete outlet structures and
ancillary piping) would have to be removed prior to closure of the
unit. Finally, EPA proposed that any areas affected by releases from
the CCR unit must have been removed (e.g., impacted soils beneath the
bottom liner system).
Commenters pointed out that the term ``CCR residues'' was not a
defined term. They also pointed out that it may not be necessary or
wise to require the removal of ancillary equipment or structures if
they are not contaminated with CCR. Further, they pointed out that
requiring the removal of fugitive dust outside the unit boundary would
expand the closure performance standard.
One commenter was concerned that the term ``CCR unit structures,''
appears to encompass both areas impacted by CCR disposal (which should
be removed) and non-contaminated disposal unit structural components,
which, according to the commenter, in some cases includes CCR that has
been beneficially used in the construction of the impoundment or other
disposal units (which the commenter asserted need not be removed). The
commenter further stated that structural components, including those
structures built with beneficially reused CCR (e.g., bottom ash), must
be allowed to remain in place.
The Agency does not agree that components of the unit that are
constructed with CCR can be left in place if the unit is in fact
closing by removal of CCR. If the unit is to be ``closed by removal of
CCR,'' consistent with the existing requirement to remove all CCR, the
final rule requires that any components of the unit made of or
including CCR must also be removed.
The regulatory text included in this final rule requires removing
all CCR from the unit, including CCR mixed with soils or that are
included in berms, liners or other unit structures, and either removing
or decontaminating all areas affected by releases from the CCR unit.
Although there are no soil cleanup standards in the CCR regulations, if
the soil beneath the unit is contaminated sufficiently to serve as a
secondary source of groundwater contamination, its removal may be
required as part of the source control portion of a remedy selected
under Sec. 257.97. To clarify, contaminated groundwater (groundwater
with constituent concentrations triggering corrective action) must be
remediated through the corrective action process detailed in Sec. Sec.
257.96 through 257.98.
Although the regulatory text now specifies the removal and
decontamination activities to be conducted, the Agency does not
consider this to be a substantive revision to Sec. 257.102(c). The
revision is intended to clearly describe the activities that must be
completed prior to closure under the new alternative in Sec.
257.102(c)(2). The regulation now expressly describes how EPA
interpreted the original phrase ``CCR removal and decontamination.''
Therefore, the regulatory text for Sec. 257.102(c) has been revised
from what was proposed:
(c) Closure by removal of CCR. An owner or operator closing a
CCR unit by removal of CCR must follow the procedures specified in
either paragraph (c)(1) or (c)(2) of this section. Closure by
removal activities include removing or decontaminating all CCR and
CCR residues, containment system components such as the unit liner,
contaminated subsoils, contaminated groundwater, and CCR unit
structures and ancillary equipment.
To what is being finalized:
(c) Closure by removal of CCR. An owner or operator that elects
to close a CCR unit by removal of CCR must follow the procedures
specified in either paragraph (c)(1) or (c)(2) of this section.
Closure by removal is complete when CCR has been removed; any areas
affected by releases from the CCR unit have been removed or
decontaminated; and groundwater monitoring concentrations of the
constituents listed in appendix IV to this part do not exceed
groundwater protection standards established pursuant to Sec.
257.95(h). Removal and decontamination activities include removing
all CCR from the unit, CCR mixed with soils, and CCR included in
berms, liners or other unit structures, and removing or
decontaminating all areas affected by releases from the CCR unit.
Under this provision, the owner or operator must complete all CCR
removal activities during closure prior to transitioning to the post-
closure care period which will largely consist of a groundwater cleanup
activity.
b. Implementation of Selected Remedy
Under the existing regulations, if one or more constituents in
Appendix IV to part 257 are detected at SSLs above the GWPS in any
sampling event, the owner or operator must, among other requirements,
initiate a corrective action program. See Sec. 257.95(g). The
corrective action program includes initiating an assessment of
corrective measures to prevent further releases, to remediate any
releases, and to restore affected areas to original conditions, as
specified in Sec. 257.96(a). After the ACM has been completed, the
owner or operator must select a remedy that meets prescribed standards,
including a requirement that the remedy attain the GWPS. See Sec.
257.97(a) and (b). Finally, the corrective action program requires the
owner or operator of the CCR unit to initiate remedial activities
within 90 days of selecting a remedy. See Sec. 257.98(a). EPA did not
propose to revise any of these requirements as part of this option.
However, under this closure option, the owner or operator must have
initiated remedial activities required by Sec. 257.98(a) prior to
certifying that it has completed closure. This requirement would help
ensure that impacted groundwater is returned to original conditions as
soon as is feasible.
Several commenters objected to this requirement. Some of these
commenters suggested that at many sites, it is not appropriate to
implement a remedy before source removal is complete. Other commenters
claimed that after excavation is complete at certain sites, new
groundwater flow patterns may be established and/or groundwater
chemistry may need to stabilize, and in these cases neither design nor
implementation of a corrective measure may be practical before CCR
removal is finished. A few commenters went further yet, stating that it
would not be appropriate to require completion of an ACM and selection
of a remedy until after CCR removal activities are complete. Finally,
other commenters state that source control is required by Sec.
257.97(b) and may be considered part of the remedy, therefore,
implementation of the remedy would commence with closure by removal.
Under the existing regulations, the closure requirements and the
corrective action requirements operate independent of one another, and
facilities are required to comply with both. The commenters cite
nothing to support their claim that closure must be completed prior to
initiating corrective action. In fact, it would be inconsistent with
the existing mandatory deadlines for initiating and pursuing corrective
action. For example, Sec. 257.96(a) requires an ACM to be initiated
within 90 days of determining an SSL has occurred, and then completed
within another 90
[[Page 39086]]
days. An extension, not to exceed 60 days, may be warranted due to
site-specific conditions or circumstances. EPA did not propose to
revise these deadlines, so comments suggesting changes to these
provisions are outside the scope of the rulemaking. Additionally, the
commenters provided no reason why corrective measures could not be
assessed and compared in an ACM and a remedy could not be selected.
Long before initiating closure of a CCR unit, the facility was required
to characterize site conditions, including groundwater flow conditions
and geology to design and install the groundwater monitoring system.
See, e.g., Sec. 257.91(b). The facility already has knowledge of the
wastestreams and water volumes it disposes into a CCR surface
impoundment. This information can be used to develop a groundwater
model to predict groundwater flow conditions after wastestream disposal
ceases and closure is initiated, which would provide sufficient
characterization of post-closure conditions to assess and compare
groundwater cleanup alternatives to complete an ACM. The commenters
have provided neither reasons nor explanation why this would not be
feasible.
Once the ACM is complete, a public meeting has been held, and
community input has been considered, a remedy must be selected as soon
as feasible. EPA agrees that a selected remedy may include closure by
removal to comply with source control requirements, and that this would
constitute commencing implementation of a remedy. However, the selected
groundwater remediation portion of the remedy must also be implemented
within a reasonable time, in accordance with the schedule established
in the remedy selection report. 40 CFR 257.97(d). Implementation of the
source control measure does not satisfy this separate requirement.
With respect to commenters' assertion that the design and
implementation of the groundwater remediation portion of the remedy is
not feasible until closure by removal is complete, the commenters
provided no explanation or reasons to support this claim, although one
commenter identified MNA as an example of such a remedy. EPA does not
agree that design or implementation of MNA would need to be delayed due
to closure activities. The ACM would include identification of
attenuation mechanisms and characterization of site conditions
influencing them. This could be based on current site conditions and
any modeled future conditions. If MNA is evaluated more favorably than
other groundwater remedies and is ultimately selected, it requires no
construction other than installation of additional monitoring wells to
identify plume boundaries and monitor performance. This installation
would occur downgradient of the unit and should not be affected by unit
closure activities. The data from downgradient wells are critical to
determining if MNA is working. While groundwater elevations may
decrease after dewatering a surface impoundment, and therefore
additional wells may need to be installed with screens at lower
elevations later in the corrective action process, this would be an
expected aspect of implementing MNA for a CCR unit.
Some commenters mentioned that geochemical conditions of
groundwater may change during closure. The commenters did not provide
specific reasons for this or the anticipated effects of excavation.
While removal of CCR is not expected to remove reactants available for
immobilization reactions (i.e., any attenuation mechanisms) from the
environment, EPA agrees that groundwater chemistry could be impacted,
particularly near the excavation site. However, in the absence of
evidence that permanent immobilization mechanisms are viable at the
site, either under current conditions or in modeled future conditions,
MNA would not meet the Sec. 257.97(b) criteria for selection as a
remedy.
The CCR regulations establish independent performance standards for
corrective action and closure. The regulations do not provide for
delaying corrective action while closure occurs, or vice versa. In the
example of MNA or, in fact, any groundwater remedy, delaying remedy
implementation until after closure is complete would be inconsistent
with the requirement in Sec. 257.98(d) to complete remedial activities
within a reasonable period. This is particularly true in this example,
because collecting monitoring data is the primary action required in an
MNA remedy. When data collection is delayed, those data are lost.
Because this monitoring can be done during closure, it is required in
order to move forward with corrective action as soon as possible.
Additionally, delaying groundwater remediation would not be
protective. When a release has been detected, corrective action to
clean up the contamination is necessary to prevent it from migrating to
downgradient receptors, both human and environmental. Because Appendix
IV constituents persist in the environment, delaying corrective action
increases the amount of the contamination that is released to the
environment and allows existing contamination to move further
downgradient. To ensure there will be no reasonable probability of
adverse effect on health or the environment as EPA is required to do
under RCRA section 4004(a), the final regulation requires that
corrective action be implemented in accordance with the requirements of
Sec. Sec. 257.96 through 257.98 without unnecessary or unreasonable
delays.
Further, as one commenter mentioned, in the event that measures
taken to implement the remedy following closure are not proving to be
effective, the remedy can be altered during corrective action. Under
the existing regulations, an owner or operator is required to
``implement other methods or techniques that could feasibly achieve
compliance'' if, after the remedy is implemented, it is determined that
compliance is not being achieved. 40 CFR 257.98(b). If such additional
measures are necessary after certification of closure, an owner/
operator would have the ability to undertake those measures without
impacting the facility's closure certification.
Therefore, EPA is finalizing the proposal that the owner or
operator must have initiated the remedial activities as required by
Sec. 257.98(a) in order to be eligible for this closure alternative.
The sole exception would be if the facility only triggered
corrective action for a constituent sufficiently late in the closure
process that it would not be feasible to delay closure until a remedy
could be selected. For example, if a facility first detected an SSL of
antimony one week before the deadline to complete closure in Sec.
257.102(f), it would not be possible to comply with all of the
requirements in Sec. Sec. 257.96-257.97 before the deadline. As
explained above, the closure and corrective action obligations are
independent of one another and run concurrently. To prevent placing a
facility in such a position, EPA has incorporated a provision to allow
the facility to demonstrate that it was not feasible to implement the
corrective action remedy prior to the expiration of a deadline in Sec.
257.102(f). In such a case, the facility must document that (1) it was
in compliance with all applicable requirements in Sec. Sec. 257.96
through 257.98; and (2) that it could not extend the active life of the
unit, consistent with Sec. 257.102(f).
[[Page 39087]]
c. Groundwater Corrective Action
For owners and operators that close a unit under this provision,
the CCR unit would remain subject to the post-closure care requirements
under Sec. 257.104 until groundwater corrective action has been
completed. These units would not be subject to the requirement to
conduct post-closure care for 30 years; rather, these units would
remain in post-closure care until all groundwater monitoring and
corrective action requirements are completed, which may be longer or
shorter than 30 years. EPA proposed that groundwater corrective action
is complete when the groundwater monitoring concentrations do not
exceed the groundwater protection standards for constituents listed in
Appendix IV to part 257. EPA has reconsidered this, as the Agency did
not intend to modify the existing requirement for completing post-
closure care, which also applies to concluding post closure care for a
unit closed with waste-in-place. The existing provision in Sec.
257.104(c) states that post-closure care ends after 30 years unless at
the end of the post-closure care period the owner or operator of the
CCR unit is operating under assessment monitoring in accordance with
Sec. 257.95. If the unit remains in assessment monitoring, the owner
or operator must continue to conduct post-closure care until the owner
or operator returns to detection monitoring in accordance with Sec.
257.95. This means that there can be no detections of any Appendix IV
constituents for two consecutive sampling events. Therefore, the final
regulatory text has been revised to account for this.
The requirement to be in detection monitoring to conclude the post-
closure care is the same standard currently specified in the
requirements for closure by leaving waste in place. This rule does not
change any requirements of the groundwater monitoring and corrective
action program. The owner or operator would need to conduct groundwater
monitoring and corrective action in accordance with the requirements of
Sec. Sec. 257.90 through 257.98. See revised Sec. 257.104(c).
d. Closure and Post-Closure Care Plans
The Agency is finalizing as proposed the requirement that owners
and operators closing a CCR unit under this new closure alternative
would need to revise their written closure plan. The closure plan
describes the closure of the unit and provides a schedule for
implementation of the plan. The owner or operator would need to revise
the current plan and describe how the CCR unit would be closed in
accordance with the revised closure options. The current CCR
regulations already include procedures to amend written plans under
certain circumstances, including when there is a change in the
operation of a CCR unit that would substantially affect the current
written plan or when unanticipated events necessitate a revision of the
plan. See Sec. 257.102(b)(3)(ii). EPA expects owners and operators to
revise the current closure plan according to these existing procedures.
This rule also requires owners or operators opting for this approach to
prepare an initial post-closure care plan within six months of the
effective date of this final rule. The post-closure care plan describes
how the CCR unit will be maintained after closure of the unit is
completed. Prior to this final rule, CCR units that closed by removal
of CCR are exempt from any post-closure care requirements so the
preparation of a post-closure care plan will be a new requirement for
owners and operators closing a unit under this new option. EPA believes
that six months from the effective date of this final rule, or one year
from publication of this final rule is a reasonable amount of time to
prepare the post-closure care plan because the owner or operator should
already have prepared the closure plan for the unit and begun
implementation of the corrective measures remedy.
EPA is aware that some facilities that planned to close a unit by
removal of CCR nonetheless completed a post-closure care plan. In this
situation, the CCR regulations already include requirements to amend
written plans under certain circumstances, including when there is a
change in the operation of a CCR unit that would substantially affect
the current written plan or when unanticipated events necessitate a
revision of the plan. See Sec. 257.104(d)(3). EPA expects that these
owners or operators would revise the existing post-closure care plan
according to these existing procedures.
e. Notation on the Deed to the Property
Under the existing regulations, following the closure of a CCR unit
that will be subject to post-closure care, the owner or operator must
record a notation on the deed to the property, or some other instrument
that is normally examined during title search, notifying any potential
purchaser of the property in perpetuity that the land has been used as
a CCR unit, and its use is restricted under the post-closure care
requirements. See Sec. 257.102(i). The rationale for this requirement
is to ensure that prospective and subsequent owners are aware of the
presence of a closed unit on the property and of the need for continued
maintenance of the cover or of any ongoing corrective actions.
Following that same logic, units that have closed by removal in
accordance with Sec. 257.102(c) have been exempt from the deed
notation requirement, both because all waste and associated
contamination have been removed, and because there is no continuing
post-closure care that needs to be maintained.
Units closing under this new closure option will be required to
record a deed notation because they would not have closed by removal in
accordance with Sec. 257.102(c)(1) (as corrective action would not
have been completed) and because post-closure care would be required.
See Sec. 257.102(i)(4). But these units are not wholly analogous to
the other units subject to a deed notation (i.e., those closing with
waste in place). Units falling under this new closure option will have
already had all waste removed in its entirety and so would require no
continued maintenance. However, groundwater remediation actions would
be continuing, raising concern about potential exposures.
Therefore, EPA proposed that the owner or operator record a
notation on the deed to the property (or some other instrument normally
examined during a title search) until all groundwater corrective action
has been completed--that is, when groundwater monitoring concentrations
do not exceed the groundwater protection standard established pursuant
to Sec. 257.95(h) for constituents listed in appendix IV to part 257.
EPA proposed the deed notation because all removal and decontamination
actions have not been completed. Given that groundwater corrective
action may continue for years or decades, the deed restrictions are a
practical way of limiting human exposure during a period when
contamination is still present, and thereby ensuring that the statutory
standard under RCRA section 4004(a) continues to be met.
As part of the post-closure care provisions under Sec. 257.104,
EPA proposed to allow removal of the deed notation, or the addition of
a second notation reflecting the inapplicability of the first notation,
as may be applicable under existing State or local law, when
groundwater corrective action is completed for the CCR unit. Under this
closure option, completion of groundwater corrective action would
indicate that all removal and decontamination actions have been
completed. To remove the deed notation (or add a second notation), the
owner or
[[Page 39088]]
operator would need to complete two actions. First, the owner or
operator would need to demonstrate that groundwater monitoring
concentrations no longer exceed any groundwater protection standard
established pursuant to Sec. 257.95(h) for constituents listed in
Appendix IV to part 257. See Sec. 257.104(g). Second, the owner or
operator would need to complete the notification stating the post-
closure care requirements have been met as required in Sec.
257.104(e). Removing the deed notation upon completion of all removal
and decontamination activities is consistent with the current
procedures for CCR units that close by removal under Sec.
257.102(i)(4).
The existing CCR regulations require a specific type of control
(i.e., deed notations) to communicate use limitations to present and
future users of the land with the closed CCR unit. The Agency solicited
comments on whether the use of deed restriction controls is too narrow
under this new closure option and whether the CCR regulations should
allow for the use of different legal mechanisms and controls to
communicate limits on the activities that can safely take place at the
site. Some commenters supported inclusion of more flexibility and
alternative instruments to accomplish this purpose. For example, one
commenter pointed out that in Colorado, the State routinely uses
Environmental Use Restrictions/Environmental Covenants. Other
commenters asserted that EPA should allow the owner or operator to
determine which instrument to use or allow the Participating State
Director to decide. ASTSWMO commented that the proposed language
requiring the use of deed restriction controls appears to be consistent
with language in 40 CFR 258.60(i) as applicable to Municipal Solid
Waste (MSW) Landfills, and that it might be helpful for States that the
language between CCR and MSW landfills aligns.
Other commenters mentioned the importance of deed notations is that
it compels impoundment owners to create a publicly accessible record
attached to a property deed noting that the property is subject to
ongoing groundwater corrective action requirements. Attaching such a
note to the deed also ensures any subsequent owner of the property
would be on notice of ongoing cleanup obligations and would be liable
for following through on them. The commenter stated that any
alternative to deed notification that EPA may be considering (i.e.,
other approaches under private property law) should only be considered
if they also provide these benefits of the deed notification
requirement.
The Agency has decided to finalize the proposal to require that the
owner or operator record a notation on the deed to the property until
all groundwater corrective action has been completed. EPA agrees that a
deed notation performs an important function to ensure any subsequent
owner of the property is on notice of the ongoing cleanup obligations
and of the liability of any subsequent owner until those obligations
are completed. None of the commenters provided sufficient information
for EPA to conclude that the alternative measures that they suggested
would provide the same level of assurance as a deed notation. Moreover,
the use of a deed notation is consistent with the requirements for MSW
landfills and with CCR units closing by leaving waste in place, and
therefore EPA expects the public and regulated entities will be
familiar with them. Additionally, as discussed above, once the closure
by removal is complete, the owner or operator can remove the deed
notification.
f. Closure Certification or Approval
The Agency is adopting without revision the proposal that the owner
or operator will continue to be subject to the same certification or
approval requirement that is currently applicable to all CCR units as
specified in Sec. 257.102(f)(3). Under this requirement, the owner or
operator must obtain a certification from a qualified P.E. or approval
from the Participating State Director (or EPA where EPA is the
permitting authority) verifying that closure has been completed in
accordance with the written closure plan and all applicable closure
requirements of Sec. 257.102. Under this provision, the certification
or approval would reflect that all removal and decontamination
activities, except for groundwater corrective action, have been
completed. The certification or approval would not address the
remediation of the impacted groundwater because groundwater corrective
action will be completed during the post-closure care period, including
applicable post-closure care certification and approval requirements.
E. Technical Corrections
Through the implementation of the 2015 CCR Rule, the Agency
identified several minor errors and inconsistencies. Therefore, EPA is
amending the CCR regulations to clarify definitions, accurately
reference the definition of wetlands, and use consistent language when
referring to publicly accessible internet sites. The Agency is also
amending an incorrect reference to Sec. 257.99 in the groundwater
monitoring scope section. Finally, EPA is extending the period for
certain document retention and posting.
1. Definitions of ``Technically Feasible'' and ``Technically
Infeasible''
EPA proposed to revise the definition of technically feasible to
clarify that the terms technically feasible and feasible have the same
meaning in the regulations. The existing regulations define technically
feasible as ``possible to do in a way that would likely be
successful.'' EPA codified this definition in 2020 when amending the
alternative closure requirements for landfills and impoundments. 85 FR
53542 (August 28, 2020). As EPA explained, the definition was based on
two dictionary definitions of ``feasible'': ``capable of being done or
carried out'' (Merriam website (https://www.merriam-webster.com/dictionary/feasible)) and ``possible to do and likely to be
successful'' (Cambridge English Dictionary (https://dictionary.cambridge.org/us/dictionary/english/feasible)). Id.
However, some rule provisions use the term feasible. EPA never
intended to distinguish between these terms. See, e.g., 80 FR 21422-
21423, 85 FR 53542. Therefore, EPA proposed to add the term feasible to
the existing definition of technically feasible to make clear that both
terms have the same meaning in the regulations. This definition
revision would be accomplished by adding ``or feasible'' to the
existing definition so that the definition would read ``Technically
feasible or feasible means possible to do in a way that would likely be
successful.'' For similar reasons, EPA proposed to also revise the
definition of technically infeasible to clarify that the terms
technically infeasible and infeasible have the same meaning in the
regulations.
EPA received comments on this issue that opposed adding
``feasible'' and ``infeasible'' as definitions. The commenters said the
term ``feasible'' is used in the Sec. 257.102(f)(2)(i) standard for
obtaining extensions to the closure time frames, and that if EPA
finalizes the provision as proposed, the change should not be applied
retroactively to facilities that used the closure extension. Other
commenters said this is not how EPA should correct regulatory errors
and there is a lack of discussion on all situations and regulatory
history regarding these terms.
EPA disagrees that these terms have different meanings under the
CCR regulations or that this clarification will
[[Page 39089]]
negatively impact implementation of the requirements by regulated
entities. See, 85 FR 53542 (relying on dictionary definitions of
``feasible'' to define `technically feasible'). EPA is simply
clarifying the meaning of these synonymous terms. Id. Therefore, EPA is
finalizing these changes as proposed. This is codified in the
regulatory text at Sec. 257.53.
2. Wetlands Reference Correction
When the 2015 CCR Rule was finalized in April 2015, Sec. 257.61(a)
referenced Sec. 232.2, which contained a definition of wetlands. An
EPA and United States Army Corps of Engineers joint final rule
published June 29, 2015 (80 FR 37053) amended Sec. 232.2 by removing
the definition of wetlands. However, the reference to Sec. 232.2 in
Sec. 257.61(a) of the 2015 CCR Rule was not updated. EPA proposed an
amendment that would correct the CFR reference for the wetlands
definition by referring to 40 CFR 230.41(a) (December 24, 1980, 45 FR
85344). EPA received one comment on this issue about the U.S. Supreme
Court decision in Sackett v. EPA, 21-454, in which the Court
substantially narrowed the scope of wetlands subject to Federal
jurisdiction under the Clean Water Act. EPA reviewed the Sackett
decision and determined that the wetlands definition contained in Sec.
257.61(a) remains valid after that decision. EPA is therefore
finalizing this provision as proposed. This is codified in the
regulatory text at Sec. 257.61.
3. Groundwater Monitoring and Corrective Action Applicability
EPA proposed to correct a typographical error in the initial
applicability paragraph of the groundwater monitoring and corrective
action regulations. In Sec. 257.90(a), the existing regulations refer
to the ``groundwater monitoring and corrective action requirements
under Sec. Sec. 257.90 through 257.99''; however, there are no
requirements codified under Sec. 257.99. This was brought to EPA's
attention by a State interested in permit program approval. To avoid
confusion with the regulations, EPA proposed to revise the section
references in Sec. 257.90(a) to read ``groundwater monitoring and
corrective action requirements under Sec. Sec. 257.90 through
257.98.'' EPA did not receive any comments on this issue and is
therefore finalizing this provision as proposed.
4. Publicly Accessible Internet Site
EPA proposed to change several provisions using the term ``CCR
website'' to ``CCR website,'' which is the term used in Sec.
257.107(a). The inconsistent spelling of CCR website was brought to our
attention by a State interested in permit program approval. To avoid
confusion with the regulations, EPA proposed to correct such references
in Sec. Sec. 257.100(e)(1)(iii) and 257.107(b) through (j). EPA did
not receive any comments on this issue and is therefore finalizing
these provisions as proposed.
EPA is also revising Sec. 257.107(b) to provide owners and
operators the flexibility to maintain one website for multiple electric
power sector rules. This new provision allows an owner or operator to
document the facility's compliance with the requirements of other
environmental rules on the same website that is used for CCR units. In
order to use a combined website, the final rule requires that the owner
or operator delineate the postings for each regulatory program under a
separate heading on the website. For example, the required CCR rule
postings must be placed under a ``CCR Rule Compliance Data and
Information'' heading, while postings required by the ELG rule would be
posted under a separate heading ``ELG Rule Compliance Data and
Information.'' \151\ EPA is providing this flexibility to reduce
paperwork burden and make it easier for communities to access this
information.
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\151\ See Sec. 423.19 for ELG rule posting requirements.
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5. Document Retention
The CCR regulations require the production of many documents that
provide information on many aspects of regulated CCR units, for example
from history of construction to periodic inspections, as well as
closure activity and groundwater sampling and cleanup, if necessary.
These documents must be retained in the facility operating record as
well as posted on the facility CCR website, generally for a five-year
period. In the proposed rule, EPA requested comment on potential
revision of document posting and retention times currently in the
regulations. EPA raised the concern that some of the current retention
times may be too short to accomplish the goals underlying the posting
requirement, namely transparency and information availability. This
concern stems from the fact that information that is still relevant for
CCR units may reach the original retention time limit while the
availability of the documents would still serve the purposes of
transparency and information availability after the original retention
deadline.
The comments received were largely in favor of revising the
document retention periods, though those commenters who provided
suggested approaches or examples of longer retention periods were not
entirely consistent in the approaches offered.
One commenter opposed the concept of expanding the retention time
for any documents that are required to be posted on facility websites.
This commenter stated the current retention period provides clear
guidance to the regulated community and that extending the retention
period could add to additional redundant or outdated material on the
websites. This commenter also said that the purpose of the website
posting requirement has been obviated by the passage of the WIIN Act.
For several reasons, EPA disagrees with this comment. First, the
regulations already include provisions to decrease or eliminate
redundancy or outdated postings. See, for example, Sec. 257.107(g)(1),
which requires only the most recent dust suppression plan to be
maintained on the website. Second, the core principle of the website
posting requirement is relevance: facilities are required to post
information relevant to the operation and closure of CCR units and
cleanup of any releases from those units. It is clear that a five-year
retention period may not be adequate for documents that remain relevant
well beyond that length of time, which is proving to be true for many
of the required documents. Third, while it is true that website posting
is one of several measures EPA implemented in the original rule before
the WIIN Act was enacted, nothing in the WIIN Act makes the goals of
transparency and information availability for communities and other
interested parties obsolete.
The other commenters all agree that extensions to the website
posting and retention time periods are warranted. Those comments that
included actual time frame suggestions based those suggestions on the
type of document and relevance to the operation, closure, and cleanup
requirements of the regulations, though they varied in the exact
approach and length of extensions.
EPA has decided that to accomplish the regulatory goals underlying
the document preparation and retention requirements, longer retention
times are required. Therefore, EPA is revising the retention periods as
provided in this final rule. EPA does agree that the approach for
extensions should be based on the nature of each document and the
relevance of each document to demonstrating compliance with regulatory
milestones. This approach was already employed in the 2015 CCR
[[Page 39090]]
Rule for numerous documents (e.g., the groundwater remedy selection
document is currently required to be retained until remedy completion).
See Sec. 257.107(h)(9). In this rule, EPA is applying this same
approach to other documents prepared under the regulations.
There are several related issues that are involved in the document
preparation, retention and posting requirements that deserve discussion
here. First, the website posting regulations in Sec. 257.107 are
companions to, and cross-reference, the operating record regulations in
subpart Sec. 257.105. The interrelation of these sections means that
this revisiting of the website posting regulations necessitates a
review of those regulations that address the placing and retaining of
documents in the facility operating record. Accordingly, EPA is
including accompanying retention time period changes to Sec. 257.105
as appropriate and relevant to the changes to Sec. 257.107.
Additionally, as suggested by several commenters, the retention of the
documents in the operating record for a longer period than retention on
the website not only makes sense for some documents, but supports the
Agency not requiring that every prepared document remain on the
website. This is particularly true for documents that are either
periodically updated or result from recurring assessments. In
implementing this approach, the Agency is mindful of and in agreement
with the comments that urged the Agency to not require the posting of
all documents out of concern that the websites would become cluttered
and confusing.
Second, a related issue arises where there may be more than one
version of a document, which version of a required document must be
posted or retained in the operating record. This situation arises, for
example, when a required document is updated or a document is required
to be prepared for recurring assessments. Where appropriate, the
regulations are being revised to ensure they are clear about what
version or versions of documents must be posted and retained.
A third issue is that, for some documents, the five-year retention
and posting duration requirements may have expired. However, some of
these documents are still relevant to an operating or closing unit, or
a unit in post-closure care status or undergoing groundwater cleanup.
For these documents, the purposes of retaining and posting them are
still viable and there are compelling reasons to ensure these documents
are available on the facility website and in the facility operating
record. EPA is, therefore, requiring that documents that may have been
taken down and removed from operating records are placed back in the
operating records and reposted on the website. Although it is unlikely
that documents that were required to be prepared under the CCR
regulations, placed in the operating record, and posted on the website
were destroyed or discarded after the applicable retention time ran,
this requirement nonetheless includes such documents. In other words,
any required documents that have been destroyed or discarded must be
reproduced and placed in the operating record and reposted on the
facility website. Otherwise, there could be inconsistencies among the
required facility websites totally dependent upon whether a facility
had elected to remove documents from the website and operating record
and not otherwise retain the documents in any facility files. EPA
believes that allowing this inconsistency across facility websites is
an unacceptable approach to ensuring information relevant to each CCR
unit is publicly available.
Finally, while the approach adopted here links retention and
posting times to document relevance and the status of the CCR unit and
work undertaken at the unit, EPA does not believe that the interest in
information availability ends at the moment a unit's status changes or
required work ends (e.g., completion of closure). Therefore, EPA is
requiring that documents remain available for a reasonable time period
after related milestones are reached. For many documents, EPA has
chosen five years as the reasonable time period for document posting
and retention after work is completed or the unit's status changes.
This is also consistent with timeframes offered by commenters where
specific timeframes were suggested.
Table 3--Document Retention in the Operating Record and CCR Website
------------------------------------------------------------------------
Document Operating record CCR website
------------------------------------------------------------------------
Location restrictions Sec. 257.105(e): 5 Sec. 257.107(e): 5
demonstration as specified years after: years after: CBR or
in Sec. Sec. 257.60- closure by removal post-closure care
257.64. (CBR) or post- ends.
closure care ends.
Landfill liner and leachate Sec. Sec.
collection preconstruction 257.105(f)(1): 5 257.107(f)(1): 5
design certification and years after: CBR or years after: CBR or
post construction post-closure care post-closure care
certification as specified ends. ends.
in Sec. 257.70(e) and (f).
Documentation of liner type Sec. Sec.
as specified in Sec. 257.105(f)(2): 5 257.107(f)(3): 5
257.71(a). years after: CBR or years after: unit
post-closure care ends post closure
ends. care OR liner is
removed.
Surface impoundment liner Sec. Sec.
preconstruction design 257.105(f)(3): 5 257.107(f)(2): 5
certification and years after: CBR or years after: CBR or
postconstruction post-closure care post-closure care
certification as specified ends. ends OR liner is
in Sec. 257.72(c) and (d). removed.
Documentation that permanent Sec. N/A.
identification marker was 257.105(f)(4): 5
installed as specified in years after: CBR or
Sec. Sec. 257.73(a)(1) post-closure care
and 257.74(a)(1). ends.
The initial and periodic Sec. Sec.
hazard potential 257.105(f)(5): 257.107(f)(4):
classification assessments Retain all versions. Current and
as specified in Sec. Sec. CBR Until closure is previous one.
257.73(a)(2) and complete not CBR Until closure is
257.74(a)(2). including meeting complete not
GWPS. including meeting
Closure in place GWPS.
(CIP): until post- CIP: Until post
closure care is closure care is
complete. complete.
The emergency action plan, Sec. Sec.
and any revisions of it, as 257.105(f)(6): 257.107(f)(5):
specified in Sec. Sec. Retain all. Current version, if
257.73(a)(3) and 5 years after: CBR EAP is required.
257.74(a)(3). not including
meeting GWPS or
unit ends post-
closure care.
[[Page 39091]]
Documentation prepared by Sec. Sec.
the owner or operator 257.105(f)(7): 257.107(f)(6):
recording the annual face- Retain all. Current version, if
to-face meeting or exercise 5 years after: CBR EAP is required.
between representatives of or unit ends post
the owner or operator of closure care.
the CCR unit and the local
emergency responders, as
specified in Sec. Sec.
257.73(a)(3)(i)(E) and
257.74(a)(3)(i)(E).
Documentation prepared by Sec. Sec.
the owner or operator 257.105(f)(8): 257.107(f)(7): Any
recording any activation of Retain all. documentation
the emergency action plan, 5 years after: CBR prepared in the
as specified in Sec. Sec. or unit ends post last five years; if
257.73(a)(3)(v) and closure care. no activation in
257.74(a)(3)(v). the last 5 years, a
statement posted
relating that
information.
The history of construction, Sec. Sec.
and any revisions of it as 257.105(f)(9): 257.107(f)(8): Only
specified in Sec. Retain all. most recent and any
257.73(c). 5 years after: CBR revisions from the
or unit ends post last 5 years.
closure care. 5 years after: CBR
or unit ends post
closure care.
The initial and periodic Sec. Sec.
structural stability 257.105(f)(10): 257.107(f)(9):
assessments as specified in Retain all. Current and
Sec. Sec. 257.73(d) and CBR Until closure is previous one.
257.74(d). complete not CBR Until closure is
including meeting complete not
GWPS. including meeting
CIP: Until post GWPS.
closure care is CIP: Until post
complete. closure care is
complete.
The documentation detailing Sec. Sec.
the corrective measures 257.105(f)(11): 257.107(f)(10):
taken to remedy the Retain all. Current and any
structural stability 5 years after: CBR corrective
deficiency for existing or or unit ends post measures.
new surface impoundments as closure care. 5 years after: CBR
specified in Sec. Sec. or unit ends post
257.73(d)(2) and closure care.
257.74(d)(2).
The initial and periodic Sec. Sec.
safety factor assessments 257.105(f)(12): 257.107(f)(11):
as specified in Sec. Sec. Retain all. Current and
257.73(e) and 257.74(e). 5 years after: CBR previous one.
or unit ends post 5 years after: CBR
closure care. or unit ends post
closure care.
The design and construction Sec. Sec.
plans of the unit, and any 257.105(f)(13): 257.107(f)(12):
revisions of the plans as Retain all. Current and
specified in Sec. 5 years after: CBR previous one.
257.74(c). or unit ends post 5 years after: CBR
closure care. or unit ends post
closure care.
The application and any Sec. Sec.
supplemental materials 257.105(f)(14): 5 257.107(f)(13): 5
submitted in support of the years after: CBR or years after: CBR or
alternative liner unit ends post unit ends post
demonstration application closure care. closure care.
as specified in Sec.
257.71(d)(1)(i)(E).
CCRMU Facility Evaluation Sec. Sec.
Report Document Part 1 as 257.105(f)(25): 5 257.107(f)(24): 5
specified in Sec. years after: CBR or years after: CBR or
257.75(c). unit ends post unit ends post
closure care. closure care.
CCRMU Facility Evaluation Sec. Sec.
Report Document Part 2 as 257.105(f)(26): 5 257.107(f)(25): 5
specified in Sec. years after: CBR or years after: CBR or
257.75(d). unit ends post unit ends post
closure care. closure care.
The decision on the Sec. Sec.
alternative liner 257.105(f)(19): 5 257.107(f)(18): 5
application as specified in years after: CBR or years after: CBR or
Sec. 257.71(d)(2)(iii)(F). unit ends post unit ends post
closure care. closure care.
The CCR fugitive dust Sec. Sec.
control plan, or any 257.105(g)(1): 257.107(g)(1): Only
subsequent amendment of the Retain all until most recent.
plan as specified in Sec. last CCR unit at Retain until last
257.80(b). the facility unit completes post
completes post closure care or
closure care or CBR. CBR.
The annual CCR fugitive dust Sec. Sec.
control report as specified 257.105(g)(2): 257.107(g)(2):
in Sec. 257.80(c). Retain all until Current plus last 5
last CCR unit at years.
the facility Retain until last
completes post unit completes post
closure care or CBR. closure care or
CBR.
The initial and periodic run- Sec. Sec.
on and run-off control 257.105(g)(3): Only 257.107(g)(3):
system CCR landfill plans most recent. Current plus any
as specified in Sec. Until 5 years after other versions from
257.81(c). closure of the the last 5 years
landfill is (if updated).
complete not Until 5 years after
including closure of the
achievement of GWPS. landfill is
complete not
including
achievement of
GWPS.
Initial and periodic inflow Sec. Sec.
design flood control system 257.105(g)(4): Only 257.107(g)(4):
CCR surface impoundment most recent. Current plus any
plans as specified in Sec. Until 5 years after other versions from
257.82(c). closure of the the last 5 years
landfill is (if updated).
complete not Until 5 years after
including closure of the
achievement of GWPS. landfill is
complete not
including
achievement of
GWPS.
Documentation recording the Sec. N/A.
results of each CCR surface 257.105(g)(5):
impoundment inspection and Retain all until 5
monitoring as specified in years after closure
Sec. 257.83(a). is complete not
including
achievement of GWPS.
Annual CCR surface Sec. Sec.
impoundment inspection 257.105(g)(6): 257.107(g)(5):
reports as specified in Retain all until 5 Current plus last
Sec. 257.83(b)(2). years after closure 5.
is complete not Retain until 5 years
including after closure is
achievement of GWPS. complete not
including
achievement of
GWPS.
The documentation detailing Sec. Sec.
the corrective measures 257.105(g)(7): 257.107(g)(6): Any
taken to remedy the Retain all until 5 corrective measures
deficiency or release as years after closure until 5 years after
specified in Sec. Sec. is complete not closure is complete
257.83(b)(5) and including not including
257.84(b)(5). achievement of GWPS. achievement of
GWPS.
Documentation recording the Sec. N/A.
results of weekly landfill 257.105(g)(8):
structural weakness Retain all until 5
inspection as specified in years after closure
Sec. 257.84(a). is complete not
including
achievement of GWPS.
Annual landfill inspection Sec. Sec.
reports as specified in 257.105(g)(9): 257.107(g)(7):
Sec. 257.84(b)(2). Retain all until 5 Current plus last
years after closure 5.
is complete not Retain until 5 years
including after closure is
achievement of GWPS. complete not
including
achievement of
GWPS.
[[Page 39092]]
Annual groundwater Sec. Sec.
monitoring and corrective 257.105(h)(1): 257.107(h)(1):
action report as specified Retain all until 5 Current plus
in Sec. 257.90(e). years after the previous 5 years.
last CCR unit at Retain until 5 years
the facility after last unit
completes post- completes post-
closure care or closure care or
completion of CBR completion of CBR
including achieving including achieving
GWPS for 3 GWPS for 3
consecutive years. consecutive years.
Documentation of design, Sec. N/A.
installation, development, 257.105(h)(2): 5
and decommissioning of any years after CBR and
monitoring wells, GWPS have been met
piezometers and other or 5 years after
devices as specified in in completion of post-
Sec. 257.91(e)(1). closure care.
Groundwater monitoring Sec. Sec.
system certification as 257.105(h)(3): 5 257.107(h)(2): 5
specified in Sec. years after CBR and years after CBR and
257.91(f). GWPS have been met GWPS have been met
or 5 years after or 5 years after
completion of post- completion of post-
closure care. closure care.
Selection of a statistical Sec. Sec.
method certification as 257.105(h)(4): 5 257.107(h)(3): 5
specified in Sec. years after CBR and years after CBR and
257.93(f)(6). GWPS have been met GWPS have been met
or 5 years after or 5 years after
completion of post- completion of post-
closure care. closure care.
Assessment of corrective Sec. Sec.
measures as specified in 257.105(h)(10): 5 257.107(h)(8): 5
Sec. 257.96(d). years after CBR and years after CBR and
GWPS have been met GWPS have been met
or 5 years after or 5 years after
completion of post- completion of post-
closure care. closure care.
Documentation recording the Sec. N/A.
public meeting for the 257.105(h)(11): 5
corrective measures years after CBR and
assessment as specified in App IV GWPS have
Sec. 257.96(e). been met or 5 years
after completion of
post-closure care.
Notification that the remedy Sec. Sec.
has been completed 257.105(h)(13): 5 257.107(h)(10): 5
specified under in Sec. years after years after
257.98(e). completion of completion of
remedy. remedy.
Demonstration supporting the Sec. Sec.
suspension of groundwater 257.105(h)(14): 5 257.107(h)(11): 5
monitoring activities as years after last years after
specified in Sec. unit ends post posting.
257.90(g). closure care.
Written closure plan, and Sec. Sec.
any amendment of the plan 257.105(i)(4): Only 257.107(i)(4): Only
as specified in Sec. the most recent. the most recent.
257.102(b). 5 years after CBR or 5 years after CBR or
5 years after post- 5 years after post-
closure care is closure care is
complete. complete.
Demonstration(s) for a time Sec. Sec.
extension for initiating 257.105(i)(5): 257.107(i)(5):
closure as specified in Until notice of Until notice of
Sec. 257.102(e)(2)(ii) closure completion closure completion
and (iii). is posted. is posted.
Demonstration(s) for a time Sec. Sec.
extension for completing 257.105(i)(6): 5 257.107(i)(6): 5
closure as specified in years after closure years after closure
Sec. 257.102(f)(2)(i) and is complete. is complete.
(iii).
Notification of intent to Sec. Sec.
close a CCR unit as 257.105(i)(7): 5 257.107(i)(7): 5
specified in Sec. years after closure years after closure
257.102(g). complete. complete.
Notification of completion Sec. Sec.
of closure of a CCR unit as 257.105(i)(8): 5 257.107(i)(8): 5
specified in Sec. years after unit years after unit
257.102(h). ends post closure ends post closure
care or CBR. care or CBR
Notification recording a Sec. Sec.
notation on the deed as 257.105(i)(9): 5 257.107(i)(9): 5
specified in Sec. years after unit years after unit
257.102(i). ends post closure ends post closure
care. care.
Notification of intent to Sec. Sec.
comply with the alternative 257.105(i)(10): 5 257.107(i)(10): 5
closure requirements for years after the years after the
landfills as specified in unit completes unit completes
Sec. 257.103(c)(1). closure. closure.
Annual progress reports Sec. Sec.
under the alternative 257.105(i)(11): 5 257.107(i)(11): 5
closure requirements for years after the years after the
landfills as specified in unit completes unit completes
Sec. 257.103(c)(2). closure. closure.
Written post-closure plan, Sec. Sec.
and any amendment of the 257.105(i)(12): 5 257.107(i)(12): 5
plan as specified in Sec. years after unit years after unit
257.104(d). ends post closure ends post closure
care. care.
Notification of completion Sec. Sec.
of post-closure care as 257.105(i)(13): 5 257.107(i)(13): 5
specified in Sec. years after unit years after unit
257.104(e). ends post closure ends post closure
care. care.
Notification of intent to Sec. Sec.
comply with the site- 257.105(i)(14): 5 257.107(i)(14): 5
specific alternative to years after: CBR or years after: CBR or
initiation of closure due unit ends post unit ends post
to development of closure care. closure care.
alternative capacity
infeasible as specified in
Sec. 257.103(f)(1)(ix)(A).
Approved or denied Sec. Sec.
demonstration for the site- 257.105(i)(15): 5 257.107(i)(15): 5
specific alternative to years after: CBR or years after: CBR or
initiation of closure due unit ends post unit ends post
to development of closure care. closure care.
alternative capacity
infeasible as specified in
Sec. 257.103(f)(1)(ix)(B).
Notification for requesting Sec. Sec.
additional time to the 257.105(i)(16): 5 257.107(i)(16): 5
alternative cease receipt years after: CBR or years after: CBR or
of waste deadline as unit ends post unit ends post
specified in Sec. closure care. closure care.
257.103(f)(1)(ix)(C).
Semi-annual progress reports Sec. Sec.
for the site-specific 257.105(i)(17): 5 257.107(i)(17): 5
alternative to initiation years after: CBR or years after: CBR or
of closure due to unit ends post unit ends post
development of alternative closure care. closure care.
capacity infeasible as
specified in Sec.
257.103(f)(1)(xi).
Notification of intent to Sec. Sec.
comply with the site- 257.105(i)(18): 5 257.107(i)(18): 5
specific alternative to years after: CBR or years after: CBR or
initiation of closure due unit ends post unit ends post
to permanent cessation of a closure care. closure care.
coal-fired boiler(s) by a
date certain as specified
in Sec.
257.103(f)(1)(viii).
[[Page 39093]]
Approved or denied Sec. Sec.
demonstration for the site- 257.105(i)(19): 5 257.107(i)(19): 5
specific alternative to years after: CBR or years after: CBR or
initiation of closure due unit ends post unit ends post
to permanent cessation of a closure care. closure care.
coal-fired boiler(s) by a
date certain as specified
in Sec. 257.103(f)(2)(ix).
Annual progress report for Sec. Sec.
the site-specific 257.105(i)(20): 5 257.107(i)(20): 5
alternative to initiation years after: CBR or years after: CBR or
of closure due to permanent unit ends post unit ends post
cessation of a coal-fired closure care. closure care.
boiler(s) by a date certain
as specified in Sec.
257.103(f)(2)(x).
Legacy Applicability Report Sec. Sec.
as specified in Sec. 257.105(k)(1): 5 257.107(k)(1): 5
257.100(f)(1)(i). years after: CBR or years after: CBR or
unit ends post unit ends post
closure care. closure care.
------------------------------------------------------------------------
IV. Effect on State CCR Permit Programs
In the proposed rule, EPA discussed the effect of the amended
regulations on State CCR permit programs. The revisions to the CCR
regulations both establish standards for new types of units and revise
existing requirements for CCR units defined in and subject to the 2015
CCR Rule. For this reason, the requirements for approval and retention
of a State CCR permit program in accordance with RCRA section 4005(d)
will change. How these revisions will affect States depends on whether
the State has received approval for the provisions that are ultimately
included in any final rule and whether the State is seeking full or
partial approval of its permit program.
EPA received several comments asking for clarification on what
States need to do to adopt these revisions. As EPA explained in the
proposed rule, if a State has an approved program pursuant to RCRA
section 4005(d), that State program will continue to operate in lieu of
the portions of the Federal program adopted by the State, even if EPA
revised the Federal analog of that regulation in this final action. See
42 U.S.C. 6945(d)(1)(A), (3). This means that the applicable revisions
to the Federal CCR regulations will only take effect in an approved
State when the State revises its program to adopt them. For this
reason, RCRA requires a State to revise its program within three years
of any applicable revision to the Federal CCR regulation that is more
protective than the existing State program in order to maintain
approval. See, 42 U.S.C. 6945(d)(1)(D)(i)(II). Conversely, the Federal
requirements continue to apply directly to CCR facilities in States
without an approved CCR program and in States with a partial CCR
program. EPA will work with each State that is interested in adopting
these regulations to ensure the State CCR permit program is at least as
protective as the Federal program. If a State chooses not to adopt
certain portions of this final rule, when EPA establishes a Federal CCR
permit program, EPA will begin issuing permits for CCR units, legacy
CCR surface impoundments, and CCRMU in nonparticipating States.
As discussed in Units III.A. and III.B of this preamble, EPA is
establishing requirements for legacy CCR surface impoundments and
CCRMU. Because legacy CCR surface impoundments and CCRMU are new types
of Federally regulated units, no State is currently approved to issue
State CCR permits to such units in lieu of the Federal CCR regulations.
Thus, any State that wants approval to issue permits to such units will
be required to update the State CCR regulations and go through the
State CCR permit program approval process set forth in RCRA section
4005(d).
As discussed in Units III.B.g and III.D of this preamble, EPA is
also revising requirements under the existing CCR regulations. The
revised requirements will directly apply to affected facilities except
to the extent EPA has already approved the State to issue permits for
the original requirement. In such a case, the State requirement will
apply in lieu of the new Federal requirement until the State program is
revised. certain provisions (i.e., the requirement to expand Sec.
257.102(d)(2) to landfills that are inundated with groundwater,
document retention timeframes) to be more protective
One commenter asked if a State can adopt regulations for either
legacy CCR surface impoundments or CCRMU, but not both. EPA issued the
Coal Combustion Residuals State Permit Program Guidance Document;
Interim Final (82 FR 38685, August 15, 2017) (the ``Guidance
Document'') to advise States interested in developing a State CCR
permit program for approval by EPA. The Guidance Document explains the
process for developing a State CCR permit program and expressly
contemplates a State requesting partial approval of such a program.
Thus, a State may request approval of the final rule provisions
applicable to either or both the legacy CCR surface impoundments and
the CCRMU requirements.
Some commenters discussed the process for approving State CCR
permit programs and inquired about the number of States that EPA is
currently working with and the timeframe for approval of a State
program package. As noted above, the Guidance Document explains the
process for States to develop of State CCR permit program. The time it
takes to develop an approvable State program depends on a number of
factors, including the time it takes for a State to promulgate or enact
regulations that are as protective as the Federal CCR regulations. Once
the State has a complete and approvable program, EPA will issue the
final program determination within 180 days of determining that the
State's submission is complete. EPA commits to working with States to
adopt regulations that are at least as protective as the Federal CCR
regulations and to review any draft application materials and provide
comments to ensure the final application package can go through EPA's
approval process in a timely manner. The process for approving program
modifications is the same as for the initial program approval: EPA will
propose to approve or deny the program modification and hold a public
hearing during the comment period. EPA will then issue the final
program determination within 180 days of determining that the State's
submission is complete.
Finally, EPA received comments saying that EPA seems to be
finalizing these regulations under the self-implementing regulatory
scheme that existed when the 2015 CCR rule was promulgated. The
comments further say that since then, Congress enacted the WIIN Act,
which fundamentally changed the regulatory landscape and now requires
implementation through
[[Page 39094]]
State and Federal permit programs. EPA acknowledges this Congressional
mandate and is working to finalize the Federal CCR permit program in
addition to approving State permit programs. States have requested that
EPA finalize the legacy CCR surface impoundment provisions and other
provisions that were remanded back to the Agency to allow States to
apply for full program approval. EPA disagrees that the self-
implementing rule is inappropriate in lieu of the WIIN Act requirements
because all owners and operators of CCR units and CCRMU will need to
follow the self-implementing rule until they obtain a State or Federal
permit. Lastly, any permits that are issued by EPA will refer to the
regulatory requirements in 40 CFR part 257, subpart D, or the
equivalent State regulation in the case of State permits.
V. The Projected Economic Impact of This Action
A. Introduction
EPA estimated the costs and benefits of this action in a Regulatory
Impact Analysis (RIA), which is available in the docket for this
action.
B. Affected Universe
The universe of facilities and units affected by the final rule
includes four categories. The first is comprised of facilities with
legacy CCR surface impoundments. The RIA identifies 194 legacy CCR
surface impoundments located at 84 facilities. The second component of
the affected universe is composed of CCRMU. The RIA identifies 195
CCRMU at 104 facilities. The third component of the affected universe
is composed of CCRMU at ``other active facilities,'' or OAFUs. The RIA
identifies 15 OAFUs at six facilities. The final component of the
universe is comprised of CCR landfills that are already regulated under
the 2015 CCR Rule, but which have waste in contact with groundwater.
The RIA identifies 39 such landfills at 33 facilities.
C. Baseline Costs
The RIA examines the extent to which baseline practices at legacy
CCR surface impoundments and CCRMU address contamination in a manner
consistent with the requirements of the final rule. To the extent that
legacy CCR surface impoundments and CCRMU are already sufficiently
addressing contamination, they are assumed to not incur costs or
realize benefits under the final rule. To estimate the proportion of
legacy CCR surface impoundments addressing contamination in the
baseline, the RIA examines relevant Federal and State programs and
determines that about 9.8% of legacy CCR surface impoundments are
addressing site contamination. To estimate the proportion of CCRMU
addressing contamination, the RIA examines publicly available filings
from owners and operators of regulated coal-fired power plants. The RIA
estimates that about 20.8% of CCRMU are undergoing sitewide corrective
action and closure in a manner sufficient to meet the requirements of
the final rule.
D. Costs and Benefits of the Final Rule
The RIA estimates that the annualized costs of this action will be
approximately $214-$240 million per year when discounting at 2%. Of
this, $123-$135 million is attributable to the requirements for legacy
CCR surface impoundments, which are subject to the D.C. Circuit's order
in USWAG, $79-$92 million is attributable to the requirements for
CCRMU, $8-$9 million is attributable to the requirements for OAFUs, and
$4 million is attributable to requirements for landfills. The costs of
this final rule are discussed further in the RIA and include the costs
of unit closure, corrective action, fugitive dust controls, structural
integrity inspections, and recordkeeping and reporting.
The RIA estimates that the annualized monetized benefits
attributable to this action will be approximately $53-$80 million per
year when discounting at 2%. Of this, $43-$57 million is attributable
to the requirements for legacy CCR surface impoundments, $9-$21 million
is attributable to the requirements for CCRMU, $1-$2 million is
attributable to the requirements for CCRMU at ``other active
facilities,'' or OAFUs. Requirements for landfills account for a de
minimis amount of benefits. The monetized benefits of this proposed
rule are discussed further in the RIA, and include reduced incidents of
cancer from the consumption of arsenic in drinking water, avoided
intelligence quotient (IQ) losses from mercury and lead exposure, non-
market benefits of water quality improvements, and the protection of
threatened and endangered species. EPA also monetized the benefits of
avoided impoundment failures, including both ``catastrophic'' failures
and smaller-volume releases. One example of a severe impoundment
failure is the Dan River Steam Station failure that occurred in 2014,
when a stormwater drainage pipe under the inactive surface impoundments
at the Dan River Steam Station caused the inadvertent release of 39,000
tons of CCR directly into the nearby Dan River. The resulting high-end
estimate of the costs of this impoundment failure is $300 million.
The monetized benefits in the RIA are incomplete and omit
categories of benefits that are known to be significant. One such
category of benefits is avoided cases of lung and bladder cancers due
to exposure to arsenic III and arsenic V. Inorganic arsenic is known to
occur in CCRs, and can leach into drinking water from leaking CCR
disposal units. The EPA IRIS Toxicological Review of Inorganic Arsenic
(CASRN 7440-38-2) draft, published in October 2023, provides updated
toxicity values for cancer outcomes associated with inorganic arsenic
exposure. From these values the benefits of avoided cancer cases can be
monetized. The RIA does not consider these avoided cancer benefits in
the main analysis because the IRIS report underlying them is still
draft and subject to revision. These benefits are instead monetized in
a sensitivity analysis and are estimated to be $19 million per year
when discounting at 2%. As these benefits are but two health endpoints
from a single contaminant, they point to the possible true magnitude of
benefits attributable to the final rule.
The RIA also describes a number of important benefits that cannot
currently be quantified or monetized due to data limitations or
limitations in current methodologies. These benefits include reducing
the baseline risk of unit leakage and failure attributable to climate-
change driven severe weather events. Many legacy CCR surface
impoundments and CCRMU are situated close to rivers or are located
along the coast. These units are vulnerable to inland or coastal
flooding, which may occur at an increased frequency due to the effects
of climate change. Flooding events may cause these units to overtop or
catastrophically collapse, releasing CCR into the environment, exposing
nearby communities to toxic contamination and necessitating potentially
costly cleanup and remediation. EPA has identified 62 legacy CCR
impoundments at medium or high risk from climate change-driven
flooding, and 74 CCRMU at medium or high risk from climate change
driven-flooding.
Another set of benefits outside the scope of quantification include
reducing the instance of negative human health impacts such as
cardiovascular mortality, neurological effects, and cancers (separate
from the quantified cancer benefits) brought on by exposure to toxins
found in coal ash. Either through leaking impoundment sites or release
events, many pollutants from legacy CCR surface impoundments are
[[Page 39095]]
likely to contaminate nearby water bodies, affecting surface waters,
local fish populations, and drinking water reservoirs. Because known
transport pathways exist between these release events and human health
endpoints, EPA expects the proposed rule to cause risk reductions for
various categories that are not yet quantifiable. Toxins such as
thallium, molybdenum, and lithium, while all present in CCR, lack the
data to create dose-response relationships between ingestion rates and
specific health endpoints, and thus precludes EPA from quantifying
associated benefits.
The RIA describes several surface water quality benefits such as
the improved health of ecosystems proximate to CCR disposal units, and
the avoided costs of treating public drinking water impacted by CCR
contamination. EPA expects leakages or releases of effluent from any
CCR surface impoundment site to contaminate nearby surface waters and
environments. Introduction of arsenic, selenium, and other heavy metals
associated with CCR surface impoundment contents are shown to
accumulate in sediments of nearby stream and lake beds, posing risks
and injury to organisms and consequently ecosystems. Although surface
waters are broadly protected from high levels of contaminants under
EPA's regulations and Water Quality Criteria (WQC), complex
interactions from trace amounts of heavy metals and other toxins known
to be released from legacy CCR surface impoundment sites have displayed
measurable impact to aquatic animals and ecosystems.\152\
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\152\ Brandt, Jessica E., et al. ``Beyond selenium: coal
combustion residuals lead to multielement enrichment in receiving
lake food webs.'' Environmental science & technology 53.8 (2019):
4119-4127.
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The RIA discusses how the final rule may result in avoided drinking
water treatment costs and drinking water quality improvements at public
water systems. First, by reducing the risk of CCR leakage events and
impoundment failures, the proposed rule will help avoid costs of water
quality treatment at public intake sources. Second, by preventing
release events the proposed rule has the potential to reduce the
incidence of eutrophication in source waters for public drinking
supplies. Eutrophication is primarily caused by an overabundance of
nitrogen and phosphorus. It causes foul tastes and odors, which require
additional treatment, and commensurate expenditure, to remove.
The RIA discusses potential impacts on the market for the
beneficial use of CCR as a substitute for virgin materials. Future uses
of CCR are unknown. Research on the recovery of rare earth elements and
yttrium from coal fly ash is ongoing but currently only at laboratory
scale. It is possible that in the future, the availability of
additional CCR may reach an equilibrium price that encourages demand,
particularly as coal plants retire and the supply of ``new'' CCR falls.
However, the quality of CCR in legacy CCR surface impoundments and
CCRMU may limit their value. Older, closed impoundments or other CCR
storage areas are less likely to have CCR material of a known and
reliable composition.
The RIA also discusses potential reductions in fugitive dust
emanating from legacy CCR surface impoundments, which will benefit
fence line communities by reducing the amount of resuspended ash from
legacy CCR surface impoundments that could otherwise lead to
respiratory health hazards for communities surrounding a given legacy
impoundment.
The RIA discusses the benefits of improved property values near
closed and remediated sites. Neighborhoods located near hazardous waste
sites often experience depressed property values due to health risks
posed by contaminant exposure pathways, potential reductions in
ecological services, unsightly aesthetics of the disposal unit site,
and potential stigma associated with proximity to a disposal site.
Almost a million households, and over 2.5 million people are located
within three miles of legacy CCR surface impoundments and CCRMU.
Approximately 75,000 households and 200,000 people are located within a
mile. Improvements in home values resulting from the proposed rule have
the potential to bestow welfare gains to homeowners located near legacy
CCR surface impoundments and CCRMU.
The RIA also discusses the value of reusing land formerly occupied
by legacy CCR surface impoundments, and CCRMU. Once legacy CCR surface
impoundments and CCRMU are closed by removal, landfills are properly
capped, or corrective action activities are completed, the land is more
likely to move into alternative, economically productive purposes. For
example, these land reuse projects might include industrial
redevelopment or implementation of green energy generation which can
utilize the existing electricity grid infrastructure.
Finally, based on the demographic composition and environmental
conditions of communities within one and three miles of legacy CCR
surface impoundments, the final rule will reduce existing
disproportionate and adverse effects on economically vulnerable
communities, as well as those that currently face environmental
burdens. For example, in Illinois the population living within one mile
of legacy CCR surface impoundment sites is over three times as likely
compared to the State average to have less than a high school education
(35.66% compared to 10.10%, see RIA exhibit ES.14), and that population
already experiences higher than average exposures to particulate
matter, ozone, diesel emissions, lifetime air toxics cancer risks, and
proximity to traffic, Superfund sites, Risk Management Plan sites, and
hazardous waste facilities (see RIA exhibit ES.15).
The RIA also discusses the interaction of the CCR rules with Office
of Air rules governing emissions at power plants. Following on the
significant progress EPA has made over many decades to reduce dangerous
pollution from coal-fired electric utilities' stack emissions and
effluents, this proposed rule will help EPA further ensure that the
communities and ecosystems closest to coal facilities are sufficiently
protected from harm from groundwater contamination, surface water
contamination, fugitive dust, floods and impoundment overflows, and
threats to wildlife. The volume and toxicity of CCR at many sites
persisted or increased over past decades even as coal-fired units' air
and water emissions decreased, and this proposed rule will help EPA
fulfill the promise of substantial public health and welfare gains from
its full suite of regulations aimed at reducing the harms from coal-
combustion pollution.
As noted previously, EPA establishes the requirements under RCRA
sections 1008(a)(3) and 4004(a) without taking cost into account. See,
USWAG, 901 F.3d at 448-49. Although EPA has accordingly designed its
proposal based on its statutory factors and court precedent and has not
relied on this benefit-cost analysis in the selection of its proposed
alternative, EPA believes that after considering all unquantified and
distributional effects, the public health and welfare gains that will
result from the proposed alternative would justify the rule's costs.
VI. Statutory and Executive Order Reviews
Additional information about these statutes and Executive Orders
can be found at https://www.epa.gov/laws-regulations/laws-and-executive-orders.
[[Page 39096]]
A. Executive Order 12866: Regulatory Planning and Review and Executive
Order 14904: Modernizing Regulatory Review
This action is a ``significant regulatory action'' under section
3(f)(1) of Executive Order 12866, as amended by Executive Order 14094.
Accordingly, the EPA submitted this action to the Office of Management
and Budget (OMB) for review. Any changes made in response to
recommendations received as part Executive Order 12866 review have been
documented in the docket. The EPA prepared an analysis of the potential
costs and benefits associated with this action. This analysis,
Regulatory Impact Analysis: Hazardous and Solid Waste Management
System: Disposal of Coal Combustion Residuals from Electric Utilities;
Legacy CCR Surface Impoundments, is available in the docket and is
briefly summarized in Unit V.
B. Paperwork Reduction Act (PRA)
The information collection activities in this rule will be
submitted for approval to the Office of Management and Budget (OMB)
under the PRA. EPA submitted the proposed rule ICR to OMB for approval
on March 25th, 2024, triggering a 30-day public comment period for this
proposed information collection. EPA anticipates the final ICR will be
approved by the effective date of this final rule. If EPA receives any
new and substantive comments on proposed collection, i.e., substantive
comments that were not received during the 60 day public comment period
on the rule (from May 18, 2023-July 17, 2023), EPA will address those
comments in a revision to the ICR via the standard PRA approval
process. The Information Collection Request (ICR) document that the EPA
prepared has been assigned EPA ICR number 2761.01. Due to the
concurrent timing of this rulemaking and the timing of the renewal of
the collection of information 2050-0223, Disposal of Coal Combustion
Residuals From Electric Utilities, EPA is requesting a temporary OMB
control number for this rulemaking collection, which will be assigned
upon approval of the proposed ICR by OMB. EPA will submit a request to
merge this rulemaking collection into the existing ICR for the program,
2050-0223, once the final rulemaking ICR and renewal for 2050-0223 are
approved by OMB. You can find a copy of the ICR in the docket for this
rule, and it is briefly summarized here. The information collection
requirements are not enforceable until OMB approves them.
The final rule requires legacy CCR surface impoundments to comply
with the reporting and recordkeeping requirements already in place for
regulated CCR units. Many of these requirements are one-time
requirements that will occur soon after the promulgation of the rule,
while several are ongoing. The final rule also requires legacy CCR
surface impoundments to submit an applicability report, unique to this
universe of units, which will provide stakeholders with essential site
characteristic and contact information for the unit.
Respondents/affected entities: Inactive electric utility plants
with inactive CCR surface impoundments (legacy CCR surface
impoundments), electric utility plants with CCRMU, electric utility
plants with OAFUs, and electric utility plants with landfills already
subject to regulation under the 2015 final CCR rule, but which have
waste in contact with groundwater.
Respondent's obligation to respond: The recordkeeping,
notification, and posting are mandatory as part of the minimum national
criteria promulgated under Sections 1008(a), 2002(a), 4004, and 4005(a)
and (d) of RCRA.
Estimated number of respondents: 2,083.
Frequency of response: one-time and annually.
Total estimated burden: 172,909 hours (per year). Burden is defined
at 5 CFR 1320.3(b).
Total estimated cost: $11.2 million (per year), includes $11.2
million annualized capital or operation and maintenance costs.
An agency may not conduct or sponsor, and a person is not required
to respond to, a collection of information unless it displays a
currently valid OMB control number. The OMB control numbers for the
EPA's regulations in 40 CFR are listed in 40 CFR part 9. When OMB
approves this ICR, the Agency will announce that approval in the
Federal Register and publish a technical amendment to 40 CFR part 9 to
display the OMB control number for the approved information collection
activities contained in this final rule.
C. Regulatory Flexibility Act (RFA)
I certify that this action will not have a significant economic
impact on a substantial number of small entities under the RFA. The
small entities subject to the requirements of this action are owners
and operators of coal fired electric utility plants in NAICS code
221112 and firms that own property on which an inactive/retired coal
fired power plant is located. The Agency has identified 175 small
entities subject to the final rule. The Agency estimates that the
average annual cost to a small entity will be approximately $0.31
million; the vast majority of these entities do not own legacy CCR
surface impoundments, CCRMU, or OAFUs, and must only complete the
evaluation report requirements of the final rule. EPA has identified 15
small entities owning legacy CCR surface impoundments, CCRMU, and/or
OAFUs; EPA assumes that small entities will not be able to pass on any
compliance costs to ratepayers. This assumption, in EPA's opinion,
constitutes a high-end scenario. In total, these 15 small entities are
estimated to incur approximately $52.1 million in annual costs. The
Agency has determined that five small entities may experience an impact
greater than 3% of annual revenues. Details of this analysis are
presented in the Regulatory Impact Analysis, which can be found in the
docket for this action.
D. Unfunded Mandates Reform Act (UMRA)
This action contains a Federal mandate under UMRA, 2 U.S.C. 1531-
1538, 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 one year. Accordingly, the EPA has prepared a written
statement required under section 202 of UMRA. The statement is included
in the docket for this action and briefly summarized here.
The RIA estimates that the proposed rule may affect 194 legacy CCR
surface impoundments at 84 facilities, 195 CCRMU at 104 facilities, 15
OAFUs at six facilities, and 39 landfills already regulated under the
2015 final rule. The final rule will extend the existing requirements
of the 2015 CCR final rule, found in 40 CFR part 257, subpart D, to
these units.
In preparing the 2015 CCR final rule, and consistent with the
intergovernmental consultation provisions of section 204 of the UMRA,
EPA initiated pre-proposal consultations with governmental entities
affected by the rule. In developing the regulatory options for the 2015
CCR Rule, EPA consulted with small governments according to EPA's UMRA
interim small government consultation plan developed pursuant to
section 203 of UMRA. The details of this consultation can be found in
the preamble to the 2015 CCR final rule. Consistent with section 205 of
UMRA, EPA identified and considered a reasonable number of regulatory
alternatives, and adopted the least-costly approach (i.e., a modified
version
[[Page 39097]]
of the ``D Prime'' least costly approach presented in the 2010 proposed
CCR rule). The final rule merely extends the provisions of the 2015
final rule to four additional classes of facilities.
This action is not subject to the requirements of section 203 of
UMRA because it contains no regulatory requirements that might
significantly or uniquely affect small governments. The threshold
amount established for determining whether regulatory requirements
could significantly affect small governments is $100 million annually.
The RIA estimates annual average costs of $7 million total for the four
local governments identified as owning units subject to the final rule.
These estimates are well below the $100 million annual threshold
established under UMRA. There are no known Tribal owner entities of
facilities that would incur substantial direct costs under the final
rule.
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.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have Tribal implications as specified in
Executive Order 13175. For the ``Final Rule: Hazardous and Solid Waste
Management System; Disposal of Coal Combustion Residuals from Electric
Utilities'' published April 17, 2015 (80 FR 21302), EPA identified
three of the 414 coal-fired electric utility plants (in operation as of
2012) as being located on Tribal lands. To the extent that these plants
contain CCRMU subject to the proposed rule, the impacts to Tribes will
be limited to document review and walking the site. As these are not
substantial direct costs, this action does not impose substantial
direct compliance costs or otherwise have a substantial direct effect
on one or more Indian Tribes, to the best of EPA's knowledge. Neither
will it have substantial direct effects 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.
Thus, Executive Order 13175 does not apply to this action.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
Executive Order 13045 directs Federal agencies to include an
evaluation of the health and safety effects of the planned regulation
on children in Federal health and safety standards and explain why the
regulation is preferable to potentially effective and reasonably
feasible alternatives. This action is subject to E.O. 13045 (62 FR
19885, April 23, 1997) because it is a significant regulatory action
under section 3(f)(1) of E.O. 12866, and EPA believes that the
environmental health or safety risks addressed by this action may have
a disproportionate effect on children. In addition, EPA's Policy on
Children's Health applies. Accordingly, EPA evaluated the environmental
health or safety effects of CCR constituents of potential concern on
children. The results of this evaluation are contained in the Human and
Ecological Risk Assessment of Coal Combustion Wastes available in the
docket for this action.
As ordered by E.O. 13045 Section 1-101(a), EPA identified and
assessed environmental health risks and safety risks that may
disproportionately affect children in the revised risk assessment.
Pursuant to U.S. EPA's Guidance on Selecting Age Groups for Monitoring
and Assessing Childhood Exposures to Environmental Contaminants,
children are divided into seven distinct age cohorts: 1 to <2 yr, 2 to
<3 yr, 3 to <6 yr, 6 to <11 yr, 11 to <16 yr, 16 to <21 yr, and infants
(<1 yr). Using exposure factors for each of these cohorts, EPA
calculated cancer and non-cancer risk results in both the screening and
probabilistic phases of the assessment. In general, risks to infants
tended to be higher than other childhood cohorts, and also higher than
risks to adults. However, for drinking water cancer risks, the longer
exposure periods for adults led to the highest risks over a standard
adult lifetime. Screening risks exceeded EPA's human health criteria
for children exposed to contaminated air, soil, and food resulting from
fugitive dust emissions and run-off. Similarly, 90th percentile child
cancer and non-cancer risks exceeded the human health criteria for the
groundwater to drinking water pathway under the full probabilistic
analysis (Table 5-17 in the Human and Ecological Risk Assessment of
Coal Combustion Wastes). The closure, groundwater monitoring and
corrective action required by the rule will reduce risks from currently
unregulated legacy CCR surface impoundments, and CCRMU. Thus, EPA
believes that this rule will be protective of children's health.
In general, because the pollution control requirements under the
CCR rule will reduce health and environmental exposure risks at all
coal-fired electric utility plants, the CCR rule is not expected to
create additional or new risks to children.
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 is
not likely to have a significant adverse effect on the supply,
distribution or use of energy. Because the final rule addresses
management of CCR and pertains mainly to inactive CCR units (legacy CCR
surface impoundments at inactive facilities and CCRMU at facilities
already regulated under the 2015 CCR rule), this final rule will have
no effect on the production of crude oil, coal, fuel, or natural gas.
In addition, the final rule will have no direct effect on electricity
production, generating capacity, or on foreign imports or exports of
energy.
Electricity price effects on the price of energy are only possible
because in some cases, utilities may attempt to pass the costs of
managing CCR under the proposed rule on to ratepayers in the form of
increased electricity rates through Public Utility Commissions (PUCs).
As a result, the final rule may indirectly affect electricity prices
within the energy sector. To estimate what the electricity price
effects of this final rule may be on a national level, EPA compared the
expected costs of this rule to the expected costs and effects resulting
from three previously conducted IPM runs for three previous RIAs, the
2015 CCR Rule, the 2015 ELG Rule (which included the costs of the 2015
CCR Rule in its baseline), and the 2019 ELG Rule, which was a
deregulatory rule. Extrapolating from these IPM runs, EPA estimates
that the effect of the current action on electricity prices will be
between 0.060% and 0.156%. Since these effects fall below the 1%
threshold, EPA concludes that this rule is not expected to generate
significant adverse energy effects. The full energy impacts analysis is
available in the Regulatory Impact Analysis that accompanies this
action.
I. National Technology Transfer and Advancement Act (NTTAA)
This rulemaking involves technical standards. The EPA has decided
to use technical standards in this rule as the existing CCR regulations
rely on the
[[Page 39098]]
following: (1) RCRA Subpart D, Section 257.70 liner design criteria for
new CCR landfills and any lateral expansion of a CCR landfill includes
voluntary consensus standards developed by ASTM International and EPA
test methods such as SW-846, (2) Section 257.71 liner design criteria
for existing CCR surface impoundments includes voluntary consensus
standards developed by ASTM International and EPA test methods such as
SW-846, (3) Section 257.72 liner design criteria for new CCR surface
impoundments and any lateral expansion of a CCR surface impoundment
includes voluntary consensus standards developed by ASTM International
and EPA test methods such as SW-846, and (4) Section 257.73 structural
stability standards for new and existing surface impoundments use the
ASTM D 698 and 1557 standards for embankment compaction. In this
rulemaking, EPA expands the application of Sec. 257.73 structural
stability standards, which as noted, rely on the ASTM D 698 and 1557
standards for embankment compaction, to facilities with legacy CCR
surface impoundments. This rulemaking does not adopt or otherwise
involve any additional technical standards.
J. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations and
Executive Order 14096: Revitalizing Our Nation's Commitment to
Environmental Justice for All
EPA believes that the human health or environmental conditions that
exist prior to this action result in or have the potential to result in
disproportionate and adverse human health or environmental effects on
communities with environmental justice concerns.
EPA conducted a demographic screening analysis for all facilities
subject to the rule to determine the composition of populations living
within one and three miles of facilities with these units.
Specifically, EPA looked at the percentages of the relevant populations
that are identified as minority/people of color, households below the
Federal poverty level, population with less than high school education
(among those 25 years and older), and populations characterized by
linguistic isolation. EPA chose to look at radii of one and three miles
because they represent the areas most likely to be affected by
groundwater contamination and surface water impacts from legacy CCR
surface impoundments and CCRMU. EPA compared the demographic profile
within these radii to national and State averages to assess the extent
to which marginalized groups are disproportionately affected by CCR-
related contamination in the baseline.
To more fully explore the conditions in communities and populations
surrounding facilities subject to the 2024 final rule, EPA expanded the
demographic proximity analysis to include a suite of metrics that
represent baseline health and social factors that are likely to be
affected by, or interact with, changes in the management of facilities
as a result of the rule. This analysis also focuses on populations
within one mile of legacy CCR surface impoundments and CCRMU sites, but
includes a combination of eight baseline indicators from the CDC
Environmental Justice Index (EJI) and EPA's EJScreen that document
community conditions that (a) suggest potential environmental justice
concerns and (b) are relevant to actions resulting from the 2024 final
rule. These include:
CDC EJI Indicators: Lack of internet access, prevalence of
disabilities, cancer, poor mental health, high blood pressure, asthma,
and diabetes.
EJScreen Indicators: PM2.5 concentrations and
low life expectancy.
This specific subset of indicators captures health-related risks,
environmental burdens, and access to information that affect a
substantial number of communities living near the universe of
facilities to provide a clearer picture of the baseline conditions. To
assess the extent to which facilities affected by the final rule are
located within communities with high baseline risks, the analysis
specifically identifies, for each indicator, communities that fall in
the highest (most at risk) 40 percent, or top two quintiles of
communities nationwide. In other words, the analysis only identifies
instances where a community is more at risk or more burdened than 60
percent of all communities in the U.S. For each indicator, the analysis
calculates the number of communities within one mile of legacy CCR
surface impoundments, CCRMU, and OAFU facilities that are in the top
two quintiles.
Many of the health-related indicators appeared in communities with
high percentiles for other health-related indicators, especially
combinations of high blood pressure, diabetes, and asthma. Communities
with high populations of people with disabilities were also likely to
have high prevalence of high blood pressure, asthma, diabetes, poor
mental health, and cancer. Additionally, high prevalence of poor mental
health and lack of internet accompanied prevalence of morbidities
besides cancer.
EPA also identified lack of internet access, which is generally
associated with poverty but also is a distinct factor in ensuring that
information about regulated facilities and units that is required by
the 2024 final rule is accessible to the people in surrounding
communities. Half of the facilities with a lack of internet access in
surrounding communities were also above two times the State average for
households below the national poverty level, but the other half are
not, suggesting that this barrier to information may be more widespread
and less predictable in the 2024 rule context. In addition to the
income-related implications, lack of internet access has consequences
for information access that are pertinent to the 2024 final rule, which
requires facilities to publish information online for public access.
Therefore, a lack of internet access is a key barrier for communities
who may be unable to receive important information.
These analyses found that of the roughly 182 sites in the regulated
universe, more than half are located in areas with environmental
justice concerns in surrounding communities. These communities are
likely to face existing environmental burdens, economic stressors, and
health conditions that put their residents and ecosystems at greater
cumulative risk from the impacts associated with proximity to legacy
impoundments. Because the final rule is designed to both prevent future
contamination and eliminate existing contamination from CCR units that
are near these already-vulnerable communities, EPA believes that the
rule is likely to incrementally reduce existing disproportionate and
adverse effects on communities with EJ concerns. EPA believes that the
rule is particularly likely to reduce disproportionate and adverse
effects on people of color and populations who experience low income.
The rule improves overall environmental quality for all exposed
communities and populations by ensuring protection and remediation of
groundwater, resulting in avoided health effects (including cancer)
from drinking water exposures to arsenic and other contaminants, and by
reducing releases of CCR from impoundments into the surface waters,
ecosystems, and air surrounding the facilities. The final rule is
equity-enhancing in that it addresses EJ concerns present in the
communities and populations near many of the facilities by reducing
environmental and health burdens that contribute to the cumulative
impacts experienced by
[[Page 39099]]
these communities, including the often-costly burdens associated with
health effects. Moreover, the rule requires that facilities make
information about their contamination and remediation actions available
on public websites; this provides all interested members of the public,
including communities with EJ concerns, improved access to information
related to their environment or health, supporting effective community
involvement.
Overall, EPA found that facilities affected by the rule are often
located near populations of color with higher rates of poverty and
linguistic isolation, and lower levels of education. Of the roughly 182
sites in the regulated universe, more than half are located in areas
with environmental justice concerns in surrounding communities. These
communities are likely to face existing environmental burdens, economic
stressors, and health conditions that put their residents and
ecosystems at greater cumulative risk from the impacts associated with
proximity to legacy impoundments. Because the final rule is designed to
both prevent future contamination and eliminate existing contamination
from CCR units that are near these already-vulnerable communities, EPA
believes that the rule is likely to incrementally reduce existing
disproportionate and adverse effects on communities with EJ concerns.
EPA believes that the rule is particularly likely to reduce
disproportionate and adverse effects on people of color and populations
who experience low income.
The information supporting this Executive Order review is contained
in the accompanying Regulatory Impact Analysis, which can be found in
the docket for this action.
K. Congressional Review Act (CRA)
This action is subject to the CRA, and the EPA will submit a rule
report to each House of the Congress and to the Comptroller General of
the United States. This action meets the criteria set forth in 5 U.S.C.
804(2).
List of Subjects
40 CFR Part 9
Environmental protection, Reporting and recordkeeping requirements.
40 CFR Part 257
Environmental protection, Beneficial use, Coal combustion products,
Coal combustion residuals, Coal combustion waste, Disposal, Hazardous
waste, Landfill, Surface impoundment.
Michael S. Regan,
Administrator.
For the reasons set out in the preamble, title 40, chapter I, of
the Code of Federal Regulations is amended as follows:
PART 9--OMB APPROVALS UNDER THE PAPERWORK REDUCTION ACT
0
1. The authority citation for part 9 continues to read as follows:
Authority: 7 U.S.C. 135 et seq., 136-136y; 15 U.S.C. 2001, 2003,
2005, 2006, 2601-2671; 21 U.S.C. 331j, 346a, 31 U.S.C. 9701; 33
U.S.C. 1251 et seq., 1311, 1313d, 1314, 1318, 1321, 1326, 1330,
1342, 1344, 1345 (d) and (e), 1361; E.O. 11735, 38 FR 21243, 3 CFR,
1971-1975 Comp. p. 973; 42 U.S.C. 241, 242b, 243, 246, 300f, 300g,
300g-1, 300g-2, 300g-3, 300g-4, 300g-5, 300g-6, 300j-1, 300j-2,
300j-3, 300j-4, 300j-9, 1857 et seq., 6901-6992k, 7401-7671q, 7542,
9601-9657, 11023, 11048.
0
2. Amend Sec. 9.1 by adding an undesignated center heading and an
entry for ``257.50-257.107'' in numerical order to read as follows:
Sec. 9.1 OMB approvals under the Paperwork Reduction Act
* * * * *
------------------------------------------------------------------------
OMB control
40 CFR citation No.
------------------------------------------------------------------------
* * * * *
------------------------------------------------------------------------
Disposal of Coal Combustion Residuals From Electric Utilities
------------------------------------------------------------------------
257.50-257.107.......................................... 2050-0223
* * * * *
------------------------------------------------------------------------
* * * * *
PART 257--CRITERIA FOR CLASSIFICATION OF SOLID WASTE DISPOSAL
FACILITIES AND PRACTICES
0
3. The authority citation for part 257 is revised to read as follows:
Authority: 42 U.S.C. 6907(a)(3), 6912(a)(1), 6927, 6944, 6945(a)
and (d); 33 U.S.C. 1345(d) and (e).
Subpart A [Amended]
0
4. Amend Sec. 257.1 by revising paragraph (c)(12) to read as follows:
Sec. 257.1 Scope and purpose.
* * * * *
(c) * * *
(12) Except as otherwise specifically provided in subpart D of this
part, the criteria in subpart A of this part do not apply to CCR units,
as that term is defined in subpart D of this part. CCR units are
instead subject to subpart D of this part.
Subpart D [Amended]
0
5. Amend subpart D by removing the phrase ``Web site'' and adding in
its place the word ``website'' wherever it appears.
0
6. Amend Sec. 257.50 by revising paragraph (c), (d), and (e) to read
as follows:
Sec. 257.50 Scope and purpose.
* * * * *
(c) This subpart also applies to inactive CCR surface impoundments
at active electric utilities or independent power producers, regardless
of how electricity is currently being produced at the facility.
(d) (1) This subpart applies to CCR management units containing
1,000 tons or greater of CCR, located at active facilities or
facilities with a legacy CCR surface impoundment.
(2) CCR management units containing greater than or equal to 1 ton
and less than 1,000 tons of CCR, located at active facilities or
facilities with a legacy CCR surface impoundment, are subject only to
the requirements of the facility evaluation report in Sec. 257.75
until a permitting authority determines that regulation of these units,
either individually or in the aggregate, is warranted and determines
the applicable requirements.
(e) This subpart applies to electric utilities or independent power
producers that ceased producing electricity prior to October 19, 2015
and have a legacy CCR surface impoundment onsite.
* * * * *
Sec. 257.51 [Removed and Reserved]
0
7. Amend subpart D by removing and reserving Sec. 257.51.
0
8. Revise Sec. 257.52 to read as follows:
Sec. 257.52 Applicability of other regulations.
(a) Compliance with the requirements of this subpart does not
affect the need for the owner or operator of a CCR unit to comply with
all other applicable federal, state, tribal, or local laws or other
requirements.
(b) Any CCR unit continues to be subject to the requirements in
Sec. Sec. 257.3-1, 257.3-2, and 257.3-3.
0
9. Amend Sec. 257.53 by:
0
a. Revising the definition of ``Active facility or active electric
utilities or independent power producers'';
[[Page 39100]]
0
b. Adding in alphabetical order the definition of ``Closed prior to
October 19, 2015'';
0
c. Revising the definition of ``CCR landfill or landfill'';
0
d. Adding in alphabetical order the definition of ``CCR management
unit'';
0
e. Revising the definitions of ``CCR surface impoundment or
impoundment'' and ``CCR unit'';
0
f. Adding in alphabetical order the definitions of ``Critical
infrastructure'', ``Contains both CCR and liquids'' and ``Inactive CCR
landfill'';
0
g. Revising the definition of ``Inactive CCR surface impoundment'';
0
h. Adding in alphabetical order the definitions of ``Inactive facility
or inactive electric utility or independent power producer'',
``Infiltration'', ``Legacy CCR surface impoundment'', and ``Liquids'';
0
i. Revising the definitions of ``Operator'' and ``Owner'';
0
j. Adding in alphabetical order the definition of ``Regulated CCR
unit'';
0
k. Revising the definition of ``State Director'';
0
l. Removing the definitions of ``Technically feasible'' and
``Technically infeasible''; and
0
m. Adding in alphabetical order the definitions of ``Technically
feasible or feasible'' and ``Technically infeasible or infeasible''.
The revisions and additions read as follows:
Sec. 257.53 Definitions.
* * * * *
Active facility or active electric utilities or independent power
producers means any facility subject to the requirements of this
subpart that is in operation on or after October 19, 2015. An electric
utility or independent power producer is in operation if it is
generating electricity that is provided to electric power transmission
systems or to electric power distribution systems on or after October
19, 2015. An off-site disposal facility is in operation if it is
accepting or managing CCR on or after October 19, 2015.
* * * * *
Closed prior to October 19, 2015 means the CCR landfill or surface
impoundment completed closure of the unit in accordance with state law
prior to October 19, 2015.
* * * * *
CCR landfill or landfill means an area of land or an excavation
that contains CCR and which is not a surface impoundment, an
underground injection well, a salt dome formation, a salt bed
formation, an underground or surface coal mine, or a cave. For purposes
of this subpart, a CCR landfill also includes sand and gravel pits and
quarries that receive CCR, CCR piles, and any practice that does not
meet the definition of a beneficial use of CCR.
CCR management unit means any area of land on which any
noncontainerized accumulation of CCR is received, is placed, or is
otherwise managed, that is not a regulated CCR unit. This includes
inactive CCR landfills and CCR units that closed prior to October 19,
2015, but does not include roadbed and associated embankments in which
CCR is used unless the facility or a permitting authority determines
that the roadbed is causing or contributing to a statistically
significant level above the groundwater protection standard established
under Sec. 257.95(h).
* * * * *
CCR surface impoundment or impoundment means a natural topographic
depression, man-made excavation, or diked area, designed to hold an
accumulation of CCR and liquids, and the unit treats, stores, or
disposes of CCR.
CCR unit means any CCR landfill, CCR surface impoundment, or
lateral expansion of a CCR landfill or CCR surface impoundment, or a
combination of more than one of these units, based on the context of
the paragraph(s) in which it is used. This term includes both new and
existing units, unless otherwise specified. This term includes CCR
management units and legacy CCR surface impoundments.
Contains both CCR and liquids means that both CCR and liquids are
present in a CCR surface impoundment, except where the owner or
operator demonstrates that the standard in Sec. 257.102(d)(2)(i) has
been met.
Critical infrastructure means physical structures, such as
buildings, railways, bridges, or tunnels, that are not readily replaced
or relocated and are either:
(1) Necessary for the continued generation of power, or
(2) Vital to the success or continuation of other on-going site
activity for the public welfare. Examples of critical infrastructure
include high power electric transmission towers, air pollution control
or wastewater treatment systems, active CCR units, buildings, or an
electrical substation. Buildings or other structures that exclusively
provide commercial or financial benefit to private entities are not
critical infrastructure.
* * * * *
Inactive CCR landfill means an area of land or an excavation that
contains CCR but that no longer receives CCR on or after October 19,
2015 and that is not a surface impoundment, an underground injection
well, a salt dome formation, a salt bed formation, an underground or
surface coal mine, or a cave. This term also includes sand and gravel
pits that contain CCR and CCR piles, which have not received CCR on or
after October 19, 2015, and abandoned or inactive CCR piles.
Inactive CCR surface impoundment means a CCR surface impoundment
located at an active facility that no longer receives CCR on or after
October 19, 2015, and still contains both CCR and liquids on or after
October 19, 2015.
Inactive facility or inactive electric utility or independent power
producer means any electric utility or independent power producer that
ceased providing power to electric power transmission systems or to
electric power distribution systems before October 19, 2015. An off-
site disposal facility is inactive if it ceased accepting or managing
CCR prior to October 19, 2015.
* * * * *
Infiltration means the migration or movement of liquid, such as
surface water or ground water, into or through a CCR unit from any
direction, including from the surface, laterally, and through the
bottom of the unit.
* * * * *
Legacy CCR surface impoundment means a CCR surface impoundment that
no longer receives CCR but contained both CCR and liquids on or after
October 19, 2015, and that is located at an inactive electric utility
or independent power producer.
* * * * *
Liquids means any fluid (such as water) that has no independent
shape but has a definite volume and does not expand indefinitely and
that is only slightly compressible. This encompasses all of the various
types of liquids that may be present in a CCR unit, including water
that was sluiced into an impoundment along with CCR, precipitation,
surface water, groundwater, and any other form of water that has
migrated into the impoundment, which may be found as free water or
standing water ponded above CCR or porewater intermingled with CCR.
* * * * *
Operator means the person(s) responsible for the overall operation
of a CCR unit. This term includes those person(s) or parties
responsible for disposal or otherwise actively engaged in the solid
waste management of CCR. It also includes those responsible for
directing or overseeing groundwater
[[Page 39101]]
monitoring, closure or post-closure activities at a CCR unit.
* * * * *
Owner means the person(s) who owns a CCR unit or part of a CCR
unit, or a facility, whether in full or in part.
* * * * *
Regulated CCR unit means any new CCR landfill, existing CCR
landfill, new CCR surface impoundment, existing CCR surface
impoundment, inactive CCR surface impoundment, or legacy CCR surface
impoundment. This term does not include CCR management units.
* * * * *
State Director means the chief administrative officer of the lead
state agency responsible for implementing the state program regulating
disposal in CCR units.
* * * * *
Technically feasible or feasible means possible to do in a way that
would likely be successful.
Technically infeasible or infeasible means not possible to do in a
way that would likely be successful.
* * * * *
0
10. Amend Sec. 257.61 by revising the introductory text of paragraph
(a) to read as follows:
Sec. 257.61 Wetlands.
(a) New CCR landfills, existing and new CCR surface impoundments,
and all lateral expansions of CCR units must not be located in
wetlands, as defined in Sec. 230.41(a) of this chapter, unless the
owner or operator demonstrates by the dates specified in paragraph (c)
of this section that the CCR unit meets the requirements of paragraphs
(a)(1) through (5) of this section.
* * * * *
0
11. Amend Sec. 257.73 by revising the introductory text of paragraph
(a) to read as follows:
Sec. 257.73 Structural integrity criteria for existing CCR surface
impoundments.
(a) The requirements of paragraphs (a)(1) through (4) of this
section apply to all existing CCR surface impoundments and legacy CCR
surface impoundments, except for those that are incised CCR surface
impoundments.
* * * * *
0
12. Add Sec. 257.75 to read as follows:
Sec. 257.75 Requirements for identifying CCR management units.
(a) Applicability. The requirements of this section apply to owners
and operators of active facilities or facilities with a legacy CCR
surface impoundment.
(b) Facility evaluation. The owner or operator of an active
facility or a facility with a legacy CCR surface impoundment must
conduct a facility evaluation to identify all CCR management units at
the facility in accordance with paragraphs (c) through (e) of this
section. At a minimum, the presence or absence of CCR management units
at the facility must be confirmed and documented through a thorough
evaluation of reasonably and readily available records that contain the
information needed to prepare the Facility Evaluation Reports Part 1
and Part 2 required by paragraphs (c) and (d) of this section. The
facility evaluation must also include a physical inspection of the
facility. Where necessary, the physical inspection must include field
investigation activities to fill data gaps, such as conducting
exploratory soil borings, geophysical assessments, or any other similar
physical investigation activities to establish the location and
boundaries of potential or likely CCR management units, and to
affirmatively rule out other areas of potential CCR placement at the
facility that were identified during the information review or physical
inspection. The facility evaluation must identify all CCR management
units at the facility regardless of when the CCR management unit came
into existence.
(c) Facility Evaluation Report Part 1. (1) No later than Monday,
February 9, 2026, the owner or operator of an active facility or a
facility with a legacy CCR surface impoundment must prepare a Facility
Evaluation Report Part 1, which shall contain, to the extent reasonably
and readily available, the information specified in paragraphs
(c)(1)(i) through (xiv) of this section. The owner or operator has
prepared the Facility Evaluation Report Part 1 when the report has been
placed in the facility's operating record as required by Sec.
257.105(f)(25).
(i) The name and address of the person(s) owning and operating the
facility; the unit name associated with each regulated CCR unit and CCR
management unit at the facility; and the identification number of each
regulated CCR unit and CCR management unit if any have been assigned by
the state or by the owner.
(ii) The location of any CCR management unit identified on the most
recent U.S. Geological Survey (USGS) 7\1/2\ minute or 15-minute
topographic quadrangle map, or a topographic map of equivalent scale if
a USGS map is not available. The location of each regulated CCR unit at
the facility must also be identified in the same manner.
(iii) A statement of the purpose(s) for which each CCR management
unit at the facility is or was used.
(iv) A description of the physical and engineering properties of
the foundation and abutment materials on which each CCR management unit
is constructed.
(v) A discussion of any known spills or releases of CCR, including
any associated remediation activities, from each CCR management unit
and whether the spills or releases were reported to state or federal
agencies.
(vi) Any record or knowledge of structural instability of each CCR
management unit.
(vii) Any record or knowledge of groundwater contamination
associated or potentially associated with each CCR management unit.
(viii) The size of each CCR management unit, including the general
lateral and vertical dimensions and an estimate of the volume of waste
contained within the unit.
(ix) Dates when each CCR management unit first received CCR and
when each CCR management unit ceased receiving CCR.
(x) Identification of all types of CCR in each CCR management unit
at the facility.
(xi) A narrative description of any closure activities that have
occurred, including any applicable engineering drawings or reports.
(xii) A narrative that documents the data reviewed as part of the
facility evaluation process, and that lists all data and information
indicating the presence or absence of CCR management units at the
facility.
(xiii) Any supporting information used to identify and evaluate CCR
management units at the facility, including but not limited to any
construction diagrams, engineering drawings, permit documents,
wastestream flow diagrams, aerial photographs, satellite images,
historical facility maps, any field or analytical data, groundwater
monitoring data or reports, inspection reports, documentation of
interviews with current or former facility workers, and other documents
used to identify and evaluate CCR management units at the facility.
(xiv) A narrative description of any data gaps for information in
paragraphs (c)(i) through (xiii) of this section, not available in
existing information collection records and a plan for remedying
identified data gaps through a physical examination of the facility,
including any field or laboratory work needed to remedy data gaps in
the Facility Evaluation Report Part 1 record. The plan must include the
major
[[Page 39102]]
milestones needed to fill the identified data gaps (e.g., a physical
examination of the facility, sampling of media, measurements of CCR
concentrations in and around the unit or physical presence, delineation
of CCR management unit(s)) and dates to complete such needed tasks.
Also, as necessary and timely, any updates to data gap remedy plans
must be added to the public record during the Facility Evaluation
Report Part 1.
(2) The owner or operator of any facility regulated under this
subpart must obtain a certification from a qualified professional
engineer stating that the Facility Evaluation Report Part 1 meets the
requirements of paragraph (c)(1) of this section.
(3) The owner or operator of any facility regulated under this
subpart must certify the Facility Evaluation Report Part 1 required by
paragraph (c)(1) of this section with the following statement signed by
the owner or operator or an authorized representative:
I certify under penalty of law that I have personally examined
and am familiar with the information submitted in this demonstration
and all attached documents, and that, based on my inquiry of those
individuals immediately responsible for obtaining the information, I
believe that the submitted information is true, accurate, and
complete. I am aware that there are significant penalties for
submitting false information, including the possibility of fine and
imprisonment.
(4) No later than Monday, February 9, 2026, the owner or operator
must notify the Agency of the establishment of a CCR website using the
procedures in Sec. 257.107(a) via the ``contact us'' form on EPA's CCR
website.
(5) The owner or operator of any facility regulated under this
subpart that does not contain any CCR management unit must submit
Facility Evaluation Report Part 1 documenting the steps taken during
the facility evaluation to determine the absence of any CCR management
unit. The Facility Evaluation Report Part 1 must include the
certifications required under paragraph (c)(3) of this section.
(d) Facility evaluation report part 2. (1) No later than Monday,
February 8, 2027, the owner or operator of an active facility or a
facility with a legacy CCR surface impoundment must prepare a facility
evaluation report part 2, which shall contain, to the extent not
provided in the Facility Evaluation Report Part 1 under paragraph (c)
of this section, the information specified in paragraphs (d)(1)(i)
through (xiii) of this section obtained from a physical evaluation of
the facility, including where necessary field sampling. The owner or
operator has prepared the facility evaluation report part 2 when the
report has been placed in the facility's operating record as required
by Sec. 257.105(f)(26).
(i) The name and address of the person(s) owning and operating the
facility; the unit name associated with each regulated CCR unit and CCR
management unit at the facility; and the identification number of each
regulated CCR unit and CCR management unit if any have been assigned by
the state or by the owner.
(ii) The location of any CCR management unit identified on the most
recent U.S. Geological Survey (USGS) 7\1/2\ minute or 15-minute
topographic quadrangle map, or a topographic map of equivalent scale if
a USGS map is not available. The location of each regulated CCR unit at
the facility must also be identified in the same manner.
(iii) A statement of the purpose(s) for which each CCR management
unit at the facility is or was used.
(iv) A description of the physical and engineering properties of
the foundation and abutment materials on which each CCR management unit
was constructed.
(v) Any further evidence of known spills or releases, including any
associated remediation activities, of CCR from each CCR management unit
and whether the spills or releases were reported to state or federal
agencies.
(vi) Any further evidence of structural instability of each CCR
management unit.
(vii) Any further evidence of groundwater contamination associated
or potentially associated with each CCR management unit.
(viii) The size of each CCR management unit, including the general
lateral and vertical dimensions and an estimate of the volume of CCR
contained within the unit.
(ix) Identification of the types of CCR in each CCR management
unit.
(x) A narrative description of any closure activities that have
occurred, including any applicable engineering drawings or reports.
(xi) A narrative that documents the nature and extent of field
oversight activities and data reviewed as part of the facility
evaluation process, and that lists all data and information that was
reviewed indicating the presence or absence of CCR management units at
the facility.
(xii) Any additional supporting information used to identify and
evaluate CCR management units at the facility, including but not
limited to any construction diagrams, engineering drawings, permit
documents, wastestream flow diagrams, aerial photographs, satellite
images, historical facility maps, any field or analytical data,
groundwater monitoring data or reports, inspection reports, and other
documents used to identify and assess CCR management units at the
facility. Additionally, as necessary and timely, any updates to the
part 1 data gap remedy plan must be added to the record during the
facility evaluation report part 2 timeframe.
(xiii) The Facility Evaluation Report Part 2 must explain how each
data gap identified in Facility Evaluation Report Part 1 was addressed.
(xiv) A description of each CCR management unit for which
regulation under this subpart is deferred for allowable reasons as
specified in Sec. 257.101(g) or (h). The owner or operator must
provide documentation in the Facility Evaluation Report Part 2 to
substantiate that the requirements Sec. 257.101(g) or (h) have been
met.
(2) The owner or operator of any facility regulated under this
subpart must obtain a certification from a qualified professional
engineer stating that the Facility Evaluation Report Part 2 meets the
requirements of paragraph (d)(1) of this section.
(3) The owner or operator of any facility regulated under this
subpart must certify the Facility Evaluation Report Part 2 required by
paragraph (d)(1) of this section with the following statement signed by
the owner or operator or an authorized representative:
I certify under penalty of law that I have personally examined
and am familiar with the information submitted in this demonstration
and all attached documents, and that, based on my inquiry of those
individuals immediately responsible for obtaining the information, I
believe that the submitted information is true, accurate, and
complete. I am aware that there are significant penalties for
submitting false information, including the possibility of fine and
imprisonment.
(4) The owner or operator of any facility regulated under this
subpart that does not contain any CCR management unit must submit
Facility Evaluation Report Part 2 documenting the steps taken during
the facility evaluation to determine the absence of any CCR management
unit. The Facility Evaluation Report Part 2 must include the
certifications required under paragraph (d)(3) of this section.
(e) The owner or operator of the facility must comply with the
recordkeeping requirements specified in Sec. 257.105(f), the
notification requirements specified in Sec. 257.106(f), and the
internet requirements specified in Sec. 257.107(f).
[[Page 39103]]
0
13. Amend Sec. 257.80 by revising paragraphs (a) and (b)(6) to read as
follows:
Sec. 257.80 Air criteria.
(a) The owner or operator of a CCR unit must adopt measures that
will effectively minimize CCR from becoming airborne at the facility,
including CCR fugitive dust originating from CCR units, roads, and
other CCR management and material handling activities.
(b) * * *
(6) Amendment of the plan. The owner or operator subject to the
requirements of this section may amend the written CCR fugitive dust
control plan at any time provided the revised plan is placed in the
facility's operating record as required by Sec. 257.105(g)(1). The
owner or operator must amend the written plan no later than 30 days
whenever there is a change in conditions that would substantially
affect the written plan in effect, such as the construction and
operation of a new CCR unit.
* * * * *
0
14. Amend Sec. 257.82 by revising the introductory text of paragraph
(a) to read as follows:
Sec. 257.82 Hydrologic and hydraulic capacity requirements for CCR
surface impoundments.
(a) The owner or operator of an existing or new CCR surface
impoundment, legacy CCR surface impoundment, or any lateral expansion
of a CCR surface impoundment must design, construct, operate, and
maintain an inflow design flood control system as specified in
paragraphs (a)(1) and (2) of this section.
* * * * *
0
15. Amend Sec. 257.83 by revising the introductory text of paragraphs
(a)(1) and (b)(1) to read as follows:
Sec. 257.83 Inspection requirements for CCR surface impoundments.
(a) * * *
(1) All CCR surface impoundments, including legacy CCR surface
impoundments, and any lateral expansion of a CCR surface impoundment
must be examined by a qualified person as follows:
* * * * *
(b) * * *
(1) If the existing or new CCR surface impoundment or any lateral
expansion of the CCR surface impoundment or legacy CCR surface
impoundments is subject to the periodic structural stability assessment
requirements under Sec. 257.73(d) or Sec. 257.74(d), the CCR unit
must additionally be inspected on a periodic basis by a qualified
professional engineer to ensure that the design, construction,
operation, and maintenance of the CCR unit is consistent with
recognized and generally accepted good engineering standards. The
inspection must, at a minimum, include:
* * * * *
0
16. Revise and republish Sec. 257.90 to read as follows:
Sec. 257.90 Applicability.
(a) Applicability. All CCR units are subject to the groundwater
monitoring and corrective action requirements under Sec. Sec. 257.90
through 257.98, except as provided in paragraph (g) of this section.
(b) Initial timeframes--(1) Existing CCR landfills and existing CCR
surface impoundments. No later than October 17, 2017, the owner or
operator of the CCR unit must be in compliance with the following
groundwater monitoring requirements:
(i) Install the groundwater monitoring system as required by Sec.
257.91;
(ii) Develop the groundwater sampling and analysis program to
include selection of the statistical procedures to be used for
evaluating groundwater monitoring data as required by Sec. 257.93;
(iii) Initiate the detection monitoring program to include
obtaining a minimum of eight independent samples for each background
and downgradient well as required by Sec. 257.94(b); and
(iv) Begin evaluating the groundwater monitoring data for
statistically significant increases over background levels for the
constituents listed in appendix III of this part as required by Sec.
257.94.
(2) New CCR landfills, new CCR surface impoundments, and all
lateral expansions of CCR units. Prior to initial receipt of CCR by the
CCR unit, the owner or operator must be in compliance with the
groundwater monitoring requirements specified in paragraph (b)(1)(i)
and (ii) of this section. In addition, the owner or operator of the CCR
unit must initiate the detection monitoring program to include
obtaining a minimum of eight independent samples for each background
well as required by Sec. 257.94(b).
(3) CCR management units. No later than Monday, May 8, 2028, the
owner or operator of the CCR management unit must be in compliance with
the following groundwater monitoring requirements:
(i) Install the groundwater monitoring system as required by Sec.
257.91.
(ii) Develop the groundwater sampling and analysis program to
include selection of the statistical procedures to be used for
evaluating groundwater monitoring data as required by Sec. 257.93.
(iii) Initiate the detection monitoring program to include
obtaining a minimum of eight independent samples for each background
and downgradient well, as required by Sec. 257.94(b).
(iv) Begin evaluating the groundwater monitoring data for
statistically significant increases over background levels for the
constituents listed in appendix III of this part, as required by Sec.
257.94.
(v) Begin evaluating the groundwater monitoring data for
statistically significant levels over groundwater protection standards
for the constituents listed in appendix IV of this part as required by
Sec. 257.95.
(c) Requirement to conduct groundwater monitoring and corrective
action. Once a groundwater monitoring system and groundwater monitoring
program has been established at the CCR unit as required by this
subpart, the owner or operator must conduct groundwater monitoring and,
if necessary, corrective action throughout the active life and post-
closure care period of the CCR unit.
(d) Responding to a release from a CCR unit. In the event of a
release from a CCR unit, the owner or operator must immediately take
all necessary measures to control the source(s) of releases so as to
reduce or eliminate, to the maximum extent feasible, further releases
of contaminants into the environment. The owner or operator of the CCR
unit must comply with all applicable requirements in Sec. Sec. 257.96,
257.97, and 257.98.
(e) Annual groundwater monitoring and corrective action report. For
existing CCR landfills and existing CCR surface impoundments, no later
than January 31, 2018, and annually thereafter, the owner or operator
must prepare an annual groundwater monitoring and corrective action
report. For new CCR landfills, new CCR surface impoundments, and all
lateral expansions of CCR units, the owner or operator must prepare the
initial annual groundwater monitoring and corrective action report no
later than January 31 of the year following the calendar year a
groundwater monitoring system has been established for such CCR unit as
required by this subpart, and annually thereafter. For CCR management
units, the owner or operator must prepare the initial annual
groundwater monitoring and corrective action report no later than
January 31, 2029, and annually thereafter. For the preceding calendar
[[Page 39104]]
year, the annual report must document the status of the groundwater
monitoring and corrective action program for the CCR unit, summarize
key actions completed, describe any problems encountered, discuss
actions to resolve the problems, and project key activities for the
upcoming year. For purposes of this section, the owner or operator has
prepared the annual report when the report is placed in the facility's
operating record as required by Sec. 257.105(h)(1). At a minimum, the
annual groundwater monitoring and corrective action report must contain
the following information, to the extent available:
(1) A map, aerial image, or diagram showing the CCR unit and all
background (or upgradient) and downgradient monitoring wells, to
include the well identification numbers, that are part of the
groundwater monitoring program for the CCR unit;
(2) Identification of any monitoring wells that were installed or
decommissioned during the preceding year, along with a narrative
description of why those actions were taken;
(3) In addition to all the monitoring data obtained under
Sec. Sec. 257.90 through 257.98, a summary including the number of
groundwater samples that were collected for analysis for each
background and downgradient well, the dates the samples were collected,
and whether the sample was required by the detection monitoring or
assessment monitoring programs;
(4) A narrative discussion of any transition between monitoring
programs (e.g., the date and circumstances for transitioning from
detection monitoring to assessment monitoring in addition to
identifying the constituent(s) detected at a statistically significant
increase over background levels); and
(5) Other information required to be included in the annual report
as specified in Sec. Sec. 257.90 through 257.98.
(6) A section at the beginning of the annual report that provides
an overview of the current status of groundwater monitoring and
corrective action programs for the CCR unit. At a minimum, the summary
must specify all of the following:
(i) At the start of the current annual reporting period, whether
the CCR unit was operating under the detection monitoring program in
Sec. 257.94 or the assessment monitoring program in Sec. 257.95;
(ii) At the end of the current annual reporting period, whether the
CCR unit was operating under the detection monitoring program in Sec.
257.94 or the assessment monitoring program in Sec. 257.95;
(iii) If it was determined that there was a statistically
significant increase over background for one or more constituents
listed in appendix III to this part pursuant to Sec. 257.94(e):
(A) Identify those constituents listed in appendix III to this part
and the names of the monitoring wells associated with such an increase;
and
(B) Provide the date when the assessment monitoring program was
initiated for the CCR unit.
(iv) If it was determined that there was a statistically
significant level above the groundwater protection standard for one or
more constituents listed in appendix IV to this part pursuant to Sec.
257.95(g) include all of the following:
(A) Identify those constituents listed in appendix IV to this part
and the names of the monitoring wells associated with such an increase;
(B) Provide the date when the assessment of corrective measures was
initiated for the CCR unit;
(C) Provide the date when the public meeting was held for the
assessment of corrective measures for the CCR unit; and
(D) Provide the date when the assessment of corrective measures was
completed for the CCR unit.
(v) Whether a remedy was selected pursuant to Sec. 257.97 during
the current annual reporting period, and if so, the date of remedy
selection; and
(vi) Whether remedial activities were initiated or are ongoing
pursuant to Sec. 257.98 during the current annual reporting period.
(f) Recordkeeping, notification, and internet requirements. The
owner or operator of the CCR unit must comply with the recordkeeping
requirements specified in Sec. 257.105(h), the notification
requirements specified in Sec. 257.106(h), and the internet
requirements specified in Sec. 257.107(h).
(g) Suspension of groundwater monitoring requirements.(1) The
Participating State Director or EPA where EPA is the permitting
authority may suspend the groundwater monitoring requirements under
Sec. Sec. 257.90 through 257.95 for a CCR unit for a period of up to
ten years, if the owner or operator provides written documentation
that, based on the characteristics of the site in which the CCR unit is
located, there is no potential for migration of any of the constituents
listed in appendices III and IV to this part from that CCR unit to the
uppermost aquifer during the active life of the CCR unit and the post-
closure care period. This demonstration must be certified by a
qualified professional engineer and approved by the Participating State
Director or EPA where EPA is the permitting authority, and must be
based upon:
(i) Site-specific field collected measurements, sampling, and
analysis of physical, chemical, and biological processes affecting
contaminant fate and transport, including at a minimum, the information
necessary to evaluate or interpret the effects of the following
properties or processes on contaminant fate and transport:
(A) Aquifer Characteristics, including hydraulic conductivity,
hydraulic gradient, effective porosity, aquifer thickness, degree of
saturation, stratigraphy, degree of fracturing and secondary porosity
of soils and bedrock, aquifer heterogeneity, groundwater discharge, and
groundwater recharge areas;
(B) Waste Characteristics, including quantity, type, and origin;
(C) Climatic Conditions, including annual precipitation, leachate
generation estimates, and effects on leachate quality;
(D) Leachate Characteristics, including leachate composition,
solubility, density, the presence of immiscible constituents, Eh, and
pH; and
(E) Engineered Controls, including liners, cover systems, and
aquifer controls (e.g., lowering the water table). These must be
evaluated under design and failure conditions to estimate their long-
term residual performance.
(ii) Contaminant fate and transport predictions that maximize
contaminant migration and consider impacts on human health and the
environment.
(2) The owner or operator of the CCR unit may renew this suspension
for additional ten year periods by submitting written documentation
that the site characteristics continue to ensure there will be no
potential for migration of any of the constituents listed in Appendices
III and IV of this part. The documentation must include, at a minimum,
the information specified in paragraphs (g)(1)(i) and (ii) of this
section and a certification by a qualified professional engineer and
approved by the State Director or EPA where EPA is the permitting
authority. The owner or operator must submit the documentation
supporting their renewal request for the state's or EPA's review and
approval of their extension one year before the groundwater monitoring
suspension is due to expire. If the existing groundwater monitoring
extension expires or is not approved, the owner or operator must begin
groundwater monitoring according to paragraph (a) of this section
within 90 days. The owner or operator may continue to renew the
suspension for
[[Page 39105]]
ten-year periods, provided the owner or operator demonstrate that the
standard in paragraph (g)(1) of this section continues to be met for
the unit. The owner or operator must place each completed demonstration
in the facility's operating record.
(3) The owner or operator of the CCR unit must include in the
annual groundwater monitoring and corrective action report required by
Sec. 257.90(e) or Sec. 257.100(e)(5)(ii) any approved no migration
demonstration.
0
17. Amend Sec. 257.95 by revising paragraph (b) to read as follows:
Sec. 257.95 Assessment monitoring program.
* * * * *
(b) (1) Within 90 days of triggering an assessment monitoring
program, and annually thereafter:
(i) Except as provided by paragraph (b)(1)(ii) of this section, the
owner or operator of the CCR unit must sample and analyze the
groundwater for all constituents listed in appendix IV to this part.
(ii) The owner or operator of a CCR management unit must sample and
analyze the groundwater for all constituents listed in appendix IV to
this part no later than Monday, May 8, 2028.
(2) The number of samples collected and analyzed for each well
during each sampling event must be consistent with Sec. 257.93(e), and
must account for any unique characteristics of the site, but must be at
least one sample from each well.
* * * * *
0
18. Revise and republish Sec. 257.100 to read as follows:
Sec. 257.100 Inactive CCR surface impoundments and Legacy CCR surface
impoundments.
(a) General. (1) Inactive CCR surface impoundments are subject to
all of the requirements of this subpart applicable to existing CCR
surface impoundments, except that an active electric utility or
independent power producer that generates electricity without the use
of fuel is subject to the compliance deadlines applicable to legacy CCR
surface impoundments, provided the facility has not generated
electricity using fuels on or after October 19, 2015.
(2) Legacy CCR surface impoundments are subject to all of the
requirements of this subpart applicable to existing CCR surface
impoundments, except for the requirements in Sec. Sec. 257.60 through
257.64 and 257.71.(b) through (d) [Reserved]
(e) Timeframes for certain inactive CCR surface impoundments. (1)
An inactive CCR surface impoundment for which the owner or operator has
completed the actions by the deadlines specified in paragraphs
(e)(1)(i) through (iii) of this section is eligible for the alternative
timeframes specified in paragraphs (e)(2) through (6) of this section.
The owner or operator of the CCR unit must comply with the applicable
recordkeeping, notification, and internet requirements associated with
these provisions. For the inactive CCR surface impoundment:
(i) The owner or operator must have prepared and placed in the
facility's operating record by December 17, 2015, a notification of
intent to initiate closure of the inactive CCR surface impoundment
pursuant to Sec. 257.105(i)(1);
(ii) The owner or operator must have provided notification to the
State Director and/or appropriate Tribal authority by January 19, 2016,
of the intent to initiate closure of the inactive CCR surface
impoundment pursuant to Sec. 257.106(i)(1); and
(iii) The owner or operator must have placed on its CCR website by
January 19, 2016, the notification of intent to initiate closure of the
inactive CCR surface impoundment pursuant to Sec. 257.107(i)(1).
(2) Location restrictions. (i) No later than April 16, 2020, the
owner or operator of the inactive CCR surface impoundment must:
(A) Complete the demonstration for placement above the uppermost
aquifer as set forth by Sec. 257.60(a), (b), and (c)(3);
(B) Complete the demonstration for wetlands as set forth by Sec.
257.61(a), (b), and (c)(3);
(C) Complete the demonstration for fault areas as set forth by
Sec. 257.62(a), (b), and (c)(3);
(D) Complete the demonstration for seismic impact zones as set
forth by Sec. 257.63(a), (b), and (c)(3); and
(E) Complete the demonstration for unstable areas as set forth by
Sec. 257.64(a), (b), (c), and (d)(3).
(ii) An owner or operator of an inactive CCR surface impoundment
who fails to demonstrate compliance with the requirements of paragraph
(e)(2)(i) of this section is subject to the closure requirements of
Sec. 257.101(b)(1).
(3) Design criteria. The owner or operator of the inactive CCR
surface impoundment must:
(i) No later than April 17, 2018, complete the documentation of
liner type as set forth by Sec. 257.71(a) and (b).
(ii) No later than June 16, 2017, place on or immediately adjacent
to the CCR unit the permanent identification marker as set forth by
Sec. 257.73(a)(1).
(iii) No later than October 16, 2018, prepare and maintain an
Emergency Action Plan as set forth by Sec. 257.73(a)(3).
(iv) No later than April 17, 2018, compile a history of
construction as set forth by Sec. 257.73(b) and (c).
(v) No later than April 17, 2018, complete the initial hazard
potential classification, structural stability, and safety factor
assessments as set forth by Sec. 257.73(a)(2), (b), (d), (e), and (f).
(4) Operating criteria. The owner or operator of the inactive CCR
surface impoundment must:
(i) No later than April 18, 2017, prepare the initial CCR fugitive
dust control plan as set forth in Sec. 257.80(b).
(ii) No later than April 17, 2018, prepare the initial inflow
design flood control system plan as set forth in Sec. 257.82(c).
(iii) No later than April 18, 2017, initiate the inspections by a
qualified person as set forth by Sec. 257.83(a).
(iv) No later than July 19, 2017, complete the initial annual
inspection by a qualified professional engineer as set forth by Sec.
257.83(b).
(5) Groundwater monitoring and corrective action. The owner or
operator of the inactive CCR surface impoundment must:
(i) No later than April 17, 2019, comply with groundwater
monitoring requirements set forth in Sec. Sec. 257.90(b) and
257.94(b); and
(ii) No later than August 1, 2019, prepare the initial groundwater
monitoring and corrective action report as set forth in Sec.
257.90(e).
(6) Closure and post-closure care. The owner or operator of the
inactive CCR surface impoundment must:
(i) No later than April 17, 2018, prepare an initial written
closure plan as set forth in Sec. 257.102(b); and
(ii) No later than April 17, 2018, prepare an initial written post-
closure care plan as set forth in Sec. 257.104(d).
(f) Timeframes for legacy CCR surface impoundments. Owners and
operators of legacy CCR surface impoundments are subject to the
requirements of paragraphs (f)(1) through (5) of this section, except
as provided in paragraphs (g) through (i) of this section.
(1) Legacy CCR surface impoundment applicability report. (i) Except
as provided in paragraph (f)(1)(iii) of this section, owners and
operators of legacy CCR surface impoundments must prepare a report for
each legacy CCR surface impoundment no later than Friday, November 8,
2024. The owner or operator has prepared the applicability report when
the report has been placed in the facility's operating record as
required by Sec. 257.105(k)(1). At a minimum, the report for each
legacy
[[Page 39106]]
CCR surface impoundment must contain:
(A) The name and address of the person(s) owning and operating the
legacy CCR surface impoundment with their business phone number and
email address.
(B) The name associated with the legacy CCR surface impoundment.
(C) Information to identify the legacy CCR surface impoundment,
including a figure of the facility and where the unit is located at the
facility, facility address, and the latitude and longitude of the
facility.
(D) The identification number of the legacy CCR surface impoundment
if one has been assigned by the state. (E) A description of the current
site conditions, including the current use of the inactive facility.
(ii) (A) The owner or operator of any legacy CCR surface
impoundment must certify the applicability report required by paragraph
(f)(1)(i) of this section with the following statement signed by the
owner or operator or an authorized representative:
I certify under penalty of law that I have personally examined
and am familiar with the information submitted in this demonstration
and all attached documents, and that, based on my inquiry of those
individuals immediately responsible for obtaining the information, I
believe that the submitted information is true, accurate, and
complete. I am aware that there are significant penalties for
submitting false information, including the possibility of fine and
imprisonment.
(B) The owner or operator must notify the Agency of the
establishment of the facility's CCR website and the applicability of
the rule, using the procedures in Sec. 257.107(a) via the ``contact
us'' form on EPA's CCR website.
(iii) (A) Notwithstanding the deadline to complete the
applicability report under paragraph (f)(1)(i) of this section, an
owner or operator may secure additional time to complete the report for
the sole reason of determining through a field investigation whether
the unit contains both CCR and liquids. The amount of additional time
that can be secured is limited as specified in paragraph (f)(1)(iii)(B)
of this section. For owners and operators following the procedures of
this paragraph (f)(1)(iii), the compliance timeframes for the
requirements specified under paragraphs (f)(2) through (5) of this
section are adjusted by the length of the extension(s) justified under
this paragraph (f)(1)(iii). To qualify for additional time, the owner
or operator must prepare an applicability extension report consisting
of the following:
(1) The information specified in paragraph (f)(1)(i)(A) through (C)
of this section;
(2) A statement by the owner or operator that to the best of their
knowledge or belief, existing and available information does not
provide a sufficient basis to determine that the unit contained free
liquids on or after October 19, 2015; and
(3) The details of a written field investigation work plan,
including of the following:
(i) A detailed description of the approach to characterize the
physical, topographic, geologic, hydrogeologic, and hydraulic
properties of the CCR in the unit and native geologic materials beneath
and surrounding the unit, and how those properties will be used to
investigate for the presence of free liquids in the CCR unit.
(ii) A detailed description of the methods and tools that will be
employed to determine whether the unit contains free liquids, the
rationale for choosing these methods and tools, how these methods and
tools will be implemented, and at what level of spatial resolution at
the CCR unit to identify and monitor for the presence of free liquids.
(iii) A detailed description of how groundwater elevations will be
determined, and at what level of spatial resolution, in relation to the
sides and bottom of the CCR unit and how any intersection of the
groundwater table with the CCR unit will be evaluated, and at what
level of spatial resolution.
(iv) A plan for evaluating stormwater flow over the surface of the
unit, stormwater drainage from the unit, and stormwater infiltration
into the unit and how those processes may result in the formation of
free liquids in the CCR unit. This plan must include a current
topographic map showing surface water flow and any pertinent natural or
man-made features present relevant to stormwater drainage, infiltration
and related processes.
(v) An estimated timeline to complete the workplan and make a
determination if the CCR unit contains free liquids.
(vi) A narrative discussion of how the results from implementing
the workplan will determine whether the unit contains free liquids
specified.
(vii) A narrative discussion describing any anticipated problems
that may be encountered during implementation of the workplan and what
actions will be taken to resolve the problems, and anticipated
timeframes necessary for such a contingency.
(viii) The owner or operator of the CCR unit must obtain a written
certification from a qualified professional engineer stating that the
field investigation work plan meets the requirements of paragraph
(f)(1)(iii)(A)(3) of this section.
(B) The maximum amount of additional time that can be secured under
paragraph (f)(1)(iii) of this section is 18 months, secured in 6-month
increments, provided each 6-month increment is supported by an
applicability extension report.
(C) Owners and operator must prepare the initial applicability
extension report no later than Friday, November 8, 2024. Subsequent
applicability extension reports must be prepared no later than 6 months
after completing the preceding applicability extension report. The
owner or operator has prepared the applicability extension report when
the report is placed in the facility's operating record as required by
Sec. 257.105(k)(2).
(D) No later than Friday, November 8, 2024, the owner or operator
must notify the Agency of the establishment of a CCR website using the
procedures in Sec. 257.107(a) via the ``contact us'' form on EPA's CCR
website.
(E) If the owner or operator determines that the unit contains free
liquids during implementation of the written field investigation
workplan, the owner or operator must cease operating under these
extension provisions and prepare the applicability report required by
paragraph (f)(1) of this section within 14 days of determining that the
unit contains free liquids. The owner or operator must comply with the
requirements specified under paragraphs (f)(2) through (5) of this
section under new timeframes. The new timeframes are determined by
adding the total length of the extension(s) justified under paragraph
(f)(1)(iii) of this section to each of the deadlines specified under
paragraphs (f)(2) through (5) of this section.
(F) If the owner or operator determines that the unit does not
contain both CCR and liquids during implementation of the written field
investigation work plan, the owner or operator must prepare a
notification stating that the field investigation has concluded and
that the owner or operator has determined that the unit does not
contain both CCR and liquids and does not meet the definition of a
legacy CCR surface impoundment. The owner or operator has prepared the
notification when the report is placed in the facility's operating
record as required by Sec. 257.105(k)(3).
(G) If the owner or operator does not complete the field
investigation work within the timeframes specified in paragraph
(f)(1)(iii)(B) of this section,
[[Page 39107]]
the unit shall be considered a legacy CCR surface impoundment and must
comply with the requirements under paragraphs (f)(2) through (5) of
this section pursuant to the timeframes specified under paragraph
(f)(1)(iii)(E) of this section.
(2) Design criteria. The owner or operator of a legacy CCR surface
impoundment must:
(i) Except for legacy CCR surface impoundments that are incised, no
later than Wednesday, January 8, 2025, place on or immediately adjacent
to the CCR unit the permanent identification marker as set forth by
Sec. 257.73(a)(1).
(ii) Except for legacy CCR surface impoundments that do not exceed
the height and/or storage volume thresholds under Sec. 257.73(b), no
later than Monday, February 9, 2026, compile a history of construction
as set forth by Sec. 257.73(c).
(iii) Except for legacy CCR surface impoundments that are incised,
no later than Friday, May 8, 2026, complete the initial hazard
potential classification assessment as set forth by Sec. 257.73(a)(2)
and (f).
(iv) Except for legacy CCR surface impoundments that do not exceed
the height and/or storage volume thresholds under Sec. 257.73(b), no
later than Friday, May 8, 2026, complete the structural stability and
safety factor assessments as set forth by Sec. 257.73(d), (e), and
(f).
(v) Except for legacy CCR surface impoundments that are incised, no
later than Friday, May 8, 2026, prepare and maintain an Emergency
Action Plan as set forth by Sec. 257.73(a)(3).
(3) Operating criteria. The owner or operator of the legacy CCR
surface impoundment must:
(i) No later than Friday, November 8, 2024, prepare the initial CCR
fugitive dust control plan as set forth in Sec. 257.80(b).
(ii) No later than Friday, November 8, 2024, prevent the unknowing
entry, and minimize the possibility for the unauthorized entry, of
persons or livestock onto the legacy CCR surface impoundment.
(iii) No later than Friday, November 8, 2024, initiate the
inspections by a qualified person as set forth by Sec. 257.83(a).
(iv) No later than Monday, February 10, 2025, complete the initial
annual inspection by a qualified professional engineer as set forth by
Sec. 257.83(b).
(v) No later than Friday, May 8, 2026, prepare the initial inflow
design flood control system plan as set forth in Sec. 257.82(c).
(vi) No later than Thursday, January 8, 2026, prepare the initial
annual fugitive dust control report as set forth in Sec. 257.80(c).
(4) Groundwater monitoring and corrective action. No later than
Monday, May 10, 2027, the owner or operator of the legacy CCR surface
impoundment must:
(i) Install the groundwater monitoring system as required by Sec.
257.91.
(ii) Develop the groundwater sampling and analysis program,
including the selection of the statistical procedures, that will be
used for evaluating groundwater monitoring data as required by Sec.
257.93.
(iii) Be in compliance with the following groundwater monitoring
requirements:
(A) Initiate the detection monitoring program to include obtaining
a minimum of eight independent samples for each background and
downgradient well, as required by Sec. 257.94(b).
(B) Begin evaluating the groundwater monitoring data for
statistically significant increases over background levels for the
constituents listed in appendix III of this part, as required by Sec.
257.94.
(C) Begin evaluating the groundwater monitoring data for
statistically significant levels over groundwater protection standards
for the constituents listed in appendix IV of this part as required by
Sec. 257.95.
(iv) No later than January 31, 2027, prepare the initial
groundwater monitoring and corrective action report as set forth in
Sec. 257.90(e).
(5) Closure and post-closure care. Except as provided in Sec.
257.102(g), the owner or operator of the legacy CCR surface impoundment
must:
(i) No later than Monday, November 8, 2027, prepare an initial
written closure plan as set forth in Sec. 257.102(b); and
(ii) No later than Monday, November 8, 2027, prepare an initial
written post-closure care plan as set forth in Sec. 257.104(d).
(g) For owners and operators of legacy CCR surface impoundments
that completed closure of the CCR unit by removal of waste prior to
Friday, November 8, 2024, no later than Friday, November 8, 2024,
complete a closure certification that includes the following supporting
information:
(1) The type and volume of CCR and all other materials in the unit
prior to closure;
(2) The methods used to verify complete removal of all CCR and
other contaminated materials from the unit, including any post-removal
sampling and analysis;
(3) Documentation that all CCR and other contaminated materials
were removed from the unit, including, the results of any post-removal
sampling and analysis that was conducted;
(4) The methods used to verify complete decontamination of all
areas affected by releases from the unit, including but not limited to
post-decontamination sampling and analysis;
(5) Documentation that all areas affected by releases from the unit
were decontaminated and that all groundwater affected by releases has
achieved groundwater protection standards; and
(6) Document that groundwater monitoring concentrations do not
exceed the groundwater protection standards established pursuant to
Sec. 257.95(h) for constituents listed in appendix IV to this part.
The documentation must also include a demonstration that the
groundwater monitoring system has met all of the following:
(i) Was capable of accurately representing background water quality
unaffected by a CCR unit;
(ii) Was capable of accurately representing the quality of water
passing the waste boundary of the unit;
(iii) Was capable of detecting contamination in the uppermost
aquifer;
(iv) Monitored all potential contaminant pathways;
(v) Established groundwater background concentrations for appendix
IV constituents and compared samples to those background
concentrations;
(vi) Monitoring wells must have been cased in a manner that
maintains the integrity of the monitoring well borehole. This casing
must have been screened or perforated and packed with gravel or sand,
where necessary, to enable collection of groundwater samples. The
annular space (i.e., the space between the borehole and well casing)
above the sampling depth must have been sealed to prevent contamination
of samples and the groundwater; and
(vii) The last groundwater monitoring sample used to document that
the standard in paragraph (g)(3) of this section has been met must have
been collected no earlier than one year prior to the initiation of
closure.
(h) If the owner or operator of a legacy CCR surface impoundment is
unable to complete the closure by removal certification by the date
listed in paragraph (f)(1)(i) of this section, they may elect to
conduct groundwater monitoring in accordance with Sec. Sec. 257.90
through 257.95 to demonstrate there are no exceedances of the
groundwater protection standards. If the owner or operator meets all
the requirements of paragraph (h)(1) of this
[[Page 39108]]
section, no further requirements under this subpart apply. If the owner
or operator does not meet the requirements of paragraph (h)(1) of this
section by Monday, May 8, 2028 or if one or more constituents in
appendix IV to this part are detected at statistically significant
levels above the groundwater protection standard established under
Sec. 257.95(h), they must proceed in accordance with paragraph (h)(2)
of this section.
(1) In order to comply with this paragraph (h)(1), the owner or
operator must complete all of the following:
(i) Prepare a notification of intent to certify closure no later
than Friday, November 8, 2024. The owner or operator has prepared the
notification when the report is placed in the facility's operating
record as required by Sec. 257.105(k)(4).
(ii) Conduct groundwater monitoring in accordance with Sec. Sec.
257.90-257.95 for at least two consecutive sampling events to
demonstrate that all constituents in appendix IV of this part have
concentrations that do not exceed the groundwater protection standards
listed in Sec. 257.95(h).
(iii) Complete a closure by removal certification documenting
compliance with paragraphs (g)(1) through (5) and (h)(1)(ii) of this
section no later than Monday, May 8, 2028.
(2) If the owner or operator does not meet the requirements of
paragraph (h)(1) of this section (e.g., by the date or they detect an
SSL of an appendix IV constituent), they must comply with all of the
following:
(i) If a statistically significant level is detected, the
corrective action provisions and proceed in accordance with Sec.
257.102(c)(2).
(ii) The permanent marker requirements in Sec. 257.73(a)(1) no
later than 8 months from the date they became subject to this
requirement.
(iii) The applicability report requirements of paragraph (f)(1)(i)
of this section no later than 6 months from the date they became
subject to this requirement.
(iv) The facility evaluation provisions for CCR management units
under Sec. 257.75 no later than 33 months from the date they became
subject to this requirement.
(v) If any CCR management unit is discovered after completing the
facility evaluation report, the fugitive dust requirements of Sec.
257.80(b) no later than 6 months from the date of the facility
evaluation report.
(vi) The groundwater monitoring requirements for CCR management
units under Sec. 257.90(b)(3)(i) through (iv) no later than 48 months
from the date they became subject to this requirement.
(vii) The requirement to prepare an initial written closure plan
for CCR management units consistent with the requirements specified in
Sec. 257.102(b)(1) no later than 54 months from the date they became
subject to this requirement.
(viii) The requirement to prepare an initial post-closure plan for
CCR management units consistent with the requirements specified in
Sec. 257.104(d)(2)(iii) no later than 54 months from the date they
became subject to this requirement.
(ix) The requirement to initiate the closure of CCR management
units in accordance with the requirements of Sec. 257.102 no later
than 60 months from the date they became subject to this requirement.
(i) Owners and operators of legacy CCR surface impoundments that
completed closure of the unit in accordance with Sec. 257.102(d) or
that meet the requirements in Sec. 257.101(g) prior to Friday,
November 8, 2024 must only:
(1) Prepare the applicability report as set forth by Sec.
257.100(f)(1);
(2) Prevent the unknowing entry, and minimize the possibility for
the unauthorized entry, of persons or livestock onto the legacy CCR
surface impoundment as set forth in Sec. 257.100(f)(3)(ii);
(3) Place on or immediately adjacent to the unit the permanent
identification marker as set forth by Sec. 257.73(a)(1);
(4) Compile a history of construction as set forth by Sec.
257.73(c);
(5) Prepare the initial CCR fugitive dust control plan as set forth
in Sec. 257.80(b);
(6) Prepare the initial annual fugitive dust control report as set
forth in Sec. 257.80(c);
(7) (i) Install the groundwater monitoring system as required by
Sec. 257.91;
(ii) Develop the groundwater sampling and analysis program,
including the selection of the statistical procedures, that will be
used for evaluating groundwater monitoring data as required by Sec.
257.93;
(iii) Be in compliance with the following groundwater monitoring
requirements:
(A) Initiate the detection monitoring program to include obtaining
a minimum of eight independent samples for each background and
downgradient well, as required by Sec. 257.94(b);
(B) Begin evaluating the groundwater monitoring data for
statistically significant increases over background levels for the
constituents listed in appendix III of this part, as required by Sec.
257.94;
(C) Begin evaluating the groundwater monitoring data for
statistically significant levels over groundwater protection standards
for the constituents listed in appendix IV of this part as required by
Sec. 257.95;
(8) Include in the applicability report specified in Sec.
257.100(f)(1) information on the completed closure, along with
supporting documentation to demonstrate that the closure meets the
performance standards in Sec. 257.102(d) or the standards specified in
Sec. 257.101(g);
(9) Prepare an initial written post-closure care plan as set forth
in Sec. 257.104(d);
(10) Conduct post-closure care as set forth in Sec. 257.104(b);
and
(11) Comply with applicable recordkeeping, notification, and
website posting requirements as set forth by Sec. Sec. 257.105 through
257.107.
(j) The owner or operator of the legacy CCR surface impoundment
must comply with the recordkeeping requirements specified in Sec.
257.105(k), the notification requirements specified in Sec.
257.106(k), and the internet requirements specified in Sec.
257.107(k).
0
19. Amend Sec. 257.101 by adding paragraphs (e), (f), (g) and (h) to
read as follows:
Sec. 257.101 Closure or retrofit of CCR units.
* * * * *
(e) Except as provided in paragraph (g) of this section, the owner
or operator of a legacy CCR surface impoundment is subject to the
requirements of paragraphs (e)(1) and (2) of this section.
(1) No later than Monday, May 8, 2028, an owner or operator of a
legacy CCR surface impoundment must initiate the closure of the legacy
CCR surface impoundment in accordance with the requirements of Sec.
257.102.
(2) An owner or operator of a legacy CCR surface impoundment that
closes in accordance with paragraph (e)(1) of this section must include
a statement in the notification required under Sec. 257.102(g) that
the legacy CCR surface impoundment is closing under the requirement of
paragraph (e)(1) of this section.
(f) Except as provided in paragraphs (g) and (h) of this section,
the owner or operator of a CCR management unit must comply with the
requirements of paragraphs (f)(1) and (2) of this section.
(1) No later than Tuesday, May 8, 2029, an owner or operator of a
CCR management unit must initiate the closure of the CCR management
unit in accordance with the requirements of Sec. 257.102.
(2) An owner or operator of a CCR management unit that closes in
[[Page 39109]]
accordance with paragraph (f)(1) of this section must include a
statement in the notification required under Sec. 257.102(g) that the
CCR management unit is closing under the requirements of paragraph
(f)(1) of this section.
(g) Deferral to permitting for closures conducted under
substantially equivalent regulatory authority. Notwithstanding the
provisions of paragraphs (e) and (f) of this section, the owner or
operator of a CCR management unit or a legacy CCR surface impoundment
need not demonstrate compliance with the performance standards in Sec.
257.102(c) or (d) provided they demonstrate that the closure of the CCR
unit met the standards specified in paragraphs (g)(1) through (g)(6) of
this section.
(1) The owner or operator of the CCR unit must document that a
regulatory authority played an active role in overseeing and approving
the closure and any necessary corrective action, pursuant to an
enforceable requirement. This includes a State or Federal permit, an
administrative order, or consent order issued after 2015 under CERCLA
or by an EPA-approved RCRA State program.
(2) The owner or operator of the CCR unit must document that the
regulatory authority required or conducted a site-specific risk
assessment prior to (or as part of) approving the closure and any
necessary corrective action.
(3) The owner or operator of the CCR unit must document that it
installed a groundwater monitoring system and performed groundwater
monitoring that meets all of the following:
(i) Was capable of accurately representing background water
quality;
(ii) Was capable of accurately representing the quality of water
passing the waste boundary;
(iii) Was capable of detecting contamination in the uppermost
aquifer; and
(iv) Monitored all potential contaminant pathways.
(4) Must document that the closed unit meets either:
(i) The performance standard in Sec. 257.60; or
(ii) The performance standard in Sec. 257.102(d)(2)(i).
(5) The owner or operator must include the following statement,
signed by the owner or operator or an authorized representative, in the
facility evaluation report for CCR management units specified in Sec.
257.75 or applicability report for legacy CCR surface impoundments
specified in Sec. 257.100(f)(1) along with all information required by
paragraphs (g)(1) through (4) of the section:
I certify under penalty of law that I have personally examined
and am familiar with the information submitted in this demonstration
and all attached documents, and that, based on my inquiry of those
individuals immediately responsible for obtaining the information, I
believe that the submitted information is true, accurate, and
complete. I am aware that there are significant penalties for
submitting false information, including the possibility of fine and
imprisonment.
(6) Closure equivalency determination at permitting. The owner or
operator must submit the following documentation to the permit
authority.
(i) A permit application that contains sufficient information,
including data on contaminant levels in groundwater, to demonstrate
that the applicable Sec. 257.102 standards have been met.
(ii) EPA will review the information to determine whether the
``equivalency'' of the closure has been successfully demonstrated. If
EPA or a Participating State Director determines that the closure has
met the appropriate part 257 closure standard, EPA or a Participating
State Director will issue a permit to require compliance with
applicable post-closure requirements. If EPA or a Participating State
Director determines that the closure does not meet the part 257
standards, the owner or operator will be required to submit a complete
permit application and obtain a permit that contains the specific
requirements necessary for the closed unit to achieve compliance with
Sec. 257.102.
(h) Deferral for CCR management units under critical
infrastructure. Notwithstanding the provisions of paragraph (f)(1) of
this section, the owner or operator of a CCR management unit located
beneath critical infrastructure need not initiate closure until the
infrastructure is no longer needed, EPA or a Participating State
Director determines closure is necessary to ensure that there is no
reasonable probability of adverse effects on human health or the
environment, or the closure or decommissioning of the facility,
whichever occurs first. Owners and operators of CCR management units
under active disposal units must meet either:
(1) Demonstrate that the CCR management unit complies with the
performance standard in Sec. 257.60; or
(2) Demonstrate that the CCR management unit complies with the
performance standard in Sec. 257.102(d)(2)(i).
0
20. Revise and republishSec. 257.102 to read as follows:
Sec. 257.102 Criteria for conducting the closure or retrofit of CCR
units and closure of CCR management units.
(a) General. Closure of a CCR unit must be completed either by
leaving the CCR in place and installing a final cover system or through
removal of the CCR and decontamination of the CCR unit, as described in
paragraphs (b) through (j) of this section. Retrofit of a CCR surface
impoundment must be completed in accordance with the requirements in
paragraph (k) of this section.
(b) Written closure plan--(1) Content of the plan. The owner or
operator of a CCR unit must prepare a written closure plan that
describes the steps necessary to close the CCR unit at any point during
the active life of the CCR unit consistent with recognized and
generally accepted good engineering practices. The written closure plan
must include, at a minimum, the information specified in paragraphs
(b)(1)(i) through (vi) of this section.
(i) A narrative description of how the CCR unit will be closed in
accordance with this section.
(ii) If closure of the CCR unit will be accomplished through
removal of CCR from the CCR unit, a description of the procedures to
remove the CCR and decontaminate the CCR unit in accordance with
paragraph (c) of this section.
(iii) If closure of the CCR unit will be accomplished by leaving
CCR in place, a description of the final cover system, designed in
accordance with paragraph (d) of this section, and the methods and
procedures to be used to install the final cover. The closure plan must
also discuss how the final cover system will achieve the performance
standards specified in paragraph (d) of this section.
(iv) An estimate of the maximum inventory of CCR ever on-site over
the active life of the CCR unit.
(v) An estimate of the largest area of the CCR unit ever requiring
a final cover as required by paragraph (d) of this section at any time
during the CCR unit's active life.
(vi) A schedule for completing all activities necessary to satisfy
the closure criteria in this section, including an estimate of the year
in which all closure activities for the CCR unit will be completed. The
schedule should provide sufficient information to describe the
sequential steps that will be taken to close the CCR unit, including
identification of major milestones such as coordinating with and
obtaining necessary approvals and permits from other agencies, the
dewatering and stabilization phases of CCR surface impoundment closure,
or installation of
[[Page 39110]]
the final cover system, and the estimated timeframes to complete each
step or phase of CCR unit closure. When preparing the written closure
plan, if the owner or operator of a CCR unit estimates that the time
required to complete closure will exceed the timeframes specified in
paragraph (f)(1) of this section, the written closure plan must include
the site-specific information, factors and considerations that would
support any time extension sought under paragraph (f)(2) of this
section.
(2) Timeframes for preparing the initial written closure plan--(i)
Existing CCR landfills and existing CCR surface impoundments. No later
than October 17, 2016, the owner or operator of the CCR unit must
prepare an initial written closure plan consistent with the
requirements specified in paragraph (b)(1) of this section.
(ii) New CCR landfills and new CCR surface impoundments, and any
lateral expansion of a CCR unit. No later than the date of the initial
receipt of CCR in the CCR unit, the owner or operator must prepare an
initial written closure plan consistent with the requirements specified
in paragraph (b)(1) of this section.
(iii) CCR management units. Except as provided for in paragraph
(b)(2)(v) of this section, no later than November 8, 2028, the owner or
operator of the CCR management unit must prepare an initial written
closure plan consistent with the requirements specified in paragraph
(b)(1) of this section.
(iv) Recordkeeping. The owner or operator has completed the written
closure plan when the plan, including the certification required by
paragraph (b)(4) of this section, has been placed in the facility's
operating record as required by Sec. 257.105(i)(4).
(v) Closure documentation for certain CCR management units. Owners
and operators of a CCR management unit that completed closure of the
unit in accordance with Sec. 257.102(d) prior to Friday, November 8,
2024 or that meet the requirements in Sec. 257.101(g) must include in
the facility evaluation report specified in Sec. 257.75 information on
the completed closure, along with supporting documentation to
demonstrate that the closure meets the performance standards in Sec.
257.102(d) or the standards specified in Sec. 257.101(g).
(3) Amendment of a written closure plan. (i) The owner or operator
may amend the initial or any subsequent written closure plan developed
pursuant to paragraph (b)(1) of this section at any time.
(ii) The owner or operator must amend the written closure plan
whenever:
(A) There is a change in the operation of the CCR unit that would
substantially affect the written closure plan in effect; or
(B) Before or after closure activities have commenced,
unanticipated events necessitate a revision of the written closure
plan.
(iii) The owner or operator must amend the closure plan at least 60
days prior to a planned change in the operation of the facility or CCR
unit, or no later than 60 days after an unanticipated event requires
the need to revise an existing written closure plan. If a written
closure plan is revised after closure activities have commenced for a
CCR unit, the owner or operator must amend the current closure plan no
later than 30 days following the triggering event.
(4) Certification or approval. The owner or operator of the CCR
unit must obtain a written certification from a qualified professional
engineer or approval from the Participating State Director or approval
from EPA where EPA is the permitting authority that the initial and any
amendment of the written closure plan meets the requirements of this
section.
(c) Closure by removal of CCR. An owner or operator that elects to
close a CCR unit by-removal of CCR must follow the procedures specified
in either paragraph (c)(1) or (2) of this section. Closure by removal
is complete when CCR has been removed; any areas affected by releases
from the CCR unit have been removed or decontaminated; and groundwater
monitoring concentrations of the constituents listed in appendix IV to
this part do not exceed groundwater protection standards established
pursuant to Sec. 257.95(h). Removal and decontamination activities
include removing all CCR from the unit, CCR mixed with soils, and CCR
included in berms, liners or other unit structures, and removing or
decontaminating all areas affected by releases from the CCR unit.
(1) Complete all removal and decontamination activities during the
active life of the CCR unit. Within the timeframes specified in
paragraph (f) of this section the owner or operator must do all of the
following:
(i) Complete removal of CCR and decontamination of all areas
affected by releases from the CCR unit;
(ii) Document that the standards in paragraph (c) of this section
have been met. Documentation that groundwater protection standards have
been met for the constituents listed in appendix IV to this part must
consist of groundwater monitoring results that show no constituents
were detected at statistically significant levels above the groundwater
protection standards for either:
(A) Two consecutive monitoring events; or
(B) Three years, in accordance with Sec. 257.98(c); and
(iii) Obtain the completion of closure certification or approval
required by paragraph (f)(3) of this section.
(2) Complete removal and decontamination activities during the
active life and post-closure care period of the CCR unit. The owner or
operator may close a CCR unit by completing all removal and
decontamination activities, except for groundwater corrective action,
during the active life of the CCR unit and by completing groundwater
corrective action during the post-closure care period pursuant to the
following procedures:
(i) Within the timeframes specified in paragraph (f) of this
section, document that CCR has been removed from the unit and any areas
affected by releases from the CCR unit have been removed or
decontaminated;
(ii) Within the timeframes specified in paragraph (f) of this
section, begin implementation of the remedy selected in accordance with
Sec. 257.97 such that all components of the remedy are constructed, or
otherwise in place, and operating as intended unless the owner or
operator documents both that:
(A) All applicable requirements in Sec. Sec. 257.96 through 257.98
have been met; and
(B) The active life of the unit could not be extended until
implementation of the remedy consistent with Sec. 257.102(f);
(iii) Complete groundwater corrective action as a post-closure care
requirement as specified in Sec. 257.104(g);
(iv) Amend the written closure plan required by paragraph (b) of
this section and the written post-closure care plan required by Sec.
257.104(d);
(v) Within the timeframes specified in paragraph (f) of this
section, obtain the completion of closure certification or approval
required by paragraph (f)(3) of this section; and
(vi) Within the timeframes specified in paragraph (f) of this
section, record the notation on the deed to the property required by
paragraph (i) of this section.
(d) Closure performance standard when leaving CCR in place--
(1) General performance standard. The owner or operator of a CCR
unit must ensure that, at a minimum, the CCR unit is closed in a manner
that will:
[[Page 39111]]
(i) Control, minimize or eliminate, to the maximum extent feasible,
post-closure infiltration of liquids into the waste and releases of
CCR, leachate, or contaminated run-off to the ground or surface waters
or to the atmosphere;
(ii) Preclude the probability of future impoundment of water,
sediment, or slurry;
(iii) Include measures that provide for major slope stability to
prevent the sloughing or movement of the final cover system during the
closure and post-closure care period;
(iv) Minimize the need for further maintenance of the CCR unit; and
(v) Be completed in the shortest amount of time consistent with
recognized and generally accepted good engineering practices.
(2) Drainage and stabilization of CCR units. The owner or operator
of any CCR unit must meet the requirements of paragraphs (d)(2)(i) and
(ii) of this section prior to installing the final cover system
required under paragraph (d)(3) of this section.
(i) Free liquids must be eliminated by removing liquid wastes or
solidifying the remaining wastes and waste residues.
(ii) Remaining wastes must be stabilized sufficient to support the
final cover system.
(3) Final cover system. If a CCR unit is closed by leaving CCR in
place, the owner or operator must install a final cover system that is
designed to minimize infiltration and erosion, and at a minimum, meets
the requirements of paragraph (d)(3)(i) of this section, or the
requirements of the alternative final cover system specified in
paragraph (d)(3)(ii) of this section.
(i) The final cover system must be designed and constructed to meet
the criteria in paragraphs (d)(3)(i)(A) through (D) of this section.
The design of the final cover system must be included in the written
closure plan required by paragraph (b) of this section.
(A) The permeability of the final cover system must be less than or
equal to the permeability of any bottom liner system or natural
subsoils present, or a permeability no greater than 1 x 10-5
cm/sec, whichever is less.
(B) The infiltration of liquids through the closed CCR unit must be
minimized by the use of an infiltration layer that contains a minimum
of 18 inches of earthen material.
(C) The erosion of the final cover system must be minimized by the
use of an erosion layer that contains a minimum of six inches of
earthen material that is capable of sustaining native plant growth.
(D) The disruption of the integrity of the final cover system must
be minimized through a design that accommodates settling and
subsidence.
(ii) The owner or operator may select an alternative final cover
system design, provided the alternative final cover system is designed
and constructed to meet the criteria in paragraphs (d)(3)(ii)(A)
through (C) of this section. The design of the final cover system must
be included in the written closure plan required by paragraph (b) of
this section.
(A) The design of the final cover system must include an
infiltration layer that achieves an equivalent reduction in
infiltration as the infiltration layer specified in paragraphs
(d)(3)(i)(A) and (B) of this section.
(B) The design of the final cover system must include an erosion
layer that provides equivalent protection from wind or water erosion as
the erosion layer specified in paragraph (d)(3)(i)(C) of this section.
(C) The disruption of the integrity of the final cover system must
be minimized through a design that accommodates settling and
subsidence.
(iii) The owner or operator of the CCR unit must obtain a written
certification from a qualified professional engineer or approval from
the Participating State Director or approval from EPA where EPA is the
permitting authority that the design of the final cover system meets
the requirements of this section.
(e) Initiation of closure activities. Except as provided for in
paragraph (e)(4) of this section and Sec. 257.103, the owner or
operator of a CCR unit must commence closure of the CCR unit no later
than the applicable timeframes specified in either paragraph (e)(1) or
(2) of this section.
(1) The owner or operator must commence closure of the CCR unit no
later than 30 days after the date on which the CCR unit either:
(i) Receives the known final receipt of waste, either CCR or any
non-CCR waste stream; or
(ii) Removes the known final volume of CCR from the CCR unit for
the purpose of beneficial use of CCR.
(2)(i) Except as provided by paragraph (e)(2)(ii) of this section,
the owner or operator must commence closure of a CCR unit that has not
received CCR or any non-CCR waste stream or is no longer removing CCR
for the purpose of beneficial use within two years of the last receipt
of waste or within two years of the last removal of CCR material for
the purpose of beneficial use.
(ii) Notwithstanding paragraph (e)(2)(i) of this section, the owner
or operator of the CCR unit may secure an additional two years to
initiate closure of the idle unit provided the owner or operator
provides written documentation that the CCR unit will continue to
accept wastes or will start removing CCR for the purpose of beneficial
use. The documentation must be supported by, at a minimum, the
information specified in paragraphs (e)(2)(ii)(A) and (B) of this
section. The owner or operator may obtain two-year extensions provided
the owner or operator continues to be able to demonstrate that there is
reasonable likelihood that the CCR unit will accept wastes in the
foreseeable future or will remove CCR from the unit for the purpose of
beneficial use. The owner or operator must place each completed
demonstration, if more than one time extension is sought, in the
facility's operating record as required by Sec. 257.105(i)(5) prior to
the end of any two-year period.
(A) Information documenting that the CCR unit has remaining storage
or disposal capacity or that the CCR unit can have CCR removed for the
purpose of beneficial use; and
(B) Information demonstrating that that there is a reasonable
likelihood that the CCR unit will resume receiving CCR or non-CCR waste
streams in the foreseeable future or that CCR can be removed for the
purpose of beneficial use. The narrative must include a best estimate
as to when the CCR unit will resume receiving CCR or non-CCR waste
streams. The situations listed in paragraphs (e)(2)(ii)(B)(1) through
(4) of this section are examples of situations that would support a
determination that the CCR unit will resume receiving CCR or non-CCR
waste streams in the foreseeable future.
(1) Normal plant operations include periods during which the CCR
unit does not receive CCR or non-CCR waste streams, such as the
alternating use of two or more CCR units whereby at any point in time
one CCR unit is receiving CCR while CCR is being removed from a second
CCR unit after its dewatering.
(2) The CCR unit is dedicated to a coal-fired boiler unit that is
temporarily idled (e.g., CCR is not being generated) and there is a
reasonable likelihood that the coal-fired boiler will resume operations
in the future.
(3) The CCR unit is dedicated to an operating coal-fired boiler
(i.e., CCR is being generated); however, no CCR are being placed in the
CCR unit because the CCR are being entirely diverted to beneficial
uses, but there is a reasonable likelihood that the CCR unit will again
be used in the foreseeable future.
(4) The CCR unit currently receives only non-CCR waste streams and
those
[[Page 39112]]
non-CCR waste streams are not generated for an extended period of time,
but there is a reasonable likelihood that the CCR unit will again
receive non-CCR waste streams in the future.
(iii) In order to obtain additional time extension(s) to initiate
closure of a CCR unit beyond the two years provided by paragraph
(e)(2)(i) of this section, the owner or operator of the CCR unit must
include with the demonstration required by paragraph (e)(2)(ii) of this
section the following statement signed by the owner or operator or an
authorized representative:
I certify under penalty of law that I have personally examined
and am familiar with the information submitted in this demonstration
and all attached documents, and that, based on my inquiry of those
individuals immediately responsible for obtaining the information, I
believe that the submitted information is true, accurate, and
complete. I am aware that there are significant penalties for
submitting false information, including the possibility of fine and
imprisonment.
(3) For purposes of this subpart, closure of the CCR unit has
commenced if the owner or operator has ceased placing waste and
completes any of the following actions or activities:
(i) Taken any steps necessary to implement the written closure plan
required by paragraph (b) of this section;
(ii) Submitted a completed application for any required state or
agency permit or permit modification; or
(iii) Taken any steps necessary to comply with any state or other
agency standards that are a prerequisite, or are otherwise applicable,
to initiating or completing the closure of a CCR unit.
(4) The timeframes specified in paragraphs (e)(1) and (2) of this
section do not apply to any of the following owners or operators:
(i) [Reserved]
(ii) An owner or operator of an existing unlined CCR surface
impoundment closing the CCR unit as required by Sec. 257.101(a);
(iii) An owner or operator of an existing CCR surface impoundment
closing the CCR unit as required by Sec. 257.101(b);
(iv) An owner or operator of a new CCR surface impoundment closing
the CCR unit as required by Sec. 257.101(c); or
(v) An owner or operator of an existing CCR landfill closing the
CCR unit as required by Sec. 257.101(d).
(f) Completion of closure activities.
(1) Except as provided for in paragraph (f)(2) of this section, the
owner or operator must complete closure of the CCR unit:
(i) For existing and new CCR landfills and any lateral expansion of
a CCR landfill, within six months of commencing closure activities.
(ii) For existing and new CCR surface impoundments and any lateral
expansion of a CCR surface impoundment, within five years of commencing
closure activities.
(iii) For CCR management units, within five years of commencing
closure activities.
(2)(i) Extensions of closure timeframes. The timeframes for
completing closure of a CCR unit specified under paragraphs (f)(1) of
this section may be extended if the owner or operator can demonstrate
that it was not feasible to complete closure of the CCR unit within the
required timeframes due to factors beyond the facility's control. If
the owner or operator is seeking a time extension beyond the time
specified in the written closure plan as required by paragraph (b)(1)
of this section, the demonstration must include a narrative discussion
providing the basis for additional time beyond that specified in the
closure plan. The owner or operator must place each completed
demonstration, if more than one time extension is sought, in the
facility's operating record as required by Sec. 257.105(i)(6) prior to
the end of any two-year period. Factors that may support such a
demonstration include:
(A) Complications stemming from the climate and weather, such as
unusual amounts of precipitation or a significantly shortened
construction season;
(B) Time required to dewater a CCR unit due to the volume of CCR
contained in the CCR unit or the characteristics of the CCR in the
unit;
(C) The geology and terrain surrounding the CCR unit will affect
the amount of material needed to close the CCR unit; or
(D) Time required or delays caused by the need to coordinate with
and obtain necessary approvals and permits from a state or other
agency.
(ii) Maximum time extensions. (A) CCR surface impoundments of 40
acres or smaller may extend the time to complete closure by no longer
than two years.
(B) CCR surface impoundments larger than 40 acres may extend the
timeframe to complete closure of the CCR unit multiple times, in two-
year increments. For each two-year extension sought, the owner or
operator must substantiate the factual circumstances demonstrating the
need for the extension. No more than a total of five two-year
extensions may be obtained for any CCR surface impoundment.
(C) Except as provided in paragraph (f)(2)(ii)(D) of this section,
CCR landfills may extend the timeframe to complete closure of the CCR
unit multiple times, in one-year increments. For each one-year
extension sought, the owner or operator must substantiate the factual
circumstances demonstrating the need for the extension. No more than a
total of two one-year extensions may be obtained for any CCR landfill.
(D) CCR landfills that intersect with groundwater are eligible for
the time extensions available to CCR units in paragraph (f)(2)(ii)(B)
of this section, provided the owner or operator documents that
groundwater intersects the CCR unit in the closure plan.
(E) CCR management units of 40 acres or smaller may extend the time
to complete closure by no longer than two years.
(F) CCR management units larger than 40 acres may extend the
timeframe to complete closure of the CCR management unit multiple
times, in two-year increments. For each two-year extension sought, the
owner or operator must substantiate the factual circumstances
demonstrating the need for the extension. No more than a total of five
two-year extensions may be obtained for any CCR management unit.
(iii) In order to obtain additional time extension(s) to complete
closure of a CCR unit beyond the times provided by paragraph (f)(1) of
this section, the owner or operator of the CCR unit must include with
the demonstration required by paragraph (f)(2)(i) of this section the
following statement signed by the owner or operator or an authorized
representative:
I certify under penalty of law that I have personally examined
and am familiar with the information submitted in this demonstration
and all attached documents, and that, based on my inquiry of those
individuals immediately responsible for obtaining the information, I
believe that the submitted information is true, accurate, and
complete. I am aware that there are significant penalties for
submitting false information, including the possibility of fine and
imprisonment.
(3) Upon completion, the owner or operator of the CCR unit must
obtain a certification from a qualified professional engineer or
approval from the Participating State Director or approval from EPA
where EPA is the permitting authority verifying that closure has been
completed in accordance with the closure plan specified in paragraph
(b) of this section and the requirements of this section.
(g) Notification of intent to close. No later than the date the
owner or operator initiates closure of a CCR unit, the
[[Page 39113]]
owner or operator must prepare a notification of intent to close a CCR
unit. The notification must include the certification by a qualified
professional engineer or the approval from the Participating State
Director or the approval from EPA where EPA is the permitting authority
for the design of the final cover system as required by Sec.
257.102(d)(3)(iii), if applicable. The owner or operator has completed
the notification when it has been placed in the facility's operating
record as required by Sec. 257.105(i)(7).
(h) Notification of completion of closure. Within 30 days of
completion of closure of the CCR unit, the owner or operator must
prepare a notification of closure of a CCR unit. The notification must
include the certification by a qualified professional engineer or the
approval from the Participating State Director or the approval from EPA
where EPA is the permitting authority as required by Sec.
257.102(f)(3). The owner or operator has completed the notification
when it has been placed in the facility's operating record as required
by Sec. 257.105(i)(8).
(i) Deed notations. (1) Except as provided by paragraph (i)(4) of
this section, following closure of a CCR unit, the owner or operator
must record a notation on the deed to the property, or some other
instrument that is normally examined during title search.
(2) The notation on the deed must in perpetuity notify any
potential purchaser of the property that:
(i) The land has been used as a CCR unit; and
(ii) Its use is restricted under the post-closure care requirements
as provided by Sec. 257.104(d)(1)(iii).
(3) Within 30 days of recording a notation on the deed to the
property, the owner or operator must prepare a notification stating
that the notation has been recorded. The owner or operator has
completed the notification when it has been placed in the facility's
operating record as required by Sec. 257.105(i)(9).
(4) An owner or operator that closes a CCR unit in accordance with
paragraph (c)(1) of this section is not subject to the requirements of
paragraphs (i)(1) through (3) of this section.
(j) Recordkeeping, notification, and internet requirements. The
owner or operator of the CCR unit must comply with the closure
recordkeeping requirements specified in Sec. 257.105(i), the closure
notification requirements specified in Sec. 257.106(i), and the
closure internet requirements specified in Sec. 257.107(i).
(k) Criteria to retrofit an existing CCR surface impoundment. (1)
To retrofit an existing CCR surface impoundment, the owner or operator
must:
(i) First remove all CCR, including any contaminated soils and
sediments from the CCR unit; and
(ii) Comply with the requirements in Sec. 257.72.
(iii) A CCR surface impoundment undergoing a retrofit remains
subject to all other requirements of this subpart, including the
requirement to conduct any necessary corrective action.
(2) Written retrofit plan--(i) Content of the plan. The owner or
operator must prepare a written retrofit plan that describes the steps
necessary to retrofit the CCR unit consistent with recognized and
generally accepted good engineering practices. The written retrofit
plan must include, at a minimum, all of the following information:
(A) A narrative description of the specific measures that will be
taken to retrofit the CCR unit in accordance with this section.
(B) A description of the procedures to remove all CCR and
contaminated soils and sediments from the CCR unit.
(C) An estimate of the maximum amount of CCR that will be removed
as part of the retrofit operation.
(D) An estimate of the largest area of the CCR unit that will be
affected by the retrofit operation.
(E) A schedule for completing all activities necessary to satisfy
the retrofit criteria in this section, including an estimate of the
year in which retrofit activities of the CCR unit will be completed.
(ii) Timeframes for preparing the initial written retrofit plan.
(A) No later than 60 days prior to date of initiating retrofit
activities, the owner or operator must prepare an initial written
retrofit plan consistent with the requirements specified in paragraph
(k)(2) of this section. For purposes of this subpart, initiation of
retrofit activities has commenced if the owner or operator has ceased
placing waste in the unit and completes any of the following actions or
activities:
(1) Taken any steps necessary to implement the written retrofit
plan;
(2) Submitted a completed application for any required state or
agency permit or permit modification; or
(3) Taken any steps necessary to comply with any state or other
agency standards that are a prerequisite, or are otherwise applicable,
to initiating or completing the retrofit of a CCR unit.
(B) The owner or operator has completed the written retrofit plan
when the plan, including the certification required by paragraph
(k)(2)(iv) of this section, has been placed in the facility's operating
record as required by Sec. 257.105(j)(1).
(iii) Amendment of a written retrofit plan. (A) The owner or
operator may amend the initial or any subsequent written retrofit plan
at any time.
(B) The owner or operator must amend the written retrofit plan
whenever:
(1) There is a change in the operation of the CCR unit that would
substantially affect the written retrofit plan in effect; or
(2) Before or after retrofit activities have commenced,
unanticipated events necessitate a revision of the written retrofit
plan.
(C) The owner or operator must amend the retrofit plan at least 60
days prior to a planned change in the operation of the facility or CCR
unit, or no later than 60 days after an unanticipated event requires
the revision of an existing written retrofit plan. If a written
retrofit plan is revised after retrofit activities have commenced for a
CCR unit, the owner or operator must amend the current retrofit plan no
later than 30 days following the triggering event.
(iv) Certification or approval. The owner or operator of the CCR
unit must obtain a written certification from a qualified professional
engineer or an approval from the Participating State Director or an
approval from EPA where EPA is the permitting authority that the
activities outlined in the written retrofit plan, including any
amendment of the plan, meet the requirements of this section.
(3) Deadline for completion of activities related to the retrofit
of a CCR unit. Any CCR surface impoundment that is being retrofitted
must complete all retrofit activities within the same time frames and
procedures specified for the closure of a CCR surface impoundment in
Sec. 257.102(f) or, where applicable, Sec. 257.103.
(4) Certification or approval. Upon completion, the owner or
operator must obtain a written certification from a qualified
professional engineer or an approval from the Participating State
Director or an approval from EPA where EPA is the permitting authority
verifying that the retrofit activities have been completed in
accordance with the retrofit plan specified in paragraph (k)(2) of this
section and the requirements of this section.
(5) Notification of intent to retrofit. No later than the date the
owner or operator initiates the retrofit of a CCR unit, the owner or
operator must prepare a notification of intent to retrofit a CCR
[[Page 39114]]
unit. The owner or operator has completed the notification when it has
been placed in the facility's operating record as required by Sec.
257.105(j)(5).
(6) Notification of completion of retrofit activities. Within 30
days of completing the retrofit activities specified in paragraph
(k)(1) of this section, the owner or operator must prepare a
notification of completion of retrofit activities. The notification
must include the certification from a qualified professional engineer
or an approval from the Participating State Director or an approval
from EPA where EPA is the permitting authority has is required by
paragraph (k)(4) of this section. The owner or operator has completed
the notification when it has been placed in the facility's operating
record as required by Sec. 257.105(j)(6).
(7) Cease retrofit and initiation of closure. At any time after the
initiation of a CCR unit retrofit, the owner or operator may cease the
retrofit and initiate closure of the CCR unit in accordance with the
requirements of Sec. 257.102.
(8) Recordkeeping, notification, and internet requirements. The
owner or operator of the CCR unit must comply with the retrofit
recordkeeping requirements specified in Sec. 257.105(j), the retrofit
notification requirements specified in Sec. 257.106(j), and the
retrofit internet requirements specified in Sec. 257.107(j).
0
21. Amend Sec. 257.104 by:
0
a. Revising paragraphs (a) and (c)(1);
0
b. Adding paragraph (c)(3);
0
c. Revising paragraph (d)(2); and
0
d. Adding paragraph (g).
The additions and revisions read as follows:
Sec. 257.104 Post-closure care requirements.
(a) Applicability. (1) Except as provided by paragraph (a)(2) of
this section, Sec. 257.104 applies to the owners or operators of CCR
units that are subject to the closure criteria under Sec. 257.102.
(2) An owner or operator of a CCR unit that elects to close a CCR
unit by removing CCR as provided by Sec. 257.102(c)(1) is not subject
to the post-closure care criteria under this section.
* * * * *
(c) * * *
(1) Except as provided by paragraph (c)(2) and (3) of this section,
the owner or operator of the CCR unit must conduct post-closure care
for 30 years.
* * * * *
(3) An owner or operator closing a unit pursuant to Sec.
257.102(c)(2) must complete groundwater corrective action in accordance
with Sec. 257.98(c).
(d) * * *
(2) Deadline to prepare the initial written post-closure plan--(i)
Existing CCR landfills and existing CCR surface impoundments. No later
than October 17, 2016, the owner or operator of the CCR unit must
prepare an initial written post-closure plan consistent with the
requirements specified in paragraph (d)(1) of this section.
(ii) New CCR landfills, new CCR surface impoundments, and any
lateral expansion of a CCR unit. No later than the date of the initial
receipt of CCR in the CCR unit, the owner or operator must prepare an
initial written post-closure plan consistent with the requirements
specified in paragraph (d)(1) of this section.
(iii) CCR management units. No later than Wednesday, November 8,
2028, the owner or operator of a CCR management unit must prepare an
initial written post-closure care plan as set forth in paragraph (d)(1)
of this section.
(iv) Recordkeeping. The owner or operator has completed the written
post-closure plan when the plan, including the certification required
by paragraph (d)(4) of this section, has been placed in the facility's
operating record as required by Sec. 257.105(i)(4).
* * * * *
(g) Removal of a deed notation. The owner or operator of a CCR unit
closed pursuant to Sec. Sec. 257.102(c)(2) and 257.104 may remove the
notation from the deed specified in Sec. 257.102(i) upon:
(1) Completion of groundwater corrective action demonstrating that
any areas affected by releases from the CCR unit do not exceed the
groundwater protection standards established pursuant to Sec.
257.95(h) for constituents listed in appendix IV to this part; and
(2) Completion of the notification of completion of post-closure
care period required by paragraph (e) of this section.
* * * * *
0
22. Revise Sec. 257.105 to read as follows:
Sec. 257.105 Recordkeeping requirements.
(a) Operating Record. Each owner or operator of a CCR unit subject
to the requirements of this subpart must date and maintain files of all
information required by this section in a written operating record at
their facility. Each file must indicate the date the file was placed in
the operating record.
(b) Document Retention. Unless specified otherwise, each file must
be retained for at least five years following the date of each
occurrence, measurement, maintenance, corrective action, report,
record, or study.
(c) Recordkeeping for multiple CCR units. An owner or operator of
more than one CCR unit subject to the provisions of this subpart may
comply with the requirements of this section in one recordkeeping
system provided the system identifies each file by the name of each CCR
unit. The files may be maintained on microfilm, on a computer, on
computer disks, on a storage system accessible by a computer, on
magnetic tape disks, or on microfiche.
(d) State Director and/or appropriate Tribal authority
notification. The owner or operator of a CCR unit must submit to the
State Director and/or appropriate Tribal authority any demonstration or
documentation required by this subpart, if requested, when such
information is not otherwise available on the owner or operator's CCR
website.
(e) Location restrictions. The owner or operator of a CCR unit
subject to this subpart must place the demonstrations documenting
whether or not the CCR unit is in compliance with the requirements
under Sec. Sec. 257.60(a), 257.61(a), 257.62(a), 257.63(a), and
257.64(a), as it becomes available, in the facility's operating record,
except each location restrictions demonstration must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in accordance
with Sec. 257.104(e) or (g).
(f) Design criteria. The owner or operator of a CCR unit subject to
this subpart must place the following information, as it becomes
available, in the facility's operating record:
(1) The design and construction certifications as required by Sec.
257.70(e) and (f), except each certification must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in accordance
with Sec. 257.104(e) or (g) irrespective of the time requirement
specified in paragraph (b) of this section.
(2) The documentation of liner type as required by Sec. 257.71(a),
except each liner type documentation must be maintained for five years
after completion of closure by removal in accordance with Sec.
257.102(c) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (b) of this section.
(3) The design and construction certifications as required by Sec.
257.72(c) and (d), except each certification must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in
[[Page 39115]]
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(4) Documentation prepared by the owner or operator stating that
the permanent identification marker was installed as required by
Sec. Sec. 257.73(a)(1) and 257.74(a)(1), except each document must be
maintained for five years after completion of closure by removal in
accordance with Sec. 257.102(c)(1) or until completion of post-closure
care in accordance with Sec. 257.104(e) irrespective of the time
requirement specified in paragraph (b) of this section.
(5) The initial and periodic hazard potential classification
assessments as required by Sec. Sec. 257.73(a)(2) and 257.74(a)(2),
except each hazard potential classification must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (b) of this section.
(6) The emergency action plan (EAP), and any amendment of the EAP,
as required by Sec. Sec. 257.73(a)(3) and 257.74(a)(3), except each
EAP must be maintained for five years after completion of closure by
removal in accordance with Sec. 257.102(c) or until completion of
post-closure care in accordance with Sec. 257.104(e) or (g)
irrespective of the time requirement specified in paragraph (b) of this
section.
(7) Documentation prepared by the owner or operator recording the
annual face-to-face meeting or exercise between representatives of the
owner or operator of the CCR unit and the local emergency responders as
required by Sec. Sec. 257.73(a)(3)(i)(E) and 257.74(a)(3)(i)(E),
except each document must be maintained for five years after completion
of closure by removal in accordance with Sec. 257.102(c)(1) or (2) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (b) of this section.
(8) Documentation prepared by the owner or operator recording all
activations of the emergency action plan as required by Sec. Sec.
257.73(a)(3)(v) and 257.74(a)(3)(v), except each documentation of EAP
activations must be maintained for five years after completion of
closure by removal in accordance with Sec. 257.102(c)(1) or (2) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (b) of this section.
(9) The history of construction, and any revisions of it, as
required by Sec. 257.73(c), except each history of construction must
be maintained for five years after completion of closure by removal in
accordance with Sec. 257.102(c)(1) or (2) or until completion of post-
closure care in accordance with Sec. 257.104(e) or (g) irrespective of
the time requirement specified in paragraph (b) of this section.
(10) The initial and periodic structural stability assessments as
required by Sec. Sec. 257.73(d) and 257.74(d), except each structural
stability assessment must be maintained for five years after completion
of closure by removal in accordance with Sec. 257.102(c)(1) or (2) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (b) of this section.
(11) Documentation detailing the corrective measures taken to
remedy the deficiency or release as required by Sec. Sec. 257.73(d)(2)
and 257.74(d)(2), except each document must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(12) The initial and periodic safety factor assessments as required
by Sec. Sec. 257.73(e) and 257.74(e), except each safety factor
assessment must be maintained for five years after completion of
closure by removal in accordance with Sec. 257.102(c)(1) or (2) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (b) of this section.
(13) The design and construction plans, and any revisions of it, as
required by Sec. 257.74(c), except the design and construction plans
must be maintained for five years after completion of closure by
removal in accordance with Sec. 257.102(c)(1) or (2) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (b) of
this section.
(14) The application and any supplemental materials submitted in
support of the application as required by Sec. 257.71(d)(1)(i)(E),
except each application and supplemental materials must be maintained
for five years after completion of closure by removal in accordance
with Sec. 257.102(c)(1) or (2) or until completion of post-closure
care in accordance with Sec. 257.104(e) or (g) irrespective of the
time requirement specified in paragraph (b) of this section.
(15) The alternative liner demonstration as required by Sec.
257.71(d)(1)(ii)(D).
(16) The alternative liner demonstration extension request as
required by Sec. 257.71(d)(2)(ii)(D).
(17) The documentation prepared for the preliminary demonstration
as required by Sec. 257.71(d)(2)(ii)(E).
(18) The notification of an incomplete application as required by
Sec. 257.71(d)(2)(iii)(B).
(19) The decision on the application as required by Sec.
257.71(d)(2)(iii)(F), except each decision must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(20) The final decision on the alternative liner demonstration as
required by Sec. 257.71(d)(2)(vii).
(21) The alternative source demonstration as required under Sec.
257.71(d)(2)(ix)(A)(4).
(22) The final decision on the alternative source demonstration as
required under Sec. 257.71(d)(2)(ix)(A)(5).
(23) The final decision on the trend analysis as required under
Sec. 257.71(d)(2)(ix)(B)(3).
(24) The decision that the alternative source demonstration has
been withdrawn as required under Sec. 257.71(d)(2)(ix)(C).
(25) The facility evaluation report part 1 as required by Sec.
257.75(c), except the facility evaluation report part 1 must be
maintained for five years after completion of closure by removal in
accordance with Sec. 257.102(c)(1) or (2) or until completion of post-
closure care in accordance with Sec. 257.104(e) or (g) irrespective of
the time requirement specified in paragraph (b) of this section.
(26) The facility evaluation report part 2 as required by Sec.
257.75(d), except the facility evaluation report part 2 must be
maintained for five years after completion of closure by removal in
accordance with Sec. 257.102(c)(1) or (2) or until completion of post-
closure care in accordance with Sec. 257.104(e) or (g) irrespective of
the time requirement specified in paragraph (b) of this section.
(g) Operating criteria. The owner or operator of a CCR unit subject
to this
[[Page 39116]]
subpart must place the following information, as it becomes available,
in the facility's operating record:
(1) The CCR fugitive dust control plan, and any subsequent
amendment of the plan, required by Sec. 257.80(b), except each
fugitive dust control plan must be maintained for five years after
closure by removal in accordance with Sec. 257.102(c)(1) or (2) or
completes post-closure care in accordance with Sec. 257.104(e) or (g)
is completed at the last CCR unit at the facility irrespective of the
time requirement specified in paragraph (b) of this section.
(2) The annual CCR fugitive dust control report required by Sec.
257.80(c), except each fugitive dust control report must be maintained
for five years after closure by removal in accordance with Sec.
257.102(c)(1) or (2) or post-closure care in accordance with Sec.
257.104(e) or (g) is completed at the last CCR unit at the facility
irrespective of the time requirement specified in paragraph (b) of this
section.
(3) The initial and periodic run-on and run-off control system
plans as required by Sec. 257.81(c), except each plan must be
maintained for five years after completion of closure by removal in
accordance with Sec. 257.102(c)(1) or (2) or until completion of post-
closure care in accordance with Sec. 257.104(e) or (g) irrespective of
the time requirement specified in paragraph (b) of this section.
(4) The initial and periodic inflow design flood control system
plan as required by Sec. 257.82(c), except each plan must be
maintained for five years after completion of closure by removal in
accordance with Sec. 257.102(c)(1) or (2) or until completion of post-
closure care in accordance with Sec. 257.104(e) or (g) irrespective of
the time requirement specified in paragraph (b) of this section.
(5) Documentation recording the results of each inspection and
instrumentation monitoring by a qualified person as required by Sec.
257.83(a), except each document must be maintained for five years after
completion of closure by removal in accordance with Sec. 257.102(c)(1)
or (2) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (b) of this section.
(6) The periodic inspection report as required by Sec.
257.83(b)(2), except each inspection report must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(7) Documentation detailing the corrective measures taken to remedy
the deficiency or release as required by Sec. Sec. 257.83(b)(5) and
257.84(b)(5), except each document must be maintained for five years
after completion of closure by removal in accordance with Sec.
257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(8) Documentation recording the results of the weekly inspection by
a qualified person as required by Sec. 257.84(a), except each
inspection report must be maintained for five years after completion of
closure by removal in accordance with Sec. 257.102(c)(1) or (2) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (b) of this section.
(9) The periodic inspection report as required by Sec.
257.84(b)(2), except each inspection report must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(h) Groundwater monitoring and corrective action. The owner or
operator of a CCR unit subject to this subpart must place the following
information, as it becomes available, in the facility's operating
record:
(1) The annual groundwater monitoring and corrective action report
as required by Sec. 257.90(e), except each annual groundwater
monitoring and corrective action report must be maintained for five
years after the last CCR unit at the facility either completes closure
by removal in accordance with Sec. 257.102(c)(1) or completes post-
closure care in accordance with Sec. 257.104(e) irrespective of the
time requirement specified in paragraph (b) of this section.
(2) Documentation of the design, installation, development, and
decommissioning of any monitoring wells, piezometers and other
measurement, sampling, and analytical devices as required by Sec.
257.91(e)(1), except each document must be maintained for five years
after completion of closure by removal in accordance with Sec.
257.102(c)(1) or completion of post-closure care in accordance with
Sec. 257.104(e) irrespective of the time requirement specified in
paragraph (b) of this section.
(3) The groundwater monitoring system certification as required by
Sec. 257.91(f), except each certification must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c)(1) or completion of post-closure care in accordance with
Sec. 257.104(e) irrespective of the time requirement specified in
paragraph (b) of this section.
(4) The selection of a statistical method certification as required
by Sec. 257.93(f)(6), except each certification must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c)(1) or completion of post-closure care in accordance
with Sec. 257.104(e) irrespective of the time requirement specified in
paragraph (b) of this section.
(5) Within 30 days of establishing an assessment monitoring
program, the notification as required by Sec. 257.94(e)(3).
(6) The results of appendices III and IV to this part constituent
concentrations measured as required by Sec. 257.95(d)(1).
(7) Within 30 days of returning to a detection monitoring program,
the notification as required by Sec. 257.95(e).
(8) Within 30 days of detecting one or more constituents in
appendix IV to this part at statistically significant levels above the
groundwater protection standard, the notifications as required by Sec.
257.95(g).
(9) Within 30 days of initiating the assessment of corrective
measures requirements, the notification as required by Sec.
257.95(g)(5).
(10) The completed assessment of corrective measures as required by
Sec. 257.96(d), except each certification must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c)(1) or completion of post-closure care in accordance with
Sec. 257.104(e) irrespective of the time requirement specified in
paragraph (b) of this section.
(11) Documentation prepared by the owner or operator recording the
public meeting for the corrective measures assessment as required by
Sec. 257.96(e), except each certification must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c)(1) or completion of post-closure care in accordance with
Sec. 257.104(e) irrespective of the time requirement specified in
paragraph (b) of this section.
[[Page 39117]]
(12) The semiannual report describing the progress in selecting and
designing the remedy and the selection of remedy report as required by
Sec. 257.97(a), except that the selection of remedy report must be
maintained until the remedy has been completed.
(13) Within 30 days of completing the remedy, the notification as
required by Sec. 257.98(e), except each notification must be
maintained for five years after completion of the remedy selected
pursuant to Sec. 257.97 irrespective of the time requirement specified
in paragraph (b) of this section.
(14) The demonstration, including long-term performance data,
supporting the suspension of groundwater monitoring requirements as
required by Sec. 257.90(g), except each document must be maintained
for five years after the last unit at the facility completes post-
closure care in accordance with Sec. 257.104(e) irrespective of the
time requirement specified in paragraph (b) of this section.
(i) Closure and post-closure care. The owner or operator of a CCR
unit subject to this subpart must place the following information, as
it becomes available, in the facility's operating record:
(1) The notification of intent to initiate closure of the CCR unit
as required by Sec. 257.100(c)(1).
(2) The annual progress reports of closure implementation as
required by Sec. 257.100(c)(2)(i) and (ii).
(3) The notification of closure completion as required by Sec.
257.100(c)(3).
(4) The written closure plan, and any amendment of the plan, as
required by Sec. 257.102(b), except that only the most recent closure
plan must be maintained for five years after completion of closure by
removal in accordance with Sec. 257.102(c)(1) or completion of post-
closure care in accordance with Sec. 257.104(e) irrespective of the
time requirement specified in paragraph (b) of this section.
(5) The written demonstration(s), including the certification
required by Sec. 257.102(e)(2)(iii), for a time extension for
initiating closure as required by Sec. 257.102(e)(2)(ii), except each
demonstration must be maintained until notice of completion of closure
is placed in the operating record in accordance with Sec. 257.102(h)
irrespective of the time requirement specified in paragraph (b) of this
section.
(6) The written demonstration(s), including the certification
required by Sec. 257.102(f)(2)(iii), for a time extension for
completing closure as required by Sec. 257.102(f)(2)(i), except each
demonstration must be maintained for five years after completion of
closure in accordance with Sec. 257.102(c) or (d) irrespective of the
time requirement specified in paragraph (b) of this section.
(7) The notification of intent to close a CCR unit as required by
Sec. 257.102(g), except each notification must be maintained for five
years after completion of closure in accordance with Sec. 257.102(c)
or (d) irrespective of the time requirement specified in paragraph (b)
of this section.
(8) The notification of completion of closure of a CCR unit as
required by Sec. 257.102(h), except each notification must be
maintained for five years after completion of closure by removal in
accordance with Sec. 257.102(c)(1) or completion of post-closure care
in accordance with Sec. 257.104(e) irrespective of the time
requirement specified in paragraph (b) of this section.
(9) The notification recording a notation on the deed as required
by Sec. 257.102(i), except each notification must be maintained for
five years after completion of post-closure care in accordance with
Sec. 257.104(e) irrespective of the time requirement specified in
paragraph (b) of this section.
(10) The notification of intent to comply with the alternative
closure requirements as required by Sec. 257.103(c)(1), except each
notification must be maintained for five years after completion of
closure in accordance with Sec. 257.102(c) or (d) irrespective of the
time requirement specified in paragraph (b) of this section.
(11) The annual progress reports under the alternative closure
requirements as required by Sec. 257.103(c)(2), except each report
must be maintained for five years after completion of closure in
accordance with Sec. 257.102(c) or (d) irrespective of the time
requirement specified in paragraph (b) of this section.
(12) The written post-closure plan, and any amendment of the plan,
as required by Sec. 257.104(d), except that only the most recent post-
closure plan must be maintained for five years after completion of
post-closure care in accordance with Sec. 257.104(e) irrespective of
the time requirement specified in paragraph (b) of this section.
(13) The notification of completion of post-closure care period as
required by Sec. 257.104(e), except each notification must be
maintained for five years after completion of post-closure care in
accordance with Sec. 257.104(e) irrespective of the time requirement
specified in paragraph (b) of this section.
(14) The notification of intent to comply with the site-specific
alternative to initiation of closure due to development of alternative
capacity infeasible as required by Sec. 257.103(f)(1)(ix)(A), except
each notification must be maintained for five years after completion of
closure by removal in accordance with Sec. 257.102(c)(1) or (2) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (b) of this section.
(15) The approved or denied demonstration for the site-specific
alternative to initiation of closure due to development of alternative
capacity infeasible as required by Sec. 257.103(f)(1)(ix)(B), except
each approval or denial must be maintained for five years after
completion of closure by removal in accordance with Sec. 257.102(c)(1)
or (2) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (b) of this section.
(16) The notification for requesting additional time to the
alternative cease receipt of waste deadline as required by Sec.
257.103(f)(1)(ix)(C), except each notification must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(17) The semi-annual progress reports for the site-specific
alternative to initiation of closure due to development of alternative
capacity being infeasible as required by Sec. 257.103(f)(1)(xi),
except each semi-annual progress report must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(18) The notification of intent to comply with the site-specific
alternative to initiation of closure due to permanent cessation of a
coal-fired boiler(s) by a date certain as required by Sec.
257.103(f)(2)(viii), except each notification must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
[[Page 39118]]
(19) The approved or denied demonstration for the site-specific
alternative to initiation of closure due to permanent cessation of a
coal-fired boiler(s) by a date certain as required by Sec.
257.103(f)(2)(ix), except each demonstration must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(20) The annual progress report for the site-specific alternative
to initiation of closure due to permanent cessation of a coal-fired
boiler(s) by a date certain as required by Sec. 257.103(f)(2)(x),
except each annual progress report must be maintained for five years
after completion of closure by removal in accordance with Sec.
257.102(c)(1) or (2) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(k) Legacy CCR surface impoundments. In addition to the information
specified in paragraphs (e) through (j) of this section, the owner or
operator of a legacy CCR surface impoundment subject to this subpart
must place the following information, as it becomes available, in the
facility's operating record:
(1) The applicability report required by Sec. 257.100(f)(1),
including the certification required by Sec. 257.100(f)(1)(i), except
each report must be maintained for five years after completion of
closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (b) of
this section.
(2) The applicability extension reports required by Sec.
257.100(f)(1)(iii)(C), except each report must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (b) of this section.
(3) The notification of field investigation conclusion required by
Sec. 257.100(f)(1)(iii)(F), except the notification must be maintained
for five years after completion of closure by removal in accordance
with Sec. 257.102(c) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (b) of this section.
(4) The notification of intent to certify closure required by Sec.
257.100(h)(1)(i), except the notification must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.100(h)(1) or Sec. 257.102(c)(2) irrespective of the time
requirement specified in paragraph (b) of this section.
0
23. Amend Sec. 257.106 by:
0
a. Revising paragraphs (a), (b), (c), and (d);
0
b. Adding paragraphs (f)(24) and (25) and (k).
The revisions and additions read as follows:
Sec. 257.106 Notification requirements.
(a) Deadline to submit notification to the relevant State Director
and/or appropriate Tribal authority. The notifications required under
paragraphs (e) through (i) of this section must be sent to the relevant
State Director and/or appropriate Tribal authority before the close of
business on the day the notification is required to be completed. For
purposes of this section, before the close of business means the
notification must be postmarked or sent by electronic mail (email). If
a notification deadline falls on a weekend or federal holiday, the
notification deadline is automatically extended to the next business
day.
(b) Notifications to Tribal authority. If any CCR unit is located
in its entirety within Indian Country, the notifications of this
section must be sent to the appropriate Tribal authority. If any CCR
unit is located in part within Indian Country, the notifications of
this section must be sent both to the appropriate State Director and
Tribal authority.
(c) Combining notifications. Notifications may be combined as long
as the deadline requirement for each notification is met.
(d) Notification deadline after placement in operating record.
Unless otherwise required in this section, the notifications specified
in this section must be sent to the State Director and/or appropriate
Tribal authority within 30 days of placing in the operating record the
information required by Sec. 257.105.
* * * * *
(f) * * *
(24) Provide notification of the availability of the facility
evaluation report part 1 as specified by Sec. 257.105(f)(25).
(25) Provide notification of the availability of the facility
evaluation report part 2 as specified by Sec. 257.105(f)(26).
* * * * *
(k) Legacy CCR surface impoundments. In addition to the information
specified in paragraphs (e) through (j) of this section, the owner or
operator of a legacy CCR surface impoundment subject to this subpart
must notify the State Director and/or appropriate Tribal authority when
information has been placed in the operating record and on the owner or
operator's publicly accessible internet site. The owner or operator
must:
(1) Provide notification of the availability of the applicability
documentation as specified under Sec. 257.105(k)(1).
(2) Provide notification of the availability of the applicability
extension report as specified under Sec. 257.105(k)(2).
(3) Provide notification of the availability of the notification as
specified under Sec. 257.105(k)(3).
(4) Provide notification of the availability of the intent to
certify closure by removal certification as specified under Sec.
257.105(k)(4).
0
24. Revise and republish Sec. 257.107 to read as follows:
Sec. 257.107 Publicly accessible internet site requirements.
(a) CCR website requirement. Each owner or operator of a CCR unit
subject to the requirements of this subpart must maintain a publicly
accessible internet site (CCR website) containing the information
specified in this section. The owner or operator's website must be
titled ``CCR Rule Compliance Data and Information.'' The website must
ensure that all information required to be posted is immediately
available to anyone visiting the site, without requiring any
prerequisite, such as registration or a requirement to submit a
document request. All required information must be clearly identifiable
and must be able to be immediately printed and downloaded by anyone
accessing the site. If the owner/operator changes the web address
(i.e., Uniform Resource Locator (URL)) at any point, they must notify
EPA via the ``contact us'' form on EPA's CCR website and the state
director within 14 days of making the change. The facility's CCR
website must also have a ``contact us'' form or a specific email
address posted on the website for the public to use to submit questions
and issues relating to the availability of information on the website.
(b) CCR website for multiple CCR units or combined websites for
multiple regulatory programs.
[[Page 39119]]
(1) An owner or operator of more than one CCR unit subject to the
provisions of this subpart may comply with the requirements of this
section by using the same internet site for multiple CCR units provided
the CCR website clearly delineates information by the name or
identification number of each unit.
(2) An owner or operator may maintain one website combining the
postings required under this subpart with the postings required by
other regulatory programs (e.g., the ``ELG Rule Compliance Data and
Information'' website required pursuant to Sec. 423.19 of this
chapter), provided the postings required for each regulatory program
are delineated under a separate heading on the website.
(c) Document retention on a CCR website. Unless otherwise required
in this section, the information required to be posted to the CCR
website must be made available to the public for at least five years
following the date on which the information was first posted to the CCR
website.
(d) Website posting deadline after placement in operating record.
Unless otherwise required in this section, the information must be
posted to the CCR website within 30 days of placing the pertinent
information required by Sec. 257.105 in the operating record.
(e) Location restrictions. The owner or operator of a CCR unit
subject to this subpart must place each demonstration specified under
Sec. 257.105(e) on the owner or operator's CCR website except each
location restrictions demonstration must be posted for five years after
completion of closure by removal in accordance with Sec. 257.102(c) or
until completion of post-closure care in accordance with Sec.
257.104(e) irrespective of the time requirement specified in paragraph
(c) of this section.
(f) Design criteria. The owner or operator of a CCR unit subject to
this subpart must place the following information on the owner or
operator's CCR website:
(1) Within 60 days of commencing construction of a new unit, the
design certification specified under Sec. 257.105(f)(1) or (3), except
each certification must be posted for five years after completion of
closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (c) of
this section.
(2) No later than the date of initial receipt of CCR by a new CCR
unit, the construction certification specified under Sec.
257.105(f)(1) or (3), except each certification must be posted for five
years after completion of closure by removal in accordance with Sec.
257.102(c) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g), or until the liner is removed irrespective of
the time requirement specified in paragraph (c) of this section,
whichever is later.
(3) The documentation of liner type specified under Sec.
257.105(f)(2), except each document must be posted for five years after
completion of closure by removal in accordance with Sec. 257.102(c) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g), or until the liner is removed irrespective of the
time requirement specified in paragraph (c) of this section, whichever
is later.
(4) The initial and periodic hazard potential classification
assessments specified under Sec. 257.105(f)(5), except only the two
most recent hazard potential classification assessments must be posted
for five years after completion of closure by removal in accordance
with Sec. 257.102(c) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (c) of this section.
(5) The emergency action plan (EAP) specified under Sec.
257.105(f)(6), except that only the most recent EAP must be maintained
on the CCR website irrespective of the time requirement specified in
paragraph (c) of this section.
(6) Documentation prepared by the owner or operator recording the
annual face-to-face meeting or exercise between representatives of the
owner or operator of the CCR unit and the local emergency responders
specified under Sec. 257.105(f)(7), except only the most recent
documentation must be posted on the CCR website irrespective of the
time requirement specified in paragraph (c) of this section.
(7) Documentation prepared by the owner or operator recording any
activation of the emergency action plan specified under Sec.
257.105(f)(8); if no activation in the last five years, documentation
that includes that information irrespective of the time requirement
specified in paragraph (c) of this section.
(8) The history of construction, and any revisions of it, specified
under Sec. 257.105(f)(9), except the history of constructions, and any
revisions of it, must be posted for five years after completion of
closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (c) of
this section.
(9) The initial and periodic structural stability assessments
specified under Sec. 257.105(f)(10), except only the two most recent
structural stability assessments must be posted for five years after
completion of closure by removal in accordance with Sec. 257.102(c) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (c) of this section.
(10) The documentation detailing the corrective measures taken to
remedy the deficiency or release specified under Sec. 257.105(f)(11),
except each document must be posted for five years after completion of
closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (c) of
this section.
(11) The initial and periodic safety factor assessments specified
under Sec. 257.105(f)(12), except only the two most recent safety
factor assessments must be posted for five years after completion of
closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (c) of
this section.
(12) The design and construction plans, and any revisions of them,
specified under Sec. 257.105(f)(13), except each plan must be posted
for five years after completion of closure by removal in accordance
with Sec. 257.102(c) or until completion of post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (c) of this section.
(13) The application and any supplemental materials submitted in
support of the application specified under Sec. 257.105(f)(14), except
each application must be posted for five years after completion of
closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (c) of
this section.
(14) The alternative liner demonstration specified under Sec.
257.105(f)(15).
(15) The alternative liner demonstration specified under Sec.
257.105(f)(16).
[[Page 39120]]
(16) The documentation prepared for the preliminary demonstration
specified under Sec. 257.105(f)(17).
(17) The notification of an incomplete application specified under
Sec. 257.105(f)(18).
(18) The decision on the application specified under Sec.
257.105(f)(19), except each decision must be posted for five years
after completion of closure by removal in accordance with Sec.
257.102(c) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (c) of this section.
(19) The final decision on the alternative liner demonstration
specified under Sec. 257.105(f)(20).
(20) The alternative source demonstration specified under Sec.
257.105(f)(21).
(21) The final decision on the alternative source demonstration
specified under Sec. 257.105(f)(22).
(22) The final decision on the trend analysis specified under Sec.
257.105(f)(23).
(23) The decision that the alternative source demonstration has
been withdrawn specified under Sec. 257.105(f)(24).
(24) The facility evaluation report part 1 as specified under Sec.
257.105(f)(25), except each report must be posted for five years after
completion of closure by removal in accordance with Sec. 257.102(c) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (c) of this section.
(25) The facility evaluation report part 2 as specified under Sec.
257.105(f)(26), except each report must be posted for five years after
completion of closure by removal in accordance with Sec. 257.102(c) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (c) of this section.
(g) Operating criteria. The owner or operator of a CCR unit subject
to this subpart must place the following information on the owner or
operator's CCR website:
(1) The CCR fugitive dust control plan, or any subsequent amendment
of the plan, specified under Sec. 257.105(g)(1) except that only the
most recent plan must be maintained on the CCR website irrespective of
the time requirement specified in paragraph (c) of this section until
the last CCR unit at the facility completes closure by removal in
accordance with Sec. 257.102(c) or completes post-closure care in
accordance with Sec. 257.104(e) or (g) irrespective of the time
requirement specified in paragraph (c) of this section.
(2) The annual CCR fugitive dust control report specified under
Sec. 257.105(g)(2). Each report must be posted for the duration
specified in paragraph (c) of this section, except that the final
report must be posted for five years after completion of closure by
removal in accordance with Sec. 257.102(c) or until completion of
post-closure care in accordance with Sec. 257.104(e) or (g)
irrespective of the time requirement specified in paragraph (c) of this
section.
(3) The initial and periodic run-on and run-off control system
plans specified under Sec. 257.105(g)(3), except each plan must be
posted for five years after completion of closure by removal in
accordance with Sec. 257.102(c) or until completion of post-closure
care in accordance with Sec. 257.104(e) or (g) irrespective of the
time requirement specified in paragraph (c) of this section.
(4) The initial and periodic inflow design flood control system
plans specified under Sec. 257.105(g)(4), except each plan must be
posted for five years after completion of closure by removal in
accordance with Sec. 257.102(c) or until completion of post-closure
care in accordance with Sec. 257.104(e) or (g) irrespective of the
time requirement specified in paragraph (c) of this section.
(5) The periodic inspection reports specified under Sec.
257.105(g)(6). Each report must be posted for the duration specified in
paragraph (c) of this section, except that the final report must be
posted for five years after completion of closure by removal in
accordance with Sec. 257.102(c) or until completion of post-closure
care in accordance with Sec. 257.104(e) or (g) irrespective of the
time requirement specified in paragraph (c) of this section.
(6) The documentation detailing the corrective measures taken to
remedy the deficiency or release specified under Sec. 257.105(g)(7).
Each report must be posted for the duration specified in paragraph (c)
of this section, except that the final documentation must be posted for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in accordance
with Sec. 257.104(e) or (g) irrespective of the time requirement
specified in paragraph (c) of this section.
(7) The periodic inspection reports specified under Sec.
257.105(g)(9). Each report must be posted for the duration specified in
paragraph (c) of this section, except that the final report must be
posted for five years after completion of closure by removal in
accordance with Sec. 257.102(c) or until completion of post-closure
care in accordance with Sec. 257.104(e) or (g) irrespective of the
time requirement specified in paragraph (c) of this section.
(h) Groundwater monitoring and corrective action. The owner or
operator of a CCR unit subject to this subpart must place the following
information on the owner or operator's CCR website:
(1) The annual groundwater monitoring and corrective action report
specified under Sec. 257.105(h)(1). Each report must be posted for the
duration specified in paragraph (c) of this section, except that the
final report must be posted for five years after completion of closure
by removal in accordance with Sec. 257.102(c) or until completion of
post-closure care in accordance with Sec. 257.104(e) or (g)
irrespective of the time requirement specified in paragraph (c) of this
section.
(2) The groundwater monitoring system certification specified under
Sec. 257.105(h)(3), except each certification must be posted for five
years after completion of closure by removal in accordance with Sec.
257.102(c) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (c) of this section.
(3) The selection of a statistical method certification specified
under Sec. 257.105(h)(4), except each certification must be posted for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in accordance
with Sec. 257.104(e) or (g) irrespective of the time requirement
specified in paragraph (c) of this section.
(4) The notification that an assessment monitoring programs has
been established specified under Sec. 257.105(h)(5).
(5) The notification that the CCR unit is returning to a detection
monitoring program specified under Sec. 257.105(h)(7).
(6) The notification that one or more constituents in appendix IV
to this part have been detected at statistically significant levels
above the groundwater protection standard and the notifications to land
owners specified under Sec. 257.105(h)(8).
(7) The notification that an assessment of corrective measures has
been initiated specified under Sec. 257.105(h)(9).
(8) The assessment of corrective measures specified under Sec.
257.105(h)(10), except each assessment must be posted for five years
[[Page 39121]]
after completion of closure by removal in accordance with Sec.
257.102(c) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (c) of this section.
(9) The semiannual reports describing the progress in selecting and
designing remedy and the selection of remedy report specified under
Sec. 257.105(h)(12), except that the selection of the remedy report
must be maintained until the remedy has been completed.
(10) The notification that the remedy has been completed specified
under Sec. 257.105(h)(13), except each notification must be posted for
five years after completion of the remedy selected pursuant to in Sec.
257.97 irrespective of the time requirement specified in paragraph (c)
of this section.
(11) The demonstration supporting the suspension of groundwater
monitoring requirements specified under Sec. 257.105(h)(14), except
each demonstration must be posted for five years after completion of
closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (c) of
this section.
(i) Closure and post-closure care. The owner or operator of a CCR
unit subject to this subpart must place the following information on
the owner or operator's CCR website:
(1) The notification of intent to initiate closure of the CCR unit
specified under Sec. 257.105(i)(1).
(2) The annual progress reports of closure implementation specified
under Sec. 257.105(i)(2).
(3) The notification of closure completion specified under Sec.
257.105(i)(3).
(4) The written closure plan, and any amendment of the plan,
specified under Sec. 257.105(i)(4), except that only the most recent
closure plan must be posted on the CCR website irrespective of the time
requirement specified in paragraph (c) of this section and each closure
plan must be maintained for five years after completion of closure by
removal in accordance with Sec. 257.102(c)(1) or completion of post-
closure care in accordance with Sec. 257.104(e) irrespective of the
time requirement specified in paragraph (c) of this section.
(5) The demonstration(s) for a time extension for initiating
closure specified under Sec. 257.105(i)(5), except each demonstration
must be posted until notice of completion of closure is placed in the
operating record in accordance with Sec. 257.102(h) irrespective of
the time requirement specified in paragraph (c) of this section.
(6) The demonstration(s) for a time extension for completing
closure specified under Sec. 257.105(i)(6), except each demonstration
must be posted for five years after completion of closure in accordance
with Sec. 257.102(c) or (d) irrespective of the time requirement
specified in paragraph (c) of this section.
(7) The notification of intent to close a CCR unit specified under
Sec. 257.105(i)(7), except each notification must be posted for five
years after completion of closure in accordance with Sec. 257.102(c)
or (d) irrespective of the time requirement specified in paragraph (c)
of this section.
(8) The notification of completion of closure of a CCR unit
specified under Sec. 257.105(i)(8), except each notification must be
posted for five years after completion of closure by removal in
accordance with Sec. 257.102(c)(1) or completion of post-closure care
in accordance with Sec. 257.104(e) irrespective of the time
requirement specified in paragraph (c) of this section.
(9) The notification recording a notation on the deed as required
by Sec. 257.105(i)(9), except each notification must be posted for
five years after completion of post-closure care in accordance with
Sec. 257.104(e) irrespective of the time requirement specified in
paragraph (c) of this section.
(10) The notification of intent to comply with the alternative
closure requirements as required by Sec. 257.105(i)(10), except the
notification must be posted for five years after completion of closure
in accordance with Sec. 257.102(c) or (d) irrespective of the time
requirement specified in paragraph (c) of this section.
(11) The annual progress reports under the alternative closure
requirements as required by Sec. 257.105(i)(11), except the
notification must be posted for five years after completion of closure
in accordance with Sec. 257.102(c) or (d) irrespective of the time
requirement specified in paragraph (c) of this section.
(12) The written post-closure plan, and any amendment of the plan,
specified under Sec. 257.105(i)(12), except that only the most recent
post-closure plan must be maintained for five years after completion of
post-closure care in accordance with Sec. 257.104(e) irrespective of
the time requirement specified in paragraph (c) of this section.
(13) The notification of completion of post-closure care specified
under Sec. 257.105(i)(13), except that only the most recent post-
closure plan must be maintained for five years after completion of
post-closure care in accordance with Sec. 257.104(e) irrespective of
the time requirement specified in paragraph (c) of this section.
(14) The notification of intent to comply with the site-specific
alternative to initiation of closure due to development of alternative
capacity infeasible as specified under Sec. 257.105(i)(14), except
each notification must be posted for five years after completion of
closure by removal in accordance with Sec. 257.102(c)(1) or completion
of post-closure care in accordance with Sec. 257.104(e) irrespective
of the time requirement specified in paragraph (c) of this section.
(15) The approved or denied demonstration for the site-specific
alternative to initiation of closure due to development of alternative
capacity infeasible as required by as specified under Sec.
257.105(i)(15), except each approval or denial must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in accordance
with Sec. 257.104(e) or (g) irrespective of the time requirement
specified in paragraph (c) of this section.
(16) The notification for requesting additional time to the
alternative cease receipt of waste deadline as required by Sec.
257.105(i)(16), except the notification must be maintained for five
years after completion of closure by removal in accordance with Sec.
257.102(c) or until completion of post-closure care in accordance with
Sec. 257.104(e) or (g) irrespective of the time requirement specified
in paragraph (c) of this section.
(17) The semi-annual progress reports for the site-specific
alternative to initiation of closure due to development of alternative
capacity infeasible as specified under Sec. 257.105(i)(17), except the
progress report must be maintained for five years after completion of
closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (c) of
this section.
(18) The notification of intent to comply with the site-specific
alternative to initiation of closure due to permanent cessation of a
coal-fired boiler(s) by a date certain as specified under Sec.
257.105(i)(18), except the notification
[[Page 39122]]
must be maintained for five years after completion of closure by
removal in accordance with Sec. 257.102(c) or until completion of
post-closure care in accordance with Sec. 257.104(e) or (g)
irrespective of the time requirement specified in paragraph (c) of this
section.
(19) The approved or denied demonstration for the site-specific
alternative to initiation of closure due to permanent cessation of a
coal-fired boiler(s) by a date certain as required by Sec.
257.105(i)(19), except the approval or denial must be maintained for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in accordance
with Sec. 257.104(e) or (g) irrespective of the time requirement
specified in paragraph (c) of this section.
(20) The annual progress report for the site-specific alternative
to initiation of closure due to permanent cessation of a coal-fired
boiler(s) by a date certain as required by Sec. 257.105(i)(20), except
the progress reports must be maintained for five years after completion
of closure by removal in accordance with Sec. 257.102(c) or until
completion of post-closure care in accordance with Sec. 257.104(e) or
(g) irrespective of the time requirement specified in paragraph (c) of
this section.
(j) Retrofit criteria. The owner or operator of a CCR unit subject
to this subpart must place the following information on the owner or
operator's CCR website:
(1) The written retrofit plan, and any amendment of the plan,
specified under Sec. 257.105(j)(1).
(2) The notification of intent to comply with the alternative
retrofit requirements as required by Sec. 257.105(j)(2).
(3) The annual progress reports under the alternative retrofit
requirements as required by Sec. 257.105(j)(3).
(4) The demonstration(s) for a time extension for completing
retrofit activities specified under Sec. 257.105(j)(4).
(5) The notification of intent to retrofit a CCR unit specified
under Sec. 257.105(j)(5).
(6) The notification of completion of retrofit activities specified
under Sec. 257.105(j)(6).
(k) Legacy CCR surface impoundments. In addition to the information
specified in paragraphs (e) through (j) of this section, the owner or
operator of a legacy CCR surface impoundment subject to this subpart
must place the following information on the owner or operator's CCR
website:
(1) The applicability report as specified under Sec.
257.105(k)(1), except each report must be posted for five years after
completion of closure by removal in accordance with Sec. 257.102(c) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (c) of this section.
(2) The applicability extension reports as specified under Sec.
257.105(k)(2), except each report must be posted for five years after
completion of closure by removal in accordance with Sec. 257.102(c) or
until completion of post-closure care in accordance with Sec.
257.104(e) or (g) irrespective of the time requirement specified in
paragraph (c) of this section.
(3) The notification of field investigation conclusion as specified
under Sec. 257.105(k)(3), except each notification must be posted for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in accordance
with Sec. 257.104(e) or (g) irrespective of the time requirement
specified in paragraph (c) of this section.
(4) The notification of intent to certify closure as specified
under Sec. 257.105(k)(4), except each notification must be posted for
five years after completion of closure by removal in accordance with
Sec. 257.102(c) or until completion of post-closure care in accordance
with Sec. 257.104(e) or (g) irrespective of the time requirement
specified in paragraph (c) of this section.
[FR Doc. 2024-09157 Filed 5-7-24; 8:45 am]
BILLING CODE 6560-50-P