Conservation and Landscape Health, 40308-40349 [2024-08821]
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Federal Register / Vol. 89, No. 91 / Thursday, May 9, 2024 / Rules and Regulations
DEPARTMENT OF THE INTERIOR
Bureau of Land Management
43 CFR Parts 1600 and 6100
[BLM_HQ_FRN_MO450017935]
RIN 1004–AE92
Conservation and Landscape Health
Bureau of Land Management,
Interior.
ACTION: Final rule.
AGENCY:
The Bureau of Land
Management (BLM) promulgates this
final rule, pursuant to the Federal Land
Policy and Management Act of 1976
(FLPMA), as amended, and other
relevant authorities, to advance the
BLM’s multiple use and sustained yield
mission by prioritizing the health and
resilience of ecosystems across public
lands. To support ecosystem health and
resilience, the rule provides that the
BLM will protect intact landscapes,
restore degraded habitat, and make
informed management decisions based
on science and data. To support these
activities, the rule applies land health
standards to all BLM-managed public
lands and uses, codifies conservation
tools to be used within FLPMA’s
multiple-use framework, and revises
existing regulations to better meet
FLPMA’s requirement that the BLM
prioritize designating and protecting
areas of critical environmental concern
(ACECs). The rule also provides an
overarching framework for multiple
BLM programs to facilitate ecosystem
resilience on public lands.
DATES: The final rule is effective on June
10, 2024.
FOR FURTHER INFORMATION CONTACT:
Patricia Johnston, Project Manager for
the Conservation and Landscape Health
Rule, at 541–600–9693, for information
relating to the substance of the final
rule. Individuals in the United States
who are deaf, deafblind, or hard of
hearing, or who have a speech
disability, may dial 711 (TTY, TDD, or
TeleBraille) to access
telecommunications relay services.
Individuals outside the United States
should use the relay services offered
within their country to make
international calls to the point-ofcontact in the United States.
SUPPLEMENTARY INFORMATION:
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SUMMARY:
I. Executive Summary
II. Background
III. Section-by-Section Discussion of the
Final Rule and Revisions From the
Proposed Rule
IV. Response to Public Comments
V. Procedural Matters
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I. Executive Summary
Under FLPMA, the principles of
multiple use and sustained yield govern
the BLM’s stewardship of public lands,
unless otherwise provided by law. The
BLM’s ability to manage for multiple
use and sustained yield of public lands
depends on the resilience of ecosystems
across those lands—that is, the ability of
the ecosystems to withstand
disturbance. Ecosystems that collapse
due to disturbance cannot deliver
ecosystem services, such as clean air
and water, food and fiber, wildlife
habitat, natural carbon storage, and
more. Establishing and safeguarding
resilient ecosystems has become
imperative as the public lands
experience adverse impacts from
climate change and as the BLM works
to ensure public lands and ecosystem
services benefit human communities.
The Conservation and Landscape Health
Rule establishes the policy for the BLM
to build and maintain the resilience of
ecosystems on public lands in three
primary ways: (1) protecting the most
intact, functioning landscapes; 1 (2)
restoring degraded habitat and
ecosystems; and (3) using science and
data as the foundation for management
decisions across all plans and programs.
The rule establishes a definition of
‘‘conservation’’ that encompasses both
protection and restoration actions,2
recognizing that the BLM must protect
intact natural landscapes and restore
degraded landscapes to achieve
ecosystem resilience. To support efforts
to protect and restore public lands, the
rule clarifies that conservation is a use
on par with other uses of the public
lands under FLPMA’s multiple-use and
sustained-yield mandate. Recognizing
that public land conservation is
incompatible with a ‘‘one size fits all’’
approach, the rule identifies multiple
conservation tools to be used where
appropriate, including protection of
intact landscapes, restoration and
1 This rule defines ‘‘intact landscape’’ to mean ‘‘a
relatively unfragmented landscape free of local
conditions that could permanently or significantly
disrupt, impair, or degrade the landscape’s
composition, structure, or function. Intact
landscapes are large enough to maintain native
biological diversity, including viable populations of
wide-ranging species. Intact landscapes provide
critical ecosystem services and are resilient to
disturbance and environmental change and thus
may be prioritized for conservation action. For
example, an intact landscape would have minimal
fragmentation from roads, fences, and dams; low
densities of agricultural, urban, and industrial
development; and minimal pollution levels.’’
2 In this rule, conservation is a use; protection and
restoration are tools to achieve conservation.
Protection is not synonymous with preservation;
rather, it allows for active management or other
uses consistent with multiple use and sustained
yield principles.
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mitigation planning, and ACEC
designation. Consistent with how the
BLM promotes and administers other
uses, the rule establishes a durable
mechanism—mitigation and restoration
leasing—to facilitate both mitigation
and restoration on the public lands,
while providing opportunities to engage
the public in the management of public
lands for this purpose. Achieving
ecosystem resilience will require, to
some extent, the protection of intact
landscapes. The goal of the rule is to
provide a decision support and
prioritization framework for the BLM as
it seeks to identify where such
protection is appropriate. The rule does
not prioritize conservation above other
uses; instead, it provides for considering
and, where appropriate, implementing
or authorizing conservation as one of
the many uses managed under FLPMA,
consistent with the statute’s plain
language.
The final rule also clarifies
throughout that its provisions should be
implemented in a manner that supports
land use planning decisions and
objectives that emphasize specific uses
in specific areas. The Desert Renewable
Energy Conservation Plan, for example,
identifies Development Focus Areas and
conservation areas, as well as
conservation and management actions
to mitigate the effects of renewable
energy development. The 2015 Greater
Sage-grouse Plans provide more
protections for the most valuable
Priority Habitat Management Areas
while permitting more activities and
related impacts in General Habitat
Management Areas. The West-wide
Energy Corridors designated by the BLM
are identified as areas that are suitable
for large transmission lines or pipelines,
subject to site-specific analysis of
proposed projects and required
conditions to avoid or minimize adverse
impacts. This preamble and the rule text
raise as an example throughout areas
that are managed for recreation or
degraded lands prioritized for
development. The use of this example is
not meant to imply that the Bureau
permits development only on degraded
land.
This final rule does not alter the
manner in which the BLM makes or
implements these types of land use
planning decisions and recognizes how
managing for ecosystem resilience
across a landscape can incorporate
conservation and development, as well
as other uses. This recognition is
reflected in the rule’s approach to
identifying and managing areas for
landscape intactness, prioritizing areas
for restoration, and evaluating land
health to inform decision-making.
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The BLM’s efforts to protect and
restore landscapes and ecosystems and
make informed planning, permitting,
and program decisions rest on the
agency’s ability to assess land health
conditions and consider those
conditions when making decisions. The
rule therefore modifies existing BLM
practice by applying the fundamentals
of land health and related standards and
guidelines to all BLM-managed public
lands and uses, not just grazing (see
§ 6103.1(a)). This broad application
includes uses, such as oil and gas
development and renewable energy
generation, that are likely to result in at
least local impacts to land health. This
rule requires the BLM to take
‘‘appropriate action’’ where a specific
land use is a factor in failing to achieve
land health, but what constitutes
‘‘appropriate action’’ may be
constrained in a given case both by law
and the applicable resource
management plan (RMP). For example,
where lands are available for solar
development under the RMP, options
for taking ‘‘appropriate action’’ to
address land health would not include
prohibiting solar development, but may
include measures to avoid, minimize, or
compensate for impacts from solar
development. In general, assessments of
land health are intended to inform how
uses are managed, rather than if they
occur, by providing accurate data on
current conditions. In implementing the
fundamentals of land health, the rule
codifies the need across BLM programs
to use high-quality information to
prepare land health assessments and
evaluations and make determinations
about land health condition.
The rule reiterates the importance of
meaningful consultation during
decision-making processes with Tribes
and Alaska Native Corporations on
issues that affect their interests, as
determined by the Tribes. It requires the
BLM to respect and incorporate
Indigenous Knowledge into
management decisions for ecosystem
resilience and directs the BLM to seek
opportunities for Tribal co-stewardship
of intact landscapes and other lands and
ecosystems, consistent with agency and
departmental guidance.
Finally, the rule amends the existing
ACEC regulations to better assist the
BLM in carrying out FLPMA’s
requirement to give priority to the
designation and protection of ACECs.
The regulatory changes elaborate on the
role of ACECs as the principal
administrative designation for
protecting important natural, cultural,
and scenic resources, and they establish
a more comprehensive framework for
the BLM to identify, evaluate, and
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consider special management attention
for ACECs in land use planning. The
rule emphasizes the role of ACECs in
contributing to ecosystem resilience by
clarifying that ACEC designation can be
used to protect landscape intactness and
habitat connectivity.
II. Background
A. The Need for Resilient Public Lands
To Achieve Multiple Use and Sustained
Yield
The BLM manages approximately 245
million acres of public lands, roughly
one-tenth of the land area of the United
States. These lands have become
increasingly degraded in recent decades
through the appearance of invasive
species, extreme wildfire events,
prolonged drought, and increased
habitat fragmentation.3 Degradation of
the health of public lands threatens the
BLM’s ability to manage public lands as
directed by FLPMA.
FLPMA requires that unless ‘‘public
land has been dedicated to specific uses
according to any other provisions of
law,’’ the Secretary, through the BLM,
must ‘‘manage the public lands under
principles of multiple use and sustained
yield, in accordance with the land use
plans developed by [the Secretary]
under section 202 of this Act when they
are available’’ (43 U.S.C. 1732(a)). The
term ‘‘sustained yield’’ means ‘‘the
achievement and maintenance in
perpetuity of a high-level annual or
regular periodic output of the various
renewable resources of the public lands
consistent with multiple use’’ (43 U.S.C.
1702(h)).
The term ‘‘multiple use’’ means ‘‘the
management of the public lands and
their various resource values so that
they are utilized in the combination that
will best meet the present and future
needs of the American people; making
the most judicious use of the land for
some or all of these resources or related
services over areas large enough to
provide sufficient latitude for periodic
adjustments in use to conform to
changing needs and conditions; the use
of some land for less than all of the
resources; a combination of balanced
and diverse resource uses that takes into
account the long-term needs of future
generations for renewable and
nonrenewable resources, including, but
3 See, e.g., Long-Term Trends in Vegetation on
Bureau of Land Management Rangelands in the
Western United States (https://
www.sciencedirect.com/science/article/pii/
S1550742422001075); Greater Sage-grouse Plan
Implementation: Range-wide Monitoring Report
2015–2020 (https://eplanning.blm.gov/public_
projects/2016719/200502020/20050224/250056407/
Greater%20Sage-Grouse%20Five-year%20
Monitoring%20Report%202020.pdf).
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not limited to, recreation, range, timber,
minerals, watershed, wildlife and fish,
and natural scenic, scientific and
historical values; and harmonious and
coordinated management of the various
resources without permanent
impairment of the productivity of the
land and the quality of the environment
with consideration being given to the
relative values of the resources and not
necessarily to the combination of uses
that will give the greatest economic
return or the greatest unit output.’’ (43
U.S.C. 1702(c)).
FLPMA also directs the BLM to ‘‘take
any action necessary to prevent
unnecessary or undue degradation of
the lands.’’ (43 U.S.C. 1732(b)).
Additionally, section 102(a)(8) of
FLPMA declares that it is the policy of
the United States that ‘‘the public lands
be managed in a manner that will
protect the quality of scientific, scenic,
historical, ecological, environmental, air
and atmospheric, water resource, and
archeological values; that, where
appropriate, will preserve and protect
certain public lands in their natural
condition; that will provide food and
habitat for fish and wildlife and
domestic animals; and that will provide
for outdoor recreation and human
occupancy and use’’ (43 U.S.C.
1701(a)(8)). Many of these resources and
values that FLPMA authorizes the BLM
to safeguard emanate from functioning
and productive native ecosystems that
supply food, water, habitat, and other
ecological necessities.
Taken together, FLPMA’s mandate to
manage public lands for multiple use
and sustained yield and its requirement
to protect certain resources and values
requires balanced management that
maintains the availability of such
resources and values for future
generations. (See 43 U.S.C. 1702(c))
Widespread degradation of land health
significantly limits the ability of public
lands and their ecosystems to provide
such resources and values and is
inconsistent with the management
direction and responsibility conferred to
the BLM through FLPMA. The general
resilience of public lands will determine
the BLM’s ability to effectively manage
for multiple use and sustained yield
over the long term. Resilience is a
critical ecosystem trait that allows
ecosystems to maintain or regain their
composition, structure, and function
following disturbances, including those
resulting from changing environmental
conditions. For example, maintaining
habitat connectivity allows organisms to
adapt to a changing climate from the
North Slope of Alaska to the Rio Grande
Valley of Colorado and New Mexico. To
ensure the resilience of public lands,
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FLPMA provides the BLM with ample
authority and direction to conserve
ecosystems and other resources and
values across the public lands.
The BLM recognizes this need for
public lands to continue to provide
resources and values when declaring its
mission ‘‘to sustain the health, diversity,
and productivity of public lands for the
use and enjoyment of present and future
generations.’’ (blm.gov; see also 43
U.S.C. 1702(c)) Without ensuring that
public lands and their component
ecosystems can maintain their function
and be resilient to future change, the
agency risks failing on its statutory
mandate and its commitment to future
generations.
To assist the BLM in carrying out its
mission and statutory mandate, this rule
provides direction and tools to protect
and restore landscapes and ecosystems
and make decisions supported by
science and data, assisting the agency in
managing for resilient landscapes that
support multiple uses and sustained
yield of resources and preventing
unnecessary or undue degradation of
the lands and their resources. As intact
landscapes play a central role in
maintaining the resilience of an
ecosystem, the rule emphasizes
protecting those public lands with
intact, functioning landscapes and
restoring others. This rule is designed to
support sustained yield such that the
nation’s public lands can continue to
supply food, water, habitat, and other
ecological necessities that can resist and
recover from drought, wildfire, and
other disturbances, and continue to
provide energy, forage, timber,
recreational opportunities, and safe and
reliable access to minerals.
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B. Conservation Use for Resilient Public
Lands
Conservation is a key strategy for
supporting resilient public lands, now
and into the future. Conservation takes
many forms on public lands, including
in the ways grazing, recreation, forestry,
wildlife and fisheries management, and
many other uses are carried out.
Conservation is both a land use and also
an investment in the landscape
intended to increase the yield of certain
other benefits elsewhere or later in time.
This rule focuses on conservation as a
land use within the multiple use
framework, including in decisionmaking, authorization, and planning
processes. The rule develops the toolbox
for conservation use—defined here as
encompassing both protection and
restoration actions—enabling some of
the many conservation strategies the
agency employs to steward the public
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lands for multiple use and sustained
yield.
FLPMA has always encompassed
conservation as a land use. As described
above, FLPMA authorizes and obligates
the BLM to, within the multiple use
framework, protect natural resources,
preserve public lands, and provide
habitat for fish and wildlife, among
other conservation measures. The BLM
has been practicing conservation of the
public lands throughout the agency’s
history. The change this rule aims to
achieve is providing clear, consistent,
and informed direction, vetted and
shaped by public input, for conservation
use to be implemented on the public
lands in support of ecosystem
resilience.
The rule does not prioritize
conservation above other multiple uses.
It also does not preclude other uses
where conservation use is occurring.
Many uses are compatible with different
types of conservation use, such as
sustainable recreation, grazing, and
habitat management. The rule also does
not enable conservation use to occur in
places where an existing, authorized,
and incompatible use is occurring.
One of the primary tools for
conservation use that is established in
this rule is restoration and mitigation
leasing (called conservation leasing in
the proposed rule). Restoration or
mitigation leases can help facilitate
dynamic landscape management over
time by allowing an area to recover and
be available for other uses after the
termination of the lease. For example, a
restoration lessee may collaborate with
an existing grazing permittee to restore
degraded rangeland with the ultimate
goal of resuming sustainable grazing.
These leases are not the only way to
conduct restoration and mitigation on
the public lands; these types of
conservation activities occur in many
ways. The leases provide a clear and
consistent tool for those actions when
appropriate and useful. Like all
conservation uses included in the rule,
restoration and mitigation leases will
not be used where existing rights and
authorized uses are in place that would
conflict with the conservation use.
The BLM has, over the years,
developed and revised regulations for
many multiple uses, whereas a
placeholder has remained in Title 43 of
the CFR for the agency to develop
regulations broadly pertaining to
conservation. With this rule, the BLM
provides necessary regulations for using
conservation to support ecosystem
resilience and landscape health.
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C. Management Decisions To Build
Resilient Public Lands
The rule recognizes that the BLM has
three primary ways of applying
conservation actions to manage for
resilient public lands that inform one
another and potentially overlap: (1)
protection of intact, functioning
landscapes; (2) restoration of degraded
habitats and ecosystems; and (3) making
decisions informed by appropriate
conservation considerations identified
through the development and execution
of plans, programs, and permits. The
organization of the rule text emanates
from this structure, with principal
sections on (1) protection of landscape
intactness and guidance on the
identification and designation of
ACECs; (2) direction to plan for and
restore degraded habitats; and (3)
instruction for management actions to
facilitate conservation, including
application of mitigation, all based on
the use of high-quality information and
adherence to land health standards for
all BLM programs.
1. Protection
As intact landscapes play a central
role in maintaining the resilience of
ecosystems, the rule provides direction
for the protection of intact, functioning
landscapes. The final rule directs the
BLM to maintain an inventory of
landscape intactness as a resource value
and identify intact landscapes in land
use plans and to protect the intactness
of certain landscapes by, for example,
implementing conservation actions that
maintain ecosystem resilience and
conserving landscape intactness when
managing compatible uses. Inventories
of landscape intactness focus on an
estimate of naturalness measured
against human-caused disturbance and
influence. The BLM intends to assess
intactness through use of watershed
condition assessments consistent with
peer-reviewed methods developed
jointly with the U.S. Geological Survey.4
One of the principal administrative
tools the BLM has available to protect
public land resources is the designation
of ACECs. ACECs are areas where
special management attention is needed
to protect important historical, cultural,
and scenic values or fish and wildlife or
other natural resources; ACECs can also
be designated to protect human life and
safety from natural hazards. The rule
clarifies and expands existing ACEC
regulations to better support the BLM in
carrying out FLPMA’s direction to give
4 See, for instance, this collaborative effort
between the BLM and the USGS: A Multiscale
Index of Landscape Intactness for the Western U.S.
| U.S. Geological Survey (usgs.gov).
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priority to the designation and
protection of these important areas.
Pursuant to Executive Order 14072,
Strengthening the Nation’s Forests,
Communities, and Local Economies, 87
FR 24851 (Apr. 22, 2022), and
consistent with managing for multiple
use and sustained yield and other
applicable law, the BLM is working to
ensure that forests and woodlands on
public lands, including old and mature
forests and woodlands, are managed to:
promote their continued health and
resilience, retain and enhance carbon
storage, recruit old-growth forests and
characteristics, conserve biodiversity,
mitigate the risk of wildfires, enhance
climate resilience, enable subsistence
and cultural uses, provide outdoor
recreation opportunities, and promote
sustainable local economic
development. Older forests and
woodlands, including pinyon and
juniper woodlands, which are the
BLM’s most abundant old forest type,
have characteristics that contribute to
ecosystem resilience and further the
objectives of this rule. The
characteristics include providing
important wildlife habitat, maintaining
intact landscapes, contributing
ecosystem services, and harboring
significant social and cultural values for
human communities. As such, these
resources will be considered and
evaluated for protection and expansion
under multiple provisions of the rule.
2. Restoration
To promote consistency in its
application, the final rule establishes
principles for the design and
implementation of BLM restoration
actions on public lands. To direct
restoration efforts, the rule also requires
that resource management plans
identify restoration outcomes and that
the BLM identify priority landscapes for
restoration, develop restoration plans,
and track implementation of restoration
actions.
The rule offers new tools in the form
of restoration leases and mitigation
leases that allow qualified entities to
directly support efforts to build and
maintain resilient public lands. These
leases will be available to entities
seeking to restore public lands or
mitigate reasonably foreseeable impacts
from an authorized activity. Leases will
not override valid existing rights or
preclude other, subsequent
authorizations so long as those
authorizations are compatible with the
restoration or mitigation use. The rule
establishes the process for applying for
and granting leases, terminating or
suspending them, determining
noncompliance, and setting bonding
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obligations. The rule expresses a
preference for lease applications that are
derived from collaboration with existing
permittees, lease holders, or adjacent
land managers or owners, or that
include other specific factors
enumerated in 6102.4(d) that will make
lease issuance more likely. Restoration
and mitigation leases will be issued for
a term consistent with the time required
to achieve their objectives. Restoration
leases will be issued for a maximum of
10 years but can be renewed if necessary
to serve the purposes for which the
lease was first issued. Once these
purposes have been achieved, the lease
will not warrant renewal. Any
mitigation lease will require a term
commensurate with the impact(s) it is
offsetting. Restoration and mitigation
leases may also provide opportunities
for co-stewardship with federally
recognized Tribes.
3. Management Actions for DecisionMaking
The final rule delineates how its goals
can be achieved when implementing
programs, establishing land use plans,
and authorizing use. In doing so, the
rule requires the BLM to use highquality information, including
Indigenous Knowledge. To ensure the
BLM does not limit its ability to build
resilient public lands when authorizing
use, the rule requires the BLM to apply
a mitigation hierarchy (i.e., take actions
to avoid, minimize, and compensate for
certain residual impacts, generally in
that order). (See § 6102.5.1(a)).5 For
important, scarce, or sensitive resources,
the BLM must apply the mitigation
hierarchy with particular care, with the
goal of eliminating, reducing, and/or
offsetting impact on the resource. The
rule also establishes regulations to
govern the BLM’s approval of a thirdparty mitigation fund holder.
The final rule highlights the
importance of environmental justice in
decision-making, including advancing
environmental justice through
restoration and mitigation actions as one
of the rule’s objectives. The BLM is
implementing Executive Order 14008 on
Tackling the Climate Crisis at Home and
Abroad, 86 FR 7619 (Jan. 27, 2021) and
Executive Order 14096 on Revitalizing
Our Nation’s Commitment to
Environmental Justice for All, 88 FR
5 The BLM’s final rule adopts the definition of
‘‘mitigation’’ used by the Council on Environmental
Quality’s regulations implementing the procedural
requirements of NEPA, 40 CFR 1508.1(s), including
for compensatory mitigation: ‘‘Compensating for the
effect by replacing or providing substitute resources
or environments.’’ Id. § 1508.1(s)(5). This definition
also aligns with existing BLM policy, including its
Mitigation Manual Section, MS–1794, and its
Mitigation Handbook, H–1794–1.
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25251 (Apr. 26, 2023), which establish
environmental justice initiatives and
policy goals.6 The BLM issued guidance
in September 2022 clarifying minimum
requirements for incorporating
environmental justice considerations in
environmental reviews (Instruction
Memorandum 2022–059,
‘‘Environmental Justice
Implementation’’). This rule builds on
the agency’s current commitments and
direction by highlighting opportunities
to address impacts to disadvantaged
communities that are marginalized by
underinvestment and overburdened by
pollution and to advance environmental
justice. In planning for and prioritizing
landscapes for restoration, the rule
requires consideration of where
restoration can address impacts on
communities’ environmental justice
concerns, as well as other social and
economic benefits. Environmental
justice considerations are also identified
as a factor in evaluating proposals for
restoration and mitigation lease
applications.
To support conservation actions and
decision-making, the rule extends the
application of the fundamentals of land
health (taken verbatim from the existing
fundamentals of rangeland health at 43
CFR 4180.1 (2005)) and related
standards and guidelines to all lands
managed by the BLM and across all
program areas. The fundamentals are
general descriptions of conditions that
maintain the health and functionality of
watersheds, ecological processes, water
quality, and threatened, endangered,
and special-status species habitat. The
standards measure the level of physical
and biological conditions required for
healthy lands and sustainable uses of
public lands, essentially identifying
trends toward achieving or not
achieving desired conditions.
Assessment and evaluation of the
standards informs decision-making at
all levels of the BLM, including
decisions made in resource management
plans. However, it is the evaluation of
multiple lines of evidence to conclude
whether or not each land health
standard is being achieved that is most
relevant to a decision maker. Multiple
lines of evidence that may be used to
evaluate land health include, but are not
limited to, standardized quantitative
monitoring data, remote sensing-derived
maps and data, qualitative assessments,
photos, water quality data, habitat
assessments, disturbance and land use
6 These efforts build on prior Executive Orders,
such as Executive Order 12898 on Federal Actions
to Address Environmental Justice in Minority
Populations and Low-Income Populations, 59 FR
7629 (Feb. 11, 1994).
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history, and weather and climate data
relevant to each land health standard.
Determining if a standard is being
achieved, or not achieved, can inform
how a land use may be modified or
adapted to improve land health
conditions consistent with the
fundamentals. The rule does not
require, however, that individual
actions ‘‘comply’’ with the
fundamentals of land health, nor does it
require achievement of those
fundamentals (as measured by the land
health standards) as a precondition for
any BLM decision.
Currently, the fundamentals of land
health and related standards apply only
to rangeland systems where the BLM
authorizes grazing.7 Existing land health
standards vary across regions and states
creating a complex, but locally adapted
system of rangeland evaluation. The
rule includes a process for developing
and adopting consistent national land
health standards and amending or
supplementing them to apply them
more effectively to habitats managed by
the BLM other than rangelands (e.g.,
forests, deserts, shrublands, wetlands).
Until the BLM has developed a
consistent set of national standards,
existing standards and indicators will be
applied according to the process
described within this rule. However,
broadening the applicability of existing
land health standards ensures the BLM
will more formally and consistently
consider the condition of public lands
in decision-making. The rule includes
instruction, largely consistent with the
existing framework at 43 CFR 4180.1, on
how the BLM must assess, evaluate, and
determine if public lands are meeting
land health standards. At a critical
moment in the health and history of our
public lands, the rule directs the BLM
to perform such assessments and
evaluations at broad spatial and
temporal scales, thereby creating
efficiencies in the land health process
and opportunities to streamline permit
renewals and authorizations.
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D. Tribal Engagement and CoStewardship
The final rule reflects the U.S.
Government’s special relationship with
Indian Tribes by incorporating updated
requirements for government-togovernment consultation, provisions for
respecting Indigenous Knowledge, and
7 The BLM currently maintains inventory,
assessment and monitoring data from its
implementation of the grazing regulations related to
rangeland health through the agency’s Assessment,
Inventory, and Monitoring (AIM) program, and
makes this data available to the public. https://
www.blm.gov/aim.
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direction to seek opportunities for
Tribal co-stewardship.
The BLM is committed to working
with Tribes in the management of the
public lands, which are the ancestral
homelands of many American Indian
and Alaska Native Tribes. The BLM is
the country’s largest land manager, and
it is vital that the BLM respect the
nation-to-nation relationship that exists
with American Indian and Alaska
Native Tribes while incorporating costewardship where possible. Engaging
with Tribes through co-stewardship
opportunities is a priority for the BLM
as identified in: Joint Secretarial Order
3403 on Fulfilling the Trust
Responsibility to Indian Tribes in the
Stewardship of Federal Lands and
Waters (Nov. 15, 2021); BLM Permanent
Instruction Memorandum No. 2022–
011, Co-Stewardship with Federally
Recognized Indian and Alaska Native
Tribes Pursuant to Secretary’s Order
3403 (Sept. 13, 2022); and the
Department of the Interior Departmental
Manual Part 502, Collaborative and
Cooperative Stewardship with Tribes
and the Native Hawaiian Community.
In response to comments and
consultation on the proposed rule,8 the
BLM made several updates to the final
rule to better embrace its commitment to
working with Tribes in managing the
public lands for ecosystem resilience
and landscape health. A stated objective
of the final rule (43 CFR 6101.2(i)) is to:
‘‘[i]mprove engagement and costewardship of public lands with Tribal
entities and promote the use of
Indigenous Knowledge in decisionmaking.’’ The final rule intends to
achieve this objective through
provisions for Tribal consultation,
incorporation of Indigenous Knowledge,
and co-stewardship.
The final rule directs the BLM to
meaningfully consult with Indian Tribes
and Alaska Native Corporations on
actions that are determined, after
allowing for Tribal input, to potentially
8 Pueblo of Tesque Comments on Bureau of Land
Management Conservation and Landscape Health
Rule (July 5, 2023), ; Pyramid Lake Paiute Tribe,
Public Comment Regarding the Proposed Public
Lands Rule (June 27, 2023), https://
www.regulations.gov/comment/BLM-2023-0001153233; Northwest Arctic Native Association
(NANA) Regional Corporation, Inc., Comments—
Proposed Conservation and Landscape Health Rule
(July 5, 2023), https://www.regulations.gov/
comment/BLM-2023-0001-154147; Colorado River
Indian Tribes, Comments on BLM Proposed Federal
Land Policy and Management Act of 1979 (FLPMA)
Regulations on Conservation and Landscape Health
(June 20, 2023), https://www.regulations.gov/
comment/BLM-2023-0001-120501; Ute Indian Tribe
of the Uintah and Ouray Reservation, Comments on
the Bureau of Land Management Proposed Rule on
Conservation and Landscape Health (June 27, 2023),
https://www.regulations.gov/comment/BLM-20230001-147694.
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have a substantial effect on the Tribe or
Corporation. In taking management
actions for ecosystem resilience, and in
recognition that Tribes can initiate
consultation upon request, the final rule
requires the BLM to meaningfully
consult with Indian Tribes and Alaska
Native Corporations during the
decision-making process. These changes
promote consistency with Departmental
Manual guidance for consultation with
Tribes.
The rule includes guidance for
respecting and considering Indigenous
Knowledge and directs the BLM to
identify opportunities for costewardship as an overarching objective
and specifically when managing intact
landscapes, planning restoration actions
on public lands, and taking management
actions for ecosystem resilience.
The final rule also includes updated
definitions for Indigenous Knowledge
and high-quality information to reflect
current guidance and to make clear that
Indigenous Knowledge qualifies as highquality information when it is gained by
prior informed consent, free of coercion,
and generally meets the standards for
high-quality information.
E. Inventory, Evaluation, Designation,
and Management of ACECs
To implement FLPMA’s direction to
‘‘give priority to the designation and
protection of areas of critical
environmental concern,’’ (43 U.S.C.
1712(c)(3)), the rule updates regulatory
requirements found at 43 CFR 1610.7–
2 and codifies policy instruction found
in the BLM Manual that guides its
treatment of ACECs. (https://
www.ntc.blm.gov/krc/system/files?
file=legacy/uploads/5657/5_1613_
ACEC_Manual%201988.pdf) The BLM
inventories, evaluates, and designates
ACECs as part of the land use planning
process. The land use planning process
guides BLM resource management
decisions in a manner that allows the
BLM to respond to issues and consider
trade-offs among environmental, social,
and economic values in determining
appropriate land uses for specific areas.
Further, the planning process requires
coordination, cooperation, and
consultation and provides other
opportunities for public involvement
that can foster relationships, build trust,
and result in durable decision-making.
In 40 years of applying the procedures
found at 43 CFR 1610.7–2 and in the
ACEC Manual, the BLM has identified
a need for several revisions that it has
now made in this final rule. These
revisions are needed to provide clear
direction and comprehensive guidance
encompassing all elements of the ACEC
designation and management process.
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Additionally, the final rule codifies the
BLM’s procedures for considering and
designating potential ACECs, providing
more cohesive direction and
consistency than the previous
procedures, which were described
partially in regulation and partially in
agency policy. The rule maintains the
general process for inventorying,
evaluating, designating, and managing
ACECs, but makes specific changes to
clarify and improve that process. The
process is generally described here, with
more detailed explanation in the
‘‘Section-by-Section Discussion of the
Final Rule and Revisions from the
Proposed Rule’’ and in the ‘‘Response to
Public Comments’’ sections of this
preamble to the final rule.
In the initial stages of the land use
planning process, the BLM, through
inventories and external nominations,
identifies any potential new ACECs to
evaluate for relevance, importance, and
the need for special management
attention. The BLM determines whether
such special management attention is
needed by evaluating land use planning
alternatives and considering additional
issues related to the management of the
proposed ACEC, including public
comments received during the planning
process. Special management measures
may also provide an opportunity for
Tribal co-stewardship. In approved
resource management plans, the BLM
identifies all designated ACECs and
provides the management direction
necessary to protect the relevant and
important values for which the ACECs
were designated.
This rule establishes procedures that
require the BLM to consider ecosystem
resilience, landscape-level needs, and
rapidly changing landscape conditions
in designating and managing ACECs,
and it establishes a management
standard to ensure ACEC values are
appropriately conserved. The rule also
provides that the BLM may, at the
agency’s discretion, implement
temporary management for potential
ACECs identified outside of an ongoing
planning process until the potential
ACEC can be evaluated for designation
through a land use planning process.
When implementing temporary
management, the BLM will comply with
all applicable laws, including the
National Environmental Policy Act
(NEPA), notify the public of the
temporary management, and
periodically reevaluate its decision to
provide for temporary management.
These provisions do not change the
presumption that the BLM generally
addresses its management of areas that
may be appropriate for an ACEC
designation through the land use
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planning process. The final rule also
codifies research natural areas as a type
of ACEC designated for the primary
purpose of research and education on
public lands, consistent with existing
regulations (43 CFR subpart 8223) and
policy.
The BLM intends to revise its ACEC
manual to integrate the new and
existing regulations into policy and
provide more detailed guidance for their
implementation. Guidance will help the
BLM and the public better understand
how the ACEC regulations are applied
on a case-by-case basis.
F. Statutory Authority
FLPMA establishes the BLM’s mission
to manage public lands ‘‘under
principles of multiple use and sustained
yield’’ (except for lands where another
law directs otherwise). (43 U.S.C.
1732(a)) Multiple use is defined as:
the management of the public lands and their
various resource values so that they are
utilized in the combination that will best
meet the present and future needs of the
American people; making the most judicious
use of the land for some or all of these
resources or related services over areas large
enough to provide sufficient latitude for
periodic adjustments in use to conform to
changing needs and conditions; the use of
some land for less than all of the resources;
a combination of balanced and diverse
resource uses that takes into account the
long- term needs of future generations for
renewable and nonrenewable resources,
including, but not limited to, recreation,
range, timber, minerals, watershed, wildlife
and fish, and natural scenic, scientific and
historical values; and harmonious and
coordinated management of the various
resources without permanent impairment of
the productivity of the land and the quality
of the environment with consideration being
given to the relative values of the resources
and not necessarily to the combination of
uses that will give the greatest economic
return or the greatest unit output.
(43 U.S.C. 1702(c)). Sustained yield is
defined as, ‘‘the achievement and
maintenance in perpetuity of a highlevel annual or regular periodic output
of the various renewable resources of
the public lands consistent with
multiple use.’’ (43 U.S.C. 1702(h)).
FLPMA also authorizes the Secretary
to promulgate implementing regulations
necessary ‘‘to carry out the purposes’’ of
the Act. (43 U.S.C. 1740) This rule,
enacted under that authority, (1) defines
and regulates conservation use on the
public lands in service of FLPMA’s
multiple use and sustained yield
mandates; (2) provides for third-party
authorizations to use the public lands
for restoration and mitigation under
FLPMA section 302(b) (43 U.S.C.
1732(b)); and (3) revises the existing
regulations implementing FLPMA’s
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40313
direction in sections 201(a) and
202(c)(3) (43 U.S.C. 1711(a) and
1712(c)(3)) that the BLM shall give
priority to the designation and
protection of ACECs. (See also 43 U.S.C.
1701(a)(11) (‘‘[I]t is the policy of the
United States that—regulations and
plans for the protection of public land
areas of critical environmental concern
be promptly developed.’’)).
This rule clarifies that conservation is
a use on par with other uses and
responds to the direction inherent in
FLPMA’s multiple use and sustained
yield mandate to manage public lands
for resilience and future productivity
and to mitigate resource impacts. A
number of comments questioned the
BLM’s authority to treat ‘‘conservation’’
as a use within FLPMA’s multiple use
framework. As a general matter, the
definition of ‘‘multiple use’’ makes
clear, and courts have affirmed, that
managing some lands for conservation
use is a permissible, and indeed crucial,
aspect of managing public lands under
the principles of multiple use and
sustained yield, as FLPMA requires.
(See 43 U.S.C. 1702(c); see also New
Mexico ex rel. Richardson v. BLM, 565
F.3d 683, 710 (10th Cir. 2009) (‘‘It is
past doubt that the principle of multiple
use does not require BLM to prioritize
development over other uses . . . BLM’s
obligation to manage for multiple use
does not mean that development must
be allowed . . . Development is a
possible use, which BLM must weigh
against other possible uses—including
conservation to protect environmental
values.’’); Theodore Roosevelt
Conservation P’ship v. Salazar, 616 F.3d
497, 518 (D.C. Cir. 2010) (‘‘[T]he Bureau
has wide discretion to determine how
those [FLPMA] principles [of multiple
use and sustained yield] should be
applied.’’); Or. Nat. Desert Ass’n v. BLM,
531 F.3d 1114, 1134 (9th Cir. 2008)
(recognizing that the BLM’s ‘‘wide
authority to manage the public lands
under principles of multiple use and
sustained yield allows it ample
discretion for management of lands with
wilderness values’’)).
Public Comments on Statutory
Authority
Several comments suggested more
specifically that the decision in Public
Lands Council v. Babbitt, 167 F.3d 1287
(10th Cir. 1999), would prohibit the
restoration and mitigation leases
available under this rule.
We disagree. In that case, the Tenth
Circuit held that the Taylor Grazing Act
and section 402 of FLPMA could not
authorize ‘‘issuing a ‘grazing permit’
that excludes livestock grazing for the
entire term of the permit.’’ Id. at 1307.
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The court, therefore, enjoined the
regulations purporting to authorize
Taylor Grazing Act permits that
provided for no grazing. In doing so, the
Tenth Circuit expressly stated that the
question in the case was ‘‘not whether
the Secretary possesses general
authority to take conservation
measures—which clearly he does.’’ Id.
The present rule, in contrast to the
grazing rule at issue in Public Lands
Council v. Babbitt, is an exercise of that
authority to take conservation measures.
It does not rely on the Taylor Grazing
Act, nor does it modify the terms and
conditions available for grazing permits
or authorize the BLM to issue grazing
permits approving non-grazing uses.
Rather, this rule provides for a separate
category of leases, which can be
exercised on public lands in areas with
other ongoing uses, such as active
grazing, consistent with the BLM’s
authority under FLPMA to ‘‘manage the
public lands under principles of
multiple use and sustained yield’’ (43
U.S.C. 1732(a)) and to ‘‘regulate,
through easements, permits, leases,
licenses, published rules, or other
instruments as the Secretary deems
appropriate, the use, occupancy, and
development of the public lands.’’ (43
U.S.C. 1732(b)) The final rule renames
what the proposed rule called
‘‘conservation leases’’ as ‘‘restoration
leases’’ and ‘‘mitigation leases’’ to more
precisely describe the activities that
would be authorized on the leased
lands.
A number of comments that object to
including ‘‘conservation’’ alongside
other uses in FLPMA’s multiple use
framework, including a letter from the
Small Business Administration, Office
of Advocacy (Advocacy), point to the
absence of the word ‘‘conservation’’
from FLPMA’s definition of ‘‘principal
or major uses.’’ (See 43 U.S.C. 1702(l))
We disagree. Those comments
misapprehend the meaning of the term
‘‘principal or major uses’’ within the
statutory framework established by
FLPMA. That term does not appear in
any of FLPMA’s discussion of multiple
use, and the principal or major uses
included in the definition of that term
do not hold an exclusive or even
superior position within the multiple
use framework. Indeed, that defined
term appears in FLPMA only in section
202(e) (43 U.S.C. 1712(e)), which
provides that all land use plan decisions
are subject to revision and modification
and—specific to principal or major
uses—includes a Congressional
reporting provision (section 202(e)(2))
that contains no substantive constraint
on the BLM’s authority. The Advocacy
letter asserts that restoration or
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mitigation leases must be submitted to
Congress, citing Section 202(e)(2). But
section 202(e)(2) merely provides for
congressional notification if a
management decision ‘‘excludes (that is,
totally eliminates)’’ one or more of the
principal or major uses for two or more
years on an area exceeding one hundred
thousand acres or more’’ of the public
lands. (43 U.S.C. 1712(e)(2)) The
adoption of the final rule does not
immediately result in any restoration or
mitigation lease going into effect, much
less one that covers one hundred
thousand or more acres, let alone one
that ‘‘totally eliminates’’ a principal or
major use on such an area for two or
more years. Nor does it follow from the
rule that the leases the BLM does issue
would necessarily meet the criteria to
trigger section 202(e)(2). More
importantly, the Advocacy letter fails to
grapple with the necessary and obvious
implication of this provision: Congress’s
clear recognition that the BLM is
authorized to take actions that would
exclude principal or major uses—
including from large tracts of land—as
long as it reports such actions to
Congress when it does. In short, the
provision is not only inapplicable to
most, if not all, restoration and
mitigation leases that may be issued
under this rule, but it clearly
demonstrates that the BLM has the
authority Advocacy claims it lacks.
Several commenters suggested that
the issuance of a final rule that
recognizes conservation as a use of the
public lands and allows for the issuance
of restoration and mitigation leases
might be challenged in federal court
under the Administrative Procedure
Act, speculating further that a reviewing
court might evaluate these features of
the rulemaking under the major
questions doctrine.
We disagree. The Supreme Court
deemed the major questions doctrine to
apply when an agency’s asserted
statutory authority is unclear and when
the ‘‘history and the breadth of the
authority’’ and the ‘‘economic and
political significance’’ of its assertion
provide a ‘‘reason to hesitate.’’ West
Virginia v. EPA, 142 S. Ct. 2587, 2595
(2022). But as this preamble to this final
rule explains elsewhere in detail, and as
courts have confirmed, FLPMA’s
animating principles of multiple use
and sustained yield embrace
conservation use as an integral
component of the BLM’s stewardship of
the public lands. Moreover, while
restoration and mitigation leases are
specific new tools for managing the
public lands, FLPMA provides clear and
broad authority to manage the public
lands at the discretion of the Secretary,
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including for conservation use, for the
reasons described in detail above, and
including through leases. (43 U.S.C.
1732(a)–(b))
The BLM has a long history of
exercising that broad regulatory
authority to manage its lands through
leases and similar instruments,
including by issuing permits or right-ofway grants that authorize the permit
holder to implement restoration and
mitigation as a component or a
condition of an authorization to use the
public lands for development or
extractive purposes. See, e.g., M–37039,
The Bureau of Land Management’s
Authority to Address Impacts of its
Land Use Authorizations through
Mitigation, at 11–22 (Dec. 21, 2016)
(reinstated by M–37075 (Apr. 15, 2022))
(‘‘[The] BLM’s charge under FLPMA to
manage public lands based on
principles of multiple use and sustained
yield supports use of mitigation. The
authority to evaluate and impose
mitigation arises out of the broad
authority FLPMA vests in the BLM to
pursue congressional goals . . . for
public lands. The BLM can evaluate and
require mitigation through both the land
use planning process and site-specific
authorizations.’’); Theodore Roosevelt
Conservation P’ship, 616 F.3d at 505–
06, 515–17 (concerning planning
decision that outlined mitigation
measures to be imposed as conditions of
approval for oil and gas drilling). For
the reasons noted above, Congress has
spoken clearly that conservation—
including in the forms of restoration or
mitigation—is an appropriate use of the
public lands and that, where a given use
of the public lands is appropriate,
leasing is an appropriate means to
regulate such use.
Several commenters noted that a
different BLM rule—Resource
Management Planning, 81 FR 89580
(Dec. 12, 2016)—was subject to a
congressional joint resolution of
disapproval under the Congressional
Review Act (CRA) (5 U.S.C. 802). These
commenters suggested that this rule,
therefore, may be precluded by the CRA
provision that ‘‘a new rule that is
substantially the same as’’ a rule that
does not continue in effect due to a joint
resolution of disapproval may not be
issued. (5 U.S.C. 801(b)(2))
We disagree. This rule, which would
promulgate a series of new regulations
at 43 CFR part 6100 and make changes
to 43 CFR 1610.7–2, is not substantially
the same as the BLM’s 2016 rule. The
2016 rule included amendments to
§ 1610.7–2, but they were different in
substance and form from the revisions
proposed in this rule and involved a
much broader amendment to all of the
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planning regulations at 43 CFR part
1600. For example, this rule identifies
‘‘landscape intactness’’ as a value
meriting consideration for conservation,
including through designation of
ACECs, and calls for land health
evaluations at geographic scales broader
than grazing allotments. But these
features of the present rule do not
amount to the same landscape-scale
planning approach that was central to
the 2016 rule, and which would have
been (and would need to be)
implemented through a wholesale
revision of the planning regulations at
43 CFR part 1600.
A number of comments noted that the
BLM’s management of the public lands
is subject to additional laws beyond
FLPMA and in some cases asked that
the BLM limit the geographic scope of
the final rule to exclude areas of public
lands where another statute provides
direction or informs how the BLM
should manage those lands.
We agree that laws beyond FLPMA
govern BLM’s management of the public
lands, but we decline to amend the rule
in response to these comments. The
final rule applies across BLM-managed
lands. However, implementation of the
rule—that is, land use planning and
individual project-level decisions—will
be subject to and must be undertaken
consistent with all applicable laws,
including the Mining Law of 1872, 30
U.S.C. 22 et seq., the Oregon and
California Revested Lands Sustained
Yield Management Act of 1937, 43
U.S.C. 2601 et seq. (the O&C Act), the
Alaska National Interest Lands
Conservation Act, 16 U.S.C. 3101 et seq.
(ANILCA), the Paleontological
Resources Preservation Act of 2009, 16
U.S.C. 470aaa et seq. (PRPA), the
Endangered Species Act, 16 U.S.C. 1531
et seq. (ESA), the National
Environmental Policy Act, 42 U.S.C.
4321 et seq. (NEPA), and the National
Historic Preservation Act, 54 U.S.C.
300101 et seq. (NHPA).
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G. Related Executive and Secretarial
Direction
The rule is consistent with directives
set forth in several Executive and
Secretary’s Orders and related policies
and strategies. These directives call on
the Department of the Interior (DOI),
and the Federal Government more
generally, to use landscape-scale,
science-based, collaborative approaches
to natural resource management.
They include Executive Order 14072,
Strengthening the Nation’s Forests,
Communities, and Local Economies,
recognizes that healthy forests are
‘‘critical to the health, prosperity, and
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resilience of our communities.’’ It states
a policy to:
pursue science-based, sustainable forest and
land management; conserve America’s
mature and old-growth forests on Federal
lands; invest in forest health and restoration;
support indigenous traditional ecological
knowledge and cultural and subsistence
practices; honor Tribal treaty rights; and
deploy climate-smart forestry practices and
other nature-based solutions to improve the
resilience of our lands, waters, wildlife, and
communities in the face of increasing
disturbances and chronic stress arising from
climate impacts.
The Executive Order calls for
defining, identifying, and inventorying
our nation’s old and mature forests, then
stewarding them for future generations
to provide clean air and water, sustain
plant and animal life, and respect their
special importance to Tribal Nations.
This rule advances these objectives by
providing a framework for conservation
use on public lands that would apply to
mature and old-growth forests and
woodlands managed by the BLM.
And Joint Secretarial Order 3403 on
Fulfilling the Trust Responsibility to
Indian Tribes in the Stewardship of
Federal Lands and Waters, issued on
November 15, 2021, by DOI and the
Department of Agriculture, reiterates the
Departments’ commitment to the United
States’ trust and treaty obligations as an
integral part of managing Federal lands.
The order emphasizes that ‘‘Tribal
consultation and collaboration must be
implemented as components of, or in
addition to, Federal land management
priorities and direction for recreation,
range, timber, energy production, and
other uses, and conservation of
wilderness, refuges, watersheds,
wildlife habitat, and other values.’’ The
order also notes the benefit of
incorporating Tribal expertise and
Indigenous Knowledge into Federal
land and resources management.
H. Public Involvement in the Proposed
Rule
The BLM published the proposed rule
in the Federal Register on April 3, 2023
(88 FR 19583), for a 75-day comment
period ending on June 20, 2023. In
response to public requests for an
extension, on June 15, 2023, the BLM
announced a 15-day extension of the
comment period. The official comment
period extension notice was published
on June 20, 2023 (88 FR 39818). The
extended comment period closed on
July 5, 2023.
During the comment period, the BLM
hosted a variety of public outreach
activities. The BLM held two virtual
public meetings on May 15 and June 5,
2023. The BLM held three in-person
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meetings in Denver, Colorado (May 25,
2023); Albuquerque, New Mexico (May
30, 2023); and Reno, Nevada (June 1,
2023) to provide an overview of the
proposed rule and answer questions
from the public. All webinars and
meetings were led by a third-party
facilitator. A video recording of the May
15 virtual meeting and presentation
slides in English and Spanish are
available on the BLM website. The BLM
also posted a reviewer guide and fact
sheet, frequently asked questions on
topics of interest, infographics, and
other background information on the
BLM website to further public
understanding of the proposed rule.
(https://www.blm.gov/public-landsrule.)
In addition, the BLM conducted
external outreach and participated in
dozens of meetings to discuss the
content of the proposed rule, including
congressional briefings; meetings with
States and State agencies; meetings with
grazing, recreation, renewable energy,
and other stakeholder interest groups
and associations; and presentations at
conferences and events. Meetings were
conducted by both headquarters staff
and regional staff across the country.
I. Tribal Consultation on the Proposed
Rule
At the beginning of the rulemaking
process, letters were sent to all federally
recognized Tribes and Alaska Native
Claims Settlement Act Corporations
informing them of the proposed rule
and inviting them to engage with the
BLM to discuss their thoughts and
concerns. The BLM conducted
government-to-government consultation
on the proposed rule as requested by
Tribes.
To facilitate understanding of the
proposed rule, the BLM posted all
meeting materials, including a recording
of the first virtual meeting, frequently
asked questions, and meeting handouts,
on its website to accommodate Tribal
members and other members of the
public who could not attend a public
meeting. This final rule is informed by
input received from Tribes during the
public comment period. Over 20 Tribal
governments, Alaska Native
Corporations, and tribal entities
submitted formal comments on the
proposed rule. Tribal comments covered
a range of topics including ACEC
nomination, tribal consultation and costewardship, protection of cultural
resources, and restoration and
mitigation leasing. Responses to Tribal
input are addressed in the ‘‘Tribal
Engagement and Co-Stewardship’’ and
‘‘Section-by-Section Discussion of the
Final Rule and Revisions from the
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Proposed Rule’’ sections of this
preamble to the final rule.
J. Summary of Changes
The BLM received an initial total of
216,403 comments from regulations.gov.
Further analysis showed that there were
public comment submissions with
multiple cosigners, sometimes several
thousand on one submission, which
were initially counted as separate
submissions but ultimately identified as
a single submission with multiple
signatures. Therefore, although 216,403
people voiced their opinion, the final
count of comment letters came to
152,673. The comment letters on the
proposed rule are available for viewing
on the Federal e-rulemaking portal
(https://www.regulations.gov) (search
Docket ID: BLM–2023–0001).
The BLM has reviewed all public
comments and made changes, as
appropriate, to the final rule based on
those comments and internal review.
Those changes are described in detail in
the ‘‘Section-by-Section Discussion of
the Final Rule and Revisions from the
Proposed Rule’’ of this preamble to the
final rule. In addition, the ‘‘Response to
Public Comments’’ section in this
preamble to the final rule provides a
summary of issues raised most
frequently in public comments and the
BLM’s response.
III. Section-by-Section Discussion of the
Final Rule and Revisions From the
Proposed Rule
Note: This section of the preamble
discusses newly promulgated part 6100 first
before turning to the revisions to § 1610.7–2,
notwithstanding that § 1610.7–2 appears first
in the final rule text. Part 6100 contains the
core content of this final rule, which frames
the need for revision to § 1610.7–2.
43 CFR Subchapter F—Preservation
and Conservation
PART 6100—ECOSYSTEM
RESILIENCE
Subpart 6101—General Information
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Section 6101.1—Purpose
This section describes the overall
purpose for the rule. The rule is
designed to facilitate healthy wildlife
habitat, clean water, and ecosystem
resilience so that public lands can better
resist and recover from disturbances like
drought and wildfire. It also aims to
enhance mitigation options, establishing
a regulatory framework for those seeking
to use the public lands, while also
ensuring that the public enjoys the
benefits of mitigation measures. The
rule discusses the use of protection and
restoration actions, as well as tools such
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as land health evaluations, inventory,
assessment, and monitoring.
In response to public comments, the
final rule expands the purpose
statement to include preventing
permanent impairment or unnecessary
or undue degradation of public lands, in
addition to promoting the use of
conservation to ensure ecosystem
resilience.
Section 6101.2—Objectives
This section lists the specific
objectives of the rulemaking. These
objectives were discussed at length
earlier in the preamble for the rule. In
response to public comments, the BLM
added four objectives to the original six,
which are to: provide for healthy lands
and waters that support sustainable
outdoor recreation experiences for
current and future generations; prevent
permanent impairment or unnecessary
or undue degradation of public lands;
improve engagement and costewardship of public lands with Tribal
entities and promote the use of
Indigenous Knowledge in decisionmaking; and advance environmental
justice through restoration and
mitigation actions.
Additionally, in response to public
comments, the final rule expands the
objective that originally read ‘‘Promote
conservation by maintaining, protecting,
and restoring ecosystem resilience and
intact landscapes’’ by specifically
adding ‘‘including habitat connectivity
and old-growth forests.’’
Section 6101.3—Authority
A number of comments identified
potential additional statutory authority
on which the BLM might rely in
promulgating this rule. The BLM has
determined the reference to statutory
authority is sufficient.
A number of comments raised
questions about the relationship
between the rule and other laws, such
as the Mining Law, the O&C Act, and
ANILCA, that apply to particular areas
or particular uses of the public lands.
The final rule adds language in this
section to clarify that implementation of
the rule is subject to other applicable
laws.
Section 6101.4—Definitions
This section provides new definitions
for concepts such as conservation,
ecosystem resilience, sustained yield,
mitigation, and unnecessary or undue
degradation, along with other terms
used throughout the rule text. These
definitions apply to the use of those
terms in part 6100, while definitions for
the terms casual use, conserve,
ecosystem resilience, intactness,
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landscape, monitoring, protect, and
restore also apply to the use of those
terms in § 1610.7–2.
The final rule adopts, without
revision, the proposed definitions of the
terms: casual use; important, scarce, and
sensitive resources; mitigation;
mitigation strategies; monitoring; public
lands; and reclamation. The final rule
revises the proposed definitions of the
terms: conservation, disturbance,
effects, high-quality information,
Indigenous Knowledge, intact
landscape, landscape, permittee,
protection, restoration, sustained yield,
and unnecessary or undue degradation
(including by identifying the elements
of undue degradation and unnecessary
degradation).
The final rule defines additional
terms to provide further clarity for
implementing the rule: in-lieu fee
program, intactness, land health,
mitigation bank, mitigation fund,
significant causal factor, significant
progress, and watershed condition
assessment. The final rule removes the
definitions of the terms best
management practices and land
enhancement. The BLM decided to
remove the definition of best
management practices, because it is not
a term that is generally used for
describing mitigation measures. The
BLM decided to remove the definition
of land enhancement based on public
comments that found the term
confusing.
The proposed rule defined the term
‘‘resilient ecosystems.’’ The final rule
defines ‘‘ecosystem resilience’’ instead.
The final rule does not, as some
comments suggested it should, formally
define the term ‘‘permanent
impairment,’’ but the BLM intends that
its meaning be informed by how it is
used within the rule’s definition of
sustained yield.
The following paragraphs describe the
definitions adopted in the final rule and
changes to these definitions from the
proposed rule as applicable.
The final rule defines the term
‘‘casual use’’ in order to clarify that the
existence of a restoration or mitigation
lease would not in and of itself preclude
the public from accessing public lands
for noncommercial activities such as
recreation. Authorized officers may
temporarily close public access for
purposes authorized by restoration and
mitigation leases, such as habitat
improvement projects. However, in
general, public lands leased for these
purposes under the final rule would
continue to be open to public use. The
BLM received public comments
recommending the definition be
expanded to explicitly include uses
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such as recreation. However, the BLM
decided to retain the definition from the
proposed rule because it exists in the
same form in current regulations at 43
CFR 2920.0–5(k). The final rule adds
language to the restoration and
mitigation leasing section to clarify that
leases will not preclude access to or
across leased areas for recreation use,
research use, or other compatible
authorized uses, in addition to casual
use. The definition of ‘‘casual use’’ in
this part does not change the definition
of casual use in 43 CFR 3809.5.
The final rule defines ‘‘conservation’’
in the context of these regulations to
mean the management of natural
resources to promote protection and
restoration. The overarching purpose of
the rule is to help facilitate the use of
conservation to support ecosystem
resilience, and in doing so the final rule
clarifies conservation as a use within
the BLM’s multiple use framework,
including in decision-making
concerning land use planning and
proposed projects. The final rule
includes a stated objective to promote
conservation on public lands, and
subpart 6102 outlines principles,
directives, management actions, and
tools—including a new tool in
restoration and mitigation leases—to
meet this objective and fulfill the
purpose of the rule. The BLM received
comments recommending the definition
of ‘‘conservation’’ more closely align
with other definitions and
recommending that the BLM distinguish
between ‘‘conservation’’ and
‘‘preservation.’’ The definition of
‘‘conservation’’ was updated in the final
rule to make clear that conservation is
a use and that protection and restoration
are tools to achieve conservation.
The final rule defines the term
‘‘disturbance’’ to provide the BLM with
guidance in identifying and assessing
impacts to ecosystems, restoring
affected public lands, and minimizing
and mitigating future impacts.
Identifying and mitigating disturbances
and restoring ecosystems are important
components of supporting ecosystem
resilience on public lands. The BLM
received public comments
recommending the BLM clarify that
disturbances can be natural or humancaused, suggesting that defining
disturbance as a discrete event was too
restrictive, and recommending that the
BLM adjust the definition to more
closely align with how ‘‘disturbance’’ is
used in environmental impact
statements. The definition of
disturbance was updated in the final
rule to clarify that disturbance can be
either discrete or chronic, characteristic
(where ecosystem or species have
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evolved to survive such a disturbance)
or uncharacteristic, and that disturbance
can be natural or human-caused.
The final rule defines the term
‘‘ecosystem resilience’’ (whereas the
proposed rule included a definition of
‘‘resilient ecosystem’’) in the context of
the rule’s foundational precept that the
BLM’s management of public lands on
the basis of multiple use and sustained
yield relies on resilient ecosystems. The
definition is broad and mirrors
Department guidance by including
concepts of resistance, recovery, and
adaptation. The BLM received
comments that suggested removing this
term, changing the definition to clarify
that habitat connectivity is key to a
resilient ecosystem, and changing the
definition to better and more accurately
describe the characteristics of a resilient
ecosystem. The BLM changed the term
to ‘‘ecosystem resilience’’ to match the
usage of this term in the rule and
defined ecosystem resilience to be
consistent with existing DOI definitions
of this term.9 DOI’s definition of
ecosystem resilience is inclusive of
three commonly used terms in scientific
literature: resistance (i.e., withstand
disturbance), recovery (i.e., recover from
disturbance, and adaptability (i.e.,
change/adapt to disturbance). The
purpose of the rule is to facilitate the
use of conservation as part of sustained
yield, such that ecosystems on public
lands can adapt to environmental
change, resist disturbance, and maintain
or regain their function following
environmental stressors such as drought
and wildfire.
The final rule defines the term
‘‘effects’’ as the direct, indirect, and
cumulative impacts from a public land
use and clarifies that the term should be
viewed as synonymous with the term
‘‘impacts’’ for the purposes of the rule.
The BLM received comments
recommending the definition be
changed to match the definition of
effects in the BLM’s planning
regulations. The definition of effects
was updated in the final rule to
reference 40 CFR 1508.1(g) and clarify
that the use of direct, indirect, and
cumulative impacts in the rule is
consistent with the definition of those
terms in 40 CFR 1508.1(g).
The final rule defines the term ‘‘highquality information’’ so that its use
would ensure that the best available
scientific information underpins
decisions and actions that would be
implemented under the proposed rule to
achieve ecosystem resilience. The
9 https://www.doi.gov/sites/default/files/
department-of-interior-climate-action-plan-finalsigned-508-9.14.21.pdf.
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definition also clarifies that Indigenous
Knowledge can be high-quality
information that should be considered
alongside other information that meets
the standards for objectivity, utility,
integrity, and quality set forth in the
Department’s Information Quality
Guidelines. https://www.doi.gov/ocio/
policy-mgmt-support/informationquality-guidelines. The BLM received
public comments recommending that
Indigenous Knowledge be considered as
high-quality information,
recommending that the BLM use the
term ‘‘credible data’’ to describe highquality information, and that the
definition be clarified to be more
specific about what qualifies as highquality information. The definition of
high-quality information was updated in
the final rule to reference the most
current Department guidance on
scientific information and to specify
when Indigenous Knowledge would be
considered high-quality information in
decision-making.
The final rule defines the terms
‘‘important,’’ ‘‘scarce,’’ and ‘‘sensitive’’
resources to provide clarity and
consistency in the BLM’s
implementation of mitigation
requirements, including under the final
rule. The BLM received comments that
the definition of these terms was vague
and requesting more detail to clarify
when a resource would qualify as
important, scarce, or sensitive, as well
as comments requesting more clarity on
how the BLM determines whether a
resource is important, scarce, or
sensitive. The final rule does not change
the definition of these terms, which are
consistent with the BLM’s mitigation
policy and handbook. A determination
that a resource is important, scarce, or
sensitive is dependent on location,
conditions within a planning area
affecting a particular resource (e.g.,
drought), and the adverse effects on that
resource from other past and foreseeable
future land uses.
The final rule defines the term
‘‘Indigenous Knowledge’’ to reflect the
DOI’s policies, responsibilities, and
procedures to respect and equitably
promote the inclusion of Indigenous
Knowledge in the Department’s
decision-making, resource management,
program implementation, policy
development, scientific research, and
other actions. The BLM received
comments recommending changes to
the definition of this term to encompass
proper terminology for Indigenous
Knowledge and make it consistent with
existing Department regulations and
guidance, or to drop the term from the
rule. The definition of Indigenous
Knowledge was updated in the final
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rule to clarify that Tribes may use
different terms to refer to this concept
and to bring the definition of Indigenous
Knowledge in line with current BLM,
Department, and White House
guidance.10 The final rule adds a
definition for the term ‘‘in lieu fee
program.’’ This term is used in
§ 6102.5.1, Mitigation, to describe an
available method for offsetting adverse
impacts. The definition of this term is
consistent with the BLM’s mitigation
policy.
The final rule defines the term ‘‘intact
landscape’’ to guide the BLM with
implementing direction. The rule
(§ 6102.2) would require the BLM to
identify intact landscapes on public
lands, manage certain landscapes to
protect their intactness, and pursue
strategies to protect and connect intact
landscapes. The BLM received
comments suggesting the definition be
updated to clarify the size of an intact
landscape, clarify the characteristics of
an intact landscape (including cultural
landscapes), and add habitat
connectivity and mature, old-growth
forests as markers of an intact
landscape. The definition was updated
in the final rule to reflect commonly
used definitions in policy and
ecological literature, link the definition
of ‘‘intact landscape’’ to the revised
‘‘landscape’’ definition, and define
intact landscapes in a manner that is
more easily measured and assessed by
the BLM to inform conservation actions.
The revised definition reflects the
reality that intactness exists on a
spectrum and efforts to protect
intactness should not be limited by a
single threshold, but rather reflect
landscape-specific levels required to
support multiple use and sustained
yield.
The final rule adds a definition for the
term ‘‘intactness,’’ which is a measure of
the degree to which human influences
alter or impair the structure, function, or
composition of a landscape. Because the
rule requires the BLM to identify intact
landscapes, the agency will need to
measure and inventory intactness as a
resource value. The final rule clarifies
that as part of managing to protect intact
landscapes, the BLM will develop and
maintain an inventory of landscape
intactness using watershed condition
10 Executive Office of the President, Office of
Science and Technology Policy and Council on
Environmental Quality, Guidance for Federal
Departments and Agencies on Indigenous
Knowledge (Nov. 30, 2022), https://
www.whitehouse.gov/wp-content/uploads/2022/12/
OSTP-CEQ-IK-Guidance.pdf; BLM Instruction
Memorandum No. 2022–011, Co-Stewardship with
Federally Recognized Indian and Alaska Native
Tribes Pursuant to Secretary’s Order 3403 (Sept. 13,
2022), https://www.blm.gov/policy/pim-2022-011.
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assessments to establish a consistent
baseline condition. The BLM will then
use the intactness inventory, along with
other high-quality information
including habitat connectivity and
migration corridor data, to identify
intact landscapes in the land use
planning process and consider
management opportunities.
The final rule adds a definition for the
term ‘‘land health.’’ Land health is used
throughout the rule to refer to the
concept of a healthy and functioning
ecosystem, and the BLM defines the
term in the final rule to clarify the
desired outcome of establishing land
health standards and to be consistent
with the definition of rangeland health
in the BLM’s Rangeland Health
Standards Handbook, H–4180–1.11
The final rule makes small
adjustments to the definition of the term
‘‘landscape’’ to be more inclusive in
terms of the types of resources and
interests that can anchor a landscape
and to align with definitions used in
landscape ecology. The term
‘‘landscape’’ is used throughout the rule
to characterize a meaningful area of land
and waters on which restoration,
protection, and other management
actions will take place. Determining
how the BLM’s management actions can
influence the health and resilience of
ecosystems can vary across landscapes
and over time.
The rule defines ‘‘mitigation’’
consistent with the definition provided
by existing Council on Environmental
Quality regulations (40 CFR 1508.1(s)),
which identify various ways to address
adverse impacts to resources, including
steps to avoid and minimize those
impacts and compensate for residual
impacts. As a tool to achieve ecosystem
resilience of public lands, the BLM will
generally apply a mitigation hierarchy
to address impacts to public land
resources, seeking to avoid, then
minimize, and then compensate for any
residual impacts. This definition and
the related provisions in the rule
supplement existing DOI policy, which
among other things provides boundaries
to ensure that compensatory mitigation
is durable and effective. The BLM made
no changes to the definition from the
proposed rule.
The final rule adds a new definition
for the term ‘‘mitigation bank’’ because
the term is used in the final rule along
with ‘‘in-lieu fee program’’ as a category
11 This handbook describes the authorities,
objectives, and policies that guide assessment of
public land health and taking appropriate action to
achieve, or make progress toward achieving,
specified rangeland health standards. https://
www.blm.gov/sites/blm.gov/files/uploads/Media_
Library_BLM_Policy_h4180-1.pdf.
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of mitigation projects that would require
a mitigation lease with additional
requirements beyond those that would
be required for smaller, single-use
mitigation projects. A mitigation bank is
a site where resources are restored,
established, enhanced, or protected for
the purpose of providing compensatory
mitigation for an authorized use that is
impacting similar resources elsewhere.
The definition in the rule is consistent
with the definition in the BLM’s
Mitigation Manual, MS–1794.12
The final rule adds a new definition
for the term ‘‘mitigation fund’’ because
the rule provides standards for the BLM
to approve, through a formal agreement,
a third-party mitigation fund holder to
implement compensatory mitigation
programs or projects. A mitigation fund
is an account established by a mitigation
fund holder to collect and then disperse
funds for projects that satisfy
compensatory mitigation commitments
and obligations. The rule also provides
for the BLM in some circumstances to
require mitigation lease holders to
submit a formal agreement with a
qualified mitigation fund holder.
The final rule defines the term
‘‘mitigation strategies’’ as documents
that identify, evaluate, and
communicate potential mitigation needs
and mitigation measures in advance of
anticipated public land uses. The BLM
received comments recommending
replacing the word ‘‘strategies’’ with
‘‘approaches’’ or ‘‘documents.’’ The
final rule does not change the definition
of this term, which is consistent with
the definition of mitigation strategies
from the BLM’s Mitigation Manual, MS–
1794.
The rule defines the term
‘‘monitoring’’ to describe a critical suite
of activities involving observation and
data collection to evaluate (1) existing
conditions, (2) the effects of
management actions, or (3) the
effectiveness of actions taken to meet
management objectives. Management for
ecosystem resilience requires the BLM
to understand how proposed use
activities impact resource condition at
many scales. Monitoring is a critical
component of the BLM’s Assessment,
Inventory and Monitoring (AIM)
Strategy,13 which provides a
standardized framework for assessing
natural resource condition and trends
12 This manual provides guidance on
implementing consistent principles and procedures
for mitigation in the BLM’s authorization of public
land uses. https://www.blm.gov/sites/default/files/
docs/2021-11/MS-1794%20Rel.%201-1807.pdf.
13 The AIM Strategy provides quantitative data
and tools to guide and justify policy actions, land
uses, and adaptive management decisions. https://
www.blm.gov/aim.
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on BLM-administered public lands. The
BLM did not change the definition of
‘‘monitoring’’ from the proposed rule
because it is based on the definition and
use of that term in the grazing
regulations (43 CFR 4100.0–5), is
science-based, and enables the
application of data to inform land
management and understand
management effects.
The rule defines the term ‘‘permittee’’
as a person or organization with a valid
permit, right-of-way grant, lease, or
other land use authorization from the
BLM. The rule largely discusses
‘‘permittees’’ when identifying the
responsibility of parties in the context of
mitigation and in discussing the
opportunities to rely on third parties in
complying with mitigation
requirements. The proposed rule
defined a permittee as a person; the
final rule defines a permittee as a person
or other legal entity.
The final rule defines ‘‘protection’’ in
the context of the overarching purpose
of the rule, which is to promote the use
of conservation measures to support the
ecosystem resilience of public lands.
‘‘Protection’’ is a critical component of
conservation, alongside restoration, and
describes acts or processes that keep
resources safe from degradation,
damage, or destruction. The rule
(§ 6101.2(b)) would include a stated
objective to promote the protection of
intact landscapes on public lands as a
critical means to achieve ecosystem
resilience. The BLM received comments
that requested clarification of the term
protection and recommended
distinguishing between protection and
preservation. Commenters suggested
removing the term preserve from the
definition of protection, and
commenters were concerned that the
term protection, as it was defined in the
proposed rule, was intended to set land
aside and preclude other uses. The
definition of protection was updated in
the final rule to clarify that protection
is not synonymous with preservation
and is not intended to prevent active
management or other uses.
The rule defines ‘‘public lands’’ in
order to clarify the scope of the
proposed rule and its intended
application to all BLM-managed lands
and uses. The definition is similar to the
definition of ‘‘public lands’’ that
appears at 43 CFR 6301.5, but the BLM
has modified the definition from the
proposed rule in response to comments
to clarify that this rule extends only to
BLM-managed surface estate. The
resulting definition in this rule is
specific to new part 6100 and should
not be interpreted as changing the
definition of ‘‘public lands’’ in any other
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context, including where that term
would extend to BLM-managed mineral
estate under other BLM regulations.
The rule defines ‘‘reclamation’’ to
identify restoration practices intended
to achieve an outcome that reflects
project goals and objectives, such as site
stabilization and revegetation. While
‘‘reclamation’’ is a part of a continuum
of restoration practices, it contrasts with
other actions that are specifically
designed to recover ecosystems that
have been degraded, damaged, or
destroyed. Reclamation often involves
initial practices that can prepare
projects or sites for further restoration
activities. The rule, at § 6102.4.2,
discusses reclamation in the context of
bonding restoration and mitigation
leases to ensure lessees hold sufficient
bond amounts to provide for the
reclamation of the lease areas and the
restoration of any lands or surface
waters adversely affected by lease
operations. The BLM made no changes
to the definition from the proposed rule.
The final rule defines ‘‘restoration’’ in
the context of the overarching purpose
of this rule, which is to promote the use
of conservation to ensure the ecosystem
resilience of public lands. ‘‘Restoration’’
is a critical component of conservation,
alongside protection, and describes acts
or processes of conservation that
passively or actively assist the recovery
of an ecosystem that has been degraded,
damaged, or destroyed. The BLM
received comments suggesting that the
rule acknowledge both passive and
active restoration as legitimate
restoration methods and comments
calling for the clarification of what the
BLM’s broad-scale recovery goals are for
restoration. Specifically, commenters
identified the need to be explicit about
the goal of returning ecosystems to a
more natural, native ecological state and
that the use of nonnative species in
restoration projects is not the preferred
option. The definition of restoration was
updated in the final rule to include both
active and passive restoration and to
clarify that the goal of restoration efforts
is the recovery of an ecosystem to a
more natural, native ecological state.
The final rule adds a definition for the
term ‘‘significant causal factor’’ because
the rule uses this term to trigger an
obligation on the part of the BLM to take
appropriate action, including through
the modification of authorizations and
management practices for relevant
programs and uses, in order to achieve
land health. A significant causal factor
is a use, activity, or disturbance that
prevents an area from achieving or
making significant progress toward
achieving one or more land health
standards. The rule requires the BLM to
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document a determination of the
significant causal factor in
circumstances in which resource
conditions are not achieving or making
significant progress toward achieving
land health standards. If the BLM
determines that existing management is
a significant causal factor preventing
achievement of land health standards,
authorized officers must take
appropriate action as soon as
practicable.
The final rule adds a definition for the
term ‘‘significant progress,’’ which is
used in the rule as the measure of
satisfactory progress toward achieving
land health standards. Many comments
requested clarification of this term, and
while it is impractical to quantify the
magnitude or rate of change that
constitutes significant progress, the
BLM developed a qualitative definition
for purposes of implementing the rule.
The term is defined to mean measurable
or observable changes in the indicators
that demonstrate improved land health.
Acceptable levels of change must be
realistic in terms of the capability of the
resource but must also be as expeditious
and effective as practical.
The final rule bases its definition of
‘‘sustained yield’’ on the FLPMA
definition of that same term. This rule
facilitates the use of conservation to
achieve resilient ecosystems on public
lands, which are essential to managing
for multiple use and sustained yield.
The BLM received comments suggesting
the definition be updated to incorporate
more precisely the language of the
statutory definition, as well as
comments recommending combining
the definitions of sustained yield and
multiple use and incorporating nonrenewable resources into the definition
of sustained yield. The final rule
updates the definition of sustained yield
to remain focused on renewable
resources and responsible development
of non-renewable resources and to add
‘‘consistent with multiple use’’ to mirror
the FLPMA definition of sustained
yield.
In response to public comments, the
final rule expands the definition of
‘‘unnecessary or undue degradation’’ to
address its distinct elements of
‘‘unnecessary degradation’’ and ‘‘undue
degradation’’; and confirms that the
statutory obligation to prevent
‘‘unnecessary or undue degradation’’
applies when either unnecessary
degradation or undue degradation, and
not necessarily both, is implicated. The
rule explains that ‘‘undue degradation’’
is harm to land resources or values that
is excessive or disproportionate to the
proposed action or an existing
disturbance. For example, approving a
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proposed access road through the only
remaining critical habitat for a plant
listed as endangered under the
Endangered Species Act, even if there is
not another location for the road, would
generally (although not always) result in
undue degradation. The rule explains
that ‘‘unnecessary degradation’’ is harm
to land resources or values that is not
needed to accomplish a use’s stated
goals. For example, approving a
proposed access road through critical
habitat for a plant listed as endangered
under the Endangered Species Act that
could be located elsewhere without
impacting critical habitat and still
provide the needed access would
generally (although not always) result in
unnecessary degradation.
This definition is consistent with
BLM’s affirmative obligation under
FLPMA to take action to prevent
unnecessary or undue degradation,
which applies when either unnecessary
degradation or undue degradation, and
not necessarily both, is implicated. The
definition of ‘‘unnecessary or undue
degradation’’ applies to the use of those
terms in the part 6100 regulations
promulgated by this rule. It does not
alter the definition of the term
‘‘unnecessary or undue degradation’’ at
§ 3809.5 of this chapter and does not
apply to that term’s use in the
regulations at subpart 3809 of this
chapter.
The final rule adds a definition for
‘‘watershed condition assessment,’’
which is defined to mean a process for
assessing and synthesizing information
on the condition of soil, water, habitats,
and ecological processes within a
watershed following the land health
fundamentals through consideration of
the watershed’s physical and biological
characteristics, landscape intactness,
and disturbances. Watershed condition
assessments are equivalent to the
‘‘watershed condition classifications’’
and ‘‘land health assessments’’
discussed in the proposed rule. The
final rule updates the term and provides
this definition in response to many
public comments seeking clarification
and efficiency of process.
Section 6101.5—Principles for
Ecosystem Resilience
The rule relies upon express direction
provided in FLPMA to manage public
lands on the basis of multiple use and
sustained yield, and it establishes the
principle that the BLM must conserve
renewable natural resources at a level
that maintains or improves ecosystem
resilience in order to achieve this
mission. The BLM made only minimal
changes to this section from the
proposed rule.
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Section 6101.5(d) directs authorized
officers to implement principles of
ecosystem resilience by recognizing
conservation as a land use within the
multiple use framework, including in
decision-making, authorizations, and
planning processes; protecting and
maintaining the fundamentals of land
health; restoring and protecting intact
public lands; applying the full
mitigation hierarchy to address impacts
to species, habitats, and ecosystems
from land use authorizations; and
preventing unnecessary or undue
degradation.
Subpart 6102—Conservation Use To
Achieve Ecosystem Resilience
The rule clarifies that conservation is
a use on par with other uses of public
lands under FLPMA’s multiple use
framework. FLPMA directs the BLM to
manage the public lands in a manner
that protects the quality of scientific,
scenic, historical, ecological,
environmental, air and atmospheric,
water resource, and archaeological
values, among other resources and
values, and that protects certain public
lands in their natural condition. The
BLM implements this mandate through
land use plan allocations, including
designations, and other planning
decisions that conserve public land
resources, seeking to balance
conservation uses with other uses, such
as energy development and recreation.
The BLM also complies with this
mandate when issuing decisions that
implement its land use plans. In these
implementation decisions, including
when authorizing projects, the BLM
promotes conservation use by requiring
appropriate mitigation of impacts to
natural resources on public lands. The
rule provides specific direction for
implementing certain programs in a way
that emphasizes conservation use and
provides new tools and direction for
managing conservation use to facilitate
ecosystem resilience on public lands.
As described in detail in each section,
the BLM updated the final rule in
response to public comments to clarify
processes, including how conservation
uses would occur within and outside of
land use planning processes; enumerate
guiding principles for restoration and
mitigation actions; and provide other
adjustments to improve public
understanding and agency
implementation of the rule. The most
significant change to this subpart is that
the final rule establishes restoration and
mitigation leases as two separate types
of leases instead of providing simply for
conservation leases available for both
purposes (which was the approach in
the proposed rule). The final rule
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expands the regulations governing these
leases to provide a more comprehensive
framework for implementation and
respond to concerns heard from the
public.
Section 6102.1—Protection of
Landscape Intactness
The BLM changed the title of § 6102.1
from ‘‘Protection of Intact Landscapes’’
in the proposed rule to ‘‘Protection of
Landscape Intactness’’ in the final rule.
Public comments suggested that the rule
distinguish intactness as a resource
value from intact landscapes as
delineated units. The change in the title
of § 6102.1 reflects that landscape
intactness is the resource value that the
BLM is seeking to identify and protect.
The final rule includes a definition of
the term ‘‘intactness’’ to further guide
implementation of this section. Section
6102.1(a) and (b) require the BLM to
manage certain landscapes to protect
their intactness and to seek to prioritize
actions that conserve and protect
landscape intactness. The following
section, 6102.2, provides direction for
the BLM to inventory and protect
intactness on the public lands by
identifying and managing intact
landscapes in the land use planning
process.
Section 6102.2—Management To Protect
Intact Landscapes
The BLM revised § 6102.2 in response
to public comments requesting clarity
around how intact landscapes would be
identified and managed within and
outside of the land use planning process
and to distinguish intactness as a
resource value from intact landscapes as
delineated units. The final rule
establishes in § 6102.2(a) that the BLM
will maintain an inventory of intactness
on the public lands, in accordance with
FLPMA’s requirement that the BLM
maintain an inventory of all public
lands and their resources and other
values.
In the land use planning process,
§ 6102.2(b) requires the BLM to use the
intactness inventory, and other available
information including habitat
connectivity and migration corridor
data, to identify intact landscapes,
evaluate alternatives to manage intact
landscapes, and identify which intact
landscapes or portions of intact
landscapes will be managed for
protection. Furthermore, in the land use
planning process, § 6102.2(c) requires
the BLM to identify desired conditions
and landscape objectives to guide
implementation decisions regarding
management of intact landscapes. In
making management decisions for intact
landscapes, the BLM will seek to work
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with communities to identify the most
suitable areas to protect as intact
landscapes; consult with Tribes to
identify opportunities for costewardship; establish partnerships; and
monitor effectiveness of ecological
protection activities.
In addition to the land use planning
process described above, § 6102.2(d)
requires authorized officers to prioritize
acquisition of lands or interests in lands
that would further protect and connect
intact landscapes and functioning
ecosystems, and § 6102.2(e) directs the
BLM to develop a national system for
collecting and tracking disturbance and
intactness data and to use those data to
minimize disturbance and improve
ecosystem resilience. Data will be made
available to the public.
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Section 6102.3—Restoration
In the proposed rule, restoration was
divided across three sections
(Restoration, Restoration Prioritization,
and Restoration Planning). The final
rule keeps a Restoration section but
combines the remaining two sections
into a Restoration Prioritization and
Planning section. The definition of
restoration, critical to interpretation of
this section, has been updated to
provide that restoration actions include
both passive and active measures that
assist the recovery of an ecosystem that
has been degraded, damaged, or
destroyed. The definition has been
further updated to clarify that the intent
of restoration actions is the return of
more natural, native ecological states.
The final rule emphasizes the
importance of restoration in achieving
multiple use and sustained yield and
requires a consideration of the causes of
degradation, the recovery potential of an
ecosystem, and the allowable uses in the
governing land use plan, such as
whether an area is managed for
recreation or is degraded land
prioritized for development, in
determining restoration actions.
Principles for restoration actions, which
were previously located in the
Restoration Planning section of the
proposed rule, are now found in the
Restoration section to clarify that such
principles apply to all restoration
actions.14 The principles include
direction to consult with Tribes to
identify opportunities for costewardship or collaboration, similar to
the direction provided for managing
intact landscapes.
14 The reference to ‘‘low-tech restoration
activities’’ in section 6102.3(d) means the practice
of using simple, low unit-cost, structural additions
(e.g., wood and beaver dams in streams) to mimic
natural functions and promote specific processes.
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Section 6102.3.1—Restoration
Prioritization and Planning
A combined restoration prioritization
and planning section at 6102.3.1
requires the identification of restoration
outcomes in resource management
plans. Consistent with these outcomes,
the section requires the identification of
priority landscapes for restoration at
least every 5 years and provides for a
number of considerations for authorized
officers when doing so. The section
requires the development of restoration
plans at least every 5 years and
enumerates criteria with which
restoration goals, objectives, and
management actions identified in the
plans must adhere. Among other
criteria, restoration plans must adhere to
commonly accepted principles and
standards within the field of ecological
restoration. Lastly, the section requires
authorized officers to track restoration
implementation and progress against
identified goals and assess why
restoration outcomes are not being met
and what, if anything, is additionally
needed to achieve restoration goals.
Section 6102.4—Restoration and
Mitigation Leasing
Section 302(b) of FLPMA (43 U.S.C.
1732(b)) grants the Secretary authority
to regulate through appropriate
instruments the use, occupancy, and
development of the public lands. Under
that broad authority, the rule provides a
framework for the BLM to issue
restoration and mitigation leases on
public lands for the purpose of pursuing
ecosystem resilience through mitigation
and restoration actions. The BLM will
determine whether a lease is an
appropriate mechanism based on the
context of each application for a
proposed lease, consistent with the final
rule.
The BLM received many comments
on the leasing provisions in the
proposed rule that resulted in changes
in the final rule. These changes include:
establishing restoration leases and
mitigation leases rather than
conservation leases, which as proposed
would have been used for either
purpose; enabling conservation districts
and State fish and wildlife agencies to
hold leases; including consideration of
factors to incentivize lease proposals
that collaborate with existing permittees
and other affected interests and meet
other desirable criteria; requiring lessees
to report annually on lease activity; and
providing for the BLM to waive or
reduce the rent of a restoration lease if
the lease is providing valuable benefit to
the public lands and is not generating
revenue.
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Many commenters were concerned
about public access to public lands that
are leased for restoration or mitigation
purposes and expressed concern that
the rule’s definition of ‘‘casual use’’
does not explicitly guarantee use for
common activities. While the BLM did
not change the definition of ‘‘casual
use’’ in order to remain consistent with
existing regulations, the final rule
specifically states that a restoration or
mitigation lease will not preclude access
to or across leased areas for recreation
use, research use, or other authorized
use that is compatible with the
restoration or mitigation activities.
Some commenters questioned
whether the BLM through this
rulemaking or subsequent land use
planning would allocate public lands as
available to or excluded from restoration
and mitigation leasing. The final rule
does not identify or limit public lands
that could be leased for restoration or
mitigation purposes. However, several
provisions guide the evaluation of
which lands are suitable for leasing. The
rule requires the BLM to identify
restoration priority landscapes, intact
landscapes, and landscape-scale
mitigation strategies, and these areas
would be logical locations for leases to
support restoration and mitigation
efforts the agency is prioritizing. The
rule also enumerates factors for
evaluating lease proposals based on
criteria that are expected to make leases
more successful. The rule does not
allow for leases to be issued where an
existing, authorized, and incompatible
use is occurring, effectively removing
areas from consideration for at least
some activities that could be authorized
by a restoration or mitigation lease.
Additionally, any restoration or
mitigation lease would need to conform
to the BLM’s approved land use plan.
These provisions collectively guide
restoration and mitigation leases to the
most suitable locations without
requiring the BLM, in every instance, to
undertake a plan amendment or revision
to allocate lands as available for leasing.
The following paragraphs summarize
the restoration and mitigation leasing
provisions in the final rule.
Section 6102.4(a) authorizes the BLM
to issue restoration and mitigation
leases for the purpose of restoring
degraded landscapes or mitigating
impacts resulting from other land use
authorizations. Entities that can hold
restoration and mitigation leases
include individuals, businesses, nongovernmental organizations, Tribal
governments, conservation districts, and
State fish and wildlife agencies.
Qualified entities for a mitigation lease
to establish an in-lieu fee program
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would be limited to non-governmental
organizations, State fish and wildlife
agencies, and Tribal government
organizations. Leases cannot be held by
foreign persons as that term is defined
in 31 CFR 802.221. The BLM will rely
on standard lease adjudication practices
established in 43 CFR 2920 to determine
if a lease applicant meets the
preconditions in this part for a qualified
entity. Restoration and mitigation leases
will be issued for the necessary amount
of time to meet the lease objective. A
lease issued for restoration purposes can
be issued for an initial term of up to 10
years, whereas a lease issued for
mitigation purposes will be issued for a
term commensurate with the impact it
is mitigating. Activity on all leases will
be reviewed for consistency with lease
provisions at regular intervals and can
be extended beyond their primary terms
when extension is necessary to serve the
purpose for which the lease was first
issued. Section 6102.4(a)(4) precludes
the BLM from issuing new
authorizations to use the leased lands if
the use would be incompatible with the
authorized restoration or mitigation use
set forth in the lease.
Section 6102.4(b) and (c) set forth the
application process for restoration and
mitigation leases. Applicants are
required to submit detailed restoration
or mitigation development plans that
include information on outreach with
existing permittees, lease holders,
adjacent land managers or owners, and
other interested parties. The authorized
officer can require additional
information such as environmental data
and proof that the applicant has the
technical and financial capability to
perform the restoration and mitigation
activities.
Section 6102.4(d) enumerates factors
for the authorized officer to consider
when evaluating a lease application.
Those factors include: lease outcomes
that are consistent with restoration
principles established in the rule; lease
outcomes tied to desired future
conditions that are consistent with the
management objectives and allowable
uses in the governing land use plan,
such as an area managed for recreation
or degraded land prioritized for
development; collaboration with
existing permittees, leaseholders, and
adjacent land managers or owners;
outreach to or support from local
communities; and consideration of
environmental justice objectives.
Once a lease application is approved,
§ 6102.4(e) requires the applicant to
provide the BLM with a monitoring plan
and to report annually and at the end of
the lease period on lease activity.
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Section 6102.4(f) and (g) provide that
restoration and mitigation leases do not
entitle leaseholders to the exclusive use
of the public lands and that other uses
compatible with the objectives of the
restoration or mitigation lease are
explicitly allowed on leased lands.
Consistent with other land use
authorizations, such as rights-of-way, it
is the BLM’s view that no property
interest is conveyed by issuing these
leases. Section 6102.4(g) confirms that a
restoration or mitigation lease will not
preclude access to or across leased areas
for casual use, recreation use, research
use, or other use taken pursuant to a
land use authorization that is
compatible with the approved
restoration or mitigation use.
Section 6102.4(j) directs that cost
recovery, rents, and fees for restoration
and mitigation leases will be governed
by existing regulations at 43 CFR 2920.6
and 2920.8 and that the BLM will
generally collect annual rental based on
fair market value. Recognizing that
restoration lessees are providing a
service to the public and the BLM, the
rule provides for waiving or reducing
the rent of a restoration lease if a
valuable benefit is being provided to the
public and revenue is not being
generated. This approach is consistent
with the approach in waiving rents for
rights-of-way in 43 CFR 2806.15.
Although section 102 of FLPMA
provides a policy preference for
recovering fair market value for the use
of the public lands (see 43 U.S.C.
1701(a)(9)), the BLM is not required to
do so, especially in circumstances in
which departing from charging a fair
market value rent would further other
policy priorities identified in section
102 of FLPMA. Here, the BLM has
determined that allowing authorized
officers the discretion to reduce or
waive rent for restoration leases will
assist in its effort to manage the public
lands to protect the quality of ecological
and other relevant values. (See 43 U.S.C.
1701(a)(8))
Section 6102.4.1—Termination and
Suspension of Restoration and
Mitigation Leases
The final rule makes only minimal
changes to § 6102.4.1 from the proposed
rule. Section 6102.4.1 outlines processes
for suspending and terminating
restoration and mitigation leases. Where
the leaseholder fails to comply with
applicable requirements, fails to use the
lease for its intended purpose, or cannot
fulfill the lease’s purpose, the BLM may
suspend or terminate the lease. An
authorized officer must issue an
immediate temporary suspension of a
lease upon determination that a
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noncompliance issue adversely affects
or poses a threat to public lands or
public health or safety. Following
termination of a lease, the leaseholder
has sixty days to fulfill its obligation to
reclaim the site (i.e., return the site to
its prior condition or as otherwise
provided in the lease). That obligation is
distinct from the goal of restoring the
site to its ecological potential that
underlies the lease.
Section 6102.4.2—Bonding for
Restoration and Mitigation Leases
The final rule authorizes the BLM to
require a bond for a restoration or
mitigation lease involving surfacedisturbing or active management
activities, but does not require a bond in
all cases as the proposed rule would
have. Section 6102.4.2(a) directs that for
mitigation leases, the lease holder will
usually be required to provide letters of
credit or establish an escrow account for
the full amount needed to ensure the
development plan meets all
performance criteria. The final rule
includes considerations for requiring a
bond, such as the type and intensity of
surface-disturbing activities, proposed
use of experimental or non-natural
restoration methods, and risks
associated with the proposed actions.
Section 6102.4.2(b) through (d)
establishes additional bonding
provisions regarding statewide bonds,
filing of bonds, and default and are
unchanged from the proposed rule.
Section 6102.5—Management Actions
for Ecosystem Resilience
The final rule includes minor updates
to this section in response to comments
suggesting more clarity around how the
section connects to other sections of the
rule. Commenters also recommended
strengthening the focus on ecosystem
resilience and emphasizing biodiversity
as an important component of
ecosystem resilience. This rule focuses
primarily on supporting healthy and
resilient ecosystems, which are the basis
for multiple use and sustained yield and
which, if achieved, will benefit
biodiversity, water security, carbon
sequestration, forage, and a host of other
values.
Section 6102.5 sets forth a framework
for the BLM to make informed
management decisions based on science
and data, including at the planning,
permitting, and program levels, that
would help to facilitate ecosystem
resilience. As part of this framework,
authorized officers are required to
identify priority watersheds,
landscapes, and ecosystems that require
protection and restoration efforts;
develop and implement protection,
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restoration, mitigation, monitoring, and
adaptive management strategies; 15 and
share watershed condition assessment
data with the public. The final rule
cross-references these requirements
listed in § 6102.5(a) with other sections
of the rule that provide additional
guidance on these management actions
for ecosystem resilience.
Section 6102.5(b) requires the BLM to
meaningfully consult with Tribes and
Alaska Native Corporations and makes a
change from the proposed rule that
provides for Tribal input on whether
actions are likely to substantially impact
Tribes or Alaska Native Corporations.
The rule also requires the BLM to
respect and include Indigenous
Knowledge in decision-making,
including through Tribal costewardship, and updates provisions
and definitions in the rule to reflect
current departmental and agency
guidance.
Consistent with applicable law and
resource management plans, including,
for example, where an area is managed
for recreation or is degraded land
prioritized for development, authorized
officers are required to make every effort
to avoid authorizing any use of the
public lands that permanently impairs
ecosystem resilience. Permanent
impairment of ecosystem resilience
would be difficult or impossible to
avoid, for example, on lands on which
the BLM has authorized intensive uses,
including infrastructure and energy
projects or mining, or where the BLM
has limited discretion to condition or
deny the use. Through this frame, the
rule recognizes that the BLM may
develop land use plans that prioritize
degraded areas for development, such as
in the Arizona Restoration Design
Energy Project, or generally prioritize
areas for utility-scale development, such
as the Solar Energy Zones designated in
the 2012 Western Solar Plan, and that
the effects on ecosystem resilience in
such a plan may be mitigated but will
not be completely avoided. The rule
also requires the authorized officer to
provide justification for decisions that
may impair ecosystem resilience. In
other words, the rule does not prohibit
land uses that impair ecosystem
resilience; it requires avoidance as a
general matter and an explanation if
impairment cannot be avoided.
15 Adaptive management is a system of
management practices based on clearly identified
outcomes and monitoring to determine whether
management actions are meeting desired outcomes
and, if not, facilitating management changes that
will best ensure that outcomes are met or
reevaluated. Adaptive management recognizes that
knowledge about natural resource systems is
sometimes uncertain (43 CFR 46.30).
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To ensure the best available science is
underpinning management actions, the
rule requires the BLM to use national
and site-based assessment, inventory,
and monitoring data, along with other
high-quality information, to evaluate
resource conditions and inform
decision-making.
Section 6102.5.1—Mitigation
The rule at § 6102.5.1(a) directs the
BLM to apply the mitigation hierarchy
to avoid, minimize, and compensate for
adverse impacts to all public land
resources, generally in that order. The
rule states further that mitigation
approaches or requirements may be
identified in land use plans or other
decision documents. Consistent with
BLM’s existing policy on mitigation (H–
1794–1), which requires BLM to
consider compensatory mitigation for
important, scarce, or sensitive resources,
§ 6102.5.1(b) expands upon this
direction by requiring that mitigation to
address adverse impacts to such
resources should be applied with the
goal of eliminating, reducing, and/or
offsetting impacts on the resource,
consistent with applicable law. This
facilitates BLM’s compliance with its
multiple-use and sustained yield
mission by conserving such resources
for future generations. Determining the
maximum benefit to an impacted
resource from a compensatory measure
is often achieved by carefully
identifying the type, location, timing,
and other aspects of the compensatory
mitigation measure. This assessment is
conducted as standard practice in the
BLM’s NEPA analysis and decision
documents.
The rule also identifies new
principles at § 6102.5.1(c) to apply
when implementing mitigation,
including the need to ensure
compensatory mitigation is
commensurate with the impacts, and
the use of adaptive management,
landscape-scale approaches, highquality information, and performance
criteria and effectiveness monitoring.
At § 6102.5.1(d), the rule allows the
BLM to approve and use third-party
mitigation fund holders to administer
funds for the implementation of
compensatory mitigation programs or
projects and specifies the type of actions
third parties can perform with
compensatory mitigation funding.
Section 6102.5.1(e) establishes the
requirements for different types of
entities that could be considered and
approved as mitigation fund holders.
The mitigation fund holder could be a
State or local government, if, among
other requirements, that entity can
demonstrate to the satisfaction of the
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BLM that it is acting as a fiduciary for
the benefit of the mitigation project and
site. The section also allows for a
mitigation fund holder to be an entity
that, among other requirements,
qualifies for tax-exempt status and
provides evidence it can successfully
hold and manage mitigation accounts.
Sections 6102.5.1(f) through (i)
provide further direction to authorized
officers in managing mitigation leases
and lease holders, including provisions
to govern the collection of annual rent
at fair market value for large or
otherwise substantial compensatory
mitigation programs or projects on
public lands, including mitigation banks
and in-lieu fee programs.
Subpart 6103 Managing Land Health To
Achieve Ecosystem Resilience
Section 6103.1—Land Health Standards
Consistent with the proposed rule,
§ 6103.1 of the final rule directs that all
program areas of the BLM must be
managed in accordance with the
fundamentals of land health, which are
adopted, verbatim, from the
fundamentals of rangeland health
included at 43 CFR 4180.1 (2005). It
does so by establishing a series of
procedural requirements to guide the
BLM’s actions to address land health.
The rule does not require that
individual actions ‘‘comply’’ with the
fundamentals of land health, nor does it
require achievement of those
fundamentals (as measured by the land
health standards) as a precondition for
any BLM decision.
The rule in this section directs
authorized officers to adopt national
land health standards across all
ecosystems that provide consistency
and conformance with the fundamentals
of land health and facilitate progress
toward meeting land health.
Acknowledging the importance of
standards in managing all of the BLM’s
programs in accordance with the
fundamentals, the title of § 6103.1 has
been changed to Land Health Standards.
Section 6103.1 includes a new
paragraph (b) describing the resources,
processes, and values addressed through
national land health standards as well
as a new timeline at paragraph (e) to
review and amend or supplement
standards and a subsequent timeline to
ensure standards remain sufficient. A
new paragraph at § 6103.1(d) instructs
authorized officers to incorporate
geographically distinct land health
standards when needed to address
unique or rare ecosystem types that may
not be addressed by the national
standards. These new timelines in the
final rule—along with additional
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implementation specificity found in
other land-health related sections of the
rule—are introduced in response to
comments that sought more clarity and
specificity for how standards may be
updated to serve as appropriate
measures for the fundamentals. Section
6103.1(f) makes explicit that any new or
amended land health standard must be
approved by the BLM Director prior to
implementation.
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Section 6103.1.1—Management for Land
Health
Section 6103.1.1(a) conveys the
importance of assessing land health at a
broad scale to manage for ecosystem
resilience and provides that authorized
officers should rely on assessments and
evaluations conducted at such scales, as
appropriate, to support decisionmaking. Section 6103.1.1(b) reinforces
the direction that all BLM program areas
must be managed to facilitate progress
toward achieving land health standards.
Section 6103.1.1(b)(1) requires
authorized officers to apply existing
standards in the administration of all
BLM programs. Initially, this will mean
applying the existing standards
prepared pursuant to subpart 4180 of
this chapter to all programs, not just
grazing. Moving forward, consistent,
national standards will be completed
pursuant to procedures set out in this
subpart, and not under the procedures
set out in subpart 4180, and will then
apply to all programs, including grazing.
Section 6103.1.1(b)(2) directs programs
to develop management guidelines,
which are best practices in managing
programs to achieve goals. Management
guidelines are to be reviewed at least
every 10 years consistent with review
timelines in other sections that relate to
land health. As with standards, existing
management guidelines applicable to
the grazing program will continue to
apply. New and amended guidelines for
grazing should be developed under the
procedures in this subpart, and not
subpart 4180. Sections 6103.1.1(c) and
(d) require that land health be included
in land use planning, primarily when
identifying allocation decisions and
actions that are anticipated to achieve
land health outcomes, as well as any
impediments in doing so.
Section 6103.1.2—Land Health
Evaluations and Determinations
Section 6103.1.2(a) has been modified
to require that authorized officers
complete watershed condition
assessments and land health evaluations
at least every 10 years. Watershed
condition assessments supplant land
health assessments in the proposed rule
and characterize resource conditions,
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while subsequent land health
evaluations interpret assessment
findings to draw conclusions about
whether land health standards are being
achieved consistent with the
fundamentals of land health. This
efficiency of process responds to many
comments and concerns about the
BLM’s ability to complete land health
assessments across broad spatial scales.
Direction to conduct watershed
condition assessments and land health
evaluations at broader spatial scales, as
opposed to at the scale of an allotment
or other more narrowly drawn boundary
or project area, builds on best practices
currently deployed by BLM field offices,
responds to comments recommending
landscape-scale approaches as a way to
address the backlog of pending land
health assessments and evaluations, and
better serves efforts to understand and
address land health conditions across
management boundaries.
Section 6103.1.2(d) provides what
must be incorporated when conducting
land health evaluations, such as
watershed condition assessments and
high-quality information requirements.
Section 6103.1.2(d) further clarifies the
requirements for conducting land health
evaluations, including that authorized
officers document the rationale and
findings as to whether each land health
standard is achieved or making
significant progress towards
achievement.
Sections 6103.1.2(e), (f), and (g)
describe the process after land health
evaluations determine if resource
conditions are or are not achieving or
making significant progress toward
achieving land health standards. When
watershed condition assessments and
land health evaluations find that
resource conditions are achieving or
making significant progress toward
achieving land health, then project-level
decisions should rely on such evidence
where possible and appropriate. Section
6103.1.2(f) provides for tiering
documentation and evidence from
broad-scale assessments and evaluations
for project-level decisions, such as
grazing permit renewals, which
promotes efficiency and streamlines
decision-making. This provision
responds to comments concerned with
the existing backlog of assessments land
health evaluations.
When watershed condition
assessments and land health evaluations
find that resource conditions are not
achieving, or making significant
progress toward achieving, land health
standards, then causal factor
determinations, as directed by
§ 6103.1.2(f), must be prepared no later
than a year after the evaluation.
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Determinations document significant
causal factors for non-achievement.
Section 6103.1.2(f)(3) requires
authorized officers to take appropriate
action as soon as practicable to address
nonachievement of land health
standards when the significant causal
factors include existing management
practices or levels of use on public
lands. However, as clarified in
§ 6103.1.2(f)(4), to the extent existing
grazing management practices or levels
of grazing use on public lands are
significant causal factors preventing
achievement of land health standards,
authorized officers must also comply
with the requirement for taking
appropriate action set by § 4180.2(c) of
this chapter, including that appropriate
action be taken not later than the start
of the next grazing year.
Further, as noted previously,
appropriate actions in a specific
situation will be informed and may be
constrained by applicable law and the
governing land use plan. For example,
where a land use planning approach,
such as BLM Arizona’s Restoration
Design Energy Project, is intended to
support development of renewable
energy on disturbed or previously
developed sites, then appropriate
actions would be designed to add
measures that facilitate the progress of
the affected lands toward meeting the
applicable fundamentals of land health.
However, these actions would be
informed by the overall approach of
identifying disturbed lands suitable for
renewable energy development and
applying measures consistent with those
management decisions. This is
consistent with the approach to
incorporate design features into the
Restoration Design Energy Project
Record of Decision to reduce overall
impacts to the lands identified for
development. (See https://
eplanning.blm.gov/public_projects/
nepa/79922/107093/131007/RDEPROD-ARMP.pdf).
Section 6103.1.2(f)(5) identifies some
appropriate actions that may be
deployed to address practices and uses
determined to be significant causal
factors, consistent with applicable law,
regulation, and the governing resource
management plan and its management
objectives, such as where an area is
managed for recreation or is degraded
land prioritized for development. For
example, if a governing resource
management plan identifies degraded
lands for solar development and those
areas are not meeting standards, the
authorized officer should consider that
land use planning decision in
determining the appropriate action. In
that circumstance, it would typically
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not be appropriate to deny solar or wind
use altogether, although design features
or other mitigation measures may be
applied. Section 6103.1.2(i) reinforces
that appropriate actions must be
consistent with existing resource
management plans and notes that if
planning decisions do not allow for
appropriate actions to address
significant causal factors, then an
authorized officer may decide to amend
or revise the applicable land use plan.
However, whether to undertake a
planning process is at the discretion of
the authorized officer. Sections 6103.1.2
(j) and (k) respond to public comment
by requiring annual, publicly available
reporting on assessment, evaluation,
and determination accomplishments;
results; and actions.
Section 6103.2—Inventory, Assessment,
and Monitoring
The final rule requires the BLM to
complete watershed condition
assessments every 10 years and consider
them in multiple decision-making
processes. New paragraphs at
§ 6103.2(a) further describe the purpose,
process, and requirements of conducting
watershed condition assessments in
support of land use planning, protection
of intact landscapes, managing for
ecosystem resilience, informing
restoration actions, and informing land
health evaluations and determinations.
In response to public comments
encouraging consistency in analysis
approach, standard data sources, and
transparency, the final rule adds in
§ 6103.2(a) that the BLM must utilize
multiple sources of high-quality
information to understand conditions
and trends relevant to land health
standards and incorporate consistent
analytical approaches, quantitative
indicators, and benchmarks where
practicable. It is anticipated that
watershed condition assessments will
frequently be completed not by BLM
State Offices, but by national-level
resources, such as the National
Operations Center, utilizing
standardized procedures and existing
data and analyses and validated with
local data and high-quality information
as appropriate.
Section 6103.2(b) clarifies that the
BLM’s inventory of public lands
includes both landscape components
and core indicators that address land
health fundamentals and requires the
use of high-quality information and
inventory, assessment, and monitoring
information, including standardized
quantitative monitoring data, remote
sensing maps, and geospatial analyses,
to inform decision-making across
program areas. In response to public
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comments, the BLM clarified that this
inventory specifically includes
infrastructure and renewable resources
and that it is available to the public
(currently, https://gbp-blm-egis.hub.
arcgis.com/). Section 6103.2(c)
establishes principles to ensure that
inventory, assessment, and monitoring
activities are evidence-based,
standardized, efficient, and defensible.
43 CFR Chapter II
Subpart 1610—Resource Management
Planning
Section 1610.7–2—Designation of Areas
of Critical Environmental Concern
The rule includes changes to the land
use planning regulations to elaborate on
the role ACECs play as the principal
administrative designation for public
lands where special management
attention is required to protect
important natural, cultural, and scenic
resources and to protect against natural
hazards. It reiterates FLPMA’s
requirement that the BLM give priority
to the identification, evaluation, and
designation of ACECs during the land
use planning process and provides
additional clarity and direction for
complying with this statutory
requirement. The rule codifies in
regulation procedures for considering
and designating potential ACECs that
were, prior to promulgation of this rule,
partially described in regulation and
partially described in agency policy.
The BLM received many comments
on the ACEC provisions of the proposed
rule, and the final rule reflects changes
the BLM made based on public
comments. As described in more detail
below, changes from the proposed rule
include: providing for the BLM to
implement temporary management for
potential ACECs identified outside of an
ongoing planning process, with public
notice and periodic reevaluation;
codification of research natural areas as
a type of ACEC designated for the
primary purpose of research and
education on public lands, consistent
with existing regulations and policy; a
presumption that all areas found to meet
all three ACEC criteria will be
designated in the resource management
plan; a management standard that
requires the BLM to administer
designated ACECs in a manner that
conserves, protects, and enhances the
relevant and important values; and a
definition for the term ‘‘irreparable
damage.’’
The final rule also confirms that
proposed and existing ACECs being
addressed in the planning process for a
resource management plan or a plan
amendment will be identified in all
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40325
applicable Federal Register Notices and
in public outreach materials. The BLM
will not be required to produce separate
notices specific to ACECs. The
following paragraphs summarize the
ACEC provisions in the final rule.
Section 1610.7–2(a) confirms that
ACECs are the principal administrative
designation for public lands where
special management is required to
protect and prevent irreparable damage
to important resources. ACECs are
considered and designated in land use
planning processes, including resource
management plan revisions and
amendments.
Section 1610.7–2(b) requires
authorized officers to identify, evaluate,
and give priority to areas that have
potential for designation and
management as ACECs in the land use
planning process, and it provides that
proposed and existing ACECs that will
be addressed in the planning process for
a resource management plan, plan
revision, or plan amendment will be
identified in all applicable public
notices.
Section 1610.7–2(c) requires
authorized officers to identify areas that
may be eligible for ACEC status early in
the planning process and specifies the
need to target areas for evaluation based
on resource inventories, internal and
external nominations, and existing
ACEC designations.
Section 1610.7–2(d) outlines the three
criteria that must be met for ACEC
designation, which are relevance,
importance, and special management
attention. The rule provides that values
and resources may have importance if
they contribute to ecosystem resilience,
landscape intactness, or habitat
connectivity, in addition to other
importance criteria. The final rule
requires that values and resources have
more than local importance to meet the
importance criteria, a change from the
proposed rule based on public
comments. Special management
attention prevents irreparable damage to
the relevant and important values and
would not be prescribed if the relevant
and important values were not present.
The rule defines ‘‘irreparable damage’’
in this context to mean: ‘‘harm to a
value, resource, system, or process that
substantially diminishes the relevance
or importance of that value, resource,
system, or process in such a way that
recovery of the value, resource, system,
or process to the extent necessary to
restore its prior relevance or importance
is impossible.’’ Requiring a finding that
special management attention is
necessary for ACEC designation is
consistent with BLM practice and
guidance but was not a feature of the
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regulations prior to promulgation of this
rule.
Section 1610.7–2(e) provides that the
BLM may designate an ACEC research
natural area (RNA) for an area that
meets all three ACEC criteria set forth in
§ 1610.7–2(e) and is consistent with the
purposes for research natural areas
established in existing regulations at 43
CFR subpart 8223. These regulations
allow the BLM to establish RNAs for the
primary purpose of research and
education on public lands having
natural characteristics that are unusual
or that are of scientific or other special
interest. The BLM’s current guidance, as
set forth in the agency’s Land Use
Planning Handbook and ACEC Manual,
considers RNAs as a type of ACEC that
are to be designated following the ACEC
designation process. The BLM has
designated many ACEC RNAs in
existing land use plans following this
guidance. Because this rule is codifying
the BLM’s ACEC guidance and process,
and in response to public comments on
this topic, the final rule provides for this
RNA designation.
Section 1610.7–2(f) provides that the
boundaries of proposed ACECs shall be
identified for public lands as
appropriate to encompass the relevant
and important values and geographic
extent of the special management
attention needed to provide protection.
Section 1610.7–2(g) requires the BLM
to analyze in detail all potential ACECs
that have relevant and important values
in planning documents. In the land use
planning process, the BLM evaluates the
need for special management attention
to protect the relevant and important
values of potential ACECs, which could
include other allocations and
designations that would provide
appropriate protection and prevent
irreparable damage to the relevant and
important values.
Section 1610.7–2(h) directs that an
approved resource management plan,
plan revision, or plan amendment will
list all designated ACECs, identify their
relevant and important values, and
include the special management
attention being provided to them.
Section 1610.7–2(i) establishes
procedures for addressing potential
ACECs that are identified outside of an
ongoing planning process. The State
Director has the discretion to determine
the appropriate time to evaluate
whether the nomination meets the
relevant, important, and special
management criteria identified in
1610.7–2(d)(1) through (3). If a potential
ACEC nomination meets all three
criteria specified in the regulations—
that is, it has relevance and importance
and needs special management
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attention—then the State Director will,
at their discretion, either initiate a land
use planning process to evaluate the
potential ACEC for designation or
provide temporary management
consistent with the existing resource
management plan to protect the relevant
and important values from irreparable
damage. The final rule clarifies that the
authorized officer in this context would
be the State Director, consistent with
other portions of the rule addressing
decisions on potential ACECs. If the
BLM decides to implement temporary
management, the BLM will comply with
all applicable laws, including NEPA,
notify the public, and reevaluate the
area periodically to ensure temporary
management is still necessary. This
provision does not change the
presumption that ACECs are nominated
and addressed through resource
management planning processes, and it
does not require the BLM to evaluate
ACEC nominations outside the planning
process.
Section 1610.7–2(j) requires the State
Director to: determine which ACECs to
designate based on specific factors
including a presumption that all
potential ACECs that meet all three
criteria will be designated; provide a
justification and rationale in decision
documents for decisions both to
designate an ACEC and not to designate
an ACEC; administer designated ACECs
in a manner that conserves, protects,
and enhances the relevant and
important values and only allow casual
use or uses that will ensure the
protection of the relevant and important
values; and prioritize acquisition of
inholdings within ACECs and adjacent
or connecting lands that also possess the
relevant and important values of a
specific ACEC. In response to
comments, the final rule eliminated the
requirement included in the proposed
rule that State Directors provide annual
reports describing activity plans and
implementation actions for each ACEC
in the State. Such reporting is more
appropriately developed during
implementation of the final rule and
should remain within the discretion of
the State Director.
Section 1610.7–2(k) authorizes the
State Director to remove an ACEC
designation in a land use planning
process only when special management
attention is not needed because another
legally enforceable mechanism provides
an equal or greater level of protection,
or when the relevant and important
values are no longer present, cannot be
recovered, or have recovered to the
point where special management is no
longer necessary.
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Section 1610.7–2(l) identifies terms
that are used in the ACEC section—
casual use, conserve, ecosystem
resilience, intactness, landscape,
monitoring, protect, and restore—and
provides that they should be interpreted
consistent with the definitions of those
same terms in § 6101.4.
Severability
The provisions of the rule should be
considered separately. If any portion of
the rule were stayed or invalidated by
a reviewing court, the remaining
elements would continue to provide the
BLM with important and independently
effective tools to advance conservation
on the public lands. In particular,
revisions to existing planning
regulations at 43 CFR part 1600
governing the designation and
management of ACECs are separate from
the balance of the rule, which
promulgates the new 43 CFR part 6100.
Within part 6100, the rule includes a
number of aspects that function
independently and hold independent
utility. For example, the rule’s
provisions pertaining to the
identification and management of intact
landscapes and other values in land use
planning and agency decision-making;
its framework for third-party restoration
and mitigation leasing; and its
procedures for adopting national land
health standards, assessing land health,
and using those assessments to drive
agency decisions operate as
independent means to achieve the rule’s
overarching goal of facilitating
conservation of the public lands. Hence,
if a court prevents any provision of one
part of this rule from taking effect, that
should not affect the other parts of the
rule. The remaining provisions would
remain in force.
IV. Additional Response to Public
Comments
The BLM received an initial total of
216,403 comments from regulations.gov.
Further analysis showed that there were
public comment submissions with
multiple cosigners, sometimes several
thousand on one submission, which
were initially counted as separate
submissions but ultimately identified as
a single submission with multiple
signatures. Therefore, although 216,403
voiced their opinion, the final count of
comment letters came to 152,673. The
comment letters on the proposed rule
are available for viewing on the Federal
e-rulemaking portal (https://
www.regulations.gov) (search Docket ID:
BLM–2023–0001).
The BLM has reviewed all public
comments in the context of the
proposed rule and the particular
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solicitations for comment in its
preamble. The BLM has made changes
to the final rule based on the public
comments that refine and further
develop the concepts identified in the
proposed rule. The BLM did not make
wholesale changes or additions, even
when prompted to do so by the public
comments, that would have caused the
final rule to materially alter the issues
included in or substantially depart from
the terms and substance of the proposed
rule. Changes made are described in this
section and the ‘‘Section-by-Section
Discussion of Final Rule and Revisions
from the Proposed Rule’’ section.
The following is a summary of
significant issues raised in comments
the BLM received on the proposed rule
and responses to these comments. The
comments highlighted in the following
paragraphs fell into several categories:
comments related to sections of the
proposed rule; comments related to
public lands uses and resources not
addressed in the rule; and comments on
the rulemaking process. See the Sectionby-Section discussion for responses to
public comments on specific sections of
the proposed rule.
A. Conservation Leasing
Commenters generally sought a better
understanding of many aspects of the
conservation leasing proposal, including
the purposes and uses of the leases, and
identified the need for terminology that
better reflects those purposes and uses.
Commenters requested additional detail
within the rule text for what would and
would not be allowed under a
conservation lease, clarification on the
terms and duration of the leases, and
information on how conservation leases
would interact with existing uses such
as grazing and recreation.
In response to these comments, the
BLM updated the rule to provide clarity
and specificity for the leasing program
being established in the rule.
Significantly, the final rule establishes
two distinct types of leases in place of
referring to ‘‘conservation leases’’:
restoration leases and mitigation leases.
Restoration leases can be used to
facilitate restoration of land and
resources by passively or actively
assisting the recovery of an ecosystem;
and mitigation leases can be used to
offset impacts to resources resulting
from other land use authorizations.
Restoration can occur under a
mitigation lease when restoration is a
mitigation action being taken pursuant
to the lease. The final rule enumerates
factors for authorized officers to
consider when evaluating lease
proposals, such as whether the
applicant is collaborating with existing
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permittees, whether the lease would
advance environmental justice
objectives, or whether the objectives of
the proposed leases would be supported
by current management of the lands.
The final rule also enables conservation
districts and State fish and wildlife
agencies to hold restoration and
mitigation leases and specifies that
recreation uses would not generally be
precluded by restoration or mitigation
leases.
Many comments also asked about
how conservation leases relate to valid
existing rights and permitted uses,
including grazing, mining, and oil and
gas leasing. Restoration and mitigation
leases would not disturb existing
authorizations, valid existing rights, or
State or Tribal land use management. If
the proposed activities in a restoration
or mitigation lease would conflict with
existing authorizations, such as if a
specific type of restoration would not be
compatible with grazing and the
proposed location is already subject to
a grazing authorization, then the
restoration or mitigation lease could not
be issued on those particular lands
unless the proposal were modified to
eliminate the conflict. While an
applicant might propose a lease to help
achieve restoration or mitigation
outcomes on public lands, the BLM
retains discretion as to whether to issue
a lease in response to a proposal.
Some commenters raised concerns
about the ability of foreign entities to
use conservation leases to block
development of critical mineral or
energy projects on public lands or to
obtain conservation leases near military
bases or other sensitive government
installations. In response to these and
other comments on the potential use of
conservation leases in ways that would
excessively interfere with other uses or
to intentionally block development, the
BLM clarified that restoration and
mitigation leases may only be issued for
two discrete purposes: restoration of
degraded landscapes or mitigation to
offset the impacts of development
(6102.4(a)(1)). To specifically address
concerns around foreign actors, the BLM
also revised the rule to explicitly
exclude foreign persons, as that term is
defined in 31 CFR 802.221, from being
qualified to hold a restoration or
mitigation lease. The BLM will rely on
its standard lease adjudication practices
established in 43 CFR 2920 to determine
if a lease applicant meets the
preconditions for a qualified lease
holder.
The final rule includes various other
updates to the language throughout the
text of the rule to provide readers with
a clearer understanding of the goals and
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future implementation of the leasing
program. For example, the final rule
adopts principles for restoration and
mitigation that provide additional
structure for restoration and mitigation
leases. The final rule also refines the
BLM’s discussion of intact landscapes
and restoration priority landscapes,
which would support identification of
areas for restoration and mitigation
leases.
Many commenters recommended that
conservation leases should undergo
NEPA analysis. A project-level decision
to issue a restoration or mitigation lease
will comply with NEPA, as is typically
the case for Federal actions on public
lands, and the BLM will prepare a
NEPA analysis to support such projectlevel decisions when appropriate.
B. Restoration
Commenters provided a wide variety
of comments on the topic of restoration.
Comments generally related to one of
three broad issues: the definition of
restoration; the process by which
restoration priorities are identified and
the use of resource management plans
(RMPs) in doing so; and conflicts that
can arise in the application of
restoration actions.
Several commenters expressed the
need for clarifying the definition of
restoration and suggested that it should
include the concept of returning an area
to its natural, native ecological state
with several comments recommending
that the BLM look to the Society for
Ecological Restoration’s ‘‘International
Principles and Standards for the
Practice of Ecological Restoration’’ for
guidance.
Other commenters requested
clarification as to where, how, and
when restoration priorities are
determined under the rule and called
for transparency and public engagement
in this process. Some comments also
mentioned the use of resource
management plans to identify and
communicate restoration priorities and
expressed concern that including
restoration plans in RMPs could
complicate and lengthen the RMP
adoption or revision process. Other
commenters, however, suggested that
focusing on creating a 5-year schedule
for restoration activities within RMPs is
too narrow and proposed looking across
watersheds (or subbasins or basins) to
identify priorities at the state level,
irrespective of RMP boundaries. They
stated doing so may assist the BLM in
better allocating limited restoration
funds. Other comments suggested that
restoration plans focus on
implementation-level decisions rather
than being incorporated into RMPs. One
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comment suggested that each BLM
district have a map identifying specific
areas suitable for restoration measures.
Commenters expressed concerns
about the practicalities and potential
conflicts with implementing restoration
across all BLM-administered lands.
Comments discussed how in certain
cases, restoration to a reference state
may not be feasible or appropriate
because the landscape has crossed an
ecological threshold and is highly
unlikely to be fully restored, or because
the resource has high value or function
and unique character that cannot be
restored or replaced. Several comments
discussed the proposed rule’s treatment
of land health standards in the context
of restoration, noting that some
restoration actions may not always have
positive effects on land health and
questioning whether achieving land
health standards should be the sole
purpose of restoration plans.
Commenters raised examples of
restoration projects in which the BLM
removed pinyon-juniper forest through
ecologically damaging practices such as
chaining.
In response to comments, the BLM
included a new provision within
§ 6102.3 (‘‘Restoration’’) to apply a set of
principles to all restoration activities.
These principles were largely identified
in the draft rule in the context of
planning for restoration. In response to
comments, these principles now apply
to all restoration actions and, among
other purposes, seek to ensure that
restoration actions directly address the
causes of degradation and, importantly,
take into consideration the recovery
potential of the habitat. These principles
will help the BLM target the right
restoration actions in the right places,
thereby reducing unintended outcomes
and increasing the potential for
successful restoration.
The principles also ensure that both
passive and active management actions
are allowable and promoted as
restoration activities. Likewise, the
definition of restoration has been
changed to include explicit mention of
both passive and active processes or
actions and, in response to comments,
include a stated goal of restoration
actions to return ecosystems to a ‘‘more
natural, native ecological state.’’
In response to comments on
restoration prioritization and planning,
the BLM revised the rule text to provide
for the development of restoration plans
outside of the RMP revision or
amendment process. The final rule
requires authorized officers to identify
priority landscapes for restoration,
consistent with existing, applicable
RMP goals and objectives, and to
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prepare a restoration plan for those
priority landscapes. Technical details,
including for example geographic scale,
for the development of restoration plans
can be addressed through agency
guidance. Such guidance may also
address how to incorporate land health
standards into restoration plans and
may identify commonly accepted
scientific standards within the field of
ecological restoration for restoration
work.
C. Mitigation
Generally, comments on the
mitigation aspects of the rule could be
grouped into three categories: the BLM’s
authority under FLPMA to require
mitigation; the policies and practices
that govern how the BLM will deploy
mitigation, including use of the
mitigation hierarchy; and the use of
leases, as proposed by the rule, for
mitigation purposes.
Many commenters expressed
reservations about the BLM’s mitigation
management approach under the
proposed rule, particularly how it might
conflict with the multiple use mandate
outlined in FLPMA. Critics argued that
this could inadvertently prioritize
resource preservation at the expense of
a more comprehensive management
approach, in particular with regard to
grazing and recreation. Some
commenters posited that the proposed
mitigation standards are unlawful and
reach beyond the BLM’s authority under
FLPMA and conflict with other
statutory mandates. Other commenters
conveyed the reverse, suggesting that
the BLM’s authority and responsibility
to apply the mitigation hierarchy is
central to managing for multiple use and
sustained yield.
For the reasons discussed in more
detail in the Background section above,
FLPMA allows the BLM to balance the
need for resource conservation
alongside other uses as part of managing
under principles of multiple use and
sustained yield. In turn, FLPMA vests
the BLM with broad authority to
incorporate appropriate mitigation in its
land use planning and to require other
users of the public land to avoid,
minimize, and compensate for resource
impacts, as appropriate, from authorized
uses. 43 U.S.C. 1712I, 1732(a)–(b); see
also M–37039, The Bureau of Land
Management’s Authority to Address
Impacts of its Land Use Authorizations
through Mitigation, at 11–22 (Dec. 21,
2016) (reinstated by M–37075 (Apr. 15,
2022)) (‘‘[The] BLM’s charge under
FLPMA to manage public lands based
on principles of multiple use and
sustained yield supports use of
mitigation. The authority to evaluate
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and impose mitigation arises out of the
broad authority FLPMA vests in the
BLM to pursue congressional goals . . .
for public lands. The BLM can evaluate
and require mitigation through both the
land use planning process and sitespecific authorizations.’’).
There were a number of comments
regarding how and where the BLM
would deploy mitigation under the
proposed rule. Commenters
recommended that the BLM amend the
rule to require mitigation only to the
extent practicable or reasonable and
highlighted the need for the BLM to
coordinate mitigation with local and
State conservation plans. Many
commenters were concerned that the
use of compensatory mitigation would
allow for development in sensitive areas
that would otherwise not be allowed,
such as ACECs or intact landscapes, and
recommended that compensation
should not be used to justify activities
that could degrade these areas. Some
commenters called on the BLM to
require that compensatory mitigation
measures ensure a net benefit for
biodiversity, adhering to established
international principles, or avoid the net
loss of ecologically intact land. Some
commenters narrowed their concern to
how compensatory mitigation may
specifically impact recreation, which
can significantly degrade public
resources, and urged that the rule not
apply compensatory mitigation
requirements to nonprofit organizations,
and that ongoing trail use not be subject
to such requirements.
In response to these comments, the
BLM added mitigation principles to the
final rule to provide a framework for
how mitigation will be deployed under
the rule, including through the
mitigation hierarchy and mitigation
leasing. The principles are consistent
with agency policy and guidance for
implementing mitigation, such as
developing landscape-scale mitigation
strategies, requiring performance criteria
and effectiveness monitoring for
mitigation programs and projects, and
ensuring that compensatory mitigation
is durable, additional, timely, and
commensurate with adverse impacts.
The final rule also confirms that the
BLM will adhere to the mitigation
hierarchy and that for important, scarce,
or sensitive resources, the BLM will
apply the mitigation hierarchy in the
manner that achieves the maximum
benefit to the impacted resource.
Many commenters emphasized the
necessity of ensuring that any mitigation
credits are based on completed
restoration efforts that are actively
functioning as habitat for native species
impacted by development. These
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commenters objected to permitting any
proposal to issue credits based on future
promises of restoration. Another
commenter advocated for third-party
mitigation fund holders to facilitate
restoration on BLM-managed lands,
specifically highlighting the role of
private sector mitigation providers,
including the ability for private thirdparty providers to hold mitigation
funds. In response to comments, the
BLM clarified the types of third-party
entities it will allow to hold mitigation
funds through a formal agreement. The
mitigation fund holder could be a State
or local government, if, among other
requirements, that entity can
demonstrate to the satisfaction of the
BLM that it is acting as a fiduciary for
the benefit of the mitigation project and
site. The section also allows for a
mitigation fund holder to be an entity
that, among other requirements,
qualifies for tax-exempt status and
provides evidence it can successfully
hold and manage mitigation accounts.
D. Land Health
Comments on aspects of land health
in the proposed rule were diverse and
focused on: BLM’s capacity to evaluate
land health across all BLM managed
lands, the land health fundamentals,
standards, and guidelines; the
connection between land health and
ecosystem resilience; the application of
land health in resource decisionmaking; and questions about the role of
Resource Advisory Councils.
Several commenters conveyed
support for the proposal to apply the
fundamentals of land health and related
standards and guidelines to all BLMmanaged public lands and uses,
expanding them beyond their original
application to rangelands and grazing.
In response to comments, the rule
includes streamlined assessment
processes applicable at broad spatial
scales and a subsequent timeline to
review whether such standards remain
sufficient.
Commenters provided different
recommendations as to how standards
and guidelines should be updated.
Some suggestions included tying new
standards to quantifiable ecologically
based performance metrics, specific
ecoregions, specific resources, or local
ecosystems and conditions. Whatever
the outcome of new standards, many
commenters conveyed a need for the
BLM to provide the public the rationale
for new standards and guidelines and
clarity as to how they will be applied.
In response to comments, the final
rule includes language adopting
consistent national land health
standards and an allowance to modify
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national standards to address unique
and rare geographic needs.
A few commenters recommended the
BLM use flexibility in land health
standards to accommodate the diverse
array of land uses, especially
nonrenewable resources and those with
potential surface-disturbing impacts.
Various commenters expressed concern
that expanding application of land
health was unworkable as the BLM
cannot meet the current demands for
conducting land health analysis under
43 CFR Subpart 4180. To address this,
commenters provided several
recommendations, including setting
appropriate monitoring frequencies,
scales, and thresholds, with timelines
for corrective actions and milestones.
Additionally, commenters supported
applying land health at the watershed
rather than narrower or smaller scales
(allotments, projects, etc.).
In response to comments, the final
rule directs the BLM to establish
nationally consistent land health
standards and indicators and tiers land
health standards directly from the
fundamentals of land health in order to
apply land health standards to a diverse
array of land uses. Authorized officers
must adopt the national standards and
may also adopt geographically specific
standards when necessary to evaluate
rare or unique habitat or ecosystem
types, such as permafrost. To address
concerns about the BLM’s capacity to
apply land health standards to all
program areas, the final rule allows field
offices to use watershed condition
assessments (completed every 10 years)
as the baseline for land health
evaluations. With watershed condition
assessments, land health is assessed at
a broad spatial and temporal scale, and
may be supplemented by locally
specific data.
Some commenters were confused
about the role of the Resource Advisory
Councils in the development of new
standards and guidelines and sought
clarification. Although the BLM engages
with its Resource Advisory Councils on
a wide range of issues, the rule does not
require the engagement of Resource
Advisory Councils in the development
and supplementation of standards and
guidelines.
E. Areas of Critical Environmental
Concern
Various commenters advocated for
strengthening the ACEC relevance and
importance criteria, particularly by
including habitat connectivity and
biodiversity considerations, to ensure
the protection of natural, cultural, and
scenic resources. Additionally, many
comments highlighted the importance of
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old-growth and mature forests and
requested explicit language in the rule
to protect and restore old-growth
conditions through ACEC designation.
The final rule establishes that a historic,
cultural, or scenic value; a fish or
wildlife resource; or a natural system or
process has importance if it contributes
to ecosystem resilience, landscape
intactness, or habitat connectivity,
among other importance criteria. While
the final rule does not explicitly
contemplate protection of old-growth
forest conditions through ACEC
designation, the rule specifically
enables that management decision by
identifying ecosystem resilience and
landscape intactness as elements of the
ACEC importance criterion. Other
provisions in the final rule note that
old-growth forests contribute to
ecosystem resilience and landscape
intactness, such as §§ 6101.2 and
6102.1.
Commenters recommended the final
rule mandate more stringent
management of designated ACECs in
order to ensure protection of relevant
and important values identified by the
BLM. In response to these comments,
the BLM added a management standard
to the final rule to ensure ACEC values
are appropriately managed for
protection and clarified the
presumption that a potential ACEC that
meets all three criteria of relevance,
importance, and needing special
management attention will be
designated in the land use plan.
Commenters raised concerns about
ACEC nominations occurring outside of
land use planning processes and that
temporary management of potential
ACECs would delay other land use
authorizations such as renewable energy
projects. Questions were raised about
the responsibility to notify the public of
temporary management decisions and
whether temporary management must
conform to the current resource
management plan. Commenters were
also generally interested in ensuring
stakeholders and the public have
adequate opportunities to participate in
ACEC designation decisions.
Generally, the BLM addresses ACECs
in the land use planning process. This
is because designation of ACECs is
intended to be a proactive land
management decision to enhance
management of important lands and
resources. Such decisions should be
made while also considering other
potential management decisions that
may affect those same lands and
resources. In rarer situations, the BLM
may identify a potential ACEC outside
of the planning process and find that it
needs special management attention to
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ensure proper stewardship of resources
and values the agency is charged with
managing. In both contexts, the BLM
must find that the lands at issue not
only possess relevant and important
values but also require special
management attention. The final
element of the standard for ACEC
designation means more than finding
special management attention will
benefit the identified values; rather, it
requires a finding that special
management is necessary for their
stewardship.
Within the land use planning process,
the BLM has many tools at its disposal
to provide necessary management of
resources, ranging from special
designation to more narrow
management prescriptions. Outside of
the planning process, temporary
management of a potential ACEC may
be the best option for addressing an area
that has relevant and important values
and requires special management
attention to protect them. In those
situations, under the final rule and
consistent with existing guidance, the
BLM may at the agency’s discretion
implement temporary management to
protect the relevant and important
values from irreparable damage until the
BLM determines whether to designate
the potential ACEC through a land use
planning process. When implementing
temporary management, the BLM would
comply with applicable laws and
regulations, notify the public, and
reevaluate the decision periodically.
The BLM has the authority and the
responsibility to mitigate impacts to
public land resources from land use
authorizations, including by avoiding,
minimizing, and offsetting those
impacts, independent of ACEC
designation status. 43 U.S.C. 1732(a)–
(b). Therefore, the BLM does not expect
that an ACEC nomination or temporary
management process will increase
conflict where resources may be
impacted by development proposals.
Rather, the BLM intends these
provisions of the rule to provide a
proactive pathway for managing
relevant and important values that
require special management attention in
the limited circumstances in which
these values are identified outside of the
planning process.
For example, if the BLM is evaluating
a proposed development project and has
not incorporated consideration of new
ACEC designations into the NEPA
process for that project, then it is
anticipated that the BLM, consistent
with existing guidance, would analyze
potential impacts to resources and apply
the mitigation hierarchy to address
those impacts through the NEPA
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process rather than considering new
ACEC designations as part of the
ongoing NEPA process. This rule would
not require the authorized officer to
analyze ACEC nominations during that
NEPA process. Rather, the State Director
would have the discretion to determine
when to evaluate ACEC nominations;
the State Director could elect to defer
that evaluation to an upcoming
planning process. The State Director
also would have the discretion to apply
temporary management in the area, but
only after determining that the area
meets the relevance and importance
criteria and that special management is
necessary to protect the area’s relevant
and important values from irreparable
damage. In other words, the State
Director’s discretion would include:
continuing to process the project by
deferring analysis of ACEC nominations;
using the data related to ACEC
nominations to inform the project
analysis; and processing ACEC
nominations and incorporating any
temporary management into the project
evaluation. In all circumstances, the
BLM has the discretion to consider
ACEC nominations and take steps to
implement temporary management for
relevant and important values or
undertake a plan amendment process to
designate new ACECs as outlined in the
final rule. The BLM plans to provide
additional guidance on situations in
which an ACEC nomination overlaps
with a pending development project
application.
The final rule also emphasizes the
ample opportunities for public notice
and comment on the ACEC designation
process through the resource
management planning process, which
requires robust public and stakeholder
engagement as well as cooperation with
local governments and consultation
with Tribal governments (43 CFR
1610.2). The final rule confirms that
proposed and existing ACECs being
addressed by a resource management
plan or a plan amendment will be
identified in all applicable Federal
Register Notices and in public outreach
materials. The BLM will not, however,
be required to continue to produce
separate notices specific to ACECs
which the BLM found to be duplicative
and not in the public interest. The BLM
will continue to provide the public with
an opportunity to comment on proposed
and existing ACECs through the land
use planning and associated NEPA
requirements for public involvement.
F. Intact Landscapes
Many commenters requested clarity
on the rule provisions related to
intactness, including how intact
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landscapes would be identified and
managed. Comments recommended that
a comprehensive inventory of intact
landscapes be part of the land use
planning process and that the rule make
stronger commitments to prioritizing the
conservation and protection of intact
landscapes in order to advance the
purpose of supporting ecosystem
resilience. Additionally, commenters
stressed the importance of incorporating
community input.
Some commenters emphasized the
need to consider other potential uses,
such as renewable energy development,
and the multiple use management
approach when determining whether to
manage certain landscapes for
intactness. Several comments addressed
the importance of acknowledging the
human history of intact landscapes and
incorporating the concept of cultural
landscapes, as well as considering costewardship agreements for identified
landscapes.
In response to these comments, the
BLM updated the rule to clarify that
‘‘landscape intactness’’ is part of the
resource inventory that is to be
maintained and considered in
accordance with FLPMA. The final rule
also clarifies the land use planning
process for this resource, which
includes using the intactness inventory
to identify and delineate intact
landscapes, evaluating alternatives for
managing the intact landscapes, and
making management decisions for at
least some of the intact landscapes or
portions of intact landscapes that
conserve their intactness. Habitat
connectivity and migration corridor data
would inform identification and
management of intact landscapes, and
the BLM would seek opportunities for
Tribal co-stewardship in managing and
protecting intact landscapes. The BLM
anticipates that intact landscapes may
vary widely in size and that not every
acre of an intact landscape will be
managed the same way, as the
management focus would be on
maintaining function of intact
landscapes while facilitating multiple
use and supporting sustained yield.
The identification of intact landscapes
in the land use planning process would
not necessarily preclude land use
authorizations that would impair their
intactness; rather the BLM would make
management decisions for each
landscape that would determine
allowable uses. Some development
could be compatible with management
to conserve intactness, and intact
landscapes may serve as desirable areas
for restoration and mitigation leases.
Once an intact landscape has been
identified in a land use planning
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process, the BLM would consider that
resource and analyze potential impacts
to it in the planning process and NEPA
analysis to evaluate proposed uses,
regardless of management decisions for
the landscape, consistent with NEPA’s
requirement that the BLM analyze
potential impacts from proposed
actions.
G. Grazing
Commenters expressed concern
regarding what they considered to be
broad and ambiguous interpretations of
terms ‘‘conservation,’’ ‘‘intact
landscapes,’’ and ‘‘ecosystem
resilience,’’ and for the potential for the
proposed rule to limit or prohibit
consumptive uses, such as grazing. The
comments highlighted the need for
clarity and consistency in definitions
and objectives, suggesting modifications
to acknowledge existing uses permitted
under FLPMA.
The BLM also received a significant
number of comments questioning how
conservation leases relate to authorized
grazing. Many comments highlighted
the need to clarify how proposed
conservation leases will interact with
grazing management, particularly in
cases where grazing may conflict with
restoration goals.
In response to comments, the BLM
made changes to the leasing section of
the final rule. Those changes are
summarized in the ‘‘Section-by-Section
Discussion of the Final Rule and
Revisions from the Proposed Rule’’
section and in the ‘‘Conservation
Leasing’’ section of this discussion.
Importantly, the BLM clarified that if
proposed activities in a restoration or
mitigation lease would conflict with
existing authorizations, such as if a
specific type of restoration would not be
compatible with grazing and the
proposed location is already subject to
a grazing authorization, then a lease
authorizing that type of restoration
could not be issued on those particular
lands. Additionally, the final rule
elevates proposals for leases that can
demonstrate collaboration with existing
permittees, leaseholders, and adjacent
land managers or owners and those that
have support from local communities.
Commenters expressed different
views as to whether grazing can be used
as a land health solution, with some
noting that grazing should be used as a
land health management tool, while
others stated that any use of grazing
operations by the BLM to promote land
health standards would likely preclude
achieving land health goals. Some
commenters argued that managed
grazing can in fact achieve land health
standards and that specific practices,
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such as targeted grazing, have been used
to create fire breaks, manage invasive
species, and promote land health. Other
commenters argued that livestock
grazing is incompatible with restoration
and that grazing should be eliminated in
areas undergoing restoration. This rule
is not establishing or revising
regulations governing the BLM’s grazing
program and does not contemplate
using or not using grazing as a land
health management tool. As previously
discussed, conservation takes many
forms on public lands, including in the
ways grazing and many other uses are
carried out. This rule focuses on
conservation as a land use within the
multiple use framework and develops
the toolbox for conservation use that
enables some of the many conservation
strategies the agency employs to steward
the public lands for multiple use and
sustained yield. Grazing as a
management tool may fit within these
strategies.
Many commenters emphasized the
impact that livestock grazing has had on
BLM-managed public lands and the
need for the BLM to commit to its
responsibility under 43 CFR subpart
4180 to monitor achievement of
rangeland health standards and manage
for proper functioning conditions. One
commenter noted that when an
allotment fails to meet the standards,
changes in grazing practices must be
instituted to restore rangeland health.
The BLM is not revising subpart 4180 as
part of this rulemaking.
H. Recreation
Many commenters emphasized that
outdoor recreation is dependent on
healthy public lands and waters that
provide desirable recreation
experiences, which in turn support
regional economic growth and help
Americans connect with their public
lands. They further noted that climate
change is having a particular impact on
outdoor recreation through drought and
catastrophic wildfire, highlighting the
need for resilient public lands that can
continue to provide recreation
opportunities in a changing future.
These commenters requested the rule
explicitly recognize the tie between
landscape health and outdoor recreation
and acknowledge that sustainable
recreation is compatible with
conservation use.
In response to comments, the final
rule includes a new objective to:
‘‘Provide for healthy lands and waters
that support sustainable outdoor
recreation experiences for current and
future generations.’’ The BLM views
sustainable recreation as being
compatible with conservation
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management, including specifically
with restoration and mitigation leasing,
protection of intact landscapes,
management for land health,
designation of ACECs, and other
principles and management actions
provided for in the rule. Furthermore,
the BLM anticipates that outdoor
recreation would benefit from these
conservation measures and would be
considered a reason to protect and
restore certain landscapes. The
additional objective at § 6101.2(g) aims
to reflect this intent. The final rule does
not specifically address recreation in
more detail because the rule is not
intended to establish regulations
governing recreation use.
Some commenters raised concerns
that the rule would reduce the amount
of public land available for outdoor
recreation. The rule would not change
plans, policies, or programs governing
recreation activities on public lands;
recreation management would still be
determined at the local level through
land use planning and site-specific
recreation management actions such as
developed recreation sites,
transportation system routes, or trails.
As the BLM implements the rule,
recreation management decisions will
incorporate the objectives and
principles set forth in the rule to
support landscape health and ecosystem
resilience. The rule is not intended to
prevent or decrease outdoor recreation
use; rather it ensures that recreation on
public lands can be managed and grow
sustainably while benefiting from the
conservation of healthy lands and water.
I. Renewable Energy
Commenters raised concerns about
the potential conflicts that could arise
between the proposed rule and the
BLM’s ability to manage and promote
renewable energy development. In
response to comments, the BLM
clarified mitigation language that would
allow for renewable energy siting and
development, or other kinds of projects,
even when that development produces
unavoidable impacts. Establishing
methods to ensure impacts can be offset
and expanding the ability to site
compensatory mitigation on public
lands through mitigation leases creates
more opportunity to permit use while
accounting for the unavoidable impacts
of such use.
Commenters argued that application
of land health standards to renewable
energy projects as well as changes to
identification and designation of ACECs
may have the effect of significantly
diminishing the BLM’s ability to
identify locations where it can permit
renewable energy installations and
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associated infrastructure. As noted in
the discussion of the BLM’s response to
comments on ACECs, the BLM does not
expect that ACEC designations or the
potential for temporary management of
proposed ACECs will increase conflict
where resources may be impacted by
development proposals. Rather, the
BLM intends these provisions of the
rule to provide a proactive pathway for
managing relevant and important values
that require special management
attention, including in the limited
circumstances in which these values are
identified outside of the planning
process.
Lastly, commenters conveyed concern
that the proposed rule rested too much
decision-making authority on BLM staff
over a number of aspects of the rule and
that such authority should reside with
BLM State Directors. In response, the
BLM clarified the responsibilities of
Field Managers and State Directors in
the ACEC section.
J. Cultural Resource Management
Some comments discussed the
connection between cultural values and
ecosystem resilience and requested an
acknowledgement of this connection
and clarity for whether and how the rule
would incorporate cultural values or
otherwise apply to cultural resource
management. Commenters requested
that the BLM consider how conservation
strategies included in the rule intersect
with cultural resources. Specifically,
commenters recommended that the rule
address American Indian contributions
to stewarding the landscapes that the
BLM now manages as public lands and
may conserve through implementation
of this rule, including Indigenous
Knowledge and practices handed down
over millennia. Commenters also
recommended that lands that contain
areas of sacred and ceremonial
significance to Tribes should not be
eligible for conservation leasing unless
the purpose of the lease is directly
related to those resources.
The BLM is committed to working
with Tribes in the management of the
public lands, which are the ancestral
homelands of American Indian and
Alaska Native Tribes. The BLM
recognizes Indigenous Peoples have
interacted with and stewarded the lands
now managed as public lands since time
immemorial. This human presence and
stewardship continue to influence the
lands addressed in the rule, including
intact landscapes and ACECs.
Cultural resources can be and often
are an essential component of
functioning and productive ecosystems,
and natural components of ecosystems
can also be cultural resources. Some of
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the BLM’s most intact and resilient
ecosystems are often also locations with
a high probability of containing cultural
resources. Cultural and natural values of
landscapes co-exist as reasons to protect
and manage these landscapes,
emphasizing the importance of
Indigenous Knowledge and costewardship.
Actions and decisions aimed at
restoring, maintaining, and conserving
ecosystems and landscapes may
inadvertently result in impacts to
cultural resources. All such
undertakings will be subject to section
106 of the NHPA, as well as NEPA.
Through the section 106 process, the
BLM will, in consultation with Tribes,
State and Tribal Historic Preservation
Officers, and interested parties, identify,
evaluate, and resolve any adverse effects
on historic properties. Any potential
adverse effects to historic properties
will be avoided, minimized, or
otherwise mitigated in accordance with
law, regulation, and policy. Effects to
cultural resources that are not identified
as historic properties under the NHPA
will be considered and managed
through land use plans and the NEPA
process. In addition, the BLM will strive
to consider and implement the new Best
Practices Guide for Federal Agencies
Regarding Tribal and Native Hawaiian
Sacred Sites.16
K. Mature and Old-Growth Forests
Many comments were received
emphasizing the need to protect oldgrowth and mature forests as part of
meeting the rule’s stated purpose of
supporting ecosystem resilience on
public lands. Commenters
recommended adding provisions to the
rule to establish emphasis areas for oldgrowth and mature forests, limit or
prohibit tree cutting on BLM-managed
lands, facilitate designation of oldgrowth forests as ACECs, and focus on
climate sustainable logging.
Commenters highlighted the scientific
and social values of old-growth and
mature forests and requested explicit
language in the rule to protect these
valuable ecosystems consistent with
Executive Order 14072.
Executive Order 14072, Strengthening
the Nation’s Forests, Communities, and
Local Economies, calls for defining,
identifying, and inventorying the
nation’s old and mature forests and
16 Working Group of the Memorandum of
Understanding Regarding Interagency Coordination
and Collaboration for the Protection of Indigenous
Sacred Sites (2023), https://www.bia.gov/sites/
default/files/media_document/sacred_sites_guide_
508_2023-1205.pdf (providing guidance on
implementation of Executive Orders 13175, 13007,
and 14096, and related policies).
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stewarding them for future generations
to provide clean air and water, sustain
plant and animal life, and respect their
special importance to Tribal Nations,
consistent with applicable law. The
BLM is working with the U.S. Forest
Service to implement the provisions in
Executive Order 14072 related to mature
and old-growth forests. In April 2023,
the BLM and U.S. Forest Service
released a definition framework and
initial inventory of mature and oldgrowth forests on Federal lands, and the
agencies are now analyzing threats to
those forests pursuant to the Executive
Order. The initial inventory identified
8.3 million acres of old-growth and 12.7
million acres of mature forest on BLMadministered lands, the majority of
which are pinyon and juniper
woodlands. Mature and old-growth
forests and woodlands contribute to
ecosystem resilience by providing
wildlife habitat, clean water, carbon
storage, and landscape intactness. They
also have important social and cultural
values.
The final rule facilitates conservation
of BLM-managed forests and woodlands
through multiple provisions, including
those related to identification and
protection of intact landscapes;
conservation tools to protect certain
lands and resources through land use
planning; avoiding authorizing uses of
the public lands that permanently
impair ecosystem resilience; and costewardship opportunities with Tribes.
In order to clarify this intent, the final
rule specifically identifies conservation
of old-growth forests within the
objectives of the regulation. Because this
is a procedural rule, establishing
emphasis areas or other site-specific
protections for old-growth forests is
outside the scope of the rule.
L. Wild Horses and Burros
The BLM received comments on using
the rule to change wild horse and burro
management on public lands.
Commenters recommended classifying
wild horses and burros as a use of
public lands, requiring the BLM to show
that removal of livestock could not
achieve the same objective as removal of
wild horses and burros, restricting
livestock grazing to reduce methane
emissions and provide more forage for
wild horses and burros, and allowing
restoration and mitigation leases to be
used to protect wild horse and burro
habitat.
Management of wild horses and
burros is governed by the Wild FreeRoaming Horses and Burros Act of 1971,
as amended, and its implementing
regulations (43 CFR part 4700). Wild
horses and burros are managed in the
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areas where they are found, and
decisions on herd management are
made through the BLM’s land use
planning process. This rule does not
authorize or mandate decisions to
manage wild horses and burros. The
rule does require the use of high-quality
information that promotes reasoned,
fact-based agency decisions in making
land use allocations and other land use
authorizations, including grazing
authorizations. Restoration and
mitigation leases are narrowly defined
tools for restoring degraded landscapes
or compensating for impacts of
development and are not appropriate
mechanisms for protecting wild horse
and burro habitat.
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M. NEPA Compliance for the Rule
A number of comments objected to
the BLM’s intent to rely on a categorical
exclusion to comply with NEPA and
called on the BLM to instead prepare an
environmental assessment or
environmental impact statement under
NEPA.
The BLM has determined that the
categorical exclusion set out at 43 CFR
46.210(i) applies to this rulemaking.
That provision excludes from NEPA
analysis and review actions that are ‘‘of
an administrative, financial, legal,
technical, or procedural nature; or
whose environmental effects are too
broad, speculative, or conjectural to
lend themselves to meaningful analysis
and will later be subject to the NEPA
process, either collectively or case-bycase.’’ That categorical exclusion
applies because the rule sets out a
framework but is not self-executing in
that it does not itself make substantive
changes on the ground and will not
(absent future decisions that implement
the rule) restrict the BLM’s discretion to
undertake or authorize future on-theground action; thus, the rule is
administrative or procedural in nature.
Any future actions, including both land
use planning and individual projectlevel decisions, including decisions to
issue a restoration or mitigation lease,
will be subject to the appropriate level
of NEPA review at the time of that
decision. Where the BLM will undertake
such actions, which of the various tools
provided in this rule it will use when
doing so, and the particular methods
and activities it will employ are
unknown at this time, making the
environmental effects associated with
those future actions too speculative or
conjectural to meaningfully evaluate
now. The BLM has also determined that
none of the extraordinary circumstances
identified at 43 CFR 46.215 applies to
this rulemaking.
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N. Inventory, Assessment, and
Monitoring
Public comments recommended that
monitoring data and analyses should be
made public to promote transparent
decision processes. Commenters
recommended emphasis on particular
monitoring approaches and discouraged
use of other approaches and requested
more details on the monitoring
implementation process and how it
would tie to decision-making across
different types of decisions.
Commenters also recommended adding
a process for monitoring prioritization.
Many commenters asked for
clarification on watershed condition
classifications, renamed ‘‘watershed
condition assessments’’ in the final rule,
including who would complete them
and how often, what data they would
include, whether outside partners
would be engaged, and how they would
tie to decision-making. Many
recommended a nationally consistent
process for completing watershed
condition assessments in order to
ensure that they were efficient and
effective. Some asked how watershed
condition assessments would interact
with and inform the BLM land health
process. Several questioned whether
additional assessments were needed.
In response to public comments, the
final rule clarifies that a focus of the
rule is monitoring of infrastructure and
renewable resources. It states that
inventory, monitoring, and assessment
information will be publicly available
(currently, at the BLM Geospatial
Business Platform Hub, https://gbp-blmegis.hub.arcgis.com/), consistent with
the Open Government Data Act, section
202(b). The final rule defines watershed
condition assessments and specifies that
they will be created using a consistent
process and standardized data. The final
rule recommends that high-quality
information, including monitoring and
watershed condition assessments, be
used to inform many different types of
decisions in the rule. Further details
regarding inventory, assessment, and
monitoring, including watershed
condition assessments, may be
addressed in implementation guidance.
Some comments questioned whether
the monitoring provisions of the rule
apply to cultural and paleontological
resources. As stated in the Authority
section of the final rule, implementation
of the rule will be subject to and must
be undertaken consistent with all
applicable laws, which would include
the NHPA and the PRPA.
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O. Economic Analysis and Compliance
With the Regulatory Flexibility Act
Many commenters insisted that the
Regulatory Flexibility Act (RFA)
required the BLM to prepare an initial
regulatory flexibility analysis and, by
extension, that this final rule would
require a final regulatory flexibility
analysis. Those commenters requested
specific documentation and details of
the economic impact on small
businesses and other entities.
Commenters stated that the BLM’s
certification that the rule would not
have a significant economic impact on
a substantial number of small entities
lacked a proper factual basis.
The BLM disagrees with commenters’
assertion that the RFA required for the
proposed rule and so requires for this
final rule a regulatory flexibility
analysis. The BLM certified at the
proposed rule stage and certifies again
in promulgating this final rule that the
rule will not have a significant
economic impact on a substantial
number of small entities. Under the
Small Business Administration’s (SBA)
Guide for Federal Agencies to Comply
with the Regulatory Flexibility Act,
when certifying that a regulatory
flexibility analysis is not required, the
‘‘certification should contain a
description of the number of affected
entities and the size of the economic
impacts and why either the number of
entities or the size of the impacts
justifies the certification.’’ Here, the
BLM has undertaken an economic
threshold analysis and concluded that
the magnitude of the impact on any
individual or group, including small
entities, is expected to be negligible
(Economic Threshold Analysis). In
support of this determination, the BLM
followed SBA’s certification checklist
items.
The SBA’s guidelines provide, ‘‘The
RFA does not define ‘significant impact’
or ‘substantial number,’ and it is the
agencies’ discretion on where to set
these thresholds on a rule-to-rule basis
based on their judgment.’’ The BLM
exercised its discretion to conclude that
an initial regulatory flexibility analysis
was not required for the proposed rule
and that a final regulatory flexibility
analysis is not required now.
V. Procedural Matters
Regulatory Planning and Review
(Executive Orders 12866, 13563 and
14094)
Executive Order (‘‘E.O.’’) 12866,
‘‘Regulatory Planning and Review,’’ as
supplemented and reaffirmed by E.O.
13563, ‘‘Improving Regulation and
Regulatory Review,’’ 76 FR 3821 (Jan.
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21, 2011) and amended by E.O. 14094,
‘‘Modernizing Regulatory Review,’’ 88
FR 21879 (April 11, 2023), requires
agencies, to the extent permitted by law,
to (1) propose or adopt a regulation only
upon a reasoned determination that its
benefits justify its costs (recognizing
that some benefits and costs are difficult
to quantify); (2) tailor regulations to
impose the least burden on society,
consistent with obtaining regulatory
objectives, taking into account, among
other things, and to the extent
practicable, the costs of cumulative
regulations; (3) select, in choosing
among alternative regulatory
approaches, those approaches that
maximize net benefits (including
potential economic, environmental,
public health and safety, and other
advantages; distributive impacts; and
equity); (4) to the extent feasible, specify
performance objectives, rather than
specifying the behavior or manner of
compliance that regulated entities must
adopt; and (5) identify and assess
available alternatives to direct
regulation, including providing
economic incentives to encourage the
desired behavior, such as user fees or
marketable permits, or providing
information upon which choices can be
made by the public. E.O. 12866, as
amended by E.O. 14094, provides that
the Office of Information and Regulatory
Affairs (‘‘OIRA’’) in the Office of
Management and Budget (‘‘OMB’’) will
review all significant rules. Section 6(a)
of E.O. 12866 also requires agencies to
submit ‘‘significant regulatory actions’’
to OIRA for review. OIRA has
determined that this final regulatory
action constitutes a ‘‘significant
regulatory action’’ within the scope of
E.O. 12866.
E.O. 13563 reaffirms the principles of
E.O. 12866 while calling for
improvements in the Nation’s regulatory
system to promote predictability, reduce
uncertainty, and use the best, most
innovative, and least burdensome tools
for achieving regulatory ends. The E.O.
directs agencies to consider regulatory
approaches that reduce burdens and
maintain flexibility and freedom of
choice for the public where these
approaches are relevant, feasible, and
consistent with regulatory objectives.
E.O. 13563 emphasizes further that
regulations must be based on the best
available science and that the rule
making process must allow for public
participation and an open exchange of
ideas. The BLM has developed this rule
in a manner consistent with these
requirements.
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Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA)
(5 U.S.C. 601 et seq.) generally requires
that Federal agencies prepare a
regulatory flexibility analysis for rules
subject to the ‘‘notice-and-comment’’
rulemaking requirements found in the
Administrative Procedure Act (5 U.S.C.
551 et seq.), if the rule would have a
significant economic impact, whether
detrimental or beneficial, on a
substantial number of small entities. See
5 U.S.C. 601–612. Congress enacted the
RFA to ensure that government
regulations do not unnecessarily or
disproportionately burden small
entities. Small entities include small
businesses, small governmental
jurisdictions, and small not-for-profit
enterprises.
For the purpose of conducting its
review pursuant to the RFA, the BLM
certifies that the rule would not have a
‘‘significant economic impact on a
substantial number of small entities,’’ as
that phrase is used in 5 U.S.C. 605. The
rule does not affect any existing use of
public lands, nor does it impose
restrictions on future use. The rule
modifies BLM decision-making
processes and does not directly regulate
any industry, but it may affect
industries related to environmental
restoration or mitigation activity or
other sectors that rely on public lands
management. The BLM does not expect
those impacts to be significant. See the
Economic Analysis, Potential Impact on
Small Entities, for more information.
Congressional Review Act (CRA)
Pursuant to subtitle E of the Small
Business Regulatory Enforcement
Fairness Act of 1996 (also known as the
Congressional Review Act), the Office of
Information and Regulatory Affairs has
determined that this rule does not meet
the criteria set forth in 5 U.S.C. 804(2).
This rule:
a. Does not have an annual effect on
the economy of $100 million or more.
The BLM did not estimate the annual
benefits that this rule would provide to
the economy. Please see the Economic
Analysis for this rule for a more detailed
discussion.
b. Will not cause a major increase in
costs or prices for consumers,
individual industries, Federal, State, or
local government agencies, or
geographic regions. The rule would
benefit small businesses by streamlining
the BLM’s processes.
c. Does not have significant adverse
effects on competition, employment,
investment, productivity, innovation, or
the ability of U.S.-based enterprises to
compete with foreign-based enterprises.
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The rule would not have adverse effects
on any of these criteria.
Unfunded Mandates Reform Act
(UMRA)
This rule does not impose an
unfunded mandate on State, local, or
Tribal governments, or the private sector
of more than $100 million per year. The
rule does not have a significant or
unique effect on State, local, or tribal
governments, or the private sector.
Under the Unfunded Mandates Reform
Act (UMRA) (2 U.S.C. 1531 et seq.),
agencies must prepare a written
statement about benefits and costs prior
to issuing a proposed or final rule that
may result in aggregate expenditure by
State, local, and tribal governments, or
the private sector, of $100 million or
more in any 1 year.
This rule is not subject to those
requirements of the UMRA. The rule
does not contain a Federal mandate that
may result in expenditures of $100
million or more for State, local, and
tribal governments, in the aggregate, or
to the private sector in any one year.
The rule would not significantly or
uniquely affect small governments. A
statement containing the information
required by the UMRA is not required.
Government Actions and Interference
With Constitutionally Protected Property
Rights Takings (E.O 12630)
This rule does not effect a taking of
private property or otherwise have
taking implications under E.O. 12630.
Section 2(a) of E.O. 12630 identifies
policies that do not have takings
implications, such as those that abolish
regulations, discontinue governmental
programs, or modify regulations in a
manner that lessens interference with
the use of private property. The rule
will not interfere with private property.
A takings implication assessment is not
required.
Federalism (E.O 13132)
Under the criteria in Section 1 of E.O.
13132, this rule does not have sufficient
federalism implications to warrant the
preparation of a federalism summary
impact statement. It does not have
substantial direct effects on the States,
on the relationship between the national
government and the States, or on the
distribution of power and
responsibilities among the various
levels of government.
The BLM received broad and general
comments suggesting that E.O. 13132
requires preparation of a federalism
summary impact statement with respect
to this rule. In particular, some
comments raised concerns that
conservation leases (now titled
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restoration and mitigation leases) could
infringe on state and local authority.
Executive Order 13132 generally
prohibits Federal agencies from
promulgating rules that might have a
substantial direct effect on states or
local governments, on the relationship
between Federal and State governments,
or on the distribution of power and
responsibilities among the various
levels of government, without meeting
certain conditions, such as consulting
with elected State and local government
officials early in the process. In
particular, administrative rules may not
create substantial direct compliance
costs for state or local governments that
are not otherwise required by statute
and may not expressly or impliedly
preempt state law without Federal
agencies undertaking additional
processes. This rule will inform the
BLM’s management approach on federal
land in the several states where BLM
manages public land, but nothing in the
rule, including its provisions for
restoration and mitigation leasing,
preempts state law or requires state or
local governments to comply with
specific provisions. Nor does the rule
modify let alone reduce the role, under
FLPMA, of state and local governments
in land use planning. As a result, a
federalism summary impact statement is
not required.
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Civil Justice Reform (E.O 12988)
This rule complies with the
requirements of E.O. 12988.
Specifically, this rule:
a. Meets the criteria of Section 3(a)
requiring that all regulations be
reviewed to eliminate errors and
ambiguity and be written to minimize
litigation; and
b. Meets the criteria of Section 3(b)(2)
requiring that all regulations be written
in clear language and contain clear legal
standards.
Consultation and Coordination With
Indian Tribes (E.O 13175 and
Departmental Policy)
The Department of the Interior (DOI)
endeavors to maintain and strengthen
its government-to-government
relationship with Indian Tribes through
a commitment to consultation with
Indian Tribes and recognition of their
right to self-governance and tribal
sovereignty. We have evaluated this rule
under the DOI’s consultation policy and
under the criteria in E.O. 13175 and
have determined that the rule has tribal
implications.
In conformance with the Secretary’s
policy on Tribal consultation, the BLM
sent letters to all Tribes at the beginning
of the rulemaking process informing
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them of the proposed rule and inviting
them to engage with BLM on their
thoughts and concerns. The BLM
received input from Tribal governments,
Alaska Native Corporations, and Tribal
entities in comments on the proposed
rule, as well as in other meetings that
included a broader range of topics, and
incorporated their input in drafting the
final rule. Consistent with the DOI’s
consultation policy (52 Departmental
Manual 4) and the criteria in E.O.
13175, the BLM will continue to consult
with federally recognized Indian Tribes
on any proposal that may have Tribal
implications.
Paperwork Reduction Act
The Paperwork Reduction Act (PRA)
(44 U.S.C. 3501–3521) generally
provides that an agency may not
conduct or sponsor, and
notwithstanding any other provision of
law a person is not required to respond
to, a collection of information, unless it
displays a currently valid Office of
Management and Budget (OMB) control
number. This rule contains information
collection requirements that are subject
to review by the OMB under the PRA.
Collections of information include any
request or requirement that persons
obtain, maintain, retain, or report
information to an agency, or disclose
information to a third party or to the
public (44 U.S.C. 3502(3) and 5 CFR
1320.3(c)).
OMB has generally approved the
existing information collection
requirements contained in the BLM’s
regulations contained in 43 CFR subpart
1610 under OMB Control Number 1004–
0212. The final rule would not result in
any new or revised information
collection requirements that are
currently approved under that OMB
Control Number.
For the reasons set out in the
preamble, the BLM is amending 43 CFR
by creating Part 6100 which would
result in new information collection
requirements that require approval by
OMB. The information collection
requirement contained in part 6100 will
allow the BLM to issue a restoration or
mitigation lease to qualified entities for
the purpose of restoring degraded land
or resources, or mitigation to offset the
impacts of other land use
authorizations. The new information
collection requirements contained in the
final rule are discussed below.
New Information Collection
Requirements
§ 6102.4(b) and (c)—Restoration and
Mitigation Leasing: Applications for
restoration or mitigation leases shall be
filed with the Bureau of Land
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Management office having jurisdiction
over the public lands covered by the
application. Applications for restoration
or mitigation leases shall include a
restoration or mitigation development
plan which includes sufficient detail to
enable the authorized officer to evaluate
the feasibility, impacts, benefits, costs,
threats to public health and safety,
collaborative efforts, and conformance
with BLM plans, programs, and policies,
including compatibility with other uses.
The development plan shall include but
not be limited to:
• Results from available assessments,
inventory and monitoring efforts, or
other high-quality information that
identify the current conditions of the
site(s) of the proposed restoration or
mitigation action;
• The desired future condition of the
proposed lease area including clear
goals, objectives, and measurable
performance criteria needed to achieve
the objectives;
• Justification for passive restoration
or mitigation if proposed;
• A description of all facilities for
which authorization is sought,
including access needs and any other
special types of authorizations that may
be needed;
• A map of sufficient scale to allow
the required information to be legible as
well as a legal description of primary
and alternative project locations;
• Justification of the total acres
proposed for the restoration or
mitigation lease;
• A schedule for restoration activities,
if applicable; and
• Information on outreach conducted
or to be conducted with existing
permittees, lease holders, adjacent land
managers or owners, and other
interested parties.
§ 6102.4(c)(4)—Restoration and
Mitigation Leasing (additional
information): After review of the
restoration or mitigation development
plan, the authorized officer may require
the applicant to provide additional
high-quality information, if such
information is necessary for the BLM to
decide whether to issue, issue with
modification, or deny the proposed
lease. An application for the use of
public lands may require
documentation or proof of application
for additional private, State, local or
other Federal agency licenses, permits,
easements, certificates, or other
approval documents. The authorized
officer may require evidence that the
applicant has or prior to commencement
of lease activities will have the technical
and financial capability to operate,
maintain, and terminate the authorized
lease activities.
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§ 6102.4(e)—Restoration and
Mitigation Leasing/Monitoring Plan: If
approved, the lease holder shall provide
a monitoring plan that describes how
the terms and conditions of the lease
will be applied, the monitoring
methodology and frequency, measurable
criteria, and adaptive management
triggers.
§ 6102.4(e)(1)—Restoration and
Mitigation Leasing/Annual Report: The
lease holder shall provide a lease
activity report annually and at the end
of the lease period. At a minimum, the
report shall describe:
• the restoration or mitigation
activities taken as of the time of the
report;
• any barriers to meeting the stated
purpose of the lease;
• proposed steps to resolve any
identified barriers; and
• monitoring information and data
that meet BLM methodology
requirements and data standards (see
§ 6103.2(c)).
§ 6102.4.1(d)(3)—Termination and
Suspension of Restoration and
Mitigation Leases: Upon determination
that there is noncompliance with the
terms and conditions of a restoration or
mitigation lease which adversely affects
land or public health or safety, or
impacts ecosystem resilience, the
authorized officer shall issue an
immediate temporary suspension. Any
time after an order of suspension has
been issued, the holder may file with
the authorized officer a request for
permission to resume. The request shall
be in writing and shall contain a
statement of the facts supporting the
request.
§ 6102.4.2(a)—Bonding for
Restoration and Mitigation Leases: Prior
to the commencement of surfacedisturbing activities, the authorized
officer may require the restoration or
mitigation lease holder to submit a
reclamation, decommission, or
performance bond conditioned upon
compliance with all the terms and
conditions of the lease covered by the
bond. For mitigation leases, the lease
holder will usually be required to
provide letters of credit or establish an
escrow account for the full amount
needed to ensure the development plan
meets all performance criteria.
§ 6102.5.1(d)—Mitigation—Approval
of third parties as mitigation fund
holders: § 6102.5.1(d) would allow in
certain limited circumstances
authorized officers to approve third
parties as mitigation fund holders to
establish mitigation accounts for use by
entities granted land use authorizations
by the BLM. The authorized officer will
approve the use of a mitigation account
by a permittee only if a mitigation fund
holder has a formal agreement with the
BLM.
§ 6102.5.1(e)—Mitigation—Approval
of third parties as mitigation fund
holders/State and local government
agencies: State and local government
agencies are limited in their ability to
accept, manage, and disburse funds for
the purpose outlined in § 6102.5.1 and
generally should not be approved by the
BLM to hold mitigation funds for
compensatory mitigation sites on public
or private lands. An exception may be
made where a government agency is
able to demonstrate, to the satisfaction
of the BLM, that they are acting as a
fiduciary for the benefit of the
mitigation project or site, essentially as
if they are a third party, and can show
that they have the authority and perform
the duties described in § 6102.5.1.
Information Collection Changes From
Proposed to Final Rule:
The BLM introduced the following
information collection requirements that
were not in the proposed rule:
• Restoration and Mitigation Leasing/
Monitoring Plan—43 CFR 6102.4(e);
• Restoration and Mitigation Leasing/
Annual Report—43 CFR 6102.4(e)(1);
and
• Mitigation/Approval third parties as
mitigation fund holders/Annual Fiscal
Reports—43 CFR 6102.5–1(e).
These ICs are necessary to provide
monitoring mechanisms to help the
BLM assure that we are achieving the
desired outcomes of the restoration and
mitigation plans.
The information collection
requirements contained in this rule are
needed to ensure that accountability
through restoration monitoring and
tracking is carried out effectively and
that project goals are being met. The
estimated annual information collection
burdens for this rule are outlined below:
Number
of responses
Collection of information
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Restoration and Mitigation Leasing/Restoration or Mitigation Development Plan—43 CFR
6102.4(b) and (c) .....................................................................................................................
Restoration and Mitigation Leasing/Additional Information 43 CFR 6102.4(c)(5) ......................
Restoration and Mitigation Leasing/Monitoring Plan—43 CFR 6102.4(e) ..................................
Restoration and Mitigation Leasing/Annual Report—43 CFR 6102.4(e)(1) ................................
Termination and Suspension of Restoration and Mitigation Leases/written request to resume
or suspended activity—43 CFR 6102.4–1(d)(3) ......................................................................
Bonding for Restoration and Mitigation Leases—43 CFR 6102.4–2(a) .....................................
Mitigation/Approval third parties as mitigation fund holders—43 CFR 6102.5–1(e) ...................
Mitigation/Approval third parties as mitigation fund holders—43 CFR 6102.5–1(g) ...................
Mitigation/Approval third parties as mitigation fund holders/Annual Fiscal Reports—43 CFR
6102.5–1(e) ..............................................................................................................................
Mitigation/Approval third parties as mitigation fund holders/Annual Fiscal Reports—43 CFR
6102.5–1(e) ..............................................................................................................................
Information Collection Summary:
Title of Collection: Ecosystem
Resilience (43 CFR part 6100).
OMB Control Number: 1004–0218.
Form Number: None.
Type of Review: New collection of
information.
Respondents/Affected Public: Private
sector businesses; Not-for-profit
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organizations; and State, local, or Tribal
governments.
Respondent’s Obligation: Required to
Obtain or Retain a Benefit.
Frequency of Collection: On occasion;
Annual.
Estimated Completion Time per
Response: Varies from 5 hours to 240
hours per response, depending on
activity.
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Time per
response
(hours)
Total
hours
10
8
9
9
10
25
5
2
100
200
45
18
1
10
4
4
240
80
5
5
240
800
20
20
4
2
8
4
2
8
Number of Respondents: 63.
Annual Responses: 63.
Annual Burden Hours: 1,459.
Annual Burden Cost: $0.
If you want to comment on the
information-collection requirements in
this rule, please send your comments
and suggestions on this informationcollection within 30 days of publication
of this final rule in the Federal Register
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to OMB by going to www.reginfo.gov.
Click on the link, ‘‘Currently under
Review—Open for Public Comments.’’
National Environmental Policy Act
(NEPA)
This rule is excluded from review
under the National Environmental
Policy Act under Department
Categorical Exclusion (CX) at 43 CFR
46.210(i). This CX covers policies,
directives, regulations, and guidelines
that are of an administrative, financial,
legal, technical, or procedural nature or
whose environmental effects are too
broad, speculative, or conjectural to
lend themselves to meaningful analysis
and will later be subject to the NEPA
process, either collectively or case-bycase. The BLM has documented this
CX’s applicability to this action and
posted it for public review here in
docket BLM–2023–0001 on
regulations.gov.
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Actions Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use (E.O. 13211)
Federal agencies must prepare and
submit to OMB a Statement of Energy
Effects (SEE) for any significant energy
action. A ‘‘significant energy action’’ is
defined as any action by an agency that:
(1) Is a significant regulatory action
under Executive Order 12866, or any
successor order, and is likely to have a
significant adverse effect on the supply,
distribution, or use of energy; or (2) Is
designated by the Administrator of
OIRA as a significant energy action.
This rule is a significant action under
Executive Order 12866; however, this
rule does not affect energy supply,
distribution, or use, and OIRA has not
designated it a significant energy action.
Therefore, it is not a significant energy
action under E.O. 13211, and a SEE is
not required.
The BLM received many comments
on its determination that this rule is not
a significant energy action. Commenters
stated that the proposed rule,
particularly the regulations pertaining to
ACECs and the establishment of a
restoration and mitigation leasing
program (conservation leasing in the
proposed rule), would displace oil and
gas production and mining for critical
minerals on public lands. Commenters
also expressed concern that ACEC
designation and restoration and
mitigation leases could preclude energy
rights of way for transmission lines.
Commenters requested more
information on how the BLM
determined that this rulemaking would
not have a significant adverse effect on
energy supply, distribution, or use, and
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specifically requested the BLM
complete a SEE for this rulemaking.
The BLM disagrees that the rule
would adversely impact the supply,
distribution, or use of energy. No part of
the rule would preclude the
development or transmission of energy
on or across public lands without due
consideration of multiple use and
sustained yield principles through
BLM’s existing decision-making
processes, including the required public
engagement. Restoration and mitigation
leases may not be issued in areas where
an existing and otherwise incompatible
use is occurring; thus, they would not
displace existing mineral leases or
mining claims. Restoration and
mitigation leases are a narrow tool
which may only be issued to restore
degraded landscapes or to offset impacts
of other land use authorizations; they
may not be used to ‘‘block’’
development of mineral resources on
lands allocated to such use in the
governing Resource Management Plan.
In many cases, these leases will
facilitate the development of energy on
public lands by providing an avenue for
developers to satisfy obligations to offset
the impacts of energy development
through compensatory mitigation.
The revised regulations for ACEC
designation will not adversely affect the
supply, distribution or use of energy on
public lands. FLPMA has required that
the BLM prioritize the designation and
protection of ACECs since 1976, and the
final rule does not change that
requirement or the overall process and
parameters for their designation and
management. The BLM does not expect
that ACEC designations or the potential
for temporary management of proposed
ACECs will increase conflict where
resources may be impacted by
development proposals. Rather, the
BLM intends these provisions of the
rule to provide a proactive pathway for
managing relevant and important values
that require special management
attention in the limited circumstances
in which these values are identified
outside of the planning process. See
Section IV, Response to Comments, part
E., Areas of Critical Environmental
Concern, for more information.
Clarity of This Regulation (Executive
Orders 12866, 12988 and 13563)
We are required by Executive Orders
12866 (section 1(b)(12)), 12988 (section
3(b)(1)(B)), and 13563 (section 1(a)), and
by the Presidential Memorandum of
June 1, 1988, to write all rules in plain
language. This means that each rule
must: a) Be logically organized; b) Use
the active voice to address readers
directly; c) Use common, everyday
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40337
words and clear language rather than
jargon; d) Be divided into short sections
and sentences; and e) Use lists and
tables wherever possible.
Authors
The principal authors of this rule are:
Patricia Johnston, BLM Division of
Wildlife Conservation, Aquatics, and
Environmental Protection; Darrin King,
BLM Division of Regulatory Affairs;
Chandra Little, BLM Division of
Regulatory Affairs, assisted by the DOI
Office of the Solicitor.
The action taken herein is pursuant to
an existing delegation of authority.
List of Subjects in 43 CFR Part 1600
Administrative practice and
procedure, Coal, Conservation,
Environmental impact statements,
Environmental protection,
Intergovernmental relations,
Preservation, Public lands.
This action by the Principal Deputy
Assistant Secretary is taken pursuant to
an existing delegation of authority.
Steven H. Feldgus,
Deputy Assistant Secretary for Land and
Minerals Management.
Accordingly, for the reasons set out in
the preamble, the Bureau of Land
Management amends 43 CFR Chapter II
as set forth below:
PART 1600—PLANNING,
PROGRAMMING, BUDGETING
1. The authority citation for part 1600
continues to read as follows:
■
Authority: 43 U.S.C. 1711–1712.
2. Revise § 1610.7–2 to read as
follows:
■
§ 1610.7–2 Designation of areas of critical
environmental concern.
(a) An area of critical environmental
concern (ACEC) designation is the
principal BLM designation for public
lands where special management is
required to protect and prevent
irreparable damage to important
historic, cultural, or scenic values; fish
or wildlife resources; or natural systems
or processes or to protect life and safety
from natural hazards. The BLM
designates ACECs when issuing a
decision to approve a resource
management plan, plan revision, or plan
amendment. ACECs shall be managed to
protect the relevant and important
values for which they are designated.
(b) In the land use planning process,
authorized officers must identify,
evaluate, and give priority to areas that
have potential for designation and
management as ACECs. Identification,
evaluation, and priority management of
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ACECs shall be considered during the
development and revision of resource
management plans and during
amendments to resource management
plans when such action falls within the
scope of the amendment (see §§ 1610.4–
1 through 1610.4–9). Proposed and
existing ACECs that will be addressed
by a resource management plan, plan
revision, or plan amendment will be
identified in all public notices required
by this part (see, e.g., § 1610.2).
(c) The authorized officer must
facilitate the identification of eligible
ACECs early in the land use planning
process by:
(1) Analyzing inventory, assessment,
and monitoring data to determine
whether there are areas containing
important historic, cultural, or scenic
values; fish or wildlife resources;
natural systems or processes; or natural
hazards potentially impacting life and
safety that are eligible for designation;
(2) Reevaluating existing ACECs in
order to determine if the relevant and
important values are still present and
special management attention is still
necessary; and
(3) Seeking nominations for ACECs,
during public scoping, from the public,
State and local governments, Indian
Tribes, and other Federal agencies (see
§§ 1610.2(c), 1602.5(b)(4) through (6)).
(d) To be designated as an ACEC, an
area must meet the following criteria:
(1) Relevance. The area contains
important historic, cultural, or scenic
values; fish or wildlife resources;
natural systems or processes; or natural
hazards potentially impacting life and
safety.
(2) Importance. A historic, cultural, or
scenic value; a fish or wildlife resource;
a natural system or process; or a natural
hazard potentially impacting life and
safety has importance if it has qualities
of special worth, consequence, meaning,
distinctiveness, or cause for concern;
national or more than local importance,
subsistence value, or regional
contribution of a resource, value,
system, or process; or contributes to
ecosystem resilience, landscape
intactness, or habitat connectivity. A
natural hazard can be important if it is
a significant threat to human life and
safety.
(3) Special management attention.
The important historic, cultural, or
scenic values; fish or wildlife resources;
natural systems or processes; or natural
hazards potentially impacting life and
safety require special management
attention. ‘‘Special management
attention’’ means management
prescriptions that:
(i) Protect and prevent irreparable
damage to the relevant and important
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values, or that protect life and safety
from natural hazards; and
(ii) Would not be prescribed if the
relevant and important values were not
present. In this context, ‘‘irreparable
damage’’ means harm to a value,
resource, system, or process that
substantially diminishes the relevance
or importance of that value, resource,
system, or process in such a way that
recovery of the value, resource, system,
or process to the extent necessary to
restore its prior relevance or importance
is impossible.
(e) The authorized officer may
designate an ACEC research natural area
if the area:
(1) Meets all of the criteria identified
in § 1610.7–2(d)(1) through (3); and
(2) Is consistent with one or more of
the primary purposes found at § 8223.0–
5 of this chapter. A designated ACEC
research natural area will be subject to
the use restrictions at § 8223.1 of this
title in addition to the special
management attention prescribed by the
authorized officer through land use
planning.
(f) The boundaries of proposed ACECs
shall be identified for public lands, as
appropriate, to encompass the relevant
and important values and geographic
extent of the special management
attention needed to provide protection.
(g) During a planning process, the
planning documents must analyze in
detail any proposed ACEC that has
relevant and important values. Where
the BLM has received ACEC proposals
that do not have relevant and important
values, the agency is not required to
review those proposals in detail in
planning documents. Through land use
planning, the BLM will evaluate the
need for special management attention
to protect the relevant and important
values, which could include other
allocations and designations being
considered, in order to provide for
informed decision-making on the tradeoffs associated with ACEC designation.
(h) The approved resource
management plan, plan revision, or plan
amendment shall list all designated
ACECs, identify their relevant and
important values, and include the
special management attention,
including management prescriptions for
other uses, identified for each
designated ACEC.
(i) ACEC nominations typically
should be evaluated during a planning
process. If a nomination for an ACEC is
received outside of the planning
process, the following provisions apply.
(1) The State Director will evaluate
whether the relevant, important, and
special management criteria identified
in paragraph (d) of this section are met.
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The State Director will determine the
appropriate time to complete this
analysis. If the criteria identified in
paragraph (d) of this section are met,
then the State Director shall, at their
discretion, either:
(i) Initiate a land use planning
process; or
(ii) Provide temporary management
consistent with the applicable resource
management plan to protect the relevant
and important values from irreparable
damage. Any temporary management
that is implemented would be in effect
until the BLM either completes a land
use planning process to determine
whether to designate the area as an
ACEC or, through periodic evaluation,
finds designation is no longer necessary.
The BLM will publish a public notice if
temporary management is implemented.
(2) The State Director may defer
evaluating the nomination to an
upcoming planning process.
(j) The State Director shall:
(1) Determine which ACECs to
designate based on:
(i) The presumption that all areas
found to require special management
attention will be designated;
(ii) The value of other resource uses
in the area;
(iii) The feasibility of managing the
designation; and
(iv) The relationship to other types of
designations and protective
management available.
(2) In the decision document for the
resource management plan or plan
amendment, provide a justification and
rationale for both ACEC designation
decisions and decisions not to designate
a proposed ACEC.
(3) Administer designated ACECs in a
manner that conserves, protects, and
enhances the relevant and important
values and only allow casual use or uses
that will ensure the protection of the
relevant and important values. This
paragraph (j)(3) does not apply to those
ACECs designated for natural hazards
potentially impacting life and safety.
(4) Prioritize acquisition of inholdings
within ACECs and adjacent or
connecting lands identified as holding
relevant and important values related to
the designated ACEC.
(k) The State Director, through the
land use planning process, may remove
the designation of an ACEC, in whole or
in part, only when:
(1) The State Director finds that
special management attention is not
needed because another legally
enforceable mechanism provides an
equal or greater level of protection; or
(2) The State Director finds that the
relevant and important values are no
longer present, cannot be recovered, or
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have recovered to the point where
special management is no longer
necessary. The findings must be
supported by data or documented
changes on the ground.
(l) As used in this section, the terms
casual use, conservation, ecosystem
resilience, intactness, landscape,
monitoring, protection, and restoration
have the same meanings as in § 6101.4
of this chapter.
■ 3. Add part 6100 to read as follows:
PART 6100—ECOSYSTEM
RESILIENCE
Subpart 6101—General Information
Sec.
6101.1 Purpose.
6101.2 Objectives.
6101.3 Authority.
6101.4 Definitions.
6101.5 Principles for Ecosystem Resilience.
Subpart 6102—Conservation Use to
Achieve Ecosystem Resilience
Sec.
6102.1 Protection of Landscape Intactness.
6102.2 Management to Protect Intact
Landscapes.
6102.3 Restoration.
6102.3.1 Restoration Prioritization and
Planning.
6102.4 Restoration and Mitigation Leasing.
6102.4.1 Termination and Suspension of
Restoration and Mitigation Leases.
6102.4.2 Bonding for Restoration and
Mitigation Leases.
6102.5 Management Actions for Ecosystem
Resilience.
6102.5.1 Mitigation.
Subpart 6103—Managing Land Health to
Achieve Ecosystem Resilience
Sec.
6103.1 Land Health Standards.
6103.1.1 Management for Land Health.
6103.1.2 Land Health Evaluations and
Determinations.
6103.2 Inventory, Assessment and
Monitoring.
Authority: 16 U.S.C. 7202; 43 U.S.C. 1701
et seq.
PART 6100—ECOSYSTEM
RESILIENCE
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Purpose.
The BLM’s management of public
lands on the basis of multiple use and
sustained yield relies on healthy
landscapes and resilient ecosystems.
The purpose of this part is to promote
the use of conservation to ensure
ecosystem resilience and prevent
permanent impairment or unnecessary
or undue degradation of public lands.
This part discusses the use of protection
and restoration actions, as well as tools
such as watershed condition
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Objectives.
The objectives of this part are to:
(a) Achieve and maintain ecosystem
resilience when administering Bureau
programs; developing, amending, and
revising land use plans; and approving
uses on the public lands;
(b) Promote conservation by
maintaining, protecting, and restoring
ecosystem resilience and intact
landscapes, including habitat
connectivity and old-growth forests;
(c) Integrate the fundamentals of land
health and related standards and
guidelines into resource management
for all uses and activities on BLMmanaged lands;
(d) Incorporate inventory, assessment,
and monitoring principles into decisionmaking and use this information to
identify trends and implement adaptive
management strategies;
(e) Accelerate restoration and
improvement of degraded public lands,
air, and waters to properly functioning
and desired conditions;
(f) Manage for ecosystems and their
components to adapt, absorb, or recover
from the effects of disturbances or
environmental change through
conservation, protection, restoration, or
improvement of essential structures,
functions, and redundancy of ecological
patterns across the landscape;
(g) Provide for healthy lands and
waters that support sustainable outdoor
recreation experiences for current and
future generations;
(h) Prevent permanent impairment or
unnecessary or undue degradation of
public lands;
(i) Improve engagement and costewardship of public lands with Tribal
entities and promote the use of
Indigenous Knowledge in decisionmaking; and
(j) Advance environmental justice
through restoration and mitigation
actions.
§ 6101.3
Subpart 6101—General Information
§ 6101.1
assessments, land health evaluations,
inventory, assessment, and monitoring.
Authority.
These regulations are issued under
the authority of the Federal Land Policy
and Management Act of 1976 (43 U.S.C.
1701 et seq.) as amended and section
2002 of the Omnibus Public Land
Management Act of 2009 (16 U.S.C.
7202). Implementation of this part is
subject to all applicable law.
§ 6101.4
Definitions.
As used in this part, the term:
(a) Casual use means any short-term,
noncommercial activity that does not
cause appreciable damage or
disturbance to the public lands or their
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40339
resources or improvements and that is
not prohibited by closure of the lands to
any such activity.
(b) Conservation means the
management of natural resources to
promote protection and restoration.
Conservation actions are effective at
building resilient lands and are
designed to reach desired future
conditions through protection,
restoration, and other types of planning,
permitting, and program decisionmaking.
(c) Disturbance means changes in
environmental conditions, either
discrete or chronic. Disturbances may be
viewed as ‘‘characteristic’’ when
ecosystems and/or species have evolved
to survive, exploit, and even depend on
a disturbance or ‘‘uncharacteristic’’
when attributes of the disturbance (e.g.,
type, timing, frequency, magnitude,
duration) are outside prevailing
background conditions. Disturbances
may be natural or human-caused.
(d) Ecosystem resilience means the
capacity of ecosystems (e.g., old-growth
forests and woodlands, sagebrush core
areas) to maintain or regain their
fundamental composition, structure,
and function (including maintaining
habitat connectivity and providing
ecosystem services) when affected by
disturbances such as drought, wildfire,
and nonnative invasive species.
(e) Effects means the direct, indirect,
and cumulative impacts, as defined in
40 CFR 1508.1(g), from a public land
use. Effects and impacts as used in these
regulations are synonymous.
(f) High-quality information means
information that promotes reasoned,
evidence-based agency decisions.
Information that meets the standards for
objectivity, utility, and integrity as set
forth in the Department’s Information
Quality Guidelines 17 qualifies as highquality information. Indigenous
Knowledge qualifies as high-quality
information when it is gained by prior,
informed consent free of coercion, and
generally meets the standards for highquality information.
(g) Important, scarce, or sensitive
resources:
(1) ‘‘Important resources’’ means
resources that the BLM has determined
to warrant special consideration,
consistent with applicable law.
(2) ‘‘Scarce resources’’ means
resources that are not plentiful or
abundant and may include resources
that are experiencing a downward trend
in condition.
17 U.S. Department of the Interior, Information
Quality Guidelines, https://www.doi.gov/ocio/
policy-mgmt-support/information-qualityguidelines.
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(3) ‘‘Sensitive resources’’ means
resources that are delicate and
vulnerable to adverse change, such as
resources that lack resilience to
changing circumstances.
(h) Indigenous Knowledge means a
body of observations, oral and written
knowledge, innovations, technologies,
practices, and beliefs developed by
Indigenous Peoples through interaction
and experience with the environment.
Indigenous Knowledge is applied to
phenomena across biological, physical,
social, cultural, and spiritual systems.
Indigenous Knowledge can be
developed over millennia, continue to
develop, and include understanding
based on evidence acquired through
direct contact with the environment and
long-term experiences, as well as
extensive observations, lessons, and
skills passed from generation to
generation. Indigenous Knowledge is
developed, held, and stewarded by
Indigenous Peoples and is often
intrinsic within Indigenous legal
traditions, including customary law or
traditional governance structures and
decision-making processes. Other terms,
such as Traditional Knowledge,
Traditional Ecological Knowledge,
Genetic Resources associated with
Traditional Knowledge, Traditional
Cultural Expression, Tribal Ecological
Knowledge, Native Science, Indigenous
Applied Science, Indigenous Science,
and others, are sometimes used to
describe this knowledge system.
(i) In-lieu fee program means a
program involving the restoration,
establishment, and/or enhancement and
protection of resources at specific sites
through funds paid to a local or State
government agency, non-profit
organization that qualifies for taxexempt status in accordance with
Internal Revenue Code (IRC) section
501(c)(3), or Tribal organization to
satisfy compensatory mitigation
requirements for adverse impacts
resulting from BLM-authorized public
land uses. Collected funds are pooled
and expended on projects that provide
compensatory mitigation for the same
types of resource impacts. Similar to a
mitigation bank, an in-lieu fee program
sells mitigation credits to permittees
whose obligation to provide
compensatory mitigation is then
transferred to the in-lieu program
sponsor.
(j) Intact landscape means a relatively
unfragmented landscape free of local
conditions that could permanently or
significantly disrupt, impair, or degrade
the landscape’s composition, structure,
or function. Intact landscapes are large
enough to maintain native biological
diversity, including viable populations
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of wide-ranging species. Intact
landscapes provide critical ecosystem
services and are resilient to disturbance
and environmental change and thus
may be prioritized for conservation
action. For example, an intact landscape
would have minimal fragmentation from
roads, fences, and dams; low densities
of agricultural, urban, and industrial
development; and minimal pollution
levels.
(k) Intactness means a measure of the
degree to which human influences,
which can include invasive species and
unnatural wildfire, alter or impair the
structure, function, or composition of a
landscape. Areas experiencing a natural
fire regime can be intact.
(l) Land health means the degree to
which the integrity of the soil, water,
and ecological processes sustain habitat
quality and ecosystem functions.
(m) Landscape means an area that is
spatially heterogeneous in at least one
factor of interest which may include
common management concerns or
conditions. The landscape is not
defined by the size of the area, but
rather by the interacting elements that
are relevant and meaningful in a
management context. Landscapes may
be defined in terms of aquatic
conditions, such as watersheds, or
terrestrial conditions, such as
ecoregions.
(n) Mitigation means:
(1) avoiding the impacts of a proposed
action by not taking a certain action or
parts of an action;
(2) minimizing impacts by limiting
the degree or magnitude of the action
and its implementation;
(3) rectifying the impact of the action
by repairing, rehabilitating, or restoring
the affected environment;
(4) reducing or eliminating the impact
over time by preservation and
maintenance operations during the life
of the action; and
(5) compensating for the impact of the
action by replacing or providing
substitute resources or environments. In
practice, the mitigation sequence is
often summarized as avoid, minimize,
and compensate. The BLM generally
applies mitigation hierarchically: first
avoid, then minimize, and then
compensate for any residual impacts
from proposed actions.
(o) Mitigation bank means a site, or
suite of sites, where resources are
restored, established, enhanced, or
protected for the purpose of providing
compensatory mitigation for impacts to
the same types of resources from BLMauthorized public land uses. In general,
the sponsor of a mitigation bank sells
mitigation credits to permittees whose
obligation to provide compensatory
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mitigation is then transferred to the
mitigation bank sponsor.
(p) Mitigation fund means an account
established by a mitigation fund holder
through a written agreement with the
BLM. Permittees with compensatory
mitigation requirements may deposit
funds with the fund holder, when
approved to do so by the BLM. Funds
are then expended by the fund holder
on projects that mitigate for the same
types of resources that were impacted as
a result of BLM-authorized land uses.
(q) Mitigation strategies means
documents that identify, evaluate, and
communicate potential mitigation needs
and mitigation measures in a geographic
area, at relevant scales, in advance of
anticipated public land uses.
(r) ‘‘Monitoring’’ means the periodic
observation and orderly collection of
data to evaluate:
(1) existing conditions;
(2) the effects of management actions;
or
(3) the effectiveness of actions taken
to meet management objectives.
(s) Permittee means any person or
other legal entity that has a valid permit,
right-of-way grant, lease, or other BLM
land use authorization.
(t) Protection means the act or process
of conservation by maintaining the
existence of resources while preventing
degradation, damage, or destruction.
Protection is not synonymous with
preservation and allows for active
management or other uses consistent
with multiple use and sustained yield
principles.
(u) Public lands means any surface
estate or interests in the surface estate
owned by the United States and
administered by the Secretary of the
Interior through the BLM without regard
to how the United States acquired
ownership.
(v) Reclamation means, when used in
relation to individual project goals and
objectives, practices intended to achieve
an outcome that reflects the final goal to
restore the character and productivity of
the land and water. Components of
reclamation include, as applicable:
(1) Isolating, controlling, or removing
toxic or deleterious substances;
(2) Regrading and reshaping to
conform with adjacent landforms,
facilitate revegetation, control drainage,
and minimize erosion;
(3) Rehabilitating fisheries or wildlife
habitat;
(4) Placing growth medium and
establishing self-sustaining revegetation;
(5) Removing or stabilizing buildings,
structures, or other support facilities;
(6) Plugging drill holes and closing
underground workings; and
(7) Providing for post-activity
monitoring, maintenance, or treatment.
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(w) Restoration means the process or
act of conservation by passively or
actively assisting the recovery of an
ecosystem that has been degraded,
damaged, or destroyed to a more
natural, native ecological state.
(x) Significant causal factor means a
use, activity, or disturbance that
prevents an area from achieving or
making significant progress toward
achieving one or more land health
standards. To be a significant factor, a
use may be one of several causal factors
in contributing to less-than-healthy
conditions; it need not be the sole
causal factor inhibiting progress toward
the standards.
(y) Significant progress means
measurable or observable changes in the
indicators that demonstrate improved
land health. Acceptable levels of change
must be realistic in terms of the
capability of the resource but must also
be as expeditious and effective as
practical.
(z) Sustained yield means the
achievement and maintenance in
perpetuity of a high-level annual or
regular periodic output of the various
renewable resources of BLM-managed
lands consistent with multiple use and
without permanent impairment of the
productivity of the land. Preventing
permanent impairment means that
renewable resources are not
permanently depleted and that desired
future conditions are met for future
generations. Ecosystem resilience is
essential to the BLM’s ability to manage
for sustained yield.
(aa) Unnecessary or undue
degradation means harm to resources or
values that is not necessary to
accomplish a use’s stated goals or is
excessive or disproportionate to the
proposed action or an existing
disturbance. Unnecessary or undue
degradation includes two distinct
elements: ‘‘Unnecessary degradation’’
means harm to land resources or values
that is not needed to accomplish a use’s
stated goals. For example, approving a
proposed access road causing damage to
critical habitat for a plant listed as
endangered under the Endangered
Species Act that could be located
without any such impacts and still
provide the needed access may result in
unnecessary degradation. ‘‘Undue
degradation’’ means harm to land
resources or values that is excessive or
disproportionate to the proposed action
or an existing disturbance. For example,
approving a proposed access road
causing damage to the only remaining
critical habitat for a plant listed as
endangered under the Endangered
Species Act, even if there is not another
location for the road, may result in
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undue degradation. The statutory
obligation to prevent ‘‘unnecessary or
undue degradation’’ applies when either
unnecessary degradation or undue
degradation, and not necessarily both, is
implicated.
(bb) Watershed condition assessment
means a process for assessing and
synthesizing information on the
condition of soil, water, habitats, and
ecological processes within watersheds
relative to the BLM’s land health
fundamentals. A watershed condition
assessment may include assessment of
one or more of watershed physical and
biological characteristics, landscape
intactness, and disturbances.
§ 6101.5 Principles for Ecosystem
Resilience.
(a) Except where otherwise provided
by law, public lands must be managed
under the principles of multiple use and
sustained yield.
(b) To ensure multiple use and
sustained yield, the BLM’s management
must conserve the quality of scientific,
scenic, historical, ecological,
environmental, air and atmospheric,
water resource, and archeological
values; preserve and protect certain
public lands in their natural condition
(including ecological and environmental
values); maintain the productivity of
renewable natural resources in
perpetuity; and consider the long-term
needs of future generations, without
permanent impairment of the
productivity of the land.
(c) The BLM must conserve renewable
natural resources at a level that
maintains or improves future resource
availability and ecosystem resilience, in
a manner consistent with multiple use
and sustained yield.
(d) Authorized officers must
implement the foregoing principles
through:
(1) Conservation as a land use within
the multiple use framework, including
in decision-making, authorization, and
planning processes;
(2) Protection and maintenance of the
fundamentals of land health and
ecosystem resilience;
(3) Restoration and protection of
public lands to support ecosystem
resilience, including habitat
connectivity and old-growth forests;
(4) Use of the full mitigation hierarchy
to address impacts to species, habitats,
and ecosystems from land use
authorizations; and
(5) Prevention of unnecessary or
undue degradation.
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Subpart 6102—Conservation Use To
Achieve Ecosystem Resilience
§ 6102.1 Protection of Landscape
Intactness.
(a) The BLM must manage certain
landscapes to protect their intactness,
including habitat connectivity and oldgrowth forests. This requires:
(1) Maintaining ecosystem resilience
and habitat connectivity through
conservation actions;
(2) Conserving landscape intactness
when managing compatible uses,
especially where development or
fragmentation that could permanently
impair ecosystem resilience has the
potential to occur on public lands;
(3) Maintaining or restoring resilient
ecosystems through habitat and
ecosystem restoration projects that are
implemented over broader spatial and
longer temporal scales;
(4) Coordinating and implementing
actions across BLM programs, offices,
and partners to protect intact
landscapes; and
(5) Pursuing management actions that
maintain or mimic characteristic
disturbance, or mimic natural
disturbance, when maintaining it is not
possible.
(b) Authorized officers will seek to
prioritize actions that conserve and
protect landscape intactness in
accordance with § 6101.2.
§ 6102.2 Management to Protect Intact
Landscapes.
(a) The BLM will maintain an
inventory of landscape intactness as a
resource value using watershed
condition assessments (see § 6103.2(a))
to establish a consistent baseline
condition.
(b) When updating a resource
management plan under part 1600 of
this chapter, the BLM will use a
baseline condition of intactness and
available high-quality information about
landscape intactness, such as watershed
condition assessments, environmental
disturbances, and monitoring (see
§ 6103.2), to:
(1) Identify and delineate boundaries
for intact landscapes within the
planning area, taking into consideration
habitat connectivity and migration
corridor data;
(2) Evaluate alternatives to protect
intact landscapes or portions of the
intact landscapes from activities that
would permanently or significantly
disrupt, impair, or degrade the
ecosystem’s structure or functionality of
the intact landscapes; and
(3) Identify which intact landscapes
or portions of intact landscapes will be
managed for protection consistent with
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the principles enumerated in
§ 6102.1(a).
(c) The BLM will identify desired
conditions and landscape objectives to
guide implementation of decisions
regarding management of intact
landscapes, habitat connectivity, and
old-growth forests. As part of carrying
out paragraph (b) of this section, the
BLM will seek to:
(1) Establish partnerships to work
across Federal and non-Federal lands to
promote and protect intact landscapes;
(2) Work with communities to
identify geographic areas important for
their strategic growth and development
in order to allow for better identification
of the most suitable areas to protect
intact landscapes and habitat
connectivity;
(3) Consult with Tribes to identify
opportunities for co-stewardship to
protect intact landscapes (see
§ 6102.5(b)(4) through (6)); and
(4) Use high-quality information
including standardized quantitative
monitoring to evaluate the effectiveness
of management actions for ecosystem
resilience (see § 6103.2).
(d) When determining whether to
acquire lands or interests in lands
through purchase, donation, or
exchange, authorized officers must
prioritize the acquisition of lands or
interests in lands that would further
protect and connect intact landscapes
and functioning ecosystems.
(e) Authorized officers must collect
and track landscape intactness data to
support minimizing surface disturbance
and inform conservation actions. This
information must be included in a
publicly available national tracking
system.
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§ 6102.3
Restoration.
(a) The BLM must emphasize
restoration on the public lands to
achieve its multiple use and sustained
yield mandate.
(b) In determining the restoration
actions required to achieve recovery of
ecosystems and promote resilience, the
BLM must consider the causes of
degradation, the recovery potential of
the ecosystem, and the allowable uses in
the governing land use plan, such as
whether an area is managed for
recreation or is degraded land
prioritized for development. The BLM
must then develop commensurate
restoration goals and objectives (see
§ 6103.1.1).
(c) The BLM should employ
management actions to promote
restoration. Over the long-term,
restoration actions must be durable, selfsustaining, and expected to persist in a
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manner that supports land health and
ecosystem resilience.
(d) When designing and
implementing restoration actions on
public lands, including authorizing
restoration leases, authorized officers
must adhere to the following principles:
(1) Ensure that restoration actions
address causes of degradation, focus on
process-based solutions, and where
possible maintain attributes and
resource values associated with the
potential or capability of the ecosystem;
(2) Ensure that actions are designed,
implemented, and monitored at
appropriate spatial and temporal scales
using suitable treatments and tools to
achieve desired outcomes;
(3) Coordinate and implement actions
across BLM programs, with partners,
and in consideration of existing uses to
develop holistic restoration actions;
(4) Ensure incorporation of locally
appropriate best management practices,
high-quality information, and adaptive
management that supports restoration;
(5) Identify opportunities to
implement nature-based or low-tech
restoration activities and use seed from
native plants; and
(6) Consult with Tribes to identify
opportunities for co-stewardship or
collaboration (see § 6102.5(b)(4) through
(6)).
§ 6102.3.1
Planning.
Restoration Prioritization and
(a) Authorized officers must identify
measurable and quantifiable restoration
outcomes consistent with the restoration
principles enumerated in § 6102.3 in all
resource management plans.
(b) Authorized officers will, at least
every 5 years, identify priority
landscapes for restoration consistent
with resource management plan
objectives and the restoration principles
enumerated in § 6102.3. In doing so,
authorized officers must consider:
(1) Current conditions and causes of
degradation as indicated by watershed
condition assessments, existing land
health assessments, evaluations, and
determinations, and other high-quality
information (see § 6103.2);
(2) The likelihood of success of
restoration activities to achieve resource
or conservation objectives including
ecosystem resilience;
(3) Where restoration actions may
have the most social and economic
benefits or work to address
environmental justice, including
impacts on communities with
environmental justice concerns; and
(4) Where restoration or mitigation
can minimize or offset unnecessary or
undue degradation, such as ecosystem
conversion, fragmentation, habitat loss,
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or other negative outcomes that
permanently impair ecosystem
resilience.
(c) For priority landscapes identified
in accordance with this subpart,
authorized officers must periodically,
and at least every 5 years, develop or
amend restoration plans consistent with
resource management plan objectives in
accordance with part 1600 of this
chapter. Each restoration plan must
include goals, objectives, and
management actions that are:
(1) Consistent with the restoration
principles enumerated in § 6102.3;
(2) Commensurate with recovery
potential;
(3) Evaluated against measurable
objectives, including to facilitate
adaptive management to achieve
outcomes supporting ecosystem
resilience (see subpart 6103);
(4) Developed consistent with
scientifically accepted standards and
principles for restoration; and
(5) Consistent with statewide and
regional needs as identified in the
assessment of priority landscapes for
restoration as identified in this subpart.
(d) Authorized officers must track
restoration implementation and progress
toward achieving goals at appropriate
temporal scales. If restoration goals are
not met, authorized officers must assess
why restoration outcomes are not being
achieved and what, if any, additional
resources or changes to management are
needed to achieve restoration goals.
§ 6102.4 Restoration and Mitigation
Leasing.
(a) The BLM may authorize
restoration leases or mitigation leases
under such terms and conditions as the
authorized officer determines are
appropriate for the purpose of restoring
degraded landscapes or mitigating
impacts of other uses.
(1) Restoration or mitigation leases on
the public lands may be authorized for
the following purposes:
(i) Restoration of land and resources
by passively or actively assisting the
recovery of an ecosystem that has been
degraded, damaged, or destroyed to a
more natural, resilient ecological state;
and
(ii) Mitigation to offset impacts to
resources resulting from other land use
authorizations.
(2) Authorized officers may issue
restoration or mitigation leases to any
qualified entity that can demonstrate
capacity for implementing restoration or
mitigation projects (as appropriate) and
meets the lease requirements. Consistent
with the lease adjudication practices
established in 43 CFR 2920, qualified
entities for restoration or mitigation
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leases may be individuals, businesses,
non-governmental organizations, Tribal
governments, conservation districts, or
State fish and wildlife agencies.
Qualified entities for a mitigation lease
to establish an in-lieu fee program are
limited to non-governmental
organizations, State fish and wildlife
agencies, and Tribal government
organizations. Restoration and
mitigation leases may not be held by a
foreign person as that term is defined in
31 CFR 802.221.
(3) Restoration or mitigation leases
shall be issued for a term consistent
with the time required to achieve their
objective.
(i) A lease issued for purposes of
restoration may be issued for a
maximum term of 10 years, and all
activities taken under the lease shall be
reviewed mid-term for consistency with
the lease provisions.
(ii) A lease issued for purposes of
mitigation shall be issued for a term
commensurate with the impact it is
mitigating, and all activities taken under
the lease reviewed every 5 years for
consistency with the lease provisions.
(iii) Authorized officers may renew a
restoration or mitigation lease if
necessary to serve the purpose for
which the lease was first issued,
provided that the lease holder is in
compliance with the terms and
conditions of the lease and renewal is
consistent with applicable law. Such
renewal can be for a period no longer
than the original term of the lease.
(4) Subject to valid existing rights and
applicable law, once the BLM has
issued a lease, the BLM shall not issue
new authorizations to use the leased
lands if the use would be incompatible
with the authorized restoration or
mitigation use.
(5) No land use authorization is
required under the regulations in this
part for casual use of the public lands
covered by a restoration or mitigation
lease.
(b) The application process for a
restoration or mitigation lease and for
renewal of such a lease is as follows:
(1) An application for a restoration or
mitigation lease must be filed using an
approved application form with the
Bureau of Land Management office
having jurisdiction over the public
lands covered by the application.
(2) The filing of an application gives
the applicant no right to use the public
lands.
(3) Acceptance of an application or
approval of a lease is not guaranteed
and is at the discretion of the authorized
officer.
(4) Actions that pertain to or address
geographic areas or resource conditions
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previously identified as needing
restoration by the BLM through
watershed condition assessments and
existing land health assessments, land
health evaluations, an existing
restoration plan, a mitigation strategy, or
high-quality inventory, assessment, and
monitoring information shall be given
priority for consideration (see subpart
6103).
(c) An application for a restoration or
mitigation lease must comply with the
following requirements:
(1) An application must include a
restoration or mitigation development
plan that describes the proposed
restoration or mitigation use in
sufficient detail to enable authorized
officers to evaluate the feasibility,
impacts, benefits, costs, threats to public
health and safety, collaborative efforts,
and conformance with BLM plans,
programs, and policies, including
compatibility with other uses.
(2) The development plan shall
include, but not be limited to:
(i) Results from available assessments,
inventory and monitoring efforts, or
other high-quality information (see
subpart 6103) that identify the current
conditions of the site(s) of the proposed
restoration or mitigation action;
(ii) The desired future condition of
the proposed lease area including clear
goals, objectives, and measurable
performance criteria needed to
determine progress toward achieving
the objectives;
(iii) Justification for passive
restoration or mitigation if proposed;
(iv) A description of all facilities for
which authorization is sought,
including access needs and any other
special types of authorizations that may
be needed;
(v) A map of sufficient scale to allow
the required information to be legible as
well as a legal description of primary
and alternative project locations;
(vi) Justification of the total acres
proposed for the restoration or
mitigation lease;
(vii) A schedule for restoration
activities if applicable; and
(viii) Information on outreach already
conducted or to be conducted with
existing permittees, lease holders,
adjacent land managers or owners, and
other interested parties.
(3) Restoration lease development
plans must be consistent with § 6102.3
and mitigation lease development plans
must be consistent with § 6102.5.1.
(4) Applicants must submit the
following additional information, upon
request of the authorized officer:
(i) Additional high-quality
information, if such information is
necessary for the BLM to decide
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40343
whether to issue, issue with
modification, or deny the proposed
lease;
(ii) Documentation of or proof of
application for any required private,
State, local, or other Federal agency
licenses, permits, easements,
certificates, or other approvals; and
(iii) Evidence that the applicant has,
or will have prior to commencement of
lease activities, the technical and
financial capability to operate, maintain,
and terminate the authorized lease
activities.
(d) When reviewing restoration and
mitigation lease applications,
authorized officers will consider the
following factors, along with other
applicable legal requirements, which
will make lease issuance more likely:
(1) Lease outcomes that are consistent
with the restoration principles in
§ 6102.3(d);
(2) Desired future conditions that are
consistent with the management
objectives and allowable uses in the
governing land use plan, such as an area
managed for recreation or prioritized for
development;
(3) Collaboration with existing
permittees, leaseholders, and adjacent
land managers or owners;
(4) Outreach to or support from local
communities; or
(5) Consideration of environmental
justice objectives.
(e) If approved, the leaseholder shall
provide a monitoring plan that describes
how the terms and conditions of the
lease will be applied, the monitoring
methodology and frequency, measurable
criteria, and adaptive management
triggers.
(1) The lease holder shall provide a
lease activity report annually and at the
end of the lease period. At a minimum,
the report shall specify:
(i) The restoration or mitigation
activities taken as of the time of the
report;
(ii) Any barriers to meeting the stated
purpose of the lease;
(iii) Proposed steps to resolve any
identified barriers; and
(iv) Monitoring information and data
that meet BLM methodology
requirements and data standards (see
§ 6103.2(d)).
(2) Additional requirements for
development plans and monitoring
plans for mitigation leases are provided
in § 6102.5.1.
(f) An approved lease does not convey
exclusive rights to use the public lands
to the lease holder The authorized
officer retains the discretion to
determine compatibility of the renewal
of existing authorizations and future
land use proposals on lands subject to
restoration or mitigation leases.
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(g) A restoration or mitigation lease
will not preclude access to or across
leased areas for casual use, recreation
use, research use, or other use taken
pursuant to a land use authorization
that is compatible with the approved
restoration or mitigation use.
(h) Existing access that accommodates
accessibility under section 504 of the
Rehabilitation Act shall remain after a
lease has been issued.
(i) A restoration or mitigation lease
may only be amended, assigned, or
transferred with the written approval of
the authorized officer, and no
amendment, assignment, or transfer
shall be effective until the BLM has
approved it in writing. Authorized
officers may authorize assignment or
transfer of a restoration or mitigation
lease in their discretion if no additional
rights will be conveyed beyond those
granted by the original authorization,
the proposed assignee or transferee is
qualified to hold the lease, and the
assignment or transfer is in the public
interest.
(j) Administrative cost recovery, rents,
and fees for restoration and mitigation
leases will be governed by the
provisions of 43 CFR 2920.6 and 2920.8,
provided that the BLM may waive or
reduce administrative cost recovery,
fees, and rent of a restoration lease if the
restoration lease is not used to generate
revenue or satisfy the requirements of a
mitigation program (e.g., selling credits
in an established market), and the
restoration lease will enhance ecological
or cultural resources or provide a
benefit to the general public.
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§ 6102.4.1 Termination and Suspension of
Restoration and Mitigation Leases.
(a) If a restoration or mitigation lease
provides by its terms that it shall
terminate on the occurrence of a fixed
or agreed-upon event, the restoration or
mitigation lease shall automatically
terminate by operation of law upon the
occurrence of such event.
(b) A restoration or mitigation lease
may be terminated by mutual written
agreement between the authorized
officer and the lease holder.
(c) Authorized officers have discretion
to suspend or terminate restoration or
mitigation leases under the following
circumstances:
(1) Improper issuance of the lease;
(2) Noncompliance by the holder with
applicable law, regulations, or terms
and conditions of the lease;
(3) Failure of the holder to use the
lease for the purpose for which it was
authorized; or
(4) Impossibility of fulfilling the
purposes of the lease.
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(d) Upon determination that the
holder has failed to comply with any
terms or conditions of a lease and that
such noncompliance adversely affects or
poses a threat to land or public health
or safety, or impacts ecosystem
resilience, the authorized officer shall
issue an immediate temporary
suspension.
(1) The authorized officer may issue
an immediate temporary suspension
order orally or in writing at the site of
the activity to the holder or a contractor
or subcontractor of the holder, or to any
representative, agent, employee, or
contractor of any such holder,
contractor, or subcontractor, and the
suspended activity shall cease at that
time. As soon as practicable, the
authorized officer shall confirm the
order by a written notice to the holder
addressed to the holder or the holder’s
designated agent. The authorized officer
may also take such action that the
authorized officer considers necessary
to address the adverse effects or threat
to land or public health or safety or
impacts to ecosystem resilience.
(2) The authorized officer may order
immediate temporary suspension of an
activity independent of any action that
has been or is being taken by another
Federal or State agency.
(3) Any time after an order of
temporary suspension has been issued,
the holder may file with the authorized
officer a request for permission to
resume activities authorized by the
lease. The request shall be in writing
and shall contain a statement of the
facts supporting the request. The
authorized officer may grant the request
upon determination that the adverse
effects or threat to land or public health
or safety or impacts to ecosystem
resilience are resolved.
(4) The authorized officer may render
an order to either grant or deny the
request to resume within 30 working
days of the date the request is filed. If
the authorized officer does not render
an order on the request within 30
working days, the request shall be
considered denied, and the holder shall
have the same right to appeal as if an
order denying the request had been
issued.
(e) Process for termination or
suspension other than temporary
immediate suspension.
(1) Prior to commencing any
proceeding to suspend or terminate a
lease, the authorized officer shall give
written notice to the holder of the legal
grounds for such action and shall give
the holder a reasonable time to address
the legal basis the authorized officer
identifies for suspension or termination.
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(2) After due notice of termination or
suspension to the holder of a restoration
or mitigation lease, if grounds for
suspension or termination still exist
after a reasonable time, the authorized
officer shall give written notice to the
holder and refer the matter to the Office
of Hearings and Appeals for a hearing
before an administrative law judge
pursuant to 43 CFR part 4. The
authorized officer shall suspend or
revoke the restoration or mitigation
lease if the administrative law judge
determines that grounds for suspension
or revocation exist and that such action
is justified.
(3) Authorized officers shall terminate
a suspension order when they
determine that the grounds for such
suspension no longer exist.
(4) Upon termination of a restoration
or mitigation lease, the holder shall, for
60 days after the notice of termination,
retain authorization to use the
associated public lands solely for the
purposes of reclaiming the site to its
pre-use conditions consistent with
achieving land health fundamentals,
unless otherwise agreed upon in writing
or in the lease terms. If the holder fails
to reclaim the site consistent with the
requirements of the lease terms within
a reasonable period, all authorization to
use the associated public lands will
terminate, but that shall not relieve the
holder of liability for the cost of
reclaiming the site.
§ 6102.4.2 Bonding for Restoration and
Mitigation Leases.
(a) Bonding obligations. (1) Prior to
the commencement of surfacedisturbing or active management
activities, the authorized officer may
require the restoration or mitigation
lease holder to submit a reclamation,
decommission, or performance bond
conditioned upon compliance with all
the terms and conditions of the lease
covered by the bond, as described in
this subpart. For mitigation leases, the
lease holder will usually be required to
provide letters of credit or establish an
escrow account for the full amount
needed to ensure the development plan
meets all performance criteria. The bond
amounts shall be sufficient to ensure
reclamation of the restoration and
mitigation lease area(s) and the
restoration of any lands or surface
waters adversely affected by restoration
or mitigation lease operations. Such
restoration may be required after the
abandonment or cessation of operations
by the restoration or mitigation lease
holder in accordance with, but not
limited to, the standards and
requirements set forth by authorized
officers.
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(2) Considerations for requiring a
bond include, but are not limited to:
(i) The type and level of active
restoration;
(ii) Amount and type of surface
disturbing activity;
(iii) Proposed use of non-natural
restoration methods, such as the use of
pesticides;
(iv) Proposed use of experimental
methods of restoration;
(v) Risk of compounding effects
resulting from restoration activities,
such as a proliferation of invasive
species; and
(vi) Fire risk.
(3) Surety bonds shall be issued by
qualified surety companies certified by
the Department of the Treasury.
(4) Personal bonds shall be
accompanied by:
(i) Cashier’s check;
(ii) Certified check; or
(iii) Negotiable Treasury securities of
the United States of a value equal to the
amount specified in the bond.
Negotiable Treasury securities shall be
accompanied by a proper conveyance to
the Secretary of full authority to sell
such securities in case of default in the
performance of the terms and conditions
of a conservation use authorization.
(b) In lieu of bonds for each
individual restoration or mitigation
lease, holders may furnish a bond
covering all restoration or mitigation
leases and operations in any one State.
Such a bond must be at least $25,000
and must be sufficient to ensure
reclamation of all of the holder’s
restoration or mitigation lease area(s)
and the restoration of any lands or
surface waters adversely affected by
restoration or mitigation lease
operations in the State.
(c) All bonds shall be filed in the
proper BLM office on a current form
approved by the Office of the Director.
A single copy executed by the principal
or, in the case of surety bonds, by both
the principal and an acceptable surety is
sufficient. Bonds shall be filed in the
Bureau State Office having jurisdiction
of the restoration or mitigation lease
covered by the bond.
(d) Default.
(1) Where, upon a default, the surety
makes a payment to the United States of
an obligation incurred under a
restoration or mitigation lease, the face
amount of the surety bond or personal
bonds and the surety’s liability
thereunder shall be reduced by the
amount of such payment.
(2) After default, where the obligation
in default equals or is less than the face
amount of the bond(s), the principal
shall either post a new bond or restore
the existing bond(s) to the amount
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previously held or a larger amount as
determined by authorized officers. In
lieu thereof, the principal may file
separate or substitute bonds for each
conservation use covered by the
deficient bond(s). Where the obligation
incurred exceeds the face amount of the
bond(s), the principal shall make full
payment to the United States for all
obligations incurred that are in excess of
the face amount of the bond(s) and shall
post a new bond in the amount
previously held or such larger amount
as determined by authorized officers.
The restoration of a bond or posting of
a new bond shall be made within 6
months or less after receipt of notice
from authorized officers.
(3) Failure to comply with these
requirements may:
(i) Subject all leases covered by such
bond(s) to termination under the
provisions of this title;
(ii) Prevent the bond obligor or
principal from acquiring any additional
restoration or mitigation leases or
interest therein under this subpart; and
(iii) Result in the bond obligor or
principal being referred to the
suspension and debarment program
under 2 CFR part 1400 to determine if
the entity will be suspended or debarred
from doing business with the Federal
Government.
§ 6102.5 Management Actions for
Ecosystem Resilience.
(a) Authorized officers must:
(1) Identify priority watersheds,
landscapes, and ecosystems that require
protection and restoration efforts (see
§§ 6102.2 and 6102.3.1);
(2) Develop and implement plans and
strategies, including protection,
restoration, and mitigation strategies
that effectively manage public lands to
protect and promote resilient
ecosystems (see §§ 6102.1, 6102.3.1,
6102.5.1, 6103.1.2);
(3) Develop and implement
monitoring and adaptive management
strategies for maintaining sustained
yield of renewable resources,
accounting for changing landscapes,
fragmentation, invasive species, and
other disturbances (see § 6103.2);
(4) Report annually on the results of
land health evaluations, and
determinations (see § 6103.1.2);
(5) Ensure that watershed condition
assessments incorporate consistent
analytical approaches (see § 6103.2)
both among neighboring BLM State
Offices and with the fundamentals of
land health; and
(6) Share watershed condition
assessments in a publicly available
national database to determine changes
in watershed condition and record
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measures of success based on
conservation and restoration goals.
(b) In taking management actions, and
as consistent with applicable law and
resource management plans, such as
where an area is managed for recreation
or is degraded land prioritized for
development, authorized officers must:
(1) Make every effort to avoid
authorizing uses of the public lands that
permanently impair ecosystem
resilience;
(2) Promote opportunities to support
conservation and other actions that
work toward achieving land health
standards and ecosystem resilience;
(3) Issue decisions that promote the
ability of ecosystems to passively
recover or the BLM’s ability to actively
restore ecosystem composition,
structure, and function;
(4) Meaningfully consult with Indian
Tribes and Alaska Native Corporations
during the decision-making process on
actions that are determined, after
allowing for Tribal input, to potentially
have a substantial effect on the Tribe or
Corporation;
(5) Allow State, Tribal, and local
agencies to serve as joint lead agencies
consistent with 40 CFR 1501.7(b) or as
cooperating agencies consistent with 40
CFR 1501.8(a) in the development of
environmental impact statements or
environmental assessments;
(6) Respect Indigenous Knowledge,
by:
(i) Improving engagement and
expanding co-stewardship of public
lands with Tribal entities;
(ii) Encouraging Tribes to suggest
ways in which Indigenous Knowledge
can be used to inform the development
of alternatives, analysis of effects, and
when necessary, identification of
mitigation measures; and
(iii) Communicating to Tribes in a
timely manner and in an appropriate
format how their Indigenous Knowledge
was included in decision-making,
including addressing management of
sensitive information;
(7) Seek opportunities to restore or
protect ecosystem resilience when the
effects of potential uses are unknown;
and
(8) Provide justification for decisions
that may impair ecosystem resilience.
(c) Authorized officers must use highquality inventory, assessment, and
monitoring data, as available and
appropriate, to evaluate resource
conditions and inform decision-making
across program areas (see § 6103.2(c)),
specifically by:
(1) Identifying clear goals or desired
outcomes relevant to the management
decision;
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(2) Gathering high-quality information
relevant to the management decision,
including standardized quantitative
monitoring data and data about land
health;
(3) Selecting relevant indicators for
each applicable management question
(e.g., land health standards, restoration
effectiveness, assessments of intactness);
(4) Establishing a framework for
translating indicator values to condition
categories (such as quantitative
monitoring objectives or science-based
conceptual models); and
(5) Summarizing results and ensuring
that a clear and understandable
rationale is documented, explaining
how the data were used to make the
decision.
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§ 6102.5.1
Mitigation.
(a) The BLM will apply the mitigation
hierarchy to avoid, minimize, and
compensate, as appropriate, for adverse
impacts to resources when authorizing
uses of public lands. As appropriate, the
authorized officer may identify specific
mitigation approaches or requirements
to address resource impacts through
land use plans or in other decision
documents.
(b) For important, scarce, or sensitive
resources, authorized officers shall
apply the mitigation hierarchy with
particular care, with the goal of
eliminating, reducing, and/or offsetting
impact on the resource, consistent with
applicable law.
(c) When implementing the mitigation
hierarchy, including authorizing
mitigation leases, the BLM will:
(1) Use a landscape-scale approach to
develop and implement mitigation
strategies that identify mitigation needs
and opportunities in a geographic area,
including opportunities for the siting of
large, market-based mitigation programs
or projects (e.g., mitigation banks) on
public lands;
(2) Use high-quality information to
inform the identification and analysis of
adverse impacts, to determine
appropriate mitigation programs or
projects for those impacts, and to
achieve appropriate and effective
mitigation outcomes;
(3) Require identification of
performance criteria for mitigation
programs or projects, effectiveness
monitoring of those performance
criteria, and reports that assess the
achievement of those performance
criteria;
(4) Use adaptive management
principles to guide and improve
mitigation outcomes; and
(5) Ensure that any compensatory
mitigation programs or projects are
commensurate with the applicable
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adverse impacts and that the required
compensatory mitigation programs and
projects are durable, additional, and
timely.
(6) As used in this section, the terms
additional, commensurate, durable, and
timely have the following definitions:
(i) Additional means the
compensatory mitigation program or
project’s benefit is demonstrably new
and would not have occurred without
the compensatory mitigation measure.
(ii) Commensurate means the
compensatory mitigation program or
project is reasonably related and
proportional to the adverse impact from
authorizing uses of public lands.
(iii) Durable means the maintenance
of the effectiveness of a mitigation
program or project, including resource,
administrative, and financial
considerations.
(iv) Timely means the lack of a time
lag between the impact to the resources
and the achievement of the outcomes of
the associated compensatory mitigation.
(d) The BLM may approve, through a
formal agreement, a third-party
mitigation fund holder to administer
funds for the implementation of
compensatory mitigation programs or
projects. A BLM-approved third-party
mitigation fund holder may:
(1) Collect mitigation funds from
permittees;
(2) Manage funds in accordance with
agency decision documents, use
authorizations and applicable law; and
(3) Disperse those funds in
accordance with agency decision
documents, use authorizations, and
applicable law.
(e) Approved third-party mitigation
fund holders must file with the BLM
annual fiscal reports. To qualify as a
third-party mitigation fund holder, the
entity must either:
(1) Qualify for tax-exempt status in
accordance with Internal Revenue Code
section 501(c)(3); provide evidence that
they can successfully hold and manage
mitigation accounts; be a public charity
bureau for the State in which the
mitigation area is located, or otherwise
comply with applicable State laws; be a
third party organizationally separate
from and having no corporate or family
connection to the entity accomplishing
the mitigation program or project, BLM
employees, or the permittee; adhere to
generally accepted accounting practices
that are promulgated by the Financial
Accounting Standards Board, or any
successor entity; and have the capability
to hold, invest, and manage the
mitigation funds to the extent allowed
by law; or
(2) Be a State or local government
agency, if the government agency is able
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to demonstrate, to the satisfaction of the
BLM, that:
(i) it is acting as a fiduciary for the
benefit of the mitigation project or site
and can show that it has the authority
and ability to collect the funds, protect
the account from being used for
purposes other than the management of
the mitigation project or site, and
disburse the funds to the entities
conducting the mitigation project or
management of the mitigation site;
(ii) it is organizationally separate from
and has no corporate or family
connection to the entity accomplishing
the mitigation program or project, BLM
employees, or the permittee; and
(iii) it adheres to generally accepted
accounting practices that are
promulgated by the Governmental
Accounting Standards Board or any
successor entity.
(f) Authorized officers will require
mitigation leases and collect annual rent
at fair market value for large or
otherwise substantial compensatory
mitigation programs or projects on
public lands, including mitigation banks
and in-lieu fee programs. Mitigation
leases may be required for other
compensatory mitigation projects on
public lands at the discretion of the
authorized officer.
(g) In addition to the general
requirements for mitigation leases
(§ 6102.4), in some circumstances,
authorized officers may require that
mitigation lease holders submit to the
agency a formal agreement with a
qualified mitigation fund holder as
defined in paragraph (d) of this section.
(h) An application for a mitigation
lease for a mitigation bank or an in-lieu
fee program, in addition to the
requirements in (§ 6102.4(c)), must also
include sufficient information about the
anticipated demand for and duration of
the mitigation bank or in-lieu fee
program, the anticipated types of
mitigation projects that will be
conducted, and the methods that will be
used to generate, evaluate, assess, and
maintain the mitigation projects.
(i) Authorized officers will ensure that
compensatory mitigation programs and
projects, including those with
mitigation leases, are tracked in the
appropriate BLM data systems.
Subpart 6103—Managing Land Health
To Achieve Ecosystem Resilience
§ 6103.1
Land Health Standards.
(a) The BLM shall develop national
land health standards that facilitate
progress toward achieving the following
fundamentals of land health across all
ecosystems on lands managed by the
BLM:
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(1) Watersheds are in, or are making
significant progress toward, properly
functioning physical condition,
including their upland, riparianwetland, and aquatic components; soil
and plant conditions support
infiltration, soil moisture storage, and
the release of water that are in balance
with climate and landform and maintain
or improve water quality, water
quantity, and timing and duration of
flow.
(2) Ecological processes, including the
hydrologic cycle, nutrient cycle, and
energy flow, are maintained, or there is
significant progress toward their
attainment, in order to support healthy
biotic populations and communities.
(3) Water quality complies with State
water quality standards and achieves, or
is making significant progress toward
achieving, BLM management objectives
established in the land use plan, such as
meeting wildlife needs.
(4) Habitats are, or are making
significant progress toward being,
restored or maintained for Federal
threatened and endangered species,
Federal proposed or candidate
threatened and endangered species, and
other special status species.
(b) Land health fundamentals will be
advanced through national land health
standards that, at a minimum, address
the following resources, processes, and
values:
(1) Upland hydrologic function;
(2) Riparian, wetland, and aquatic
hydrologic function;
(3) Upland ecological processes and
biotic communities, including
connectivity, and intactness of native
plant and animal habitats;
(4) Riparian, wetland, and aquatic
ecological processes and biotic
communities including condition,
connectivity, and intactness of native
plant and animal habitats;
(5) Water quality; and
(6) Habitat condition connectivity and
intactness for Federal threatened and
endangered species, Federal proposed
or candidate threatened and endangered
species, and other special status species.
(c) To facilitate land health
evaluations, the national land health
standards will include indicators that
are broadly applicable across the major
ecosystem or habitat types (e.g., forest,
rangeland, cold water fisheries) the BLM
manages, and will include indicators
derived from standardized datasets.
(d) Authorized officers must manage
all program areas in accordance with the
fundamentals of land health and
standards, as provided in this subpart.
Authorized officers must adopt the
national standards and indicators, and
may, when necessary, incorporate
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geographically distinct land health
standards and indicators to evaluate rare
or unique habitat or ecosystem types
(e.g., permafrost) if such habitats or
ecosystems cannot be evaluated using
the national land health standards and
indicators.
(e) Rangeland health standards
developed under 43 CFR subpart 4180
will be reviewed and amended or
supplemented as necessary to
incorporate the national standards and
indicators within 3 years of the effective
date of these regulations. Subsequently,
authorized officers shall review all land
health standards for sufficiency at least
every 10 years.
(f) Amended land health standards
must be approved by the appropriate
BLM State Director prior to
implementation.
§ 6103.1.1
Management for Land Health.
(a) To facilitate ecosystem resilience,
authorized officers should use
watershed condition assessments (see
§ 6103.2), and land health evaluations
and causal factor determinations to
support decision-making. Such action
promotes efficiency, supports
environmental analysis, and streamlines
decision-making.
(b) To facilitate ecosystem resilience,
authorized officers must manage all
program areas to progress toward
achieving land health standards.
(1) Authorized officers must apply
approved land health standards, as
revised from rangeland health standards
previously established under subpart
4180 of this chapter (fundamentals of
rangeland health), across all ecosystems
managed by the BLM.
(2) Programs that authorize and
manage uses or implement management
actions on public land will develop
management guidelines, which are best
management practices designed to
facilitate progress toward achievement
and maintenance of land health
standards.
(i) Authorized officers may develop or
adopt additional management
guidelines to address local ecosystems
and management practices.
(ii) Programs and authorized officers
will review management guidelines for
sufficiency and make necessary
revisions at least every 10 years in
conjunction with the review of land
health standards described in this
subpart.
(c) Land use plans must identify the
allocations and actions anticipated to
achieve desired land health outcomes,
including actions to maintain or restore
land health in accordance with the land
health standards. These actions include,
but are not limited to, prioritizing
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development in degraded areas as well
as prioritizing and implementing
restoration actions (see § 6102.3).
(d) Land use plans shall identify
statutory, regulatory, and other
requirements that may prevent
achievement of land health standards.
(1) Best management practices and
mitigation measures to minimize effects
to land health resulting from these
requirements should be identified and
required where practicable.
(2) Environmental effects analysis,
consistent with NEPA requirements, for
proposed management actions must
consider effects to relevant land health
standards.
§ 6103.1.2 Land Health Evaluations and
Determinations.
(a) Authorized officers shall rely on
watershed condition assessments when
possible to complete land health
evaluations for BLM-managed lands on
a periodic basis, at least every 10 years
(§ 6103.2).
(b) Authorized officers must
determine the priority landscape and
appropriate scale for completing land
health evaluations based on resource
concerns and, as necessary, to support
decision-making processes.
(c) Authorized officers must consider
available watershed condition
assessments and existing land health
assessments, evaluations, and
determinations in the course of
decision-making processes for all
program areas.
(d) Land health evaluations interpret
watershed condition assessments,
including locally relevant high-quality
information to draw conclusions about
whether land health standards are
achieved on public lands. In the course
of conducting land health evaluations,
authorized officers should:
(1) Consider multiple lines of
evidence to evaluate achievement of
each standard;
(2) Identify trends toward or away
from desired conditions through
analysis of high-quality information
available over relevant time periods and
spatial scales;
(3) Document the rationale and
findings as to whether each land health
standard is achieved or significant
progress is being made towards its
achievement; and
(4) Develop an interdisciplinary
monitoring plan with quantitative
objectives that can be measured to
demonstrate significant progress when a
land health evaluation report identifies
that any standard is not achieved but
significant progress is being made
towards achievement.
(e) When conducting a land health
evaluation, if the authorized officer
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finds that resource conditions are
achieving or making significant progress
toward achieving land health standards,
no additional land health analysis is
needed to authorize a use or permit
activities.
(f) When conducting a land health
evaluation, if the authorized officer
finds that resource conditions are not
achieving or making significant progress
toward achieving land health standards,
a documented causal factor
determination must be prepared as soon
as practicable but no later than 1 year
after completion of the land health
evaluation identifying the
nonachievement. Causal factor
determinations use available data to
identify significant causal factors and
describe contributing causal factors or
conditions leading to non-achievement
of standards.
(1) If the authorized officer
determines sufficient information exists
to identify and address the significant
causal factors preventing resources from
achieving or making significant progress
towards achieving land health
standards, no further land health
analysis is required to address such
factors.
(2) If the authorized officer
determines insufficient information
exists to identify and address the
significant causal factors preventing
resources from achieving or making
significant progress to achieving land
health standards, additional
information, assessment and evaluation
may be needed at finer scale.
(3) The authorized officer must take
appropriate actions to facilitate
achievement or significant progress
toward achievement of land health
standards as soon as practicable, unless
otherwise specified in the land use plan,
or when significant causal factors are
outside of BLM control (e.g., lack of
streamflow due to dewatering on
connected lands not administered by
the BLM).
(4) To the extent existing grazing
management practices or levels of
grazing use on public lands are
identified as significant causal factors
preventing resources from achieving or
making significant progress towards
achieving land health standards,
authorized officers must proceed under
§ 4180.2(c) of this chapter. by taking
appropriate action as soon as practicable
but no later than the start of the next
grazing year.
(5) Taking appropriate action means
implementing actions that will result in
significant progress toward achieving
land health standards. Appropriate
action must be consistent with
applicable law, regulation, and the
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governing land use plan and its
management objectives, such as where
an area is managed for recreation or is
degraded land prioritized for
development. Appropriate actions may
include, but are not limited to:
(i) Establishment or modification of
terms and conditions for permits, leases,
and other use authorizations;
(ii) Development and implementation
of activity plans;
(iii) Implementation of adaptive
management actions; and
(iv) Control of unauthorized use.
(g) Upon determining that significant
causal factors other than current
management practices are preventing
achievement of land health standards,
but are not outside of BLM control (e.g.,
presence of invasive species), the
authorized officer shall identify and
prioritize appropriate actions that may
result in significant progress toward
achievement of land health standards
(see § 6102.5).
(h) Subject to other applicable law,
authorized officers may implement
restoration plans, modify authorized
uses, or implement other management
actions to increase expediency and
effectiveness of progress towards
achieving land health standards, to
protect areas achieving land health
standards, or to meet other objectives.
(i) If current authorized uses are
determined to be significant causal
factors and the authorized officer
determines appropriate action is
needed, then appropriate action must be
consistent with the governing land use
plan. Changes to some types of
authorized uses may first warrant an
amendment to the land use plan to
allow the authorized officer to adjust
those uses sufficient to make progress
toward meeting land health standards.
However, whether to undertake a
planning process is at the discretion of
the authorized officer.
(j) Authorized officers will report
annually on land health evaluation, and
determination accomplishments;
results; and actions taken to address
areas not achieving or making progress
toward achieving standards.
(k) The BLM will maintain and
annually update a publicly available
record of land health evaluation and
determination results and management
actions taken to facilitate progress
toward achieving land health standards.
§ 6103.2 Inventory, Assessment, and
Monitoring.
(a) Watershed condition assessments
must be completed at least once every
10 years and used to inform land use
planning, protect intact landscapes
(§ 6102.2), manage for ecosystem
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resilience (§ 6102.5), inform restoration
actions (§ 6102.3), and inform land
health evaluations and determinations
(§ 6103.1.1). Watershed condition
assessments assess and synthesize
information on the condition of soil,
water, habitats, and ecological processes
within watersheds relative to the BLM’s
land health fundamentals and the
national land health standards. When
conducting watershed condition
assessments, the BLM must:
(1) Compile and analyze multiple
sources of high-quality information to
understand conditions and trends
relevant to each land health standard,
including remote sensing products,
field-based data, and other data gathered
through inventory, assessment, and
monitoring activities; and
(2) Incorporate consistent analytical
approaches, quantitative indicators, and
benchmarks where practicable.
(b) The BLM will maintain a publicly
available inventory of infrastructure and
natural resources on public lands. This
inventory must include both critical
landscape components (e.g., roads, land
types, streams, habitats) and core
indicators that address land health
fundamentals.
(c) Authorized officers will use highquality inventory, assessment, and
monitoring information, including
standardized quantitative monitoring
data, remote sensing maps, and
geospatial analyses, to inform decisionmaking across program areas, including,
but not limited to:
(1) Authorization of permitted uses;
(2) Land use planning;
(3) Watershed condition assessments
and land health evaluations;
(4) Restoration planning, including
prioritization;
(5) Assessments of restoration
effectiveness;
(6) Consideration of areas of critical
environmental concern;
(7) Evaluation and protection of intact
landscapes;
(8) Restoration and mitigation leasing;
and
(9) Other decision-making processes.
(d) Authorized officers must
inventory, assess, and monitor activities
as necessary to inform the decisionmaking processes identified in
paragraph (b) of this section and, in so
doing, must employ the following:
(1) Interdisciplinary monitoring plans
for providing data relevant to decision
makers;
(2) Standardized field protocols and
indicators to allow data comparisons
through space and time in support of
multiple management decisions;
(3) Appropriate sample designs to
minimize bias and maximize
applicability of collected data;
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(4) Integration with remote sensing
products to optimize sampling and
calibrate continuous map products; and
(5) Data management and stewardship
to ensure data quality, accessibility, and
use.
[FR Doc. 2024–08821 Filed 5–8–24; 8:45 am]
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Agencies
[Federal Register Volume 89, Number 91 (Thursday, May 9, 2024)]
[Rules and Regulations]
[Pages 40308-40349]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2024-08821]
[[Page 40307]]
Vol. 89
Thursday,
No. 91
May 9, 2024
Part VI
Department of the Interior
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Bureau of Land Management
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43 CFR Parts 1600 and 6100
Conservation and Landscape Health; Final Rule
Federal Register / Vol. 89, No. 91 / Thursday, May 9, 2024 / Rules
and Regulations
[[Page 40308]]
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DEPARTMENT OF THE INTERIOR
Bureau of Land Management
43 CFR Parts 1600 and 6100
[BLM_HQ_FRN_MO450017935]
RIN 1004-AE92
Conservation and Landscape Health
AGENCY: Bureau of Land Management, Interior.
ACTION: Final rule.
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SUMMARY: The Bureau of Land Management (BLM) promulgates this final
rule, pursuant to the Federal Land Policy and Management Act of 1976
(FLPMA), as amended, and other relevant authorities, to advance the
BLM's multiple use and sustained yield mission by prioritizing the
health and resilience of ecosystems across public lands. To support
ecosystem health and resilience, the rule provides that the BLM will
protect intact landscapes, restore degraded habitat, and make informed
management decisions based on science and data. To support these
activities, the rule applies land health standards to all BLM-managed
public lands and uses, codifies conservation tools to be used within
FLPMA's multiple-use framework, and revises existing regulations to
better meet FLPMA's requirement that the BLM prioritize designating and
protecting areas of critical environmental concern (ACECs). The rule
also provides an overarching framework for multiple BLM programs to
facilitate ecosystem resilience on public lands.
DATES: The final rule is effective on June 10, 2024.
FOR FURTHER INFORMATION CONTACT: Patricia Johnston, Project Manager for
the Conservation and Landscape Health Rule, at 541-600-9693, for
information relating to the substance of the final rule. Individuals in
the United States who are deaf, deafblind, or hard of hearing, or who
have a speech disability, may dial 711 (TTY, TDD, or TeleBraille) to
access telecommunications relay services. Individuals outside the
United States should use the relay services offered within their
country to make international calls to the point-of-contact in the
United States.
SUPPLEMENTARY INFORMATION:
I. Executive Summary
II. Background
III. Section-by-Section Discussion of the Final Rule and Revisions
From the Proposed Rule
IV. Response to Public Comments
V. Procedural Matters
I. Executive Summary
Under FLPMA, the principles of multiple use and sustained yield
govern the BLM's stewardship of public lands, unless otherwise provided
by law. The BLM's ability to manage for multiple use and sustained
yield of public lands depends on the resilience of ecosystems across
those lands--that is, the ability of the ecosystems to withstand
disturbance. Ecosystems that collapse due to disturbance cannot deliver
ecosystem services, such as clean air and water, food and fiber,
wildlife habitat, natural carbon storage, and more. Establishing and
safeguarding resilient ecosystems has become imperative as the public
lands experience adverse impacts from climate change and as the BLM
works to ensure public lands and ecosystem services benefit human
communities. The Conservation and Landscape Health Rule establishes the
policy for the BLM to build and maintain the resilience of ecosystems
on public lands in three primary ways: (1) protecting the most intact,
functioning landscapes; \1\ (2) restoring degraded habitat and
ecosystems; and (3) using science and data as the foundation for
management decisions across all plans and programs.
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\1\ This rule defines ``intact landscape'' to mean ``a
relatively unfragmented landscape free of local conditions that
could permanently or significantly disrupt, impair, or degrade the
landscape's composition, structure, or function. Intact landscapes
are large enough to maintain native biological diversity, including
viable populations of wide-ranging species. Intact landscapes
provide critical ecosystem services and are resilient to disturbance
and environmental change and thus may be prioritized for
conservation action. For example, an intact landscape would have
minimal fragmentation from roads, fences, and dams; low densities of
agricultural, urban, and industrial development; and minimal
pollution levels.''
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The rule establishes a definition of ``conservation'' that
encompasses both protection and restoration actions,\2\ recognizing
that the BLM must protect intact natural landscapes and restore
degraded landscapes to achieve ecosystem resilience. To support efforts
to protect and restore public lands, the rule clarifies that
conservation is a use on par with other uses of the public lands under
FLPMA's multiple-use and sustained-yield mandate. Recognizing that
public land conservation is incompatible with a ``one size fits all''
approach, the rule identifies multiple conservation tools to be used
where appropriate, including protection of intact landscapes,
restoration and mitigation planning, and ACEC designation. Consistent
with how the BLM promotes and administers other uses, the rule
establishes a durable mechanism--mitigation and restoration leasing--to
facilitate both mitigation and restoration on the public lands, while
providing opportunities to engage the public in the management of
public lands for this purpose. Achieving ecosystem resilience will
require, to some extent, the protection of intact landscapes. The goal
of the rule is to provide a decision support and prioritization
framework for the BLM as it seeks to identify where such protection is
appropriate. The rule does not prioritize conservation above other
uses; instead, it provides for considering and, where appropriate,
implementing or authorizing conservation as one of the many uses
managed under FLPMA, consistent with the statute's plain language.
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\2\ In this rule, conservation is a use; protection and
restoration are tools to achieve conservation. Protection is not
synonymous with preservation; rather, it allows for active
management or other uses consistent with multiple use and sustained
yield principles.
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The final rule also clarifies throughout that its provisions should
be implemented in a manner that supports land use planning decisions
and objectives that emphasize specific uses in specific areas. The
Desert Renewable Energy Conservation Plan, for example, identifies
Development Focus Areas and conservation areas, as well as conservation
and management actions to mitigate the effects of renewable energy
development. The 2015 Greater Sage-grouse Plans provide more
protections for the most valuable Priority Habitat Management Areas
while permitting more activities and related impacts in General Habitat
Management Areas. The West-wide Energy Corridors designated by the BLM
are identified as areas that are suitable for large transmission lines
or pipelines, subject to site-specific analysis of proposed projects
and required conditions to avoid or minimize adverse impacts. This
preamble and the rule text raise as an example throughout areas that
are managed for recreation or degraded lands prioritized for
development. The use of this example is not meant to imply that the
Bureau permits development only on degraded land.
This final rule does not alter the manner in which the BLM makes or
implements these types of land use planning decisions and recognizes
how managing for ecosystem resilience across a landscape can
incorporate conservation and development, as well as other uses. This
recognition is reflected in the rule's approach to identifying and
managing areas for landscape intactness, prioritizing areas for
restoration, and evaluating land health to inform decision-making.
[[Page 40309]]
The BLM's efforts to protect and restore landscapes and ecosystems
and make informed planning, permitting, and program decisions rest on
the agency's ability to assess land health conditions and consider
those conditions when making decisions. The rule therefore modifies
existing BLM practice by applying the fundamentals of land health and
related standards and guidelines to all BLM-managed public lands and
uses, not just grazing (see Sec. 6103.1(a)). This broad application
includes uses, such as oil and gas development and renewable energy
generation, that are likely to result in at least local impacts to land
health. This rule requires the BLM to take ``appropriate action'' where
a specific land use is a factor in failing to achieve land health, but
what constitutes ``appropriate action'' may be constrained in a given
case both by law and the applicable resource management plan (RMP). For
example, where lands are available for solar development under the RMP,
options for taking ``appropriate action'' to address land health would
not include prohibiting solar development, but may include measures to
avoid, minimize, or compensate for impacts from solar development. In
general, assessments of land health are intended to inform how uses are
managed, rather than if they occur, by providing accurate data on
current conditions. In implementing the fundamentals of land health,
the rule codifies the need across BLM programs to use high-quality
information to prepare land health assessments and evaluations and make
determinations about land health condition.
The rule reiterates the importance of meaningful consultation
during decision-making processes with Tribes and Alaska Native
Corporations on issues that affect their interests, as determined by
the Tribes. It requires the BLM to respect and incorporate Indigenous
Knowledge into management decisions for ecosystem resilience and
directs the BLM to seek opportunities for Tribal co-stewardship of
intact landscapes and other lands and ecosystems, consistent with
agency and departmental guidance.
Finally, the rule amends the existing ACEC regulations to better
assist the BLM in carrying out FLPMA's requirement to give priority to
the designation and protection of ACECs. The regulatory changes
elaborate on the role of ACECs as the principal administrative
designation for protecting important natural, cultural, and scenic
resources, and they establish a more comprehensive framework for the
BLM to identify, evaluate, and consider special management attention
for ACECs in land use planning. The rule emphasizes the role of ACECs
in contributing to ecosystem resilience by clarifying that ACEC
designation can be used to protect landscape intactness and habitat
connectivity.
II. Background
A. The Need for Resilient Public Lands To Achieve Multiple Use and
Sustained Yield
The BLM manages approximately 245 million acres of public lands,
roughly one-tenth of the land area of the United States. These lands
have become increasingly degraded in recent decades through the
appearance of invasive species, extreme wildfire events, prolonged
drought, and increased habitat fragmentation.\3\ Degradation of the
health of public lands threatens the BLM's ability to manage public
lands as directed by FLPMA.
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\3\ See, e.g., Long-Term Trends in Vegetation on Bureau of Land
Management Rangelands in the Western United States (https://www.sciencedirect.com/science/article/pii/S1550742422001075);
Greater Sage-grouse Plan Implementation: Range-wide Monitoring
Report 2015-2020 (https://eplanning.blm.gov/public_projects/2016719/200502020/20050224/250056407/Greater%20Sage-Grouse%20Five-year%20Monitoring%20Report%202020.pdf).
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FLPMA requires that unless ``public land has been dedicated to
specific uses according to any other provisions of law,'' the
Secretary, through the BLM, must ``manage the public lands under
principles of multiple use and sustained yield, in accordance with the
land use plans developed by [the Secretary] under section 202 of this
Act when they are available'' (43 U.S.C. 1732(a)). The term ``sustained
yield'' means ``the achievement and maintenance in perpetuity of a
high-level annual or regular periodic output of the various renewable
resources of the public lands consistent with multiple use'' (43 U.S.C.
1702(h)).
The term ``multiple use'' means ``the management of the public
lands and their various resource values so that they are utilized in
the combination that will best meet the present and future needs of the
American people; making the most judicious use of the land for some or
all of these resources or related services over areas large enough to
provide sufficient latitude for periodic adjustments in use to conform
to changing needs and conditions; the use of some land for less than
all of the resources; a combination of balanced and diverse resource
uses that takes into account the long-term needs of future generations
for renewable and nonrenewable resources, including, but not limited
to, recreation, range, timber, minerals, watershed, wildlife and fish,
and natural scenic, scientific and historical values; and harmonious
and coordinated management of the various resources without permanent
impairment of the productivity of the land and the quality of the
environment with consideration being given to the relative values of
the resources and not necessarily to the combination of uses that will
give the greatest economic return or the greatest unit output.'' (43
U.S.C. 1702(c)).
FLPMA also directs the BLM to ``take any action necessary to
prevent unnecessary or undue degradation of the lands.'' (43 U.S.C.
1732(b)). Additionally, section 102(a)(8) of FLPMA declares that it is
the policy of the United States that ``the public lands be managed in a
manner that will protect the quality of scientific, scenic, historical,
ecological, environmental, air and atmospheric, water resource, and
archeological values; that, where appropriate, will preserve and
protect certain public lands in their natural condition; that will
provide food and habitat for fish and wildlife and domestic animals;
and that will provide for outdoor recreation and human occupancy and
use'' (43 U.S.C. 1701(a)(8)). Many of these resources and values that
FLPMA authorizes the BLM to safeguard emanate from functioning and
productive native ecosystems that supply food, water, habitat, and
other ecological necessities.
Taken together, FLPMA's mandate to manage public lands for multiple
use and sustained yield and its requirement to protect certain
resources and values requires balanced management that maintains the
availability of such resources and values for future generations. (See
43 U.S.C. 1702(c)) Widespread degradation of land health significantly
limits the ability of public lands and their ecosystems to provide such
resources and values and is inconsistent with the management direction
and responsibility conferred to the BLM through FLPMA. The general
resilience of public lands will determine the BLM's ability to
effectively manage for multiple use and sustained yield over the long
term. Resilience is a critical ecosystem trait that allows ecosystems
to maintain or regain their composition, structure, and function
following disturbances, including those resulting from changing
environmental conditions. For example, maintaining habitat connectivity
allows organisms to adapt to a changing climate from the North Slope of
Alaska to the Rio Grande Valley of Colorado and New Mexico. To ensure
the resilience of public lands,
[[Page 40310]]
FLPMA provides the BLM with ample authority and direction to conserve
ecosystems and other resources and values across the public lands.
The BLM recognizes this need for public lands to continue to
provide resources and values when declaring its mission ``to sustain
the health, diversity, and productivity of public lands for the use and
enjoyment of present and future generations.'' (blm.gov; see also 43
U.S.C. 1702(c)) Without ensuring that public lands and their component
ecosystems can maintain their function and be resilient to future
change, the agency risks failing on its statutory mandate and its
commitment to future generations.
To assist the BLM in carrying out its mission and statutory
mandate, this rule provides direction and tools to protect and restore
landscapes and ecosystems and make decisions supported by science and
data, assisting the agency in managing for resilient landscapes that
support multiple uses and sustained yield of resources and preventing
unnecessary or undue degradation of the lands and their resources. As
intact landscapes play a central role in maintaining the resilience of
an ecosystem, the rule emphasizes protecting those public lands with
intact, functioning landscapes and restoring others. This rule is
designed to support sustained yield such that the nation's public lands
can continue to supply food, water, habitat, and other ecological
necessities that can resist and recover from drought, wildfire, and
other disturbances, and continue to provide energy, forage, timber,
recreational opportunities, and safe and reliable access to minerals.
B. Conservation Use for Resilient Public Lands
Conservation is a key strategy for supporting resilient public
lands, now and into the future. Conservation takes many forms on public
lands, including in the ways grazing, recreation, forestry, wildlife
and fisheries management, and many other uses are carried out.
Conservation is both a land use and also an investment in the landscape
intended to increase the yield of certain other benefits elsewhere or
later in time. This rule focuses on conservation as a land use within
the multiple use framework, including in decision-making,
authorization, and planning processes. The rule develops the toolbox
for conservation use--defined here as encompassing both protection and
restoration actions--enabling some of the many conservation strategies
the agency employs to steward the public lands for multiple use and
sustained yield.
FLPMA has always encompassed conservation as a land use. As
described above, FLPMA authorizes and obligates the BLM to, within the
multiple use framework, protect natural resources, preserve public
lands, and provide habitat for fish and wildlife, among other
conservation measures. The BLM has been practicing conservation of the
public lands throughout the agency's history. The change this rule aims
to achieve is providing clear, consistent, and informed direction,
vetted and shaped by public input, for conservation use to be
implemented on the public lands in support of ecosystem resilience.
The rule does not prioritize conservation above other multiple
uses. It also does not preclude other uses where conservation use is
occurring. Many uses are compatible with different types of
conservation use, such as sustainable recreation, grazing, and habitat
management. The rule also does not enable conservation use to occur in
places where an existing, authorized, and incompatible use is
occurring.
One of the primary tools for conservation use that is established
in this rule is restoration and mitigation leasing (called conservation
leasing in the proposed rule). Restoration or mitigation leases can
help facilitate dynamic landscape management over time by allowing an
area to recover and be available for other uses after the termination
of the lease. For example, a restoration lessee may collaborate with an
existing grazing permittee to restore degraded rangeland with the
ultimate goal of resuming sustainable grazing. These leases are not the
only way to conduct restoration and mitigation on the public lands;
these types of conservation activities occur in many ways. The leases
provide a clear and consistent tool for those actions when appropriate
and useful. Like all conservation uses included in the rule,
restoration and mitigation leases will not be used where existing
rights and authorized uses are in place that would conflict with the
conservation use.
The BLM has, over the years, developed and revised regulations for
many multiple uses, whereas a placeholder has remained in Title 43 of
the CFR for the agency to develop regulations broadly pertaining to
conservation. With this rule, the BLM provides necessary regulations
for using conservation to support ecosystem resilience and landscape
health.
C. Management Decisions To Build Resilient Public Lands
The rule recognizes that the BLM has three primary ways of applying
conservation actions to manage for resilient public lands that inform
one another and potentially overlap: (1) protection of intact,
functioning landscapes; (2) restoration of degraded habitats and
ecosystems; and (3) making decisions informed by appropriate
conservation considerations identified through the development and
execution of plans, programs, and permits. The organization of the rule
text emanates from this structure, with principal sections on (1)
protection of landscape intactness and guidance on the identification
and designation of ACECs; (2) direction to plan for and restore
degraded habitats; and (3) instruction for management actions to
facilitate conservation, including application of mitigation, all based
on the use of high-quality information and adherence to land health
standards for all BLM programs.
1. Protection
As intact landscapes play a central role in maintaining the
resilience of ecosystems, the rule provides direction for the
protection of intact, functioning landscapes. The final rule directs
the BLM to maintain an inventory of landscape intactness as a resource
value and identify intact landscapes in land use plans and to protect
the intactness of certain landscapes by, for example, implementing
conservation actions that maintain ecosystem resilience and conserving
landscape intactness when managing compatible uses. Inventories of
landscape intactness focus on an estimate of naturalness measured
against human-caused disturbance and influence. The BLM intends to
assess intactness through use of watershed condition assessments
consistent with peer-reviewed methods developed jointly with the U.S.
Geological Survey.\4\ One of the principal administrative tools the BLM
has available to protect public land resources is the designation of
ACECs. ACECs are areas where special management attention is needed to
protect important historical, cultural, and scenic values or fish and
wildlife or other natural resources; ACECs can also be designated to
protect human life and safety from natural hazards. The rule clarifies
and expands existing ACEC regulations to better support the BLM in
carrying out FLPMA's direction to give
[[Page 40311]]
priority to the designation and protection of these important areas.
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\4\ See, for instance, this collaborative effort between the BLM
and the USGS: A Multiscale Index of Landscape Intactness for the
Western U.S. [verbar] U.S. Geological Survey (usgs.gov).
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Pursuant to Executive Order 14072, Strengthening the Nation's
Forests, Communities, and Local Economies, 87 FR 24851 (Apr. 22, 2022),
and consistent with managing for multiple use and sustained yield and
other applicable law, the BLM is working to ensure that forests and
woodlands on public lands, including old and mature forests and
woodlands, are managed to: promote their continued health and
resilience, retain and enhance carbon storage, recruit old-growth
forests and characteristics, conserve biodiversity, mitigate the risk
of wildfires, enhance climate resilience, enable subsistence and
cultural uses, provide outdoor recreation opportunities, and promote
sustainable local economic development. Older forests and woodlands,
including pinyon and juniper woodlands, which are the BLM's most
abundant old forest type, have characteristics that contribute to
ecosystem resilience and further the objectives of this rule. The
characteristics include providing important wildlife habitat,
maintaining intact landscapes, contributing ecosystem services, and
harboring significant social and cultural values for human communities.
As such, these resources will be considered and evaluated for
protection and expansion under multiple provisions of the rule.
2. Restoration
To promote consistency in its application, the final rule
establishes principles for the design and implementation of BLM
restoration actions on public lands. To direct restoration efforts, the
rule also requires that resource management plans identify restoration
outcomes and that the BLM identify priority landscapes for restoration,
develop restoration plans, and track implementation of restoration
actions.
The rule offers new tools in the form of restoration leases and
mitigation leases that allow qualified entities to directly support
efforts to build and maintain resilient public lands. These leases will
be available to entities seeking to restore public lands or mitigate
reasonably foreseeable impacts from an authorized activity. Leases will
not override valid existing rights or preclude other, subsequent
authorizations so long as those authorizations are compatible with the
restoration or mitigation use. The rule establishes the process for
applying for and granting leases, terminating or suspending them,
determining noncompliance, and setting bonding obligations. The rule
expresses a preference for lease applications that are derived from
collaboration with existing permittees, lease holders, or adjacent land
managers or owners, or that include other specific factors enumerated
in 6102.4(d) that will make lease issuance more likely. Restoration and
mitigation leases will be issued for a term consistent with the time
required to achieve their objectives. Restoration leases will be issued
for a maximum of 10 years but can be renewed if necessary to serve the
purposes for which the lease was first issued. Once these purposes have
been achieved, the lease will not warrant renewal. Any mitigation lease
will require a term commensurate with the impact(s) it is offsetting.
Restoration and mitigation leases may also provide opportunities for
co-stewardship with federally recognized Tribes.
3. Management Actions for Decision-Making
The final rule delineates how its goals can be achieved when
implementing programs, establishing land use plans, and authorizing
use. In doing so, the rule requires the BLM to use high-quality
information, including Indigenous Knowledge. To ensure the BLM does not
limit its ability to build resilient public lands when authorizing use,
the rule requires the BLM to apply a mitigation hierarchy (i.e., take
actions to avoid, minimize, and compensate for certain residual
impacts, generally in that order). (See Sec. 6102.5.1(a)).\5\ For
important, scarce, or sensitive resources, the BLM must apply the
mitigation hierarchy with particular care, with the goal of
eliminating, reducing, and/or offsetting impact on the resource. The
rule also establishes regulations to govern the BLM's approval of a
third-party mitigation fund holder.
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\5\ The BLM's final rule adopts the definition of ``mitigation''
used by the Council on Environmental Quality's regulations
implementing the procedural requirements of NEPA, 40 CFR 1508.1(s),
including for compensatory mitigation: ``Compensating for the effect
by replacing or providing substitute resources or environments.''
Id. Sec. 1508.1(s)(5). This definition also aligns with existing
BLM policy, including its Mitigation Manual Section, MS-1794, and
its Mitigation Handbook, H-1794-1.
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The final rule highlights the importance of environmental justice
in decision-making, including advancing environmental justice through
restoration and mitigation actions as one of the rule's objectives. The
BLM is implementing Executive Order 14008 on Tackling the Climate
Crisis at Home and Abroad, 86 FR 7619 (Jan. 27, 2021) and Executive
Order 14096 on Revitalizing Our Nation's Commitment to Environmental
Justice for All, 88 FR 25251 (Apr. 26, 2023), which establish
environmental justice initiatives and policy goals.\6\ The BLM issued
guidance in September 2022 clarifying minimum requirements for
incorporating environmental justice considerations in environmental
reviews (Instruction Memorandum 2022-059, ``Environmental Justice
Implementation''). This rule builds on the agency's current commitments
and direction by highlighting opportunities to address impacts to
disadvantaged communities that are marginalized by underinvestment and
overburdened by pollution and to advance environmental justice. In
planning for and prioritizing landscapes for restoration, the rule
requires consideration of where restoration can address impacts on
communities' environmental justice concerns, as well as other social
and economic benefits. Environmental justice considerations are also
identified as a factor in evaluating proposals for restoration and
mitigation lease applications.
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\6\ These efforts build on prior Executive Orders, such as
Executive Order 12898 on Federal Actions to Address Environmental
Justice in Minority Populations and Low-Income Populations, 59 FR
7629 (Feb. 11, 1994).
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To support conservation actions and decision-making, the rule
extends the application of the fundamentals of land health (taken
verbatim from the existing fundamentals of rangeland health at 43 CFR
4180.1 (2005)) and related standards and guidelines to all lands
managed by the BLM and across all program areas. The fundamentals are
general descriptions of conditions that maintain the health and
functionality of watersheds, ecological processes, water quality, and
threatened, endangered, and special-status species habitat. The
standards measure the level of physical and biological conditions
required for healthy lands and sustainable uses of public lands,
essentially identifying trends toward achieving or not achieving
desired conditions. Assessment and evaluation of the standards informs
decision-making at all levels of the BLM, including decisions made in
resource management plans. However, it is the evaluation of multiple
lines of evidence to conclude whether or not each land health standard
is being achieved that is most relevant to a decision maker. Multiple
lines of evidence that may be used to evaluate land health include, but
are not limited to, standardized quantitative monitoring data, remote
sensing-derived maps and data, qualitative assessments, photos, water
quality data, habitat assessments, disturbance and land use
[[Page 40312]]
history, and weather and climate data relevant to each land health
standard. Determining if a standard is being achieved, or not achieved,
can inform how a land use may be modified or adapted to improve land
health conditions consistent with the fundamentals. The rule does not
require, however, that individual actions ``comply'' with the
fundamentals of land health, nor does it require achievement of those
fundamentals (as measured by the land health standards) as a
precondition for any BLM decision.
Currently, the fundamentals of land health and related standards
apply only to rangeland systems where the BLM authorizes grazing.\7\
Existing land health standards vary across regions and states creating
a complex, but locally adapted system of rangeland evaluation. The rule
includes a process for developing and adopting consistent national land
health standards and amending or supplementing them to apply them more
effectively to habitats managed by the BLM other than rangelands (e.g.,
forests, deserts, shrublands, wetlands). Until the BLM has developed a
consistent set of national standards, existing standards and indicators
will be applied according to the process described within this rule.
However, broadening the applicability of existing land health standards
ensures the BLM will more formally and consistently consider the
condition of public lands in decision-making. The rule includes
instruction, largely consistent with the existing framework at 43 CFR
4180.1, on how the BLM must assess, evaluate, and determine if public
lands are meeting land health standards. At a critical moment in the
health and history of our public lands, the rule directs the BLM to
perform such assessments and evaluations at broad spatial and temporal
scales, thereby creating efficiencies in the land health process and
opportunities to streamline permit renewals and authorizations.
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\7\ The BLM currently maintains inventory, assessment and
monitoring data from its implementation of the grazing regulations
related to rangeland health through the agency's Assessment,
Inventory, and Monitoring (AIM) program, and makes this data
available to the public. https://www.blm.gov/aim.
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D. Tribal Engagement and Co-Stewardship
The final rule reflects the U.S. Government's special relationship
with Indian Tribes by incorporating updated requirements for
government-to-government consultation, provisions for respecting
Indigenous Knowledge, and direction to seek opportunities for Tribal
co-stewardship.
The BLM is committed to working with Tribes in the management of
the public lands, which are the ancestral homelands of many American
Indian and Alaska Native Tribes. The BLM is the country's largest land
manager, and it is vital that the BLM respect the nation-to-nation
relationship that exists with American Indian and Alaska Native Tribes
while incorporating co-stewardship where possible. Engaging with Tribes
through co-stewardship opportunities is a priority for the BLM as
identified in: Joint Secretarial Order 3403 on Fulfilling the Trust
Responsibility to Indian Tribes in the Stewardship of Federal Lands and
Waters (Nov. 15, 2021); BLM Permanent Instruction Memorandum No. 2022-
011, Co-Stewardship with Federally Recognized Indian and Alaska Native
Tribes Pursuant to Secretary's Order 3403 (Sept. 13, 2022); and the
Department of the Interior Departmental Manual Part 502, Collaborative
and Cooperative Stewardship with Tribes and the Native Hawaiian
Community.
In response to comments and consultation on the proposed rule,\8\
the BLM made several updates to the final rule to better embrace its
commitment to working with Tribes in managing the public lands for
ecosystem resilience and landscape health. A stated objective of the
final rule (43 CFR 6101.2(i)) is to: ``[i]mprove engagement and co-
stewardship of public lands with Tribal entities and promote the use of
Indigenous Knowledge in decision-making.'' The final rule intends to
achieve this objective through provisions for Tribal consultation,
incorporation of Indigenous Knowledge, and co-stewardship.
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\8\ Pueblo of Tesque Comments on Bureau of Land Management
Conservation and Landscape Health Rule (July 5, 2023), ; Pyramid
Lake Paiute Tribe, Public Comment Regarding the Proposed Public
Lands Rule (June 27, 2023), https://www.regulations.gov/comment/BLM-2023-0001-153233; Northwest Arctic Native Association (NANA)
Regional Corporation, Inc., Comments--Proposed Conservation and
Landscape Health Rule (July 5, 2023), https://www.regulations.gov/comment/BLM-2023-0001-154147; Colorado River Indian Tribes, Comments
on BLM Proposed Federal Land Policy and Management Act of 1979
(FLPMA) Regulations on Conservation and Landscape Health (June 20,
2023), https://www.regulations.gov/comment/BLM-2023-0001-120501; Ute
Indian Tribe of the Uintah and Ouray Reservation, Comments on the
Bureau of Land Management Proposed Rule on Conservation and
Landscape Health (June 27, 2023), https://www.regulations.gov/comment/BLM-2023-0001-147694.
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The final rule directs the BLM to meaningfully consult with Indian
Tribes and Alaska Native Corporations on actions that are determined,
after allowing for Tribal input, to potentially have a substantial
effect on the Tribe or Corporation. In taking management actions for
ecosystem resilience, and in recognition that Tribes can initiate
consultation upon request, the final rule requires the BLM to
meaningfully consult with Indian Tribes and Alaska Native Corporations
during the decision-making process. These changes promote consistency
with Departmental Manual guidance for consultation with Tribes.
The rule includes guidance for respecting and considering
Indigenous Knowledge and directs the BLM to identify opportunities for
co-stewardship as an overarching objective and specifically when
managing intact landscapes, planning restoration actions on public
lands, and taking management actions for ecosystem resilience.
The final rule also includes updated definitions for Indigenous
Knowledge and high-quality information to reflect current guidance and
to make clear that Indigenous Knowledge qualifies as high-quality
information when it is gained by prior informed consent, free of
coercion, and generally meets the standards for high-quality
information.
E. Inventory, Evaluation, Designation, and Management of ACECs
To implement FLPMA's direction to ``give priority to the
designation and protection of areas of critical environmental
concern,'' (43 U.S.C. 1712(c)(3)), the rule updates regulatory
requirements found at 43 CFR 1610.7-2 and codifies policy instruction
found in the BLM Manual that guides its treatment of ACECs. (https://www.ntc.blm.gov/krc/system/files?file=legacy/uploads/5657/5_1613_ACEC_Manual%201988.pdf) The BLM inventories, evaluates, and
designates ACECs as part of the land use planning process. The land use
planning process guides BLM resource management decisions in a manner
that allows the BLM to respond to issues and consider trade-offs among
environmental, social, and economic values in determining appropriate
land uses for specific areas. Further, the planning process requires
coordination, cooperation, and consultation and provides other
opportunities for public involvement that can foster relationships,
build trust, and result in durable decision-making.
In 40 years of applying the procedures found at 43 CFR 1610.7-2 and
in the ACEC Manual, the BLM has identified a need for several revisions
that it has now made in this final rule. These revisions are needed to
provide clear direction and comprehensive guidance encompassing all
elements of the ACEC designation and management process.
[[Page 40313]]
Additionally, the final rule codifies the BLM's procedures for
considering and designating potential ACECs, providing more cohesive
direction and consistency than the previous procedures, which were
described partially in regulation and partially in agency policy. The
rule maintains the general process for inventorying, evaluating,
designating, and managing ACECs, but makes specific changes to clarify
and improve that process. The process is generally described here, with
more detailed explanation in the ``Section-by-Section Discussion of the
Final Rule and Revisions from the Proposed Rule'' and in the ``Response
to Public Comments'' sections of this preamble to the final rule.
In the initial stages of the land use planning process, the BLM,
through inventories and external nominations, identifies any potential
new ACECs to evaluate for relevance, importance, and the need for
special management attention. The BLM determines whether such special
management attention is needed by evaluating land use planning
alternatives and considering additional issues related to the
management of the proposed ACEC, including public comments received
during the planning process. Special management measures may also
provide an opportunity for Tribal co-stewardship. In approved resource
management plans, the BLM identifies all designated ACECs and provides
the management direction necessary to protect the relevant and
important values for which the ACECs were designated.
This rule establishes procedures that require the BLM to consider
ecosystem resilience, landscape-level needs, and rapidly changing
landscape conditions in designating and managing ACECs, and it
establishes a management standard to ensure ACEC values are
appropriately conserved. The rule also provides that the BLM may, at
the agency's discretion, implement temporary management for potential
ACECs identified outside of an ongoing planning process until the
potential ACEC can be evaluated for designation through a land use
planning process. When implementing temporary management, the BLM will
comply with all applicable laws, including the National Environmental
Policy Act (NEPA), notify the public of the temporary management, and
periodically reevaluate its decision to provide for temporary
management. These provisions do not change the presumption that the BLM
generally addresses its management of areas that may be appropriate for
an ACEC designation through the land use planning process. The final
rule also codifies research natural areas as a type of ACEC designated
for the primary purpose of research and education on public lands,
consistent with existing regulations (43 CFR subpart 8223) and policy.
The BLM intends to revise its ACEC manual to integrate the new and
existing regulations into policy and provide more detailed guidance for
their implementation. Guidance will help the BLM and the public better
understand how the ACEC regulations are applied on a case-by-case
basis.
F. Statutory Authority
FLPMA establishes the BLM's mission to manage public lands ``under
principles of multiple use and sustained yield'' (except for lands
where another law directs otherwise). (43 U.S.C. 1732(a)) Multiple use
is defined as:
the management of the public lands and their various resource values
so that they are utilized in the combination that will best meet the
present and future needs of the American people; making the most
judicious use of the land for some or all of these resources or
related services over areas large enough to provide sufficient
latitude for periodic adjustments in use to conform to changing
needs and conditions; the use of some land for less than all of the
resources; a combination of balanced and diverse resource uses that
takes into account the long- term needs of future generations for
renewable and nonrenewable resources, including, but not limited to,
recreation, range, timber, minerals, watershed, wildlife and fish,
and natural scenic, scientific and historical values; and harmonious
and coordinated management of the various resources without
permanent impairment of the productivity of the land and the quality
of the environment with consideration being given to the relative
values of the resources and not necessarily to the combination of
uses that will give the greatest economic return or the greatest
unit output.
(43 U.S.C. 1702(c)). Sustained yield is defined as, ``the achievement
and maintenance in perpetuity of a high-level annual or regular
periodic output of the various renewable resources of the public lands
consistent with multiple use.'' (43 U.S.C. 1702(h)).
FLPMA also authorizes the Secretary to promulgate implementing
regulations necessary ``to carry out the purposes'' of the Act. (43
U.S.C. 1740) This rule, enacted under that authority, (1) defines and
regulates conservation use on the public lands in service of FLPMA's
multiple use and sustained yield mandates; (2) provides for third-party
authorizations to use the public lands for restoration and mitigation
under FLPMA section 302(b) (43 U.S.C. 1732(b)); and (3) revises the
existing regulations implementing FLPMA's direction in sections 201(a)
and 202(c)(3) (43 U.S.C. 1711(a) and 1712(c)(3)) that the BLM shall
give priority to the designation and protection of ACECs. (See also 43
U.S.C. 1701(a)(11) (``[I]t is the policy of the United States that--
regulations and plans for the protection of public land areas of
critical environmental concern be promptly developed.'')).
This rule clarifies that conservation is a use on par with other
uses and responds to the direction inherent in FLPMA's multiple use and
sustained yield mandate to manage public lands for resilience and
future productivity and to mitigate resource impacts. A number of
comments questioned the BLM's authority to treat ``conservation'' as a
use within FLPMA's multiple use framework. As a general matter, the
definition of ``multiple use'' makes clear, and courts have affirmed,
that managing some lands for conservation use is a permissible, and
indeed crucial, aspect of managing public lands under the principles of
multiple use and sustained yield, as FLPMA requires. (See 43 U.S.C.
1702(c); see also New Mexico ex rel. Richardson v. BLM, 565 F.3d 683,
710 (10th Cir. 2009) (``It is past doubt that the principle of multiple
use does not require BLM to prioritize development over other uses . .
. BLM's obligation to manage for multiple use does not mean that
development must be allowed . . . Development is a possible use, which
BLM must weigh against other possible uses--including conservation to
protect environmental values.''); Theodore Roosevelt Conservation
P'ship v. Salazar, 616 F.3d 497, 518 (D.C. Cir. 2010) (``[T]he Bureau
has wide discretion to determine how those [FLPMA] principles [of
multiple use and sustained yield] should be applied.''); Or. Nat.
Desert Ass'n v. BLM, 531 F.3d 1114, 1134 (9th Cir. 2008) (recognizing
that the BLM's ``wide authority to manage the public lands under
principles of multiple use and sustained yield allows it ample
discretion for management of lands with wilderness values'')).
Public Comments on Statutory Authority
Several comments suggested more specifically that the decision in
Public Lands Council v. Babbitt, 167 F.3d 1287 (10th Cir. 1999), would
prohibit the restoration and mitigation leases available under this
rule.
We disagree. In that case, the Tenth Circuit held that the Taylor
Grazing Act and section 402 of FLPMA could not authorize ``issuing a
`grazing permit' that excludes livestock grazing for the entire term of
the permit.'' Id. at 1307.
[[Page 40314]]
The court, therefore, enjoined the regulations purporting to authorize
Taylor Grazing Act permits that provided for no grazing. In doing so,
the Tenth Circuit expressly stated that the question in the case was
``not whether the Secretary possesses general authority to take
conservation measures--which clearly he does.'' Id.
The present rule, in contrast to the grazing rule at issue in
Public Lands Council v. Babbitt, is an exercise of that authority to
take conservation measures. It does not rely on the Taylor Grazing Act,
nor does it modify the terms and conditions available for grazing
permits or authorize the BLM to issue grazing permits approving non-
grazing uses. Rather, this rule provides for a separate category of
leases, which can be exercised on public lands in areas with other
ongoing uses, such as active grazing, consistent with the BLM's
authority under FLPMA to ``manage the public lands under principles of
multiple use and sustained yield'' (43 U.S.C. 1732(a)) and to
``regulate, through easements, permits, leases, licenses, published
rules, or other instruments as the Secretary deems appropriate, the
use, occupancy, and development of the public lands.'' (43 U.S.C.
1732(b)) The final rule renames what the proposed rule called
``conservation leases'' as ``restoration leases'' and ``mitigation
leases'' to more precisely describe the activities that would be
authorized on the leased lands.
A number of comments that object to including ``conservation''
alongside other uses in FLPMA's multiple use framework, including a
letter from the Small Business Administration, Office of Advocacy
(Advocacy), point to the absence of the word ``conservation'' from
FLPMA's definition of ``principal or major uses.'' (See 43 U.S.C.
1702(l))
We disagree. Those comments misapprehend the meaning of the term
``principal or major uses'' within the statutory framework established
by FLPMA. That term does not appear in any of FLPMA's discussion of
multiple use, and the principal or major uses included in the
definition of that term do not hold an exclusive or even superior
position within the multiple use framework. Indeed, that defined term
appears in FLPMA only in section 202(e) (43 U.S.C. 1712(e)), which
provides that all land use plan decisions are subject to revision and
modification and--specific to principal or major uses--includes a
Congressional reporting provision (section 202(e)(2)) that contains no
substantive constraint on the BLM's authority. The Advocacy letter
asserts that restoration or mitigation leases must be submitted to
Congress, citing Section 202(e)(2). But section 202(e)(2) merely
provides for congressional notification if a management decision
``excludes (that is, totally eliminates)'' one or more of the principal
or major uses for two or more years on an area exceeding one hundred
thousand acres or more'' of the public lands. (43 U.S.C. 1712(e)(2))
The adoption of the final rule does not immediately result in any
restoration or mitigation lease going into effect, much less one that
covers one hundred thousand or more acres, let alone one that ``totally
eliminates'' a principal or major use on such an area for two or more
years. Nor does it follow from the rule that the leases the BLM does
issue would necessarily meet the criteria to trigger section 202(e)(2).
More importantly, the Advocacy letter fails to grapple with the
necessary and obvious implication of this provision: Congress's clear
recognition that the BLM is authorized to take actions that would
exclude principal or major uses--including from large tracts of land--
as long as it reports such actions to Congress when it does. In short,
the provision is not only inapplicable to most, if not all, restoration
and mitigation leases that may be issued under this rule, but it
clearly demonstrates that the BLM has the authority Advocacy claims it
lacks.
Several commenters suggested that the issuance of a final rule that
recognizes conservation as a use of the public lands and allows for the
issuance of restoration and mitigation leases might be challenged in
federal court under the Administrative Procedure Act, speculating
further that a reviewing court might evaluate these features of the
rulemaking under the major questions doctrine.
We disagree. The Supreme Court deemed the major questions doctrine
to apply when an agency's asserted statutory authority is unclear and
when the ``history and the breadth of the authority'' and the
``economic and political significance'' of its assertion provide a
``reason to hesitate.'' West Virginia v. EPA, 142 S. Ct. 2587, 2595
(2022). But as this preamble to this final rule explains elsewhere in
detail, and as courts have confirmed, FLPMA's animating principles of
multiple use and sustained yield embrace conservation use as an
integral component of the BLM's stewardship of the public lands.
Moreover, while restoration and mitigation leases are specific new
tools for managing the public lands, FLPMA provides clear and broad
authority to manage the public lands at the discretion of the
Secretary, including for conservation use, for the reasons described in
detail above, and including through leases. (43 U.S.C. 1732(a)-(b))
The BLM has a long history of exercising that broad regulatory
authority to manage its lands through leases and similar instruments,
including by issuing permits or right-of-way grants that authorize the
permit holder to implement restoration and mitigation as a component or
a condition of an authorization to use the public lands for development
or extractive purposes. See, e.g., M-37039, The Bureau of Land
Management's Authority to Address Impacts of its Land Use
Authorizations through Mitigation, at 11-22 (Dec. 21, 2016) (reinstated
by M-37075 (Apr. 15, 2022)) (``[The] BLM's charge under FLPMA to manage
public lands based on principles of multiple use and sustained yield
supports use of mitigation. The authority to evaluate and impose
mitigation arises out of the broad authority FLPMA vests in the BLM to
pursue congressional goals . . . for public lands. The BLM can evaluate
and require mitigation through both the land use planning process and
site-specific authorizations.''); Theodore Roosevelt Conservation
P'ship, 616 F.3d at 505-06, 515-17 (concerning planning decision that
outlined mitigation measures to be imposed as conditions of approval
for oil and gas drilling). For the reasons noted above, Congress has
spoken clearly that conservation--including in the forms of restoration
or mitigation--is an appropriate use of the public lands and that,
where a given use of the public lands is appropriate, leasing is an
appropriate means to regulate such use.
Several commenters noted that a different BLM rule--Resource
Management Planning, 81 FR 89580 (Dec. 12, 2016)--was subject to a
congressional joint resolution of disapproval under the Congressional
Review Act (CRA) (5 U.S.C. 802). These commenters suggested that this
rule, therefore, may be precluded by the CRA provision that ``a new
rule that is substantially the same as'' a rule that does not continue
in effect due to a joint resolution of disapproval may not be issued.
(5 U.S.C. 801(b)(2))
We disagree. This rule, which would promulgate a series of new
regulations at 43 CFR part 6100 and make changes to 43 CFR 1610.7-2, is
not substantially the same as the BLM's 2016 rule. The 2016 rule
included amendments to Sec. 1610.7-2, but they were different in
substance and form from the revisions proposed in this rule and
involved a much broader amendment to all of the
[[Page 40315]]
planning regulations at 43 CFR part 1600. For example, this rule
identifies ``landscape intactness'' as a value meriting consideration
for conservation, including through designation of ACECs, and calls for
land health evaluations at geographic scales broader than grazing
allotments. But these features of the present rule do not amount to the
same landscape-scale planning approach that was central to the 2016
rule, and which would have been (and would need to be) implemented
through a wholesale revision of the planning regulations at 43 CFR part
1600.
A number of comments noted that the BLM's management of the public
lands is subject to additional laws beyond FLPMA and in some cases
asked that the BLM limit the geographic scope of the final rule to
exclude areas of public lands where another statute provides direction
or informs how the BLM should manage those lands.
We agree that laws beyond FLPMA govern BLM's management of the
public lands, but we decline to amend the rule in response to these
comments. The final rule applies across BLM-managed lands. However,
implementation of the rule--that is, land use planning and individual
project-level decisions--will be subject to and must be undertaken
consistent with all applicable laws, including the Mining Law of 1872,
30 U.S.C. 22 et seq., the Oregon and California Revested Lands
Sustained Yield Management Act of 1937, 43 U.S.C. 2601 et seq. (the O&C
Act), the Alaska National Interest Lands Conservation Act, 16 U.S.C.
3101 et seq. (ANILCA), the Paleontological Resources Preservation Act
of 2009, 16 U.S.C. 470aaa et seq. (PRPA), the Endangered Species Act,
16 U.S.C. 1531 et seq. (ESA), the National Environmental Policy Act, 42
U.S.C. 4321 et seq. (NEPA), and the National Historic Preservation Act,
54 U.S.C. 300101 et seq. (NHPA).
G. Related Executive and Secretarial Direction
The rule is consistent with directives set forth in several
Executive and Secretary's Orders and related policies and strategies.
These directives call on the Department of the Interior (DOI), and the
Federal Government more generally, to use landscape-scale, science-
based, collaborative approaches to natural resource management.
They include Executive Order 14072, Strengthening the Nation's
Forests, Communities, and Local Economies, recognizes that healthy
forests are ``critical to the health, prosperity, and resilience of our
communities.'' It states a policy to:
pursue science-based, sustainable forest and land management;
conserve America's mature and old-growth forests on Federal lands;
invest in forest health and restoration; support indigenous
traditional ecological knowledge and cultural and subsistence
practices; honor Tribal treaty rights; and deploy climate-smart
forestry practices and other nature-based solutions to improve the
resilience of our lands, waters, wildlife, and communities in the
face of increasing disturbances and chronic stress arising from
climate impacts.
The Executive Order calls for defining, identifying, and
inventorying our nation's old and mature forests, then stewarding them
for future generations to provide clean air and water, sustain plant
and animal life, and respect their special importance to Tribal
Nations. This rule advances these objectives by providing a framework
for conservation use on public lands that would apply to mature and
old-growth forests and woodlands managed by the BLM.
And Joint Secretarial Order 3403 on Fulfilling the Trust
Responsibility to Indian Tribes in the Stewardship of Federal Lands and
Waters, issued on November 15, 2021, by DOI and the Department of
Agriculture, reiterates the Departments' commitment to the United
States' trust and treaty obligations as an integral part of managing
Federal lands. The order emphasizes that ``Tribal consultation and
collaboration must be implemented as components of, or in addition to,
Federal land management priorities and direction for recreation, range,
timber, energy production, and other uses, and conservation of
wilderness, refuges, watersheds, wildlife habitat, and other values.''
The order also notes the benefit of incorporating Tribal expertise and
Indigenous Knowledge into Federal land and resources management.
H. Public Involvement in the Proposed Rule
The BLM published the proposed rule in the Federal Register on
April 3, 2023 (88 FR 19583), for a 75-day comment period ending on June
20, 2023. In response to public requests for an extension, on June 15,
2023, the BLM announced a 15-day extension of the comment period. The
official comment period extension notice was published on June 20, 2023
(88 FR 39818). The extended comment period closed on July 5, 2023.
During the comment period, the BLM hosted a variety of public
outreach activities. The BLM held two virtual public meetings on May 15
and June 5, 2023. The BLM held three in-person meetings in Denver,
Colorado (May 25, 2023); Albuquerque, New Mexico (May 30, 2023); and
Reno, Nevada (June 1, 2023) to provide an overview of the proposed rule
and answer questions from the public. All webinars and meetings were
led by a third-party facilitator. A video recording of the May 15
virtual meeting and presentation slides in English and Spanish are
available on the BLM website. The BLM also posted a reviewer guide and
fact sheet, frequently asked questions on topics of interest,
infographics, and other background information on the BLM website to
further public understanding of the proposed rule. (https://www.blm.gov/public-lands-rule.)
In addition, the BLM conducted external outreach and participated
in dozens of meetings to discuss the content of the proposed rule,
including congressional briefings; meetings with States and State
agencies; meetings with grazing, recreation, renewable energy, and
other stakeholder interest groups and associations; and presentations
at conferences and events. Meetings were conducted by both headquarters
staff and regional staff across the country.
I. Tribal Consultation on the Proposed Rule
At the beginning of the rulemaking process, letters were sent to
all federally recognized Tribes and Alaska Native Claims Settlement Act
Corporations informing them of the proposed rule and inviting them to
engage with the BLM to discuss their thoughts and concerns. The BLM
conducted government-to-government consultation on the proposed rule as
requested by Tribes.
To facilitate understanding of the proposed rule, the BLM posted
all meeting materials, including a recording of the first virtual
meeting, frequently asked questions, and meeting handouts, on its
website to accommodate Tribal members and other members of the public
who could not attend a public meeting. This final rule is informed by
input received from Tribes during the public comment period. Over 20
Tribal governments, Alaska Native Corporations, and tribal entities
submitted formal comments on the proposed rule. Tribal comments covered
a range of topics including ACEC nomination, tribal consultation and
co-stewardship, protection of cultural resources, and restoration and
mitigation leasing. Responses to Tribal input are addressed in the
``Tribal Engagement and Co-Stewardship'' and ``Section-by-Section
Discussion of the Final Rule and Revisions from the
[[Page 40316]]
Proposed Rule'' sections of this preamble to the final rule.
J. Summary of Changes
The BLM received an initial total of 216,403 comments from
regulations.gov. Further analysis showed that there were public comment
submissions with multiple cosigners, sometimes several thousand on one
submission, which were initially counted as separate submissions but
ultimately identified as a single submission with multiple signatures.
Therefore, although 216,403 people voiced their opinion, the final
count of comment letters came to 152,673. The comment letters on the
proposed rule are available for viewing on the Federal e-rulemaking
portal (https://www.regulations.gov) (search Docket ID: BLM-2023-0001).
The BLM has reviewed all public comments and made changes, as
appropriate, to the final rule based on those comments and internal
review. Those changes are described in detail in the ``Section-by-
Section Discussion of the Final Rule and Revisions from the Proposed
Rule'' of this preamble to the final rule. In addition, the ``Response
to Public Comments'' section in this preamble to the final rule
provides a summary of issues raised most frequently in public comments
and the BLM's response.
III. Section-by-Section Discussion of the Final Rule and Revisions From
the Proposed Rule
Note: This section of the preamble discusses newly promulgated
part 6100 first before turning to the revisions to Sec. 1610.7-2,
notwithstanding that Sec. 1610.7-2 appears first in the final rule
text. Part 6100 contains the core content of this final rule, which
frames the need for revision to Sec. 1610.7-2.
43 CFR Subchapter F--Preservation and Conservation
PART 6100--ECOSYSTEM RESILIENCE
Subpart 6101--General Information
Section 6101.1--Purpose
This section describes the overall purpose for the rule. The rule
is designed to facilitate healthy wildlife habitat, clean water, and
ecosystem resilience so that public lands can better resist and recover
from disturbances like drought and wildfire. It also aims to enhance
mitigation options, establishing a regulatory framework for those
seeking to use the public lands, while also ensuring that the public
enjoys the benefits of mitigation measures. The rule discusses the use
of protection and restoration actions, as well as tools such as land
health evaluations, inventory, assessment, and monitoring.
In response to public comments, the final rule expands the purpose
statement to include preventing permanent impairment or unnecessary or
undue degradation of public lands, in addition to promoting the use of
conservation to ensure ecosystem resilience.
Section 6101.2--Objectives
This section lists the specific objectives of the rulemaking. These
objectives were discussed at length earlier in the preamble for the
rule. In response to public comments, the BLM added four objectives to
the original six, which are to: provide for healthy lands and waters
that support sustainable outdoor recreation experiences for current and
future generations; prevent permanent impairment or unnecessary or
undue degradation of public lands; improve engagement and co-
stewardship of public lands with Tribal entities and promote the use of
Indigenous Knowledge in decision-making; and advance environmental
justice through restoration and mitigation actions.
Additionally, in response to public comments, the final rule
expands the objective that originally read ``Promote conservation by
maintaining, protecting, and restoring ecosystem resilience and intact
landscapes'' by specifically adding ``including habitat connectivity
and old-growth forests.''
Section 6101.3--Authority
A number of comments identified potential additional statutory
authority on which the BLM might rely in promulgating this rule. The
BLM has determined the reference to statutory authority is sufficient.
A number of comments raised questions about the relationship
between the rule and other laws, such as the Mining Law, the O&C Act,
and ANILCA, that apply to particular areas or particular uses of the
public lands. The final rule adds language in this section to clarify
that implementation of the rule is subject to other applicable laws.
Section 6101.4--Definitions
This section provides new definitions for concepts such as
conservation, ecosystem resilience, sustained yield, mitigation, and
unnecessary or undue degradation, along with other terms used
throughout the rule text. These definitions apply to the use of those
terms in part 6100, while definitions for the terms casual use,
conserve, ecosystem resilience, intactness, landscape, monitoring,
protect, and restore also apply to the use of those terms in Sec.
1610.7-2.
The final rule adopts, without revision, the proposed definitions
of the terms: casual use; important, scarce, and sensitive resources;
mitigation; mitigation strategies; monitoring; public lands; and
reclamation. The final rule revises the proposed definitions of the
terms: conservation, disturbance, effects, high-quality information,
Indigenous Knowledge, intact landscape, landscape, permittee,
protection, restoration, sustained yield, and unnecessary or undue
degradation (including by identifying the elements of undue degradation
and unnecessary degradation).
The final rule defines additional terms to provide further clarity
for implementing the rule: in-lieu fee program, intactness, land
health, mitigation bank, mitigation fund, significant causal factor,
significant progress, and watershed condition assessment. The final
rule removes the definitions of the terms best management practices and
land enhancement. The BLM decided to remove the definition of best
management practices, because it is not a term that is generally used
for describing mitigation measures. The BLM decided to remove the
definition of land enhancement based on public comments that found the
term confusing.
The proposed rule defined the term ``resilient ecosystems.'' The
final rule defines ``ecosystem resilience'' instead. The final rule
does not, as some comments suggested it should, formally define the
term ``permanent impairment,'' but the BLM intends that its meaning be
informed by how it is used within the rule's definition of sustained
yield.
The following paragraphs describe the definitions adopted in the
final rule and changes to these definitions from the proposed rule as
applicable.
The final rule defines the term ``casual use'' in order to clarify
that the existence of a restoration or mitigation lease would not in
and of itself preclude the public from accessing public lands for
noncommercial activities such as recreation. Authorized officers may
temporarily close public access for purposes authorized by restoration
and mitigation leases, such as habitat improvement projects. However,
in general, public lands leased for these purposes under the final rule
would continue to be open to public use. The BLM received public
comments recommending the definition be expanded to explicitly include
uses
[[Page 40317]]
such as recreation. However, the BLM decided to retain the definition
from the proposed rule because it exists in the same form in current
regulations at 43 CFR 2920.0-5(k). The final rule adds language to the
restoration and mitigation leasing section to clarify that leases will
not preclude access to or across leased areas for recreation use,
research use, or other compatible authorized uses, in addition to
casual use. The definition of ``casual use'' in this part does not
change the definition of casual use in 43 CFR 3809.5.
The final rule defines ``conservation'' in the context of these
regulations to mean the management of natural resources to promote
protection and restoration. The overarching purpose of the rule is to
help facilitate the use of conservation to support ecosystem
resilience, and in doing so the final rule clarifies conservation as a
use within the BLM's multiple use framework, including in decision-
making concerning land use planning and proposed projects. The final
rule includes a stated objective to promote conservation on public
lands, and subpart 6102 outlines principles, directives, management
actions, and tools--including a new tool in restoration and mitigation
leases--to meet this objective and fulfill the purpose of the rule. The
BLM received comments recommending the definition of ``conservation''
more closely align with other definitions and recommending that the BLM
distinguish between ``conservation'' and ``preservation.'' The
definition of ``conservation'' was updated in the final rule to make
clear that conservation is a use and that protection and restoration
are tools to achieve conservation.
The final rule defines the term ``disturbance'' to provide the BLM
with guidance in identifying and assessing impacts to ecosystems,
restoring affected public lands, and minimizing and mitigating future
impacts. Identifying and mitigating disturbances and restoring
ecosystems are important components of supporting ecosystem resilience
on public lands. The BLM received public comments recommending the BLM
clarify that disturbances can be natural or human-caused, suggesting
that defining disturbance as a discrete event was too restrictive, and
recommending that the BLM adjust the definition to more closely align
with how ``disturbance'' is used in environmental impact statements.
The definition of disturbance was updated in the final rule to clarify
that disturbance can be either discrete or chronic, characteristic
(where ecosystem or species have evolved to survive such a disturbance)
or uncharacteristic, and that disturbance can be natural or human-
caused.
The final rule defines the term ``ecosystem resilience'' (whereas
the proposed rule included a definition of ``resilient ecosystem'') in
the context of the rule's foundational precept that the BLM's
management of public lands on the basis of multiple use and sustained
yield relies on resilient ecosystems. The definition is broad and
mirrors Department guidance by including concepts of resistance,
recovery, and adaptation. The BLM received comments that suggested
removing this term, changing the definition to clarify that habitat
connectivity is key to a resilient ecosystem, and changing the
definition to better and more accurately describe the characteristics
of a resilient ecosystem. The BLM changed the term to ``ecosystem
resilience'' to match the usage of this term in the rule and defined
ecosystem resilience to be consistent with existing DOI definitions of
this term.\9\ DOI's definition of ecosystem resilience is inclusive of
three commonly used terms in scientific literature: resistance (i.e.,
withstand disturbance), recovery (i.e., recover from disturbance, and
adaptability (i.e., change/adapt to disturbance). The purpose of the
rule is to facilitate the use of conservation as part of sustained
yield, such that ecosystems on public lands can adapt to environmental
change, resist disturbance, and maintain or regain their function
following environmental stressors such as drought and wildfire.
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\9\ https://www.doi.gov/sites/default/files/department-of-interior-climate-action-plan-final-signed-508-9.14.21.pdf.
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The final rule defines the term ``effects'' as the direct,
indirect, and cumulative impacts from a public land use and clarifies
that the term should be viewed as synonymous with the term ``impacts''
for the purposes of the rule. The BLM received comments recommending
the definition be changed to match the definition of effects in the
BLM's planning regulations. The definition of effects was updated in
the final rule to reference 40 CFR 1508.1(g) and clarify that the use
of direct, indirect, and cumulative impacts in the rule is consistent
with the definition of those terms in 40 CFR 1508.1(g).
The final rule defines the term ``high-quality information'' so
that its use would ensure that the best available scientific
information underpins decisions and actions that would be implemented
under the proposed rule to achieve ecosystem resilience. The definition
also clarifies that Indigenous Knowledge can be high-quality
information that should be considered alongside other information that
meets the standards for objectivity, utility, integrity, and quality
set forth in the Department's Information Quality Guidelines. https://www.doi.gov/ocio/policy-mgmt-support/information-quality-guidelines.
The BLM received public comments recommending that Indigenous Knowledge
be considered as high-quality information, recommending that the BLM
use the term ``credible data'' to describe high-quality information,
and that the definition be clarified to be more specific about what
qualifies as high-quality information. The definition of high-quality
information was updated in the final rule to reference the most current
Department guidance on scientific information and to specify when
Indigenous Knowledge would be considered high-quality information in
decision-making.
The final rule defines the terms ``important,'' ``scarce,'' and
``sensitive'' resources to provide clarity and consistency in the BLM's
implementation of mitigation requirements, including under the final
rule. The BLM received comments that the definition of these terms was
vague and requesting more detail to clarify when a resource would
qualify as important, scarce, or sensitive, as well as comments
requesting more clarity on how the BLM determines whether a resource is
important, scarce, or sensitive. The final rule does not change the
definition of these terms, which are consistent with the BLM's
mitigation policy and handbook. A determination that a resource is
important, scarce, or sensitive is dependent on location, conditions
within a planning area affecting a particular resource (e.g., drought),
and the adverse effects on that resource from other past and
foreseeable future land uses.
The final rule defines the term ``Indigenous Knowledge'' to reflect
the DOI's policies, responsibilities, and procedures to respect and
equitably promote the inclusion of Indigenous Knowledge in the
Department's decision-making, resource management, program
implementation, policy development, scientific research, and other
actions. The BLM received comments recommending changes to the
definition of this term to encompass proper terminology for Indigenous
Knowledge and make it consistent with existing Department regulations
and guidance, or to drop the term from the rule. The definition of
Indigenous Knowledge was updated in the final
[[Page 40318]]
rule to clarify that Tribes may use different terms to refer to this
concept and to bring the definition of Indigenous Knowledge in line
with current BLM, Department, and White House guidance.\10\ The final
rule adds a definition for the term ``in lieu fee program.'' This term
is used in Sec. 6102.5.1, Mitigation, to describe an available method
for offsetting adverse impacts. The definition of this term is
consistent with the BLM's mitigation policy.
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\10\ Executive Office of the President, Office of Science and
Technology Policy and Council on Environmental Quality, Guidance for
Federal Departments and Agencies on Indigenous Knowledge (Nov. 30,
2022), https://www.whitehouse.gov/wp-content/uploads/2022/12/OSTP-CEQ-IK-Guidance.pdf; BLM Instruction Memorandum No. 2022-011, Co-
Stewardship with Federally Recognized Indian and Alaska Native
Tribes Pursuant to Secretary's Order 3403 (Sept. 13, 2022), https://www.blm.gov/policy/pim-2022-011.
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The final rule defines the term ``intact landscape'' to guide the
BLM with implementing direction. The rule (Sec. 6102.2) would require
the BLM to identify intact landscapes on public lands, manage certain
landscapes to protect their intactness, and pursue strategies to
protect and connect intact landscapes. The BLM received comments
suggesting the definition be updated to clarify the size of an intact
landscape, clarify the characteristics of an intact landscape
(including cultural landscapes), and add habitat connectivity and
mature, old-growth forests as markers of an intact landscape. The
definition was updated in the final rule to reflect commonly used
definitions in policy and ecological literature, link the definition of
``intact landscape'' to the revised ``landscape'' definition, and
define intact landscapes in a manner that is more easily measured and
assessed by the BLM to inform conservation actions. The revised
definition reflects the reality that intactness exists on a spectrum
and efforts to protect intactness should not be limited by a single
threshold, but rather reflect landscape-specific levels required to
support multiple use and sustained yield.
The final rule adds a definition for the term ``intactness,'' which
is a measure of the degree to which human influences alter or impair
the structure, function, or composition of a landscape. Because the
rule requires the BLM to identify intact landscapes, the agency will
need to measure and inventory intactness as a resource value. The final
rule clarifies that as part of managing to protect intact landscapes,
the BLM will develop and maintain an inventory of landscape intactness
using watershed condition assessments to establish a consistent
baseline condition. The BLM will then use the intactness inventory,
along with other high-quality information including habitat
connectivity and migration corridor data, to identify intact landscapes
in the land use planning process and consider management opportunities.
The final rule adds a definition for the term ``land health.'' Land
health is used throughout the rule to refer to the concept of a healthy
and functioning ecosystem, and the BLM defines the term in the final
rule to clarify the desired outcome of establishing land health
standards and to be consistent with the definition of rangeland health
in the BLM's Rangeland Health Standards Handbook, H-4180-1.\11\
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\11\ This handbook describes the authorities, objectives, and
policies that guide assessment of public land health and taking
appropriate action to achieve, or make progress toward achieving,
specified rangeland health standards. https://www.blm.gov/sites/blm.gov/files/uploads/Media_Library_BLM_Policy_h4180-1.pdf.
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The final rule makes small adjustments to the definition of the
term ``landscape'' to be more inclusive in terms of the types of
resources and interests that can anchor a landscape and to align with
definitions used in landscape ecology. The term ``landscape'' is used
throughout the rule to characterize a meaningful area of land and
waters on which restoration, protection, and other management actions
will take place. Determining how the BLM's management actions can
influence the health and resilience of ecosystems can vary across
landscapes and over time.
The rule defines ``mitigation'' consistent with the definition
provided by existing Council on Environmental Quality regulations (40
CFR 1508.1(s)), which identify various ways to address adverse impacts
to resources, including steps to avoid and minimize those impacts and
compensate for residual impacts. As a tool to achieve ecosystem
resilience of public lands, the BLM will generally apply a mitigation
hierarchy to address impacts to public land resources, seeking to
avoid, then minimize, and then compensate for any residual impacts.
This definition and the related provisions in the rule supplement
existing DOI policy, which among other things provides boundaries to
ensure that compensatory mitigation is durable and effective. The BLM
made no changes to the definition from the proposed rule.
The final rule adds a new definition for the term ``mitigation
bank'' because the term is used in the final rule along with ``in-lieu
fee program'' as a category of mitigation projects that would require a
mitigation lease with additional requirements beyond those that would
be required for smaller, single-use mitigation projects. A mitigation
bank is a site where resources are restored, established, enhanced, or
protected for the purpose of providing compensatory mitigation for an
authorized use that is impacting similar resources elsewhere. The
definition in the rule is consistent with the definition in the BLM's
Mitigation Manual, MS-1794.\12\
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\12\ This manual provides guidance on implementing consistent
principles and procedures for mitigation in the BLM's authorization
of public land uses. https://www.blm.gov/sites/default/files/docs/2021-11/MS-1794%20Rel.%201-1807.pdf.
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The final rule adds a new definition for the term ``mitigation
fund'' because the rule provides standards for the BLM to approve,
through a formal agreement, a third-party mitigation fund holder to
implement compensatory mitigation programs or projects. A mitigation
fund is an account established by a mitigation fund holder to collect
and then disperse funds for projects that satisfy compensatory
mitigation commitments and obligations. The rule also provides for the
BLM in some circumstances to require mitigation lease holders to submit
a formal agreement with a qualified mitigation fund holder.
The final rule defines the term ``mitigation strategies'' as
documents that identify, evaluate, and communicate potential mitigation
needs and mitigation measures in advance of anticipated public land
uses. The BLM received comments recommending replacing the word
``strategies'' with ``approaches'' or ``documents.'' The final rule
does not change the definition of this term, which is consistent with
the definition of mitigation strategies from the BLM's Mitigation
Manual, MS-1794.
The rule defines the term ``monitoring'' to describe a critical
suite of activities involving observation and data collection to
evaluate (1) existing conditions, (2) the effects of management
actions, or (3) the effectiveness of actions taken to meet management
objectives. Management for ecosystem resilience requires the BLM to
understand how proposed use activities impact resource condition at
many scales. Monitoring is a critical component of the BLM's
Assessment, Inventory and Monitoring (AIM) Strategy,\13\ which provides
a standardized framework for assessing natural resource condition and
trends
[[Page 40319]]
on BLM-administered public lands. The BLM did not change the definition
of ``monitoring'' from the proposed rule because it is based on the
definition and use of that term in the grazing regulations (43 CFR
4100.0-5), is science-based, and enables the application of data to
inform land management and understand management effects.
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\13\ The AIM Strategy provides quantitative data and tools to
guide and justify policy actions, land uses, and adaptive management
decisions. https://www.blm.gov/aim.
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The rule defines the term ``permittee'' as a person or organization
with a valid permit, right-of-way grant, lease, or other land use
authorization from the BLM. The rule largely discusses ``permittees''
when identifying the responsibility of parties in the context of
mitigation and in discussing the opportunities to rely on third parties
in complying with mitigation requirements. The proposed rule defined a
permittee as a person; the final rule defines a permittee as a person
or other legal entity.
The final rule defines ``protection'' in the context of the
overarching purpose of the rule, which is to promote the use of
conservation measures to support the ecosystem resilience of public
lands. ``Protection'' is a critical component of conservation,
alongside restoration, and describes acts or processes that keep
resources safe from degradation, damage, or destruction. The rule
(Sec. 6101.2(b)) would include a stated objective to promote the
protection of intact landscapes on public lands as a critical means to
achieve ecosystem resilience. The BLM received comments that requested
clarification of the term protection and recommended distinguishing
between protection and preservation. Commenters suggested removing the
term preserve from the definition of protection, and commenters were
concerned that the term protection, as it was defined in the proposed
rule, was intended to set land aside and preclude other uses. The
definition of protection was updated in the final rule to clarify that
protection is not synonymous with preservation and is not intended to
prevent active management or other uses.
The rule defines ``public lands'' in order to clarify the scope of
the proposed rule and its intended application to all BLM-managed lands
and uses. The definition is similar to the definition of ``public
lands'' that appears at 43 CFR 6301.5, but the BLM has modified the
definition from the proposed rule in response to comments to clarify
that this rule extends only to BLM-managed surface estate. The
resulting definition in this rule is specific to new part 6100 and
should not be interpreted as changing the definition of ``public
lands'' in any other context, including where that term would extend to
BLM-managed mineral estate under other BLM regulations.
The rule defines ``reclamation'' to identify restoration practices
intended to achieve an outcome that reflects project goals and
objectives, such as site stabilization and revegetation. While
``reclamation'' is a part of a continuum of restoration practices, it
contrasts with other actions that are specifically designed to recover
ecosystems that have been degraded, damaged, or destroyed. Reclamation
often involves initial practices that can prepare projects or sites for
further restoration activities. The rule, at Sec. 6102.4.2, discusses
reclamation in the context of bonding restoration and mitigation leases
to ensure lessees hold sufficient bond amounts to provide for the
reclamation of the lease areas and the restoration of any lands or
surface waters adversely affected by lease operations. The BLM made no
changes to the definition from the proposed rule.
The final rule defines ``restoration'' in the context of the
overarching purpose of this rule, which is to promote the use of
conservation to ensure the ecosystem resilience of public lands.
``Restoration'' is a critical component of conservation, alongside
protection, and describes acts or processes of conservation that
passively or actively assist the recovery of an ecosystem that has been
degraded, damaged, or destroyed. The BLM received comments suggesting
that the rule acknowledge both passive and active restoration as
legitimate restoration methods and comments calling for the
clarification of what the BLM's broad-scale recovery goals are for
restoration. Specifically, commenters identified the need to be
explicit about the goal of returning ecosystems to a more natural,
native ecological state and that the use of nonnative species in
restoration projects is not the preferred option. The definition of
restoration was updated in the final rule to include both active and
passive restoration and to clarify that the goal of restoration efforts
is the recovery of an ecosystem to a more natural, native ecological
state.
The final rule adds a definition for the term ``significant causal
factor'' because the rule uses this term to trigger an obligation on
the part of the BLM to take appropriate action, including through the
modification of authorizations and management practices for relevant
programs and uses, in order to achieve land health. A significant
causal factor is a use, activity, or disturbance that prevents an area
from achieving or making significant progress toward achieving one or
more land health standards. The rule requires the BLM to document a
determination of the significant causal factor in circumstances in
which resource conditions are not achieving or making significant
progress toward achieving land health standards. If the BLM determines
that existing management is a significant causal factor preventing
achievement of land health standards, authorized officers must take
appropriate action as soon as practicable.
The final rule adds a definition for the term ``significant
progress,'' which is used in the rule as the measure of satisfactory
progress toward achieving land health standards. Many comments
requested clarification of this term, and while it is impractical to
quantify the magnitude or rate of change that constitutes significant
progress, the BLM developed a qualitative definition for purposes of
implementing the rule. The term is defined to mean measurable or
observable changes in the indicators that demonstrate improved land
health. Acceptable levels of change must be realistic in terms of the
capability of the resource but must also be as expeditious and
effective as practical.
The final rule bases its definition of ``sustained yield'' on the
FLPMA definition of that same term. This rule facilitates the use of
conservation to achieve resilient ecosystems on public lands, which are
essential to managing for multiple use and sustained yield. The BLM
received comments suggesting the definition be updated to incorporate
more precisely the language of the statutory definition, as well as
comments recommending combining the definitions of sustained yield and
multiple use and incorporating non-renewable resources into the
definition of sustained yield. The final rule updates the definition of
sustained yield to remain focused on renewable resources and
responsible development of non-renewable resources and to add
``consistent with multiple use'' to mirror the FLPMA definition of
sustained yield.
In response to public comments, the final rule expands the
definition of ``unnecessary or undue degradation'' to address its
distinct elements of ``unnecessary degradation'' and ``undue
degradation''; and confirms that the statutory obligation to prevent
``unnecessary or undue degradation'' applies when either unnecessary
degradation or undue degradation, and not necessarily both, is
implicated. The rule explains that ``undue degradation'' is harm to
land resources or values that is excessive or disproportionate to the
proposed action or an existing disturbance. For example, approving a
[[Page 40320]]
proposed access road through the only remaining critical habitat for a
plant listed as endangered under the Endangered Species Act, even if
there is not another location for the road, would generally (although
not always) result in undue degradation. The rule explains that
``unnecessary degradation'' is harm to land resources or values that is
not needed to accomplish a use's stated goals. For example, approving a
proposed access road through critical habitat for a plant listed as
endangered under the Endangered Species Act that could be located
elsewhere without impacting critical habitat and still provide the
needed access would generally (although not always) result in
unnecessary degradation.
This definition is consistent with BLM's affirmative obligation
under FLPMA to take action to prevent unnecessary or undue degradation,
which applies when either unnecessary degradation or undue degradation,
and not necessarily both, is implicated. The definition of
``unnecessary or undue degradation'' applies to the use of those terms
in the part 6100 regulations promulgated by this rule. It does not
alter the definition of the term ``unnecessary or undue degradation''
at Sec. 3809.5 of this chapter and does not apply to that term's use
in the regulations at subpart 3809 of this chapter.
The final rule adds a definition for ``watershed condition
assessment,'' which is defined to mean a process for assessing and
synthesizing information on the condition of soil, water, habitats, and
ecological processes within a watershed following the land health
fundamentals through consideration of the watershed's physical and
biological characteristics, landscape intactness, and disturbances.
Watershed condition assessments are equivalent to the ``watershed
condition classifications'' and ``land health assessments'' discussed
in the proposed rule. The final rule updates the term and provides this
definition in response to many public comments seeking clarification
and efficiency of process.
Section 6101.5--Principles for Ecosystem Resilience
The rule relies upon express direction provided in FLPMA to manage
public lands on the basis of multiple use and sustained yield, and it
establishes the principle that the BLM must conserve renewable natural
resources at a level that maintains or improves ecosystem resilience in
order to achieve this mission. The BLM made only minimal changes to
this section from the proposed rule.
Section 6101.5(d) directs authorized officers to implement
principles of ecosystem resilience by recognizing conservation as a
land use within the multiple use framework, including in decision-
making, authorizations, and planning processes; protecting and
maintaining the fundamentals of land health; restoring and protecting
intact public lands; applying the full mitigation hierarchy to address
impacts to species, habitats, and ecosystems from land use
authorizations; and preventing unnecessary or undue degradation.
Subpart 6102--Conservation Use To Achieve Ecosystem Resilience
The rule clarifies that conservation is a use on par with other
uses of public lands under FLPMA's multiple use framework. FLPMA
directs the BLM to manage the public lands in a manner that protects
the quality of scientific, scenic, historical, ecological,
environmental, air and atmospheric, water resource, and archaeological
values, among other resources and values, and that protects certain
public lands in their natural condition. The BLM implements this
mandate through land use plan allocations, including designations, and
other planning decisions that conserve public land resources, seeking
to balance conservation uses with other uses, such as energy
development and recreation. The BLM also complies with this mandate
when issuing decisions that implement its land use plans. In these
implementation decisions, including when authorizing projects, the BLM
promotes conservation use by requiring appropriate mitigation of
impacts to natural resources on public lands. The rule provides
specific direction for implementing certain programs in a way that
emphasizes conservation use and provides new tools and direction for
managing conservation use to facilitate ecosystem resilience on public
lands.
As described in detail in each section, the BLM updated the final
rule in response to public comments to clarify processes, including how
conservation uses would occur within and outside of land use planning
processes; enumerate guiding principles for restoration and mitigation
actions; and provide other adjustments to improve public understanding
and agency implementation of the rule. The most significant change to
this subpart is that the final rule establishes restoration and
mitigation leases as two separate types of leases instead of providing
simply for conservation leases available for both purposes (which was
the approach in the proposed rule). The final rule expands the
regulations governing these leases to provide a more comprehensive
framework for implementation and respond to concerns heard from the
public.
Section 6102.1--Protection of Landscape Intactness
The BLM changed the title of Sec. 6102.1 from ``Protection of
Intact Landscapes'' in the proposed rule to ``Protection of Landscape
Intactness'' in the final rule. Public comments suggested that the rule
distinguish intactness as a resource value from intact landscapes as
delineated units. The change in the title of Sec. 6102.1 reflects that
landscape intactness is the resource value that the BLM is seeking to
identify and protect. The final rule includes a definition of the term
``intactness'' to further guide implementation of this section. Section
6102.1(a) and (b) require the BLM to manage certain landscapes to
protect their intactness and to seek to prioritize actions that
conserve and protect landscape intactness. The following section,
6102.2, provides direction for the BLM to inventory and protect
intactness on the public lands by identifying and managing intact
landscapes in the land use planning process.
Section 6102.2--Management To Protect Intact Landscapes
The BLM revised Sec. 6102.2 in response to public comments
requesting clarity around how intact landscapes would be identified and
managed within and outside of the land use planning process and to
distinguish intactness as a resource value from intact landscapes as
delineated units. The final rule establishes in Sec. 6102.2(a) that
the BLM will maintain an inventory of intactness on the public lands,
in accordance with FLPMA's requirement that the BLM maintain an
inventory of all public lands and their resources and other values.
In the land use planning process, Sec. 6102.2(b) requires the BLM
to use the intactness inventory, and other available information
including habitat connectivity and migration corridor data, to identify
intact landscapes, evaluate alternatives to manage intact landscapes,
and identify which intact landscapes or portions of intact landscapes
will be managed for protection. Furthermore, in the land use planning
process, Sec. 6102.2(c) requires the BLM to identify desired
conditions and landscape objectives to guide implementation decisions
regarding management of intact landscapes. In making management
decisions for intact landscapes, the BLM will seek to work
[[Page 40321]]
with communities to identify the most suitable areas to protect as
intact landscapes; consult with Tribes to identify opportunities for
co-stewardship; establish partnerships; and monitor effectiveness of
ecological protection activities.
In addition to the land use planning process described above, Sec.
6102.2(d) requires authorized officers to prioritize acquisition of
lands or interests in lands that would further protect and connect
intact landscapes and functioning ecosystems, and Sec. 6102.2(e)
directs the BLM to develop a national system for collecting and
tracking disturbance and intactness data and to use those data to
minimize disturbance and improve ecosystem resilience. Data will be
made available to the public.
Section 6102.3--Restoration
In the proposed rule, restoration was divided across three sections
(Restoration, Restoration Prioritization, and Restoration Planning).
The final rule keeps a Restoration section but combines the remaining
two sections into a Restoration Prioritization and Planning section.
The definition of restoration, critical to interpretation of this
section, has been updated to provide that restoration actions include
both passive and active measures that assist the recovery of an
ecosystem that has been degraded, damaged, or destroyed. The definition
has been further updated to clarify that the intent of restoration
actions is the return of more natural, native ecological states. The
final rule emphasizes the importance of restoration in achieving
multiple use and sustained yield and requires a consideration of the
causes of degradation, the recovery potential of an ecosystem, and the
allowable uses in the governing land use plan, such as whether an area
is managed for recreation or is degraded land prioritized for
development, in determining restoration actions. Principles for
restoration actions, which were previously located in the Restoration
Planning section of the proposed rule, are now found in the Restoration
section to clarify that such principles apply to all restoration
actions.\14\ The principles include direction to consult with Tribes to
identify opportunities for co-stewardship or collaboration, similar to
the direction provided for managing intact landscapes.
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\14\ The reference to ``low-tech restoration activities'' in
section 6102.3(d) means the practice of using simple, low unit-cost,
structural additions (e.g., wood and beaver dams in streams) to
mimic natural functions and promote specific processes.
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Section 6102.3.1--Restoration Prioritization and Planning
A combined restoration prioritization and planning section at
6102.3.1 requires the identification of restoration outcomes in
resource management plans. Consistent with these outcomes, the section
requires the identification of priority landscapes for restoration at
least every 5 years and provides for a number of considerations for
authorized officers when doing so. The section requires the development
of restoration plans at least every 5 years and enumerates criteria
with which restoration goals, objectives, and management actions
identified in the plans must adhere. Among other criteria, restoration
plans must adhere to commonly accepted principles and standards within
the field of ecological restoration. Lastly, the section requires
authorized officers to track restoration implementation and progress
against identified goals and assess why restoration outcomes are not
being met and what, if anything, is additionally needed to achieve
restoration goals.
Section 6102.4--Restoration and Mitigation Leasing
Section 302(b) of FLPMA (43 U.S.C. 1732(b)) grants the Secretary
authority to regulate through appropriate instruments the use,
occupancy, and development of the public lands. Under that broad
authority, the rule provides a framework for the BLM to issue
restoration and mitigation leases on public lands for the purpose of
pursuing ecosystem resilience through mitigation and restoration
actions. The BLM will determine whether a lease is an appropriate
mechanism based on the context of each application for a proposed
lease, consistent with the final rule.
The BLM received many comments on the leasing provisions in the
proposed rule that resulted in changes in the final rule. These changes
include: establishing restoration leases and mitigation leases rather
than conservation leases, which as proposed would have been used for
either purpose; enabling conservation districts and State fish and
wildlife agencies to hold leases; including consideration of factors to
incentivize lease proposals that collaborate with existing permittees
and other affected interests and meet other desirable criteria;
requiring lessees to report annually on lease activity; and providing
for the BLM to waive or reduce the rent of a restoration lease if the
lease is providing valuable benefit to the public lands and is not
generating revenue.
Many commenters were concerned about public access to public lands
that are leased for restoration or mitigation purposes and expressed
concern that the rule's definition of ``casual use'' does not
explicitly guarantee use for common activities. While the BLM did not
change the definition of ``casual use'' in order to remain consistent
with existing regulations, the final rule specifically states that a
restoration or mitigation lease will not preclude access to or across
leased areas for recreation use, research use, or other authorized use
that is compatible with the restoration or mitigation activities.
Some commenters questioned whether the BLM through this rulemaking
or subsequent land use planning would allocate public lands as
available to or excluded from restoration and mitigation leasing. The
final rule does not identify or limit public lands that could be leased
for restoration or mitigation purposes. However, several provisions
guide the evaluation of which lands are suitable for leasing. The rule
requires the BLM to identify restoration priority landscapes, intact
landscapes, and landscape-scale mitigation strategies, and these areas
would be logical locations for leases to support restoration and
mitigation efforts the agency is prioritizing. The rule also enumerates
factors for evaluating lease proposals based on criteria that are
expected to make leases more successful. The rule does not allow for
leases to be issued where an existing, authorized, and incompatible use
is occurring, effectively removing areas from consideration for at
least some activities that could be authorized by a restoration or
mitigation lease. Additionally, any restoration or mitigation lease
would need to conform to the BLM's approved land use plan. These
provisions collectively guide restoration and mitigation leases to the
most suitable locations without requiring the BLM, in every instance,
to undertake a plan amendment or revision to allocate lands as
available for leasing.
The following paragraphs summarize the restoration and mitigation
leasing provisions in the final rule.
Section 6102.4(a) authorizes the BLM to issue restoration and
mitigation leases for the purpose of restoring degraded landscapes or
mitigating impacts resulting from other land use authorizations.
Entities that can hold restoration and mitigation leases include
individuals, businesses, non-governmental organizations, Tribal
governments, conservation districts, and State fish and wildlife
agencies. Qualified entities for a mitigation lease to establish an in-
lieu fee program
[[Page 40322]]
would be limited to non-governmental organizations, State fish and
wildlife agencies, and Tribal government organizations. Leases cannot
be held by foreign persons as that term is defined in 31 CFR 802.221.
The BLM will rely on standard lease adjudication practices established
in 43 CFR 2920 to determine if a lease applicant meets the
preconditions in this part for a qualified entity. Restoration and
mitigation leases will be issued for the necessary amount of time to
meet the lease objective. A lease issued for restoration purposes can
be issued for an initial term of up to 10 years, whereas a lease issued
for mitigation purposes will be issued for a term commensurate with the
impact it is mitigating. Activity on all leases will be reviewed for
consistency with lease provisions at regular intervals and can be
extended beyond their primary terms when extension is necessary to
serve the purpose for which the lease was first issued. Section
6102.4(a)(4) precludes the BLM from issuing new authorizations to use
the leased lands if the use would be incompatible with the authorized
restoration or mitigation use set forth in the lease.
Section 6102.4(b) and (c) set forth the application process for
restoration and mitigation leases. Applicants are required to submit
detailed restoration or mitigation development plans that include
information on outreach with existing permittees, lease holders,
adjacent land managers or owners, and other interested parties. The
authorized officer can require additional information such as
environmental data and proof that the applicant has the technical and
financial capability to perform the restoration and mitigation
activities.
Section 6102.4(d) enumerates factors for the authorized officer to
consider when evaluating a lease application. Those factors include:
lease outcomes that are consistent with restoration principles
established in the rule; lease outcomes tied to desired future
conditions that are consistent with the management objectives and
allowable uses in the governing land use plan, such as an area managed
for recreation or degraded land prioritized for development;
collaboration with existing permittees, leaseholders, and adjacent land
managers or owners; outreach to or support from local communities; and
consideration of environmental justice objectives.
Once a lease application is approved, Sec. 6102.4(e) requires the
applicant to provide the BLM with a monitoring plan and to report
annually and at the end of the lease period on lease activity.
Section 6102.4(f) and (g) provide that restoration and mitigation
leases do not entitle leaseholders to the exclusive use of the public
lands and that other uses compatible with the objectives of the
restoration or mitigation lease are explicitly allowed on leased lands.
Consistent with other land use authorizations, such as rights-of-way,
it is the BLM's view that no property interest is conveyed by issuing
these leases. Section 6102.4(g) confirms that a restoration or
mitigation lease will not preclude access to or across leased areas for
casual use, recreation use, research use, or other use taken pursuant
to a land use authorization that is compatible with the approved
restoration or mitigation use.
Section 6102.4(j) directs that cost recovery, rents, and fees for
restoration and mitigation leases will be governed by existing
regulations at 43 CFR 2920.6 and 2920.8 and that the BLM will generally
collect annual rental based on fair market value. Recognizing that
restoration lessees are providing a service to the public and the BLM,
the rule provides for waiving or reducing the rent of a restoration
lease if a valuable benefit is being provided to the public and revenue
is not being generated. This approach is consistent with the approach
in waiving rents for rights-of-way in 43 CFR 2806.15. Although section
102 of FLPMA provides a policy preference for recovering fair market
value for the use of the public lands (see 43 U.S.C. 1701(a)(9)), the
BLM is not required to do so, especially in circumstances in which
departing from charging a fair market value rent would further other
policy priorities identified in section 102 of FLPMA. Here, the BLM has
determined that allowing authorized officers the discretion to reduce
or waive rent for restoration leases will assist in its effort to
manage the public lands to protect the quality of ecological and other
relevant values. (See 43 U.S.C. 1701(a)(8))
Section 6102.4.1--Termination and Suspension of Restoration and
Mitigation Leases
The final rule makes only minimal changes to Sec. 6102.4.1 from
the proposed rule. Section 6102.4.1 outlines processes for suspending
and terminating restoration and mitigation leases. Where the
leaseholder fails to comply with applicable requirements, fails to use
the lease for its intended purpose, or cannot fulfill the lease's
purpose, the BLM may suspend or terminate the lease. An authorized
officer must issue an immediate temporary suspension of a lease upon
determination that a noncompliance issue adversely affects or poses a
threat to public lands or public health or safety. Following
termination of a lease, the leaseholder has sixty days to fulfill its
obligation to reclaim the site (i.e., return the site to its prior
condition or as otherwise provided in the lease). That obligation is
distinct from the goal of restoring the site to its ecological
potential that underlies the lease.
Section 6102.4.2--Bonding for Restoration and Mitigation Leases
The final rule authorizes the BLM to require a bond for a
restoration or mitigation lease involving surface-disturbing or active
management activities, but does not require a bond in all cases as the
proposed rule would have. Section 6102.4.2(a) directs that for
mitigation leases, the lease holder will usually be required to provide
letters of credit or establish an escrow account for the full amount
needed to ensure the development plan meets all performance criteria.
The final rule includes considerations for requiring a bond, such as
the type and intensity of surface-disturbing activities, proposed use
of experimental or non-natural restoration methods, and risks
associated with the proposed actions.
Section 6102.4.2(b) through (d) establishes additional bonding
provisions regarding statewide bonds, filing of bonds, and default and
are unchanged from the proposed rule.
Section 6102.5--Management Actions for Ecosystem Resilience
The final rule includes minor updates to this section in response
to comments suggesting more clarity around how the section connects to
other sections of the rule. Commenters also recommended strengthening
the focus on ecosystem resilience and emphasizing biodiversity as an
important component of ecosystem resilience. This rule focuses
primarily on supporting healthy and resilient ecosystems, which are the
basis for multiple use and sustained yield and which, if achieved, will
benefit biodiversity, water security, carbon sequestration, forage, and
a host of other values.
Section 6102.5 sets forth a framework for the BLM to make informed
management decisions based on science and data, including at the
planning, permitting, and program levels, that would help to facilitate
ecosystem resilience. As part of this framework, authorized officers
are required to identify priority watersheds, landscapes, and
ecosystems that require protection and restoration efforts; develop and
implement protection,
[[Page 40323]]
restoration, mitigation, monitoring, and adaptive management
strategies; \15\ and share watershed condition assessment data with the
public. The final rule cross-references these requirements listed in
Sec. 6102.5(a) with other sections of the rule that provide additional
guidance on these management actions for ecosystem resilience.
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\15\ Adaptive management is a system of management practices
based on clearly identified outcomes and monitoring to determine
whether management actions are meeting desired outcomes and, if not,
facilitating management changes that will best ensure that outcomes
are met or reevaluated. Adaptive management recognizes that
knowledge about natural resource systems is sometimes uncertain (43
CFR 46.30).
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Section 6102.5(b) requires the BLM to meaningfully consult with
Tribes and Alaska Native Corporations and makes a change from the
proposed rule that provides for Tribal input on whether actions are
likely to substantially impact Tribes or Alaska Native Corporations.
The rule also requires the BLM to respect and include Indigenous
Knowledge in decision-making, including through Tribal co-stewardship,
and updates provisions and definitions in the rule to reflect current
departmental and agency guidance.
Consistent with applicable law and resource management plans,
including, for example, where an area is managed for recreation or is
degraded land prioritized for development, authorized officers are
required to make every effort to avoid authorizing any use of the
public lands that permanently impairs ecosystem resilience. Permanent
impairment of ecosystem resilience would be difficult or impossible to
avoid, for example, on lands on which the BLM has authorized intensive
uses, including infrastructure and energy projects or mining, or where
the BLM has limited discretion to condition or deny the use. Through
this frame, the rule recognizes that the BLM may develop land use plans
that prioritize degraded areas for development, such as in the Arizona
Restoration Design Energy Project, or generally prioritize areas for
utility-scale development, such as the Solar Energy Zones designated in
the 2012 Western Solar Plan, and that the effects on ecosystem
resilience in such a plan may be mitigated but will not be completely
avoided. The rule also requires the authorized officer to provide
justification for decisions that may impair ecosystem resilience. In
other words, the rule does not prohibit land uses that impair ecosystem
resilience; it requires avoidance as a general matter and an
explanation if impairment cannot be avoided.
To ensure the best available science is underpinning management
actions, the rule requires the BLM to use national and site-based
assessment, inventory, and monitoring data, along with other high-
quality information, to evaluate resource conditions and inform
decision-making.
Section 6102.5.1--Mitigation
The rule at Sec. 6102.5.1(a) directs the BLM to apply the
mitigation hierarchy to avoid, minimize, and compensate for adverse
impacts to all public land resources, generally in that order. The rule
states further that mitigation approaches or requirements may be
identified in land use plans or other decision documents. Consistent
with BLM's existing policy on mitigation (H-1794-1), which requires BLM
to consider compensatory mitigation for important, scarce, or sensitive
resources, Sec. 6102.5.1(b) expands upon this direction by requiring
that mitigation to address adverse impacts to such resources should be
applied with the goal of eliminating, reducing, and/or offsetting
impacts on the resource, consistent with applicable law. This
facilitates BLM's compliance with its multiple-use and sustained yield
mission by conserving such resources for future generations.
Determining the maximum benefit to an impacted resource from a
compensatory measure is often achieved by carefully identifying the
type, location, timing, and other aspects of the compensatory
mitigation measure. This assessment is conducted as standard practice
in the BLM's NEPA analysis and decision documents.
The rule also identifies new principles at Sec. 6102.5.1(c) to
apply when implementing mitigation, including the need to ensure
compensatory mitigation is commensurate with the impacts, and the use
of adaptive management, landscape-scale approaches, high-quality
information, and performance criteria and effectiveness monitoring.
At Sec. 6102.5.1(d), the rule allows the BLM to approve and use
third-party mitigation fund holders to administer funds for the
implementation of compensatory mitigation programs or projects and
specifies the type of actions third parties can perform with
compensatory mitigation funding. Section 6102.5.1(e) establishes the
requirements for different types of entities that could be considered
and approved as mitigation fund holders. The mitigation fund holder
could be a State or local government, if, among other requirements,
that entity can demonstrate to the satisfaction of the BLM that it is
acting as a fiduciary for the benefit of the mitigation project and
site. The section also allows for a mitigation fund holder to be an
entity that, among other requirements, qualifies for tax-exempt status
and provides evidence it can successfully hold and manage mitigation
accounts.
Sections 6102.5.1(f) through (i) provide further direction to
authorized officers in managing mitigation leases and lease holders,
including provisions to govern the collection of annual rent at fair
market value for large or otherwise substantial compensatory mitigation
programs or projects on public lands, including mitigation banks and
in-lieu fee programs.
Subpart 6103 Managing Land Health To Achieve Ecosystem Resilience
Section 6103.1--Land Health Standards
Consistent with the proposed rule, Sec. 6103.1 of the final rule
directs that all program areas of the BLM must be managed in accordance
with the fundamentals of land health, which are adopted, verbatim, from
the fundamentals of rangeland health included at 43 CFR 4180.1 (2005).
It does so by establishing a series of procedural requirements to guide
the BLM's actions to address land health. The rule does not require
that individual actions ``comply'' with the fundamentals of land
health, nor does it require achievement of those fundamentals (as
measured by the land health standards) as a precondition for any BLM
decision.
The rule in this section directs authorized officers to adopt
national land health standards across all ecosystems that provide
consistency and conformance with the fundamentals of land health and
facilitate progress toward meeting land health. Acknowledging the
importance of standards in managing all of the BLM's programs in
accordance with the fundamentals, the title of Sec. 6103.1 has been
changed to Land Health Standards. Section 6103.1 includes a new
paragraph (b) describing the resources, processes, and values addressed
through national land health standards as well as a new timeline at
paragraph (e) to review and amend or supplement standards and a
subsequent timeline to ensure standards remain sufficient. A new
paragraph at Sec. 6103.1(d) instructs authorized officers to
incorporate geographically distinct land health standards when needed
to address unique or rare ecosystem types that may not be addressed by
the national standards. These new timelines in the final rule--along
with additional
[[Page 40324]]
implementation specificity found in other land-health related sections
of the rule--are introduced in response to comments that sought more
clarity and specificity for how standards may be updated to serve as
appropriate measures for the fundamentals. Section 6103.1(f) makes
explicit that any new or amended land health standard must be approved
by the BLM Director prior to implementation.
Section 6103.1.1--Management for Land Health
Section 6103.1.1(a) conveys the importance of assessing land health
at a broad scale to manage for ecosystem resilience and provides that
authorized officers should rely on assessments and evaluations
conducted at such scales, as appropriate, to support decision-making.
Section 6103.1.1(b) reinforces the direction that all BLM program areas
must be managed to facilitate progress toward achieving land health
standards. Section 6103.1.1(b)(1) requires authorized officers to apply
existing standards in the administration of all BLM programs.
Initially, this will mean applying the existing standards prepared
pursuant to subpart 4180 of this chapter to all programs, not just
grazing. Moving forward, consistent, national standards will be
completed pursuant to procedures set out in this subpart, and not under
the procedures set out in subpart 4180, and will then apply to all
programs, including grazing. Section 6103.1.1(b)(2) directs programs to
develop management guidelines, which are best practices in managing
programs to achieve goals. Management guidelines are to be reviewed at
least every 10 years consistent with review timelines in other sections
that relate to land health. As with standards, existing management
guidelines applicable to the grazing program will continue to apply.
New and amended guidelines for grazing should be developed under the
procedures in this subpart, and not subpart 4180. Sections 6103.1.1(c)
and (d) require that land health be included in land use planning,
primarily when identifying allocation decisions and actions that are
anticipated to achieve land health outcomes, as well as any impediments
in doing so.
Section 6103.1.2--Land Health Evaluations and Determinations
Section 6103.1.2(a) has been modified to require that authorized
officers complete watershed condition assessments and land health
evaluations at least every 10 years. Watershed condition assessments
supplant land health assessments in the proposed rule and characterize
resource conditions, while subsequent land health evaluations interpret
assessment findings to draw conclusions about whether land health
standards are being achieved consistent with the fundamentals of land
health. This efficiency of process responds to many comments and
concerns about the BLM's ability to complete land health assessments
across broad spatial scales.
Direction to conduct watershed condition assessments and land
health evaluations at broader spatial scales, as opposed to at the
scale of an allotment or other more narrowly drawn boundary or project
area, builds on best practices currently deployed by BLM field offices,
responds to comments recommending landscape-scale approaches as a way
to address the backlog of pending land health assessments and
evaluations, and better serves efforts to understand and address land
health conditions across management boundaries.
Section 6103.1.2(d) provides what must be incorporated when
conducting land health evaluations, such as watershed condition
assessments and high-quality information requirements. Section
6103.1.2(d) further clarifies the requirements for conducting land
health evaluations, including that authorized officers document the
rationale and findings as to whether each land health standard is
achieved or making significant progress towards achievement.
Sections 6103.1.2(e), (f), and (g) describe the process after land
health evaluations determine if resource conditions are or are not
achieving or making significant progress toward achieving land health
standards. When watershed condition assessments and land health
evaluations find that resource conditions are achieving or making
significant progress toward achieving land health, then project-level
decisions should rely on such evidence where possible and appropriate.
Section 6103.1.2(f) provides for tiering documentation and evidence
from broad-scale assessments and evaluations for project-level
decisions, such as grazing permit renewals, which promotes efficiency
and streamlines decision-making. This provision responds to comments
concerned with the existing backlog of assessments land health
evaluations.
When watershed condition assessments and land health evaluations
find that resource conditions are not achieving, or making significant
progress toward achieving, land health standards, then causal factor
determinations, as directed by Sec. 6103.1.2(f), must be prepared no
later than a year after the evaluation. Determinations document
significant causal factors for non-achievement. Section 6103.1.2(f)(3)
requires authorized officers to take appropriate action as soon as
practicable to address nonachievement of land health standards when the
significant causal factors include existing management practices or
levels of use on public lands. However, as clarified in Sec.
6103.1.2(f)(4), to the extent existing grazing management practices or
levels of grazing use on public lands are significant causal factors
preventing achievement of land health standards, authorized officers
must also comply with the requirement for taking appropriate action set
by Sec. 4180.2(c) of this chapter, including that appropriate action
be taken not later than the start of the next grazing year.
Further, as noted previously, appropriate actions in a specific
situation will be informed and may be constrained by applicable law and
the governing land use plan. For example, where a land use planning
approach, such as BLM Arizona's Restoration Design Energy Project, is
intended to support development of renewable energy on disturbed or
previously developed sites, then appropriate actions would be designed
to add measures that facilitate the progress of the affected lands
toward meeting the applicable fundamentals of land health. However,
these actions would be informed by the overall approach of identifying
disturbed lands suitable for renewable energy development and applying
measures consistent with those management decisions. This is consistent
with the approach to incorporate design features into the Restoration
Design Energy Project Record of Decision to reduce overall impacts to
the lands identified for development. (See https://eplanning.blm.gov/public_projects/nepa/79922/107093/131007/RDEP-ROD-ARMP.pdf).
Section 6103.1.2(f)(5) identifies some appropriate actions that may
be deployed to address practices and uses determined to be significant
causal factors, consistent with applicable law, regulation, and the
governing resource management plan and its management objectives, such
as where an area is managed for recreation or is degraded land
prioritized for development. For example, if a governing resource
management plan identifies degraded lands for solar development and
those areas are not meeting standards, the authorized officer should
consider that land use planning decision in determining the appropriate
action. In that circumstance, it would typically
[[Page 40325]]
not be appropriate to deny solar or wind use altogether, although
design features or other mitigation measures may be applied. Section
6103.1.2(i) reinforces that appropriate actions must be consistent with
existing resource management plans and notes that if planning decisions
do not allow for appropriate actions to address significant causal
factors, then an authorized officer may decide to amend or revise the
applicable land use plan. However, whether to undertake a planning
process is at the discretion of the authorized officer. Sections
6103.1.2 (j) and (k) respond to public comment by requiring annual,
publicly available reporting on assessment, evaluation, and
determination accomplishments; results; and actions.
Section 6103.2--Inventory, Assessment, and Monitoring
The final rule requires the BLM to complete watershed condition
assessments every 10 years and consider them in multiple decision-
making processes. New paragraphs at Sec. 6103.2(a) further describe
the purpose, process, and requirements of conducting watershed
condition assessments in support of land use planning, protection of
intact landscapes, managing for ecosystem resilience, informing
restoration actions, and informing land health evaluations and
determinations. In response to public comments encouraging consistency
in analysis approach, standard data sources, and transparency, the
final rule adds in Sec. 6103.2(a) that the BLM must utilize multiple
sources of high-quality information to understand conditions and trends
relevant to land health standards and incorporate consistent analytical
approaches, quantitative indicators, and benchmarks where practicable.
It is anticipated that watershed condition assessments will frequently
be completed not by BLM State Offices, but by national-level resources,
such as the National Operations Center, utilizing standardized
procedures and existing data and analyses and validated with local data
and high-quality information as appropriate.
Section 6103.2(b) clarifies that the BLM's inventory of public
lands includes both landscape components and core indicators that
address land health fundamentals and requires the use of high-quality
information and inventory, assessment, and monitoring information,
including standardized quantitative monitoring data, remote sensing
maps, and geospatial analyses, to inform decision-making across program
areas. In response to public comments, the BLM clarified that this
inventory specifically includes infrastructure and renewable resources
and that it is available to the public (currently, https://gbp-blm-egis.hub.arcgis.com/). Section 6103.2(c) establishes principles to
ensure that inventory, assessment, and monitoring activities are
evidence-based, standardized, efficient, and defensible.
43 CFR Chapter II
Subpart 1610--Resource Management Planning
Section 1610.7-2--Designation of Areas of Critical Environmental
Concern
The rule includes changes to the land use planning regulations to
elaborate on the role ACECs play as the principal administrative
designation for public lands where special management attention is
required to protect important natural, cultural, and scenic resources
and to protect against natural hazards. It reiterates FLPMA's
requirement that the BLM give priority to the identification,
evaluation, and designation of ACECs during the land use planning
process and provides additional clarity and direction for complying
with this statutory requirement. The rule codifies in regulation
procedures for considering and designating potential ACECs that were,
prior to promulgation of this rule, partially described in regulation
and partially described in agency policy.
The BLM received many comments on the ACEC provisions of the
proposed rule, and the final rule reflects changes the BLM made based
on public comments. As described in more detail below, changes from the
proposed rule include: providing for the BLM to implement temporary
management for potential ACECs identified outside of an ongoing
planning process, with public notice and periodic reevaluation;
codification of research natural areas as a type of ACEC designated for
the primary purpose of research and education on public lands,
consistent with existing regulations and policy; a presumption that all
areas found to meet all three ACEC criteria will be designated in the
resource management plan; a management standard that requires the BLM
to administer designated ACECs in a manner that conserves, protects,
and enhances the relevant and important values; and a definition for
the term ``irreparable damage.''
The final rule also confirms that proposed and existing ACECs being
addressed in the planning process for a resource management plan or a
plan amendment will be identified in all applicable Federal Register
Notices and in public outreach materials. The BLM will not be required
to produce separate notices specific to ACECs. The following paragraphs
summarize the ACEC provisions in the final rule.
Section 1610.7-2(a) confirms that ACECs are the principal
administrative designation for public lands where special management is
required to protect and prevent irreparable damage to important
resources. ACECs are considered and designated in land use planning
processes, including resource management plan revisions and amendments.
Section 1610.7-2(b) requires authorized officers to identify,
evaluate, and give priority to areas that have potential for
designation and management as ACECs in the land use planning process,
and it provides that proposed and existing ACECs that will be addressed
in the planning process for a resource management plan, plan revision,
or plan amendment will be identified in all applicable public notices.
Section 1610.7-2(c) requires authorized officers to identify areas
that may be eligible for ACEC status early in the planning process and
specifies the need to target areas for evaluation based on resource
inventories, internal and external nominations, and existing ACEC
designations.
Section 1610.7-2(d) outlines the three criteria that must be met
for ACEC designation, which are relevance, importance, and special
management attention. The rule provides that values and resources may
have importance if they contribute to ecosystem resilience, landscape
intactness, or habitat connectivity, in addition to other importance
criteria. The final rule requires that values and resources have more
than local importance to meet the importance criteria, a change from
the proposed rule based on public comments. Special management
attention prevents irreparable damage to the relevant and important
values and would not be prescribed if the relevant and important values
were not present. The rule defines ``irreparable damage'' in this
context to mean: ``harm to a value, resource, system, or process that
substantially diminishes the relevance or importance of that value,
resource, system, or process in such a way that recovery of the value,
resource, system, or process to the extent necessary to restore its
prior relevance or importance is impossible.'' Requiring a finding that
special management attention is necessary for ACEC designation is
consistent with BLM practice and guidance but was not a feature of the
[[Page 40326]]
regulations prior to promulgation of this rule.
Section 1610.7-2(e) provides that the BLM may designate an ACEC
research natural area (RNA) for an area that meets all three ACEC
criteria set forth in Sec. 1610.7-2(e) and is consistent with the
purposes for research natural areas established in existing regulations
at 43 CFR subpart 8223. These regulations allow the BLM to establish
RNAs for the primary purpose of research and education on public lands
having natural characteristics that are unusual or that are of
scientific or other special interest. The BLM's current guidance, as
set forth in the agency's Land Use Planning Handbook and ACEC Manual,
considers RNAs as a type of ACEC that are to be designated following
the ACEC designation process. The BLM has designated many ACEC RNAs in
existing land use plans following this guidance. Because this rule is
codifying the BLM's ACEC guidance and process, and in response to
public comments on this topic, the final rule provides for this RNA
designation.
Section 1610.7-2(f) provides that the boundaries of proposed ACECs
shall be identified for public lands as appropriate to encompass the
relevant and important values and geographic extent of the special
management attention needed to provide protection.
Section 1610.7-2(g) requires the BLM to analyze in detail all
potential ACECs that have relevant and important values in planning
documents. In the land use planning process, the BLM evaluates the need
for special management attention to protect the relevant and important
values of potential ACECs, which could include other allocations and
designations that would provide appropriate protection and prevent
irreparable damage to the relevant and important values.
Section 1610.7-2(h) directs that an approved resource management
plan, plan revision, or plan amendment will list all designated ACECs,
identify their relevant and important values, and include the special
management attention being provided to them.
Section 1610.7-2(i) establishes procedures for addressing potential
ACECs that are identified outside of an ongoing planning process. The
State Director has the discretion to determine the appropriate time to
evaluate whether the nomination meets the relevant, important, and
special management criteria identified in 1610.7-2(d)(1) through (3).
If a potential ACEC nomination meets all three criteria specified in
the regulations--that is, it has relevance and importance and needs
special management attention--then the State Director will, at their
discretion, either initiate a land use planning process to evaluate the
potential ACEC for designation or provide temporary management
consistent with the existing resource management plan to protect the
relevant and important values from irreparable damage. The final rule
clarifies that the authorized officer in this context would be the
State Director, consistent with other portions of the rule addressing
decisions on potential ACECs. If the BLM decides to implement temporary
management, the BLM will comply with all applicable laws, including
NEPA, notify the public, and reevaluate the area periodically to ensure
temporary management is still necessary. This provision does not change
the presumption that ACECs are nominated and addressed through resource
management planning processes, and it does not require the BLM to
evaluate ACEC nominations outside the planning process.
Section 1610.7-2(j) requires the State Director to: determine which
ACECs to designate based on specific factors including a presumption
that all potential ACECs that meet all three criteria will be
designated; provide a justification and rationale in decision documents
for decisions both to designate an ACEC and not to designate an ACEC;
administer designated ACECs in a manner that conserves, protects, and
enhances the relevant and important values and only allow casual use or
uses that will ensure the protection of the relevant and important
values; and prioritize acquisition of inholdings within ACECs and
adjacent or connecting lands that also possess the relevant and
important values of a specific ACEC. In response to comments, the final
rule eliminated the requirement included in the proposed rule that
State Directors provide annual reports describing activity plans and
implementation actions for each ACEC in the State. Such reporting is
more appropriately developed during implementation of the final rule
and should remain within the discretion of the State Director.
Section 1610.7-2(k) authorizes the State Director to remove an ACEC
designation in a land use planning process only when special management
attention is not needed because another legally enforceable mechanism
provides an equal or greater level of protection, or when the relevant
and important values are no longer present, cannot be recovered, or
have recovered to the point where special management is no longer
necessary.
Section 1610.7-2(l) identifies terms that are used in the ACEC
section--casual use, conserve, ecosystem resilience, intactness,
landscape, monitoring, protect, and restore--and provides that they
should be interpreted consistent with the definitions of those same
terms in Sec. 6101.4.
Severability
The provisions of the rule should be considered separately. If any
portion of the rule were stayed or invalidated by a reviewing court,
the remaining elements would continue to provide the BLM with important
and independently effective tools to advance conservation on the public
lands. In particular, revisions to existing planning regulations at 43
CFR part 1600 governing the designation and management of ACECs are
separate from the balance of the rule, which promulgates the new 43 CFR
part 6100. Within part 6100, the rule includes a number of aspects that
function independently and hold independent utility. For example, the
rule's provisions pertaining to the identification and management of
intact landscapes and other values in land use planning and agency
decision-making; its framework for third-party restoration and
mitigation leasing; and its procedures for adopting national land
health standards, assessing land health, and using those assessments to
drive agency decisions operate as independent means to achieve the
rule's overarching goal of facilitating conservation of the public
lands. Hence, if a court prevents any provision of one part of this
rule from taking effect, that should not affect the other parts of the
rule. The remaining provisions would remain in force.
IV. Additional Response to Public Comments
The BLM received an initial total of 216,403 comments from
regulations.gov. Further analysis showed that there were public comment
submissions with multiple cosigners, sometimes several thousand on one
submission, which were initially counted as separate submissions but
ultimately identified as a single submission with multiple signatures.
Therefore, although 216,403 voiced their opinion, the final count of
comment letters came to 152,673. The comment letters on the proposed
rule are available for viewing on the Federal e-rulemaking portal
(https://www.regulations.gov) (search Docket ID: BLM-2023-0001).
The BLM has reviewed all public comments in the context of the
proposed rule and the particular
[[Page 40327]]
solicitations for comment in its preamble. The BLM has made changes to
the final rule based on the public comments that refine and further
develop the concepts identified in the proposed rule. The BLM did not
make wholesale changes or additions, even when prompted to do so by the
public comments, that would have caused the final rule to materially
alter the issues included in or substantially depart from the terms and
substance of the proposed rule. Changes made are described in this
section and the ``Section-by-Section Discussion of Final Rule and
Revisions from the Proposed Rule'' section.
The following is a summary of significant issues raised in comments
the BLM received on the proposed rule and responses to these comments.
The comments highlighted in the following paragraphs fell into several
categories: comments related to sections of the proposed rule; comments
related to public lands uses and resources not addressed in the rule;
and comments on the rulemaking process. See the Section-by-Section
discussion for responses to public comments on specific sections of the
proposed rule.
A. Conservation Leasing
Commenters generally sought a better understanding of many aspects
of the conservation leasing proposal, including the purposes and uses
of the leases, and identified the need for terminology that better
reflects those purposes and uses. Commenters requested additional
detail within the rule text for what would and would not be allowed
under a conservation lease, clarification on the terms and duration of
the leases, and information on how conservation leases would interact
with existing uses such as grazing and recreation.
In response to these comments, the BLM updated the rule to provide
clarity and specificity for the leasing program being established in
the rule. Significantly, the final rule establishes two distinct types
of leases in place of referring to ``conservation leases'': restoration
leases and mitigation leases. Restoration leases can be used to
facilitate restoration of land and resources by passively or actively
assisting the recovery of an ecosystem; and mitigation leases can be
used to offset impacts to resources resulting from other land use
authorizations. Restoration can occur under a mitigation lease when
restoration is a mitigation action being taken pursuant to the lease.
The final rule enumerates factors for authorized officers to consider
when evaluating lease proposals, such as whether the applicant is
collaborating with existing permittees, whether the lease would advance
environmental justice objectives, or whether the objectives of the
proposed leases would be supported by current management of the lands.
The final rule also enables conservation districts and State fish and
wildlife agencies to hold restoration and mitigation leases and
specifies that recreation uses would not generally be precluded by
restoration or mitigation leases.
Many comments also asked about how conservation leases relate to
valid existing rights and permitted uses, including grazing, mining,
and oil and gas leasing. Restoration and mitigation leases would not
disturb existing authorizations, valid existing rights, or State or
Tribal land use management. If the proposed activities in a restoration
or mitigation lease would conflict with existing authorizations, such
as if a specific type of restoration would not be compatible with
grazing and the proposed location is already subject to a grazing
authorization, then the restoration or mitigation lease could not be
issued on those particular lands unless the proposal were modified to
eliminate the conflict. While an applicant might propose a lease to
help achieve restoration or mitigation outcomes on public lands, the
BLM retains discretion as to whether to issue a lease in response to a
proposal.
Some commenters raised concerns about the ability of foreign
entities to use conservation leases to block development of critical
mineral or energy projects on public lands or to obtain conservation
leases near military bases or other sensitive government installations.
In response to these and other comments on the potential use of
conservation leases in ways that would excessively interfere with other
uses or to intentionally block development, the BLM clarified that
restoration and mitigation leases may only be issued for two discrete
purposes: restoration of degraded landscapes or mitigation to offset
the impacts of development (6102.4(a)(1)). To specifically address
concerns around foreign actors, the BLM also revised the rule to
explicitly exclude foreign persons, as that term is defined in 31 CFR
802.221, from being qualified to hold a restoration or mitigation
lease. The BLM will rely on its standard lease adjudication practices
established in 43 CFR 2920 to determine if a lease applicant meets the
preconditions for a qualified lease holder.
The final rule includes various other updates to the language
throughout the text of the rule to provide readers with a clearer
understanding of the goals and future implementation of the leasing
program. For example, the final rule adopts principles for restoration
and mitigation that provide additional structure for restoration and
mitigation leases. The final rule also refines the BLM's discussion of
intact landscapes and restoration priority landscapes, which would
support identification of areas for restoration and mitigation leases.
Many commenters recommended that conservation leases should undergo
NEPA analysis. A project-level decision to issue a restoration or
mitigation lease will comply with NEPA, as is typically the case for
Federal actions on public lands, and the BLM will prepare a NEPA
analysis to support such project-level decisions when appropriate.
B. Restoration
Commenters provided a wide variety of comments on the topic of
restoration. Comments generally related to one of three broad issues:
the definition of restoration; the process by which restoration
priorities are identified and the use of resource management plans
(RMPs) in doing so; and conflicts that can arise in the application of
restoration actions.
Several commenters expressed the need for clarifying the definition
of restoration and suggested that it should include the concept of
returning an area to its natural, native ecological state with several
comments recommending that the BLM look to the Society for Ecological
Restoration's ``International Principles and Standards for the Practice
of Ecological Restoration'' for guidance.
Other commenters requested clarification as to where, how, and when
restoration priorities are determined under the rule and called for
transparency and public engagement in this process. Some comments also
mentioned the use of resource management plans to identify and
communicate restoration priorities and expressed concern that including
restoration plans in RMPs could complicate and lengthen the RMP
adoption or revision process. Other commenters, however, suggested that
focusing on creating a 5-year schedule for restoration activities
within RMPs is too narrow and proposed looking across watersheds (or
subbasins or basins) to identify priorities at the state level,
irrespective of RMP boundaries. They stated doing so may assist the BLM
in better allocating limited restoration funds. Other comments
suggested that restoration plans focus on implementation-level
decisions rather than being incorporated into RMPs. One
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comment suggested that each BLM district have a map identifying
specific areas suitable for restoration measures.
Commenters expressed concerns about the practicalities and
potential conflicts with implementing restoration across all BLM-
administered lands. Comments discussed how in certain cases,
restoration to a reference state may not be feasible or appropriate
because the landscape has crossed an ecological threshold and is highly
unlikely to be fully restored, or because the resource has high value
or function and unique character that cannot be restored or replaced.
Several comments discussed the proposed rule's treatment of land health
standards in the context of restoration, noting that some restoration
actions may not always have positive effects on land health and
questioning whether achieving land health standards should be the sole
purpose of restoration plans. Commenters raised examples of restoration
projects in which the BLM removed pinyon-juniper forest through
ecologically damaging practices such as chaining.
In response to comments, the BLM included a new provision within
Sec. 6102.3 (``Restoration'') to apply a set of principles to all
restoration activities. These principles were largely identified in the
draft rule in the context of planning for restoration. In response to
comments, these principles now apply to all restoration actions and,
among other purposes, seek to ensure that restoration actions directly
address the causes of degradation and, importantly, take into
consideration the recovery potential of the habitat. These principles
will help the BLM target the right restoration actions in the right
places, thereby reducing unintended outcomes and increasing the
potential for successful restoration.
The principles also ensure that both passive and active management
actions are allowable and promoted as restoration activities. Likewise,
the definition of restoration has been changed to include explicit
mention of both passive and active processes or actions and, in
response to comments, include a stated goal of restoration actions to
return ecosystems to a ``more natural, native ecological state.''
In response to comments on restoration prioritization and planning,
the BLM revised the rule text to provide for the development of
restoration plans outside of the RMP revision or amendment process. The
final rule requires authorized officers to identify priority landscapes
for restoration, consistent with existing, applicable RMP goals and
objectives, and to prepare a restoration plan for those priority
landscapes. Technical details, including for example geographic scale,
for the development of restoration plans can be addressed through
agency guidance. Such guidance may also address how to incorporate land
health standards into restoration plans and may identify commonly
accepted scientific standards within the field of ecological
restoration for restoration work.
C. Mitigation
Generally, comments on the mitigation aspects of the rule could be
grouped into three categories: the BLM's authority under FLPMA to
require mitigation; the policies and practices that govern how the BLM
will deploy mitigation, including use of the mitigation hierarchy; and
the use of leases, as proposed by the rule, for mitigation purposes.
Many commenters expressed reservations about the BLM's mitigation
management approach under the proposed rule, particularly how it might
conflict with the multiple use mandate outlined in FLPMA. Critics
argued that this could inadvertently prioritize resource preservation
at the expense of a more comprehensive management approach, in
particular with regard to grazing and recreation. Some commenters
posited that the proposed mitigation standards are unlawful and reach
beyond the BLM's authority under FLPMA and conflict with other
statutory mandates. Other commenters conveyed the reverse, suggesting
that the BLM's authority and responsibility to apply the mitigation
hierarchy is central to managing for multiple use and sustained yield.
For the reasons discussed in more detail in the Background section
above, FLPMA allows the BLM to balance the need for resource
conservation alongside other uses as part of managing under principles
of multiple use and sustained yield. In turn, FLPMA vests the BLM with
broad authority to incorporate appropriate mitigation in its land use
planning and to require other users of the public land to avoid,
minimize, and compensate for resource impacts, as appropriate, from
authorized uses. 43 U.S.C. 1712I, 1732(a)-(b); see also M-37039, The
Bureau of Land Management's Authority to Address Impacts of its Land
Use Authorizations through Mitigation, at 11-22 (Dec. 21, 2016)
(reinstated by M-37075 (Apr. 15, 2022)) (``[The] BLM's charge under
FLPMA to manage public lands based on principles of multiple use and
sustained yield supports use of mitigation. The authority to evaluate
and impose mitigation arises out of the broad authority FLPMA vests in
the BLM to pursue congressional goals . . . for public lands. The BLM
can evaluate and require mitigation through both the land use planning
process and site-specific authorizations.'').
There were a number of comments regarding how and where the BLM
would deploy mitigation under the proposed rule. Commenters recommended
that the BLM amend the rule to require mitigation only to the extent
practicable or reasonable and highlighted the need for the BLM to
coordinate mitigation with local and State conservation plans. Many
commenters were concerned that the use of compensatory mitigation would
allow for development in sensitive areas that would otherwise not be
allowed, such as ACECs or intact landscapes, and recommended that
compensation should not be used to justify activities that could
degrade these areas. Some commenters called on the BLM to require that
compensatory mitigation measures ensure a net benefit for biodiversity,
adhering to established international principles, or avoid the net loss
of ecologically intact land. Some commenters narrowed their concern to
how compensatory mitigation may specifically impact recreation, which
can significantly degrade public resources, and urged that the rule not
apply compensatory mitigation requirements to nonprofit organizations,
and that ongoing trail use not be subject to such requirements.
In response to these comments, the BLM added mitigation principles
to the final rule to provide a framework for how mitigation will be
deployed under the rule, including through the mitigation hierarchy and
mitigation leasing. The principles are consistent with agency policy
and guidance for implementing mitigation, such as developing landscape-
scale mitigation strategies, requiring performance criteria and
effectiveness monitoring for mitigation programs and projects, and
ensuring that compensatory mitigation is durable, additional, timely,
and commensurate with adverse impacts. The final rule also confirms
that the BLM will adhere to the mitigation hierarchy and that for
important, scarce, or sensitive resources, the BLM will apply the
mitigation hierarchy in the manner that achieves the maximum benefit to
the impacted resource.
Many commenters emphasized the necessity of ensuring that any
mitigation credits are based on completed restoration efforts that are
actively functioning as habitat for native species impacted by
development. These
[[Page 40329]]
commenters objected to permitting any proposal to issue credits based
on future promises of restoration. Another commenter advocated for
third-party mitigation fund holders to facilitate restoration on BLM-
managed lands, specifically highlighting the role of private sector
mitigation providers, including the ability for private third-party
providers to hold mitigation funds. In response to comments, the BLM
clarified the types of third-party entities it will allow to hold
mitigation funds through a formal agreement. The mitigation fund holder
could be a State or local government, if, among other requirements,
that entity can demonstrate to the satisfaction of the BLM that it is
acting as a fiduciary for the benefit of the mitigation project and
site. The section also allows for a mitigation fund holder to be an
entity that, among other requirements, qualifies for tax-exempt status
and provides evidence it can successfully hold and manage mitigation
accounts.
D. Land Health
Comments on aspects of land health in the proposed rule were
diverse and focused on: BLM's capacity to evaluate land health across
all BLM managed lands, the land health fundamentals, standards, and
guidelines; the connection between land health and ecosystem
resilience; the application of land health in resource decision-making;
and questions about the role of Resource Advisory Councils.
Several commenters conveyed support for the proposal to apply the
fundamentals of land health and related standards and guidelines to all
BLM-managed public lands and uses, expanding them beyond their original
application to rangelands and grazing.
In response to comments, the rule includes streamlined assessment
processes applicable at broad spatial scales and a subsequent timeline
to review whether such standards remain sufficient.
Commenters provided different recommendations as to how standards
and guidelines should be updated. Some suggestions included tying new
standards to quantifiable ecologically based performance metrics,
specific ecoregions, specific resources, or local ecosystems and
conditions. Whatever the outcome of new standards, many commenters
conveyed a need for the BLM to provide the public the rationale for new
standards and guidelines and clarity as to how they will be applied.
In response to comments, the final rule includes language adopting
consistent national land health standards and an allowance to modify
national standards to address unique and rare geographic needs.
A few commenters recommended the BLM use flexibility in land health
standards to accommodate the diverse array of land uses, especially
nonrenewable resources and those with potential surface-disturbing
impacts. Various commenters expressed concern that expanding
application of land health was unworkable as the BLM cannot meet the
current demands for conducting land health analysis under 43 CFR
Subpart 4180. To address this, commenters provided several
recommendations, including setting appropriate monitoring frequencies,
scales, and thresholds, with timelines for corrective actions and
milestones. Additionally, commenters supported applying land health at
the watershed rather than narrower or smaller scales (allotments,
projects, etc.).
In response to comments, the final rule directs the BLM to
establish nationally consistent land health standards and indicators
and tiers land health standards directly from the fundamentals of land
health in order to apply land health standards to a diverse array of
land uses. Authorized officers must adopt the national standards and
may also adopt geographically specific standards when necessary to
evaluate rare or unique habitat or ecosystem types, such as permafrost.
To address concerns about the BLM's capacity to apply land health
standards to all program areas, the final rule allows field offices to
use watershed condition assessments (completed every 10 years) as the
baseline for land health evaluations. With watershed condition
assessments, land health is assessed at a broad spatial and temporal
scale, and may be supplemented by locally specific data.
Some commenters were confused about the role of the Resource
Advisory Councils in the development of new standards and guidelines
and sought clarification. Although the BLM engages with its Resource
Advisory Councils on a wide range of issues, the rule does not require
the engagement of Resource Advisory Councils in the development and
supplementation of standards and guidelines.
E. Areas of Critical Environmental Concern
Various commenters advocated for strengthening the ACEC relevance
and importance criteria, particularly by including habitat connectivity
and biodiversity considerations, to ensure the protection of natural,
cultural, and scenic resources. Additionally, many comments highlighted
the importance of old-growth and mature forests and requested explicit
language in the rule to protect and restore old-growth conditions
through ACEC designation. The final rule establishes that a historic,
cultural, or scenic value; a fish or wildlife resource; or a natural
system or process has importance if it contributes to ecosystem
resilience, landscape intactness, or habitat connectivity, among other
importance criteria. While the final rule does not explicitly
contemplate protection of old-growth forest conditions through ACEC
designation, the rule specifically enables that management decision by
identifying ecosystem resilience and landscape intactness as elements
of the ACEC importance criterion. Other provisions in the final rule
note that old-growth forests contribute to ecosystem resilience and
landscape intactness, such as Sec. Sec. 6101.2 and 6102.1.
Commenters recommended the final rule mandate more stringent
management of designated ACECs in order to ensure protection of
relevant and important values identified by the BLM. In response to
these comments, the BLM added a management standard to the final rule
to ensure ACEC values are appropriately managed for protection and
clarified the presumption that a potential ACEC that meets all three
criteria of relevance, importance, and needing special management
attention will be designated in the land use plan.
Commenters raised concerns about ACEC nominations occurring outside
of land use planning processes and that temporary management of
potential ACECs would delay other land use authorizations such as
renewable energy projects. Questions were raised about the
responsibility to notify the public of temporary management decisions
and whether temporary management must conform to the current resource
management plan. Commenters were also generally interested in ensuring
stakeholders and the public have adequate opportunities to participate
in ACEC designation decisions.
Generally, the BLM addresses ACECs in the land use planning
process. This is because designation of ACECs is intended to be a
proactive land management decision to enhance management of important
lands and resources. Such decisions should be made while also
considering other potential management decisions that may affect those
same lands and resources. In rarer situations, the BLM may identify a
potential ACEC outside of the planning process and find that it needs
special management attention to
[[Page 40330]]
ensure proper stewardship of resources and values the agency is charged
with managing. In both contexts, the BLM must find that the lands at
issue not only possess relevant and important values but also require
special management attention. The final element of the standard for
ACEC designation means more than finding special management attention
will benefit the identified values; rather, it requires a finding that
special management is necessary for their stewardship.
Within the land use planning process, the BLM has many tools at its
disposal to provide necessary management of resources, ranging from
special designation to more narrow management prescriptions. Outside of
the planning process, temporary management of a potential ACEC may be
the best option for addressing an area that has relevant and important
values and requires special management attention to protect them. In
those situations, under the final rule and consistent with existing
guidance, the BLM may at the agency's discretion implement temporary
management to protect the relevant and important values from
irreparable damage until the BLM determines whether to designate the
potential ACEC through a land use planning process. When implementing
temporary management, the BLM would comply with applicable laws and
regulations, notify the public, and reevaluate the decision
periodically.
The BLM has the authority and the responsibility to mitigate
impacts to public land resources from land use authorizations,
including by avoiding, minimizing, and offsetting those impacts,
independent of ACEC designation status. 43 U.S.C. 1732(a)-(b).
Therefore, the BLM does not expect that an ACEC nomination or temporary
management process will increase conflict where resources may be
impacted by development proposals. Rather, the BLM intends these
provisions of the rule to provide a proactive pathway for managing
relevant and important values that require special management attention
in the limited circumstances in which these values are identified
outside of the planning process.
For example, if the BLM is evaluating a proposed development
project and has not incorporated consideration of new ACEC designations
into the NEPA process for that project, then it is anticipated that the
BLM, consistent with existing guidance, would analyze potential impacts
to resources and apply the mitigation hierarchy to address those
impacts through the NEPA process rather than considering new ACEC
designations as part of the ongoing NEPA process. This rule would not
require the authorized officer to analyze ACEC nominations during that
NEPA process. Rather, the State Director would have the discretion to
determine when to evaluate ACEC nominations; the State Director could
elect to defer that evaluation to an upcoming planning process. The
State Director also would have the discretion to apply temporary
management in the area, but only after determining that the area meets
the relevance and importance criteria and that special management is
necessary to protect the area's relevant and important values from
irreparable damage. In other words, the State Director's discretion
would include: continuing to process the project by deferring analysis
of ACEC nominations; using the data related to ACEC nominations to
inform the project analysis; and processing ACEC nominations and
incorporating any temporary management into the project evaluation. In
all circumstances, the BLM has the discretion to consider ACEC
nominations and take steps to implement temporary management for
relevant and important values or undertake a plan amendment process to
designate new ACECs as outlined in the final rule. The BLM plans to
provide additional guidance on situations in which an ACEC nomination
overlaps with a pending development project application.
The final rule also emphasizes the ample opportunities for public
notice and comment on the ACEC designation process through the resource
management planning process, which requires robust public and
stakeholder engagement as well as cooperation with local governments
and consultation with Tribal governments (43 CFR 1610.2). The final
rule confirms that proposed and existing ACECs being addressed by a
resource management plan or a plan amendment will be identified in all
applicable Federal Register Notices and in public outreach materials.
The BLM will not, however, be required to continue to produce separate
notices specific to ACECs which the BLM found to be duplicative and not
in the public interest. The BLM will continue to provide the public
with an opportunity to comment on proposed and existing ACECs through
the land use planning and associated NEPA requirements for public
involvement.
F. Intact Landscapes
Many commenters requested clarity on the rule provisions related to
intactness, including how intact landscapes would be identified and
managed. Comments recommended that a comprehensive inventory of intact
landscapes be part of the land use planning process and that the rule
make stronger commitments to prioritizing the conservation and
protection of intact landscapes in order to advance the purpose of
supporting ecosystem resilience. Additionally, commenters stressed the
importance of incorporating community input.
Some commenters emphasized the need to consider other potential
uses, such as renewable energy development, and the multiple use
management approach when determining whether to manage certain
landscapes for intactness. Several comments addressed the importance of
acknowledging the human history of intact landscapes and incorporating
the concept of cultural landscapes, as well as considering co-
stewardship agreements for identified landscapes.
In response to these comments, the BLM updated the rule to clarify
that ``landscape intactness'' is part of the resource inventory that is
to be maintained and considered in accordance with FLPMA. The final
rule also clarifies the land use planning process for this resource,
which includes using the intactness inventory to identify and delineate
intact landscapes, evaluating alternatives for managing the intact
landscapes, and making management decisions for at least some of the
intact landscapes or portions of intact landscapes that conserve their
intactness. Habitat connectivity and migration corridor data would
inform identification and management of intact landscapes, and the BLM
would seek opportunities for Tribal co-stewardship in managing and
protecting intact landscapes. The BLM anticipates that intact
landscapes may vary widely in size and that not every acre of an intact
landscape will be managed the same way, as the management focus would
be on maintaining function of intact landscapes while facilitating
multiple use and supporting sustained yield.
The identification of intact landscapes in the land use planning
process would not necessarily preclude land use authorizations that
would impair their intactness; rather the BLM would make management
decisions for each landscape that would determine allowable uses. Some
development could be compatible with management to conserve intactness,
and intact landscapes may serve as desirable areas for restoration and
mitigation leases. Once an intact landscape has been identified in a
land use planning
[[Page 40331]]
process, the BLM would consider that resource and analyze potential
impacts to it in the planning process and NEPA analysis to evaluate
proposed uses, regardless of management decisions for the landscape,
consistent with NEPA's requirement that the BLM analyze potential
impacts from proposed actions.
G. Grazing
Commenters expressed concern regarding what they considered to be
broad and ambiguous interpretations of terms ``conservation,'' ``intact
landscapes,'' and ``ecosystem resilience,'' and for the potential for
the proposed rule to limit or prohibit consumptive uses, such as
grazing. The comments highlighted the need for clarity and consistency
in definitions and objectives, suggesting modifications to acknowledge
existing uses permitted under FLPMA.
The BLM also received a significant number of comments questioning
how conservation leases relate to authorized grazing. Many comments
highlighted the need to clarify how proposed conservation leases will
interact with grazing management, particularly in cases where grazing
may conflict with restoration goals.
In response to comments, the BLM made changes to the leasing
section of the final rule. Those changes are summarized in the
``Section-by-Section Discussion of the Final Rule and Revisions from
the Proposed Rule'' section and in the ``Conservation Leasing'' section
of this discussion. Importantly, the BLM clarified that if proposed
activities in a restoration or mitigation lease would conflict with
existing authorizations, such as if a specific type of restoration
would not be compatible with grazing and the proposed location is
already subject to a grazing authorization, then a lease authorizing
that type of restoration could not be issued on those particular lands.
Additionally, the final rule elevates proposals for leases that can
demonstrate collaboration with existing permittees, leaseholders, and
adjacent land managers or owners and those that have support from local
communities.
Commenters expressed different views as to whether grazing can be
used as a land health solution, with some noting that grazing should be
used as a land health management tool, while others stated that any use
of grazing operations by the BLM to promote land health standards would
likely preclude achieving land health goals. Some commenters argued
that managed grazing can in fact achieve land health standards and that
specific practices, such as targeted grazing, have been used to create
fire breaks, manage invasive species, and promote land health. Other
commenters argued that livestock grazing is incompatible with
restoration and that grazing should be eliminated in areas undergoing
restoration. This rule is not establishing or revising regulations
governing the BLM's grazing program and does not contemplate using or
not using grazing as a land health management tool. As previously
discussed, conservation takes many forms on public lands, including in
the ways grazing and many other uses are carried out. This rule focuses
on conservation as a land use within the multiple use framework and
develops the toolbox for conservation use that enables some of the many
conservation strategies the agency employs to steward the public lands
for multiple use and sustained yield. Grazing as a management tool may
fit within these strategies.
Many commenters emphasized the impact that livestock grazing has
had on BLM-managed public lands and the need for the BLM to commit to
its responsibility under 43 CFR subpart 4180 to monitor achievement of
rangeland health standards and manage for proper functioning
conditions. One commenter noted that when an allotment fails to meet
the standards, changes in grazing practices must be instituted to
restore rangeland health. The BLM is not revising subpart 4180 as part
of this rulemaking.
H. Recreation
Many commenters emphasized that outdoor recreation is dependent on
healthy public lands and waters that provide desirable recreation
experiences, which in turn support regional economic growth and help
Americans connect with their public lands. They further noted that
climate change is having a particular impact on outdoor recreation
through drought and catastrophic wildfire, highlighting the need for
resilient public lands that can continue to provide recreation
opportunities in a changing future. These commenters requested the rule
explicitly recognize the tie between landscape health and outdoor
recreation and acknowledge that sustainable recreation is compatible
with conservation use.
In response to comments, the final rule includes a new objective
to: ``Provide for healthy lands and waters that support sustainable
outdoor recreation experiences for current and future generations.''
The BLM views sustainable recreation as being compatible with
conservation management, including specifically with restoration and
mitigation leasing, protection of intact landscapes, management for
land health, designation of ACECs, and other principles and management
actions provided for in the rule. Furthermore, the BLM anticipates that
outdoor recreation would benefit from these conservation measures and
would be considered a reason to protect and restore certain landscapes.
The additional objective at Sec. 6101.2(g) aims to reflect this
intent. The final rule does not specifically address recreation in more
detail because the rule is not intended to establish regulations
governing recreation use.
Some commenters raised concerns that the rule would reduce the
amount of public land available for outdoor recreation. The rule would
not change plans, policies, or programs governing recreation activities
on public lands; recreation management would still be determined at the
local level through land use planning and site-specific recreation
management actions such as developed recreation sites, transportation
system routes, or trails. As the BLM implements the rule, recreation
management decisions will incorporate the objectives and principles set
forth in the rule to support landscape health and ecosystem resilience.
The rule is not intended to prevent or decrease outdoor recreation use;
rather it ensures that recreation on public lands can be managed and
grow sustainably while benefiting from the conservation of healthy
lands and water.
I. Renewable Energy
Commenters raised concerns about the potential conflicts that could
arise between the proposed rule and the BLM's ability to manage and
promote renewable energy development. In response to comments, the BLM
clarified mitigation language that would allow for renewable energy
siting and development, or other kinds of projects, even when that
development produces unavoidable impacts. Establishing methods to
ensure impacts can be offset and expanding the ability to site
compensatory mitigation on public lands through mitigation leases
creates more opportunity to permit use while accounting for the
unavoidable impacts of such use.
Commenters argued that application of land health standards to
renewable energy projects as well as changes to identification and
designation of ACECs may have the effect of significantly diminishing
the BLM's ability to identify locations where it can permit renewable
energy installations and
[[Page 40332]]
associated infrastructure. As noted in the discussion of the BLM's
response to comments on ACECs, the BLM does not expect that ACEC
designations or the potential for temporary management of proposed
ACECs will increase conflict where resources may be impacted by
development proposals. Rather, the BLM intends these provisions of the
rule to provide a proactive pathway for managing relevant and important
values that require special management attention, including in the
limited circumstances in which these values are identified outside of
the planning process.
Lastly, commenters conveyed concern that the proposed rule rested
too much decision-making authority on BLM staff over a number of
aspects of the rule and that such authority should reside with BLM
State Directors. In response, the BLM clarified the responsibilities of
Field Managers and State Directors in the ACEC section.
J. Cultural Resource Management
Some comments discussed the connection between cultural values and
ecosystem resilience and requested an acknowledgement of this
connection and clarity for whether and how the rule would incorporate
cultural values or otherwise apply to cultural resource management.
Commenters requested that the BLM consider how conservation strategies
included in the rule intersect with cultural resources. Specifically,
commenters recommended that the rule address American Indian
contributions to stewarding the landscapes that the BLM now manages as
public lands and may conserve through implementation of this rule,
including Indigenous Knowledge and practices handed down over
millennia. Commenters also recommended that lands that contain areas of
sacred and ceremonial significance to Tribes should not be eligible for
conservation leasing unless the purpose of the lease is directly
related to those resources.
The BLM is committed to working with Tribes in the management of
the public lands, which are the ancestral homelands of American Indian
and Alaska Native Tribes. The BLM recognizes Indigenous Peoples have
interacted with and stewarded the lands now managed as public lands
since time immemorial. This human presence and stewardship continue to
influence the lands addressed in the rule, including intact landscapes
and ACECs.
Cultural resources can be and often are an essential component of
functioning and productive ecosystems, and natural components of
ecosystems can also be cultural resources. Some of the BLM's most
intact and resilient ecosystems are often also locations with a high
probability of containing cultural resources. Cultural and natural
values of landscapes co-exist as reasons to protect and manage these
landscapes, emphasizing the importance of Indigenous Knowledge and co-
stewardship.
Actions and decisions aimed at restoring, maintaining, and
conserving ecosystems and landscapes may inadvertently result in
impacts to cultural resources. All such undertakings will be subject to
section 106 of the NHPA, as well as NEPA. Through the section 106
process, the BLM will, in consultation with Tribes, State and Tribal
Historic Preservation Officers, and interested parties, identify,
evaluate, and resolve any adverse effects on historic properties. Any
potential adverse effects to historic properties will be avoided,
minimized, or otherwise mitigated in accordance with law, regulation,
and policy. Effects to cultural resources that are not identified as
historic properties under the NHPA will be considered and managed
through land use plans and the NEPA process. In addition, the BLM will
strive to consider and implement the new Best Practices Guide for
Federal Agencies Regarding Tribal and Native Hawaiian Sacred Sites.\16\
---------------------------------------------------------------------------
\16\ Working Group of the Memorandum of Understanding Regarding
Interagency Coordination and Collaboration for the Protection of
Indigenous Sacred Sites (2023), https://www.bia.gov/sites/default/files/media_document/sacred_sites_guide_508_2023-1205.pdf (providing
guidance on implementation of Executive Orders 13175, 13007, and
14096, and related policies).
---------------------------------------------------------------------------
K. Mature and Old-Growth Forests
Many comments were received emphasizing the need to protect old-
growth and mature forests as part of meeting the rule's stated purpose
of supporting ecosystem resilience on public lands. Commenters
recommended adding provisions to the rule to establish emphasis areas
for old-growth and mature forests, limit or prohibit tree cutting on
BLM-managed lands, facilitate designation of old-growth forests as
ACECs, and focus on climate sustainable logging. Commenters highlighted
the scientific and social values of old-growth and mature forests and
requested explicit language in the rule to protect these valuable
ecosystems consistent with Executive Order 14072.
Executive Order 14072, Strengthening the Nation's Forests,
Communities, and Local Economies, calls for defining, identifying, and
inventorying the nation's old and mature forests and stewarding them
for future generations to provide clean air and water, sustain plant
and animal life, and respect their special importance to Tribal
Nations, consistent with applicable law. The BLM is working with the
U.S. Forest Service to implement the provisions in Executive Order
14072 related to mature and old-growth forests. In April 2023, the BLM
and U.S. Forest Service released a definition framework and initial
inventory of mature and old-growth forests on Federal lands, and the
agencies are now analyzing threats to those forests pursuant to the
Executive Order. The initial inventory identified 8.3 million acres of
old-growth and 12.7 million acres of mature forest on BLM-administered
lands, the majority of which are pinyon and juniper woodlands. Mature
and old-growth forests and woodlands contribute to ecosystem resilience
by providing wildlife habitat, clean water, carbon storage, and
landscape intactness. They also have important social and cultural
values.
The final rule facilitates conservation of BLM-managed forests and
woodlands through multiple provisions, including those related to
identification and protection of intact landscapes; conservation tools
to protect certain lands and resources through land use planning;
avoiding authorizing uses of the public lands that permanently impair
ecosystem resilience; and co-stewardship opportunities with Tribes. In
order to clarify this intent, the final rule specifically identifies
conservation of old-growth forests within the objectives of the
regulation. Because this is a procedural rule, establishing emphasis
areas or other site-specific protections for old-growth forests is
outside the scope of the rule.
L. Wild Horses and Burros
The BLM received comments on using the rule to change wild horse
and burro management on public lands. Commenters recommended
classifying wild horses and burros as a use of public lands, requiring
the BLM to show that removal of livestock could not achieve the same
objective as removal of wild horses and burros, restricting livestock
grazing to reduce methane emissions and provide more forage for wild
horses and burros, and allowing restoration and mitigation leases to be
used to protect wild horse and burro habitat.
Management of wild horses and burros is governed by the Wild Free-
Roaming Horses and Burros Act of 1971, as amended, and its implementing
regulations (43 CFR part 4700). Wild horses and burros are managed in
the
[[Page 40333]]
areas where they are found, and decisions on herd management are made
through the BLM's land use planning process. This rule does not
authorize or mandate decisions to manage wild horses and burros. The
rule does require the use of high-quality information that promotes
reasoned, fact-based agency decisions in making land use allocations
and other land use authorizations, including grazing authorizations.
Restoration and mitigation leases are narrowly defined tools for
restoring degraded landscapes or compensating for impacts of
development and are not appropriate mechanisms for protecting wild
horse and burro habitat.
M. NEPA Compliance for the Rule
A number of comments objected to the BLM's intent to rely on a
categorical exclusion to comply with NEPA and called on the BLM to
instead prepare an environmental assessment or environmental impact
statement under NEPA.
The BLM has determined that the categorical exclusion set out at 43
CFR 46.210(i) applies to this rulemaking. That provision excludes from
NEPA analysis and review actions that are ``of an administrative,
financial, legal, technical, or procedural nature; or whose
environmental effects are too broad, speculative, or conjectural to
lend themselves to meaningful analysis and will later be subject to the
NEPA process, either collectively or case-by-case.'' That categorical
exclusion applies because the rule sets out a framework but is not
self-executing in that it does not itself make substantive changes on
the ground and will not (absent future decisions that implement the
rule) restrict the BLM's discretion to undertake or authorize future
on-the-ground action; thus, the rule is administrative or procedural in
nature. Any future actions, including both land use planning and
individual project-level decisions, including decisions to issue a
restoration or mitigation lease, will be subject to the appropriate
level of NEPA review at the time of that decision. Where the BLM will
undertake such actions, which of the various tools provided in this
rule it will use when doing so, and the particular methods and
activities it will employ are unknown at this time, making the
environmental effects associated with those future actions too
speculative or conjectural to meaningfully evaluate now. The BLM has
also determined that none of the extraordinary circumstances identified
at 43 CFR 46.215 applies to this rulemaking.
N. Inventory, Assessment, and Monitoring
Public comments recommended that monitoring data and analyses
should be made public to promote transparent decision processes.
Commenters recommended emphasis on particular monitoring approaches and
discouraged use of other approaches and requested more details on the
monitoring implementation process and how it would tie to decision-
making across different types of decisions. Commenters also recommended
adding a process for monitoring prioritization.
Many commenters asked for clarification on watershed condition
classifications, renamed ``watershed condition assessments'' in the
final rule, including who would complete them and how often, what data
they would include, whether outside partners would be engaged, and how
they would tie to decision-making. Many recommended a nationally
consistent process for completing watershed condition assessments in
order to ensure that they were efficient and effective. Some asked how
watershed condition assessments would interact with and inform the BLM
land health process. Several questioned whether additional assessments
were needed.
In response to public comments, the final rule clarifies that a
focus of the rule is monitoring of infrastructure and renewable
resources. It states that inventory, monitoring, and assessment
information will be publicly available (currently, at the BLM
Geospatial Business Platform Hub, https://gbp-blm-egis.hub.arcgis.com/
), consistent with the Open Government Data Act, section 202(b). The
final rule defines watershed condition assessments and specifies that
they will be created using a consistent process and standardized data.
The final rule recommends that high-quality information, including
monitoring and watershed condition assessments, be used to inform many
different types of decisions in the rule. Further details regarding
inventory, assessment, and monitoring, including watershed condition
assessments, may be addressed in implementation guidance.
Some comments questioned whether the monitoring provisions of the
rule apply to cultural and paleontological resources. As stated in the
Authority section of the final rule, implementation of the rule will be
subject to and must be undertaken consistent with all applicable laws,
which would include the NHPA and the PRPA.
O. Economic Analysis and Compliance With the Regulatory Flexibility Act
Many commenters insisted that the Regulatory Flexibility Act (RFA)
required the BLM to prepare an initial regulatory flexibility analysis
and, by extension, that this final rule would require a final
regulatory flexibility analysis. Those commenters requested specific
documentation and details of the economic impact on small businesses
and other entities. Commenters stated that the BLM's certification that
the rule would not have a significant economic impact on a substantial
number of small entities lacked a proper factual basis.
The BLM disagrees with commenters' assertion that the RFA required
for the proposed rule and so requires for this final rule a regulatory
flexibility analysis. The BLM certified at the proposed rule stage and
certifies again in promulgating this final rule that the rule will not
have a significant economic impact on a substantial number of small
entities. Under the Small Business Administration's (SBA) Guide for
Federal Agencies to Comply with the Regulatory Flexibility Act, when
certifying that a regulatory flexibility analysis is not required, the
``certification should contain a description of the number of affected
entities and the size of the economic impacts and why either the number
of entities or the size of the impacts justifies the certification.''
Here, the BLM has undertaken an economic threshold analysis and
concluded that the magnitude of the impact on any individual or group,
including small entities, is expected to be negligible (Economic
Threshold Analysis). In support of this determination, the BLM followed
SBA's certification checklist items.
The SBA's guidelines provide, ``The RFA does not define
`significant impact' or `substantial number,' and it is the agencies'
discretion on where to set these thresholds on a rule-to-rule basis
based on their judgment.'' The BLM exercised its discretion to conclude
that an initial regulatory flexibility analysis was not required for
the proposed rule and that a final regulatory flexibility analysis is
not required now.
V. Procedural Matters
Regulatory Planning and Review (Executive Orders 12866, 13563 and
14094)
Executive Order (``E.O.'') 12866, ``Regulatory Planning and
Review,'' as supplemented and reaffirmed by E.O. 13563, ``Improving
Regulation and Regulatory Review,'' 76 FR 3821 (Jan.
[[Page 40334]]
21, 2011) and amended by E.O. 14094, ``Modernizing Regulatory Review,''
88 FR 21879 (April 11, 2023), requires agencies, to the extent
permitted by law, to (1) propose or adopt a regulation only upon a
reasoned determination that its benefits justify its costs (recognizing
that some benefits and costs are difficult to quantify); (2) tailor
regulations to impose the least burden on society, consistent with
obtaining regulatory objectives, taking into account, among other
things, and to the extent practicable, the costs of cumulative
regulations; (3) select, in choosing among alternative regulatory
approaches, those approaches that maximize net benefits (including
potential economic, environmental, public health and safety, and other
advantages; distributive impacts; and equity); (4) to the extent
feasible, specify performance objectives, rather than specifying the
behavior or manner of compliance that regulated entities must adopt;
and (5) identify and assess available alternatives to direct
regulation, including providing economic incentives to encourage the
desired behavior, such as user fees or marketable permits, or providing
information upon which choices can be made by the public. E.O. 12866,
as amended by E.O. 14094, provides that the Office of Information and
Regulatory Affairs (``OIRA'') in the Office of Management and Budget
(``OMB'') will review all significant rules. Section 6(a) of E.O. 12866
also requires agencies to submit ``significant regulatory actions'' to
OIRA for review. OIRA has determined that this final regulatory action
constitutes a ``significant regulatory action'' within the scope of
E.O. 12866.
E.O. 13563 reaffirms the principles of E.O. 12866 while calling for
improvements in the Nation's regulatory system to promote
predictability, reduce uncertainty, and use the best, most innovative,
and least burdensome tools for achieving regulatory ends. The E.O.
directs agencies to consider regulatory approaches that reduce burdens
and maintain flexibility and freedom of choice for the public where
these approaches are relevant, feasible, and consistent with regulatory
objectives. E.O. 13563 emphasizes further that regulations must be
based on the best available science and that the rule making process
must allow for public participation and an open exchange of ideas. The
BLM has developed this rule in a manner consistent with these
requirements.
Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA) (5 U.S.C. 601 et seq.)
generally requires that Federal agencies prepare a regulatory
flexibility analysis for rules subject to the ``notice-and-comment''
rulemaking requirements found in the Administrative Procedure Act (5
U.S.C. 551 et seq.), if the rule would have a significant economic
impact, whether detrimental or beneficial, on a substantial number of
small entities. See 5 U.S.C. 601-612. Congress enacted the RFA to
ensure that government regulations do not unnecessarily or
disproportionately burden small entities. Small entities include small
businesses, small governmental jurisdictions, and small not-for-profit
enterprises.
For the purpose of conducting its review pursuant to the RFA, the
BLM certifies that the rule would not have a ``significant economic
impact on a substantial number of small entities,'' as that phrase is
used in 5 U.S.C. 605. The rule does not affect any existing use of
public lands, nor does it impose restrictions on future use. The rule
modifies BLM decision-making processes and does not directly regulate
any industry, but it may affect industries related to environmental
restoration or mitigation activity or other sectors that rely on public
lands management. The BLM does not expect those impacts to be
significant. See the Economic Analysis, Potential Impact on Small
Entities, for more information.
Congressional Review Act (CRA)
Pursuant to subtitle E of the Small Business Regulatory Enforcement
Fairness Act of 1996 (also known as the Congressional Review Act), the
Office of Information and Regulatory Affairs has determined that this
rule does not meet the criteria set forth in 5 U.S.C. 804(2). This
rule:
a. Does not have an annual effect on the economy of $100 million or
more. The BLM did not estimate the annual benefits that this rule would
provide to the economy. Please see the Economic Analysis for this rule
for a more detailed discussion.
b. Will not cause a major increase in costs or prices for
consumers, individual industries, Federal, State, or local government
agencies, or geographic regions. The rule would benefit small
businesses by streamlining the BLM's processes.
c. Does not have significant adverse effects on competition,
employment, investment, productivity, innovation, or the ability of
U.S.-based enterprises to compete with foreign-based enterprises. The
rule would not have adverse effects on any of these criteria.
Unfunded Mandates Reform Act (UMRA)
This rule does not impose an unfunded mandate on State, local, or
Tribal governments, or the private sector of more than $100 million per
year. The rule does not have a significant or unique effect on State,
local, or tribal governments, or the private sector. Under the Unfunded
Mandates Reform Act (UMRA) (2 U.S.C. 1531 et seq.), agencies must
prepare a written statement about benefits and costs prior to issuing a
proposed or final rule that may result in aggregate expenditure by
State, local, and tribal governments, or the private sector, of $100
million or more in any 1 year.
This rule is not subject to those requirements of the UMRA. The
rule does not contain a Federal mandate that may result in expenditures
of $100 million or more for State, local, and tribal governments, in
the aggregate, or to the private sector in any one year. The rule would
not significantly or uniquely affect small governments. A statement
containing the information required by the UMRA is not required.
Government Actions and Interference With Constitutionally Protected
Property Rights Takings (E.O 12630)
This rule does not effect a taking of private property or otherwise
have taking implications under E.O. 12630. Section 2(a) of E.O. 12630
identifies policies that do not have takings implications, such as
those that abolish regulations, discontinue governmental programs, or
modify regulations in a manner that lessens interference with the use
of private property. The rule will not interfere with private property.
A takings implication assessment is not required.
Federalism (E.O 13132)
Under the criteria in Section 1 of E.O. 13132, this rule does not
have sufficient federalism implications to warrant the preparation of a
federalism summary impact statement. It does not have substantial
direct effects on the States, on the relationship between the national
government and the States, or on the distribution of power and
responsibilities among the various levels of government.
The BLM received broad and general comments suggesting that E.O.
13132 requires preparation of a federalism summary impact statement
with respect to this rule. In particular, some comments raised concerns
that conservation leases (now titled
[[Page 40335]]
restoration and mitigation leases) could infringe on state and local
authority. Executive Order 13132 generally prohibits Federal agencies
from promulgating rules that might have a substantial direct effect on
states or local governments, on the relationship between Federal and
State governments, or on the distribution of power and responsibilities
among the various levels of government, without meeting certain
conditions, such as consulting with elected State and local government
officials early in the process. In particular, administrative rules may
not create substantial direct compliance costs for state or local
governments that are not otherwise required by statute and may not
expressly or impliedly preempt state law without Federal agencies
undertaking additional processes. This rule will inform the BLM's
management approach on federal land in the several states where BLM
manages public land, but nothing in the rule, including its provisions
for restoration and mitigation leasing, preempts state law or requires
state or local governments to comply with specific provisions. Nor does
the rule modify let alone reduce the role, under FLPMA, of state and
local governments in land use planning. As a result, a federalism
summary impact statement is not required.
Civil Justice Reform (E.O 12988)
This rule complies with the requirements of E.O. 12988.
Specifically, this rule:
a. Meets the criteria of Section 3(a) requiring that all
regulations be reviewed to eliminate errors and ambiguity and be
written to minimize litigation; and
b. Meets the criteria of Section 3(b)(2) requiring that all
regulations be written in clear language and contain clear legal
standards.
Consultation and Coordination With Indian Tribes (E.O 13175 and
Departmental Policy)
The Department of the Interior (DOI) endeavors to maintain and
strengthen its government-to-government relationship with Indian Tribes
through a commitment to consultation with Indian Tribes and recognition
of their right to self-governance and tribal sovereignty. We have
evaluated this rule under the DOI's consultation policy and under the
criteria in E.O. 13175 and have determined that the rule has tribal
implications.
In conformance with the Secretary's policy on Tribal consultation,
the BLM sent letters to all Tribes at the beginning of the rulemaking
process informing them of the proposed rule and inviting them to engage
with BLM on their thoughts and concerns. The BLM received input from
Tribal governments, Alaska Native Corporations, and Tribal entities in
comments on the proposed rule, as well as in other meetings that
included a broader range of topics, and incorporated their input in
drafting the final rule. Consistent with the DOI's consultation policy
(52 Departmental Manual 4) and the criteria in E.O. 13175, the BLM will
continue to consult with federally recognized Indian Tribes on any
proposal that may have Tribal implications.
Paperwork Reduction Act
The Paperwork Reduction Act (PRA) (44 U.S.C. 3501-3521) generally
provides that an agency may not conduct or sponsor, and notwithstanding
any other provision of law a person is not required to respond to, a
collection of information, unless it displays a currently valid Office
of Management and Budget (OMB) control number. This rule contains
information collection requirements that are subject to review by the
OMB under the PRA. Collections of information include any request or
requirement that persons obtain, maintain, retain, or report
information to an agency, or disclose information to a third party or
to the public (44 U.S.C. 3502(3) and 5 CFR 1320.3(c)).
OMB has generally approved the existing information collection
requirements contained in the BLM's regulations contained in 43 CFR
subpart 1610 under OMB Control Number 1004-0212. The final rule would
not result in any new or revised information collection requirements
that are currently approved under that OMB Control Number.
For the reasons set out in the preamble, the BLM is amending 43 CFR
by creating Part 6100 which would result in new information collection
requirements that require approval by OMB. The information collection
requirement contained in part 6100 will allow the BLM to issue a
restoration or mitigation lease to qualified entities for the purpose
of restoring degraded land or resources, or mitigation to offset the
impacts of other land use authorizations. The new information
collection requirements contained in the final rule are discussed
below.
New Information Collection Requirements
Sec. 6102.4(b) and (c)--Restoration and Mitigation Leasing:
Applications for restoration or mitigation leases shall be filed with
the Bureau of Land Management office having jurisdiction over the
public lands covered by the application. Applications for restoration
or mitigation leases shall include a restoration or mitigation
development plan which includes sufficient detail to enable the
authorized officer to evaluate the feasibility, impacts, benefits,
costs, threats to public health and safety, collaborative efforts, and
conformance with BLM plans, programs, and policies, including
compatibility with other uses. The development plan shall include but
not be limited to:
Results from available assessments, inventory and
monitoring efforts, or other high-quality information that identify the
current conditions of the site(s) of the proposed restoration or
mitigation action;
The desired future condition of the proposed lease area
including clear goals, objectives, and measurable performance criteria
needed to achieve the objectives;
Justification for passive restoration or mitigation if
proposed;
A description of all facilities for which authorization is
sought, including access needs and any other special types of
authorizations that may be needed;
A map of sufficient scale to allow the required
information to be legible as well as a legal description of primary and
alternative project locations;
Justification of the total acres proposed for the
restoration or mitigation lease;
A schedule for restoration activities, if applicable; and
Information on outreach conducted or to be conducted with
existing permittees, lease holders, adjacent land managers or owners,
and other interested parties.
Sec. 6102.4(c)(4)--Restoration and Mitigation Leasing (additional
information): After review of the restoration or mitigation development
plan, the authorized officer may require the applicant to provide
additional high-quality information, if such information is necessary
for the BLM to decide whether to issue, issue with modification, or
deny the proposed lease. An application for the use of public lands may
require documentation or proof of application for additional private,
State, local or other Federal agency licenses, permits, easements,
certificates, or other approval documents. The authorized officer may
require evidence that the applicant has or prior to commencement of
lease activities will have the technical and financial capability to
operate, maintain, and terminate the authorized lease activities.
[[Page 40336]]
Sec. 6102.4(e)--Restoration and Mitigation Leasing/Monitoring
Plan: If approved, the lease holder shall provide a monitoring plan
that describes how the terms and conditions of the lease will be
applied, the monitoring methodology and frequency, measurable criteria,
and adaptive management triggers.
Sec. 6102.4(e)(1)--Restoration and Mitigation Leasing/Annual
Report: The lease holder shall provide a lease activity report annually
and at the end of the lease period. At a minimum, the report shall
describe:
the restoration or mitigation activities taken as of the
time of the report;
any barriers to meeting the stated purpose of the lease;
proposed steps to resolve any identified barriers; and
monitoring information and data that meet BLM methodology
requirements and data standards (see Sec. 6103.2(c)).
Sec. 6102.4.1(d)(3)--Termination and Suspension of Restoration and
Mitigation Leases: Upon determination that there is noncompliance with
the terms and conditions of a restoration or mitigation lease which
adversely affects land or public health or safety, or impacts ecosystem
resilience, the authorized officer shall issue an immediate temporary
suspension. Any time after an order of suspension has been issued, the
holder may file with the authorized officer a request for permission to
resume. The request shall be in writing and shall contain a statement
of the facts supporting the request.
Sec. 6102.4.2(a)--Bonding for Restoration and Mitigation Leases:
Prior to the commencement of surface-disturbing activities, the
authorized officer may require the restoration or mitigation lease
holder to submit a reclamation, decommission, or performance bond
conditioned upon compliance with all the terms and conditions of the
lease covered by the bond. For mitigation leases, the lease holder will
usually be required to provide letters of credit or establish an escrow
account for the full amount needed to ensure the development plan meets
all performance criteria.
Sec. 6102.5.1(d)--Mitigation--Approval of third parties as
mitigation fund holders: Sec. 6102.5.1(d) would allow in certain
limited circumstances authorized officers to approve third parties as
mitigation fund holders to establish mitigation accounts for use by
entities granted land use authorizations by the BLM. The authorized
officer will approve the use of a mitigation account by a permittee
only if a mitigation fund holder has a formal agreement with the BLM.
Sec. 6102.5.1(e)--Mitigation--Approval of third parties as
mitigation fund holders/State and local government agencies: State and
local government agencies are limited in their ability to accept,
manage, and disburse funds for the purpose outlined in Sec. 6102.5.1
and generally should not be approved by the BLM to hold mitigation
funds for compensatory mitigation sites on public or private lands. An
exception may be made where a government agency is able to demonstrate,
to the satisfaction of the BLM, that they are acting as a fiduciary for
the benefit of the mitigation project or site, essentially as if they
are a third party, and can show that they have the authority and
perform the duties described in Sec. 6102.5.1.
Information Collection Changes From Proposed to Final Rule:
The BLM introduced the following information collection
requirements that were not in the proposed rule:
Restoration and Mitigation Leasing/Monitoring Plan--43 CFR
6102.4(e);
Restoration and Mitigation Leasing/Annual Report--43 CFR
6102.4(e)(1); and
Mitigation/Approval third parties as mitigation fund
holders/Annual Fiscal Reports--43 CFR 6102.5-1(e).
These ICs are necessary to provide monitoring mechanisms to help
the BLM assure that we are achieving the desired outcomes of the
restoration and mitigation plans.
The information collection requirements contained in this rule are
needed to ensure that accountability through restoration monitoring and
tracking is carried out effectively and that project goals are being
met. The estimated annual information collection burdens for this rule
are outlined below:
----------------------------------------------------------------------------------------------------------------
Time per
Collection of information Number of response Total hours
responses (hours)
----------------------------------------------------------------------------------------------------------------
Restoration and Mitigation Leasing/Restoration or Mitigation 10 10 100
Development Plan--43 CFR 6102.4(b) and (c).....................
Restoration and Mitigation Leasing/Additional Information 43 CFR 8 25 200
6102.4(c)(5)...................................................
Restoration and Mitigation Leasing/Monitoring Plan--43 CFR 9 5 45
6102.4(e)......................................................
Restoration and Mitigation Leasing/Annual Report--43 CFR 9 2 18
6102.4(e)(1)...................................................
Termination and Suspension of Restoration and Mitigation Leases/ 1 240 240
written request to resume or suspended activity--43 CFR 6102.4-
1(d)(3)........................................................
Bonding for Restoration and Mitigation Leases--43 CFR 6102.4- 10 80 800
2(a)...........................................................
Mitigation/Approval third parties as mitigation fund holders--43 4 5 20
CFR 6102.5-1(e)................................................
Mitigation/Approval third parties as mitigation fund holders--43 4 5 20
CFR 6102.5-1(g)................................................
Mitigation/Approval third parties as mitigation fund holders/ 4 2 8
Annual Fiscal Reports--43 CFR 6102.5-1(e)......................
Mitigation/Approval third parties as mitigation fund holders/ 4 2 8
Annual Fiscal Reports--43 CFR 6102.5-1(e)......................
----------------------------------------------------------------------------------------------------------------
Information Collection Summary:
Title of Collection: Ecosystem Resilience (43 CFR part 6100).
OMB Control Number: 1004-0218.
Form Number: None.
Type of Review: New collection of information.
Respondents/Affected Public: Private sector businesses; Not-for-
profit organizations; and State, local, or Tribal governments.
Respondent's Obligation: Required to Obtain or Retain a Benefit.
Frequency of Collection: On occasion; Annual.
Estimated Completion Time per Response: Varies from 5 hours to 240
hours per response, depending on activity.
Number of Respondents: 63.
Annual Responses: 63.
Annual Burden Hours: 1,459.
Annual Burden Cost: $0.
If you want to comment on the information-collection requirements
in this rule, please send your comments and suggestions on this
information-collection within 30 days of publication of this final rule
in the Federal Register
[[Page 40337]]
to OMB by going to www.reginfo.gov. Click on the link, ``Currently
under Review--Open for Public Comments.''
National Environmental Policy Act (NEPA)
This rule is excluded from review under the National Environmental
Policy Act under Department Categorical Exclusion (CX) at 43 CFR
46.210(i). This CX covers policies, directives, regulations, and
guidelines that are of an administrative, financial, legal, technical,
or procedural nature or whose environmental effects are too broad,
speculative, or conjectural to lend themselves to meaningful analysis
and will later be subject to the NEPA process, either collectively or
case-by-case. The BLM has documented this CX's applicability to this
action and posted it for public review here in docket BLM-2023-0001 on
regulations.gov.
Actions Concerning Regulations That Significantly Affect Energy Supply,
Distribution, or Use (E.O. 13211)
Federal agencies must prepare and submit to OMB a Statement of
Energy Effects (SEE) for any significant energy action. A ``significant
energy action'' is defined as any action by an agency that: (1) Is a
significant regulatory action under Executive Order 12866, or any
successor order, and is likely to have a significant adverse effect on
the supply, distribution, or use of energy; or (2) Is designated by the
Administrator of OIRA as a significant energy action. This rule is a
significant action under Executive Order 12866; however, this rule does
not affect energy supply, distribution, or use, and OIRA has not
designated it a significant energy action. Therefore, it is not a
significant energy action under E.O. 13211, and a SEE is not required.
The BLM received many comments on its determination that this rule
is not a significant energy action. Commenters stated that the proposed
rule, particularly the regulations pertaining to ACECs and the
establishment of a restoration and mitigation leasing program
(conservation leasing in the proposed rule), would displace oil and gas
production and mining for critical minerals on public lands. Commenters
also expressed concern that ACEC designation and restoration and
mitigation leases could preclude energy rights of way for transmission
lines. Commenters requested more information on how the BLM determined
that this rulemaking would not have a significant adverse effect on
energy supply, distribution, or use, and specifically requested the BLM
complete a SEE for this rulemaking.
The BLM disagrees that the rule would adversely impact the supply,
distribution, or use of energy. No part of the rule would preclude the
development or transmission of energy on or across public lands without
due consideration of multiple use and sustained yield principles
through BLM's existing decision-making processes, including the
required public engagement. Restoration and mitigation leases may not
be issued in areas where an existing and otherwise incompatible use is
occurring; thus, they would not displace existing mineral leases or
mining claims. Restoration and mitigation leases are a narrow tool
which may only be issued to restore degraded landscapes or to offset
impacts of other land use authorizations; they may not be used to
``block'' development of mineral resources on lands allocated to such
use in the governing Resource Management Plan. In many cases, these
leases will facilitate the development of energy on public lands by
providing an avenue for developers to satisfy obligations to offset the
impacts of energy development through compensatory mitigation.
The revised regulations for ACEC designation will not adversely
affect the supply, distribution or use of energy on public lands. FLPMA
has required that the BLM prioritize the designation and protection of
ACECs since 1976, and the final rule does not change that requirement
or the overall process and parameters for their designation and
management. The BLM does not expect that ACEC designations or the
potential for temporary management of proposed ACECs will increase
conflict where resources may be impacted by development proposals.
Rather, the BLM intends these provisions of the rule to provide a
proactive pathway for managing relevant and important values that
require special management attention in the limited circumstances in
which these values are identified outside of the planning process. See
Section IV, Response to Comments, part E., Areas of Critical
Environmental Concern, for more information.
Clarity of This Regulation (Executive Orders 12866, 12988 and 13563)
We are required by Executive Orders 12866 (section 1(b)(12)), 12988
(section 3(b)(1)(B)), and 13563 (section 1(a)), and by the Presidential
Memorandum of June 1, 1988, to write all rules in plain language. This
means that each rule must: a) Be logically organized; b) Use the active
voice to address readers directly; c) Use common, everyday words and
clear language rather than jargon; d) Be divided into short sections
and sentences; and e) Use lists and tables wherever possible.
Authors
The principal authors of this rule are: Patricia Johnston, BLM
Division of Wildlife Conservation, Aquatics, and Environmental
Protection; Darrin King, BLM Division of Regulatory Affairs; Chandra
Little, BLM Division of Regulatory Affairs, assisted by the DOI Office
of the Solicitor.
The action taken herein is pursuant to an existing delegation of
authority.
List of Subjects in 43 CFR Part 1600
Administrative practice and procedure, Coal, Conservation,
Environmental impact statements, Environmental protection,
Intergovernmental relations, Preservation, Public lands.
This action by the Principal Deputy Assistant Secretary is taken
pursuant to an existing delegation of authority.
Steven H. Feldgus,
Deputy Assistant Secretary for Land and Minerals Management.
Accordingly, for the reasons set out in the preamble, the Bureau of
Land Management amends 43 CFR Chapter II as set forth below:
PART 1600--PLANNING, PROGRAMMING, BUDGETING
0
1. The authority citation for part 1600 continues to read as follows:
Authority: 43 U.S.C. 1711-1712.
0
2. Revise Sec. 1610.7-2 to read as follows:
Sec. 1610.7-2 Designation of areas of critical environmental
concern.
(a) An area of critical environmental concern (ACEC) designation is
the principal BLM designation for public lands where special management
is required to protect and prevent irreparable damage to important
historic, cultural, or scenic values; fish or wildlife resources; or
natural systems or processes or to protect life and safety from natural
hazards. The BLM designates ACECs when issuing a decision to approve a
resource management plan, plan revision, or plan amendment. ACECs shall
be managed to protect the relevant and important values for which they
are designated.
(b) In the land use planning process, authorized officers must
identify, evaluate, and give priority to areas that have potential for
designation and management as ACECs. Identification, evaluation, and
priority management of
[[Page 40338]]
ACECs shall be considered during the development and revision of
resource management plans and during amendments to resource management
plans when such action falls within the scope of the amendment (see
Sec. Sec. 1610.4-1 through 1610.4-9). Proposed and existing ACECs that
will be addressed by a resource management plan, plan revision, or plan
amendment will be identified in all public notices required by this
part (see, e.g., Sec. 1610.2).
(c) The authorized officer must facilitate the identification of
eligible ACECs early in the land use planning process by:
(1) Analyzing inventory, assessment, and monitoring data to
determine whether there are areas containing important historic,
cultural, or scenic values; fish or wildlife resources; natural systems
or processes; or natural hazards potentially impacting life and safety
that are eligible for designation;
(2) Reevaluating existing ACECs in order to determine if the
relevant and important values are still present and special management
attention is still necessary; and
(3) Seeking nominations for ACECs, during public scoping, from the
public, State and local governments, Indian Tribes, and other Federal
agencies (see Sec. Sec. 1610.2(c), 1602.5(b)(4) through (6)).
(d) To be designated as an ACEC, an area must meet the following
criteria:
(1) Relevance. The area contains important historic, cultural, or
scenic values; fish or wildlife resources; natural systems or
processes; or natural hazards potentially impacting life and safety.
(2) Importance. A historic, cultural, or scenic value; a fish or
wildlife resource; a natural system or process; or a natural hazard
potentially impacting life and safety has importance if it has
qualities of special worth, consequence, meaning, distinctiveness, or
cause for concern; national or more than local importance, subsistence
value, or regional contribution of a resource, value, system, or
process; or contributes to ecosystem resilience, landscape intactness,
or habitat connectivity. A natural hazard can be important if it is a
significant threat to human life and safety.
(3) Special management attention. The important historic, cultural,
or scenic values; fish or wildlife resources; natural systems or
processes; or natural hazards potentially impacting life and safety
require special management attention. ``Special management attention''
means management prescriptions that:
(i) Protect and prevent irreparable damage to the relevant and
important values, or that protect life and safety from natural hazards;
and
(ii) Would not be prescribed if the relevant and important values
were not present. In this context, ``irreparable damage'' means harm to
a value, resource, system, or process that substantially diminishes the
relevance or importance of that value, resource, system, or process in
such a way that recovery of the value, resource, system, or process to
the extent necessary to restore its prior relevance or importance is
impossible.
(e) The authorized officer may designate an ACEC research natural
area if the area:
(1) Meets all of the criteria identified in Sec. 1610.7-2(d)(1)
through (3); and
(2) Is consistent with one or more of the primary purposes found at
Sec. 8223.0-5 of this chapter. A designated ACEC research natural area
will be subject to the use restrictions at Sec. 8223.1 of this title
in addition to the special management attention prescribed by the
authorized officer through land use planning.
(f) The boundaries of proposed ACECs shall be identified for public
lands, as appropriate, to encompass the relevant and important values
and geographic extent of the special management attention needed to
provide protection.
(g) During a planning process, the planning documents must analyze
in detail any proposed ACEC that has relevant and important values.
Where the BLM has received ACEC proposals that do not have relevant and
important values, the agency is not required to review those proposals
in detail in planning documents. Through land use planning, the BLM
will evaluate the need for special management attention to protect the
relevant and important values, which could include other allocations
and designations being considered, in order to provide for informed
decision-making on the trade-offs associated with ACEC designation.
(h) The approved resource management plan, plan revision, or plan
amendment shall list all designated ACECs, identify their relevant and
important values, and include the special management attention,
including management prescriptions for other uses, identified for each
designated ACEC.
(i) ACEC nominations typically should be evaluated during a
planning process. If a nomination for an ACEC is received outside of
the planning process, the following provisions apply.
(1) The State Director will evaluate whether the relevant,
important, and special management criteria identified in paragraph (d)
of this section are met. The State Director will determine the
appropriate time to complete this analysis. If the criteria identified
in paragraph (d) of this section are met, then the State Director
shall, at their discretion, either:
(i) Initiate a land use planning process; or
(ii) Provide temporary management consistent with the applicable
resource management plan to protect the relevant and important values
from irreparable damage. Any temporary management that is implemented
would be in effect until the BLM either completes a land use planning
process to determine whether to designate the area as an ACEC or,
through periodic evaluation, finds designation is no longer necessary.
The BLM will publish a public notice if temporary management is
implemented.
(2) The State Director may defer evaluating the nomination to an
upcoming planning process.
(j) The State Director shall:
(1) Determine which ACECs to designate based on:
(i) The presumption that all areas found to require special
management attention will be designated;
(ii) The value of other resource uses in the area;
(iii) The feasibility of managing the designation; and
(iv) The relationship to other types of designations and protective
management available.
(2) In the decision document for the resource management plan or
plan amendment, provide a justification and rationale for both ACEC
designation decisions and decisions not to designate a proposed ACEC.
(3) Administer designated ACECs in a manner that conserves,
protects, and enhances the relevant and important values and only allow
casual use or uses that will ensure the protection of the relevant and
important values. This paragraph (j)(3) does not apply to those ACECs
designated for natural hazards potentially impacting life and safety.
(4) Prioritize acquisition of inholdings within ACECs and adjacent
or connecting lands identified as holding relevant and important values
related to the designated ACEC.
(k) The State Director, through the land use planning process, may
remove the designation of an ACEC, in whole or in part, only when:
(1) The State Director finds that special management attention is
not needed because another legally enforceable mechanism provides an
equal or greater level of protection; or
(2) The State Director finds that the relevant and important values
are no longer present, cannot be recovered, or
[[Page 40339]]
have recovered to the point where special management is no longer
necessary. The findings must be supported by data or documented changes
on the ground.
(l) As used in this section, the terms casual use, conservation,
ecosystem resilience, intactness, landscape, monitoring, protection,
and restoration have the same meanings as in Sec. 6101.4 of this
chapter.
0
3. Add part 6100 to read as follows:
PART 6100--ECOSYSTEM RESILIENCE
Subpart 6101--General Information
Sec.
6101.1 Purpose.
6101.2 Objectives.
6101.3 Authority.
6101.4 Definitions.
6101.5 Principles for Ecosystem Resilience.
Subpart 6102--Conservation Use to Achieve Ecosystem Resilience
Sec.
6102.1 Protection of Landscape Intactness.
6102.2 Management to Protect Intact Landscapes.
6102.3 Restoration.
6102.3.1 Restoration Prioritization and Planning.
6102.4 Restoration and Mitigation Leasing.
6102.4.1 Termination and Suspension of Restoration and Mitigation
Leases.
6102.4.2 Bonding for Restoration and Mitigation Leases.
6102.5 Management Actions for Ecosystem Resilience.
6102.5.1 Mitigation.
Subpart 6103--Managing Land Health to Achieve Ecosystem Resilience
Sec.
6103.1 Land Health Standards.
6103.1.1 Management for Land Health.
6103.1.2 Land Health Evaluations and Determinations.
6103.2 Inventory, Assessment and Monitoring.
Authority: 16 U.S.C. 7202; 43 U.S.C. 1701 et seq.
PART 6100--ECOSYSTEM RESILIENCE
Subpart 6101--General Information
Sec. 6101.1 Purpose.
The BLM's management of public lands on the basis of multiple use
and sustained yield relies on healthy landscapes and resilient
ecosystems. The purpose of this part is to promote the use of
conservation to ensure ecosystem resilience and prevent permanent
impairment or unnecessary or undue degradation of public lands. This
part discusses the use of protection and restoration actions, as well
as tools such as watershed condition assessments, land health
evaluations, inventory, assessment, and monitoring.
Sec. 6101.2 Objectives.
The objectives of this part are to:
(a) Achieve and maintain ecosystem resilience when administering
Bureau programs; developing, amending, and revising land use plans; and
approving uses on the public lands;
(b) Promote conservation by maintaining, protecting, and restoring
ecosystem resilience and intact landscapes, including habitat
connectivity and old-growth forests;
(c) Integrate the fundamentals of land health and related standards
and guidelines into resource management for all uses and activities on
BLM-managed lands;
(d) Incorporate inventory, assessment, and monitoring principles
into decision-making and use this information to identify trends and
implement adaptive management strategies;
(e) Accelerate restoration and improvement of degraded public
lands, air, and waters to properly functioning and desired conditions;
(f) Manage for ecosystems and their components to adapt, absorb, or
recover from the effects of disturbances or environmental change
through conservation, protection, restoration, or improvement of
essential structures, functions, and redundancy of ecological patterns
across the landscape;
(g) Provide for healthy lands and waters that support sustainable
outdoor recreation experiences for current and future generations;
(h) Prevent permanent impairment or unnecessary or undue
degradation of public lands;
(i) Improve engagement and co-stewardship of public lands with
Tribal entities and promote the use of Indigenous Knowledge in
decision-making; and
(j) Advance environmental justice through restoration and
mitigation actions.
Sec. 6101.3 Authority.
These regulations are issued under the authority of the Federal
Land Policy and Management Act of 1976 (43 U.S.C. 1701 et seq.) as
amended and section 2002 of the Omnibus Public Land Management Act of
2009 (16 U.S.C. 7202). Implementation of this part is subject to all
applicable law.
Sec. 6101.4 Definitions.
As used in this part, the term:
(a) Casual use means any short-term, noncommercial activity that
does not cause appreciable damage or disturbance to the public lands or
their resources or improvements and that is not prohibited by closure
of the lands to any such activity.
(b) Conservation means the management of natural resources to
promote protection and restoration. Conservation actions are effective
at building resilient lands and are designed to reach desired future
conditions through protection, restoration, and other types of
planning, permitting, and program decision-making.
(c) Disturbance means changes in environmental conditions, either
discrete or chronic. Disturbances may be viewed as ``characteristic''
when ecosystems and/or species have evolved to survive, exploit, and
even depend on a disturbance or ``uncharacteristic'' when attributes of
the disturbance (e.g., type, timing, frequency, magnitude, duration)
are outside prevailing background conditions. Disturbances may be
natural or human-caused.
(d) Ecosystem resilience means the capacity of ecosystems (e.g.,
old-growth forests and woodlands, sagebrush core areas) to maintain or
regain their fundamental composition, structure, and function
(including maintaining habitat connectivity and providing ecosystem
services) when affected by disturbances such as drought, wildfire, and
nonnative invasive species.
(e) Effects means the direct, indirect, and cumulative impacts, as
defined in 40 CFR 1508.1(g), from a public land use. Effects and
impacts as used in these regulations are synonymous.
(f) High-quality information means information that promotes
reasoned, evidence-based agency decisions. Information that meets the
standards for objectivity, utility, and integrity as set forth in the
Department's Information Quality Guidelines \17\ qualifies as high-
quality information. Indigenous Knowledge qualifies as high-quality
information when it is gained by prior, informed consent free of
coercion, and generally meets the standards for high-quality
information.
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\17\ U.S. Department of the Interior, Information Quality
Guidelines, https://www.doi.gov/ocio/policy-mgmt-support/information-quality-guidelines.
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(g) Important, scarce, or sensitive resources:
(1) ``Important resources'' means resources that the BLM has
determined to warrant special consideration, consistent with applicable
law.
(2) ``Scarce resources'' means resources that are not plentiful or
abundant and may include resources that are experiencing a downward
trend in condition.
[[Page 40340]]
(3) ``Sensitive resources'' means resources that are delicate and
vulnerable to adverse change, such as resources that lack resilience to
changing circumstances.
(h) Indigenous Knowledge means a body of observations, oral and
written knowledge, innovations, technologies, practices, and beliefs
developed by Indigenous Peoples through interaction and experience with
the environment. Indigenous Knowledge is applied to phenomena across
biological, physical, social, cultural, and spiritual systems.
Indigenous Knowledge can be developed over millennia, continue to
develop, and include understanding based on evidence acquired through
direct contact with the environment and long-term experiences, as well
as extensive observations, lessons, and skills passed from generation
to generation. Indigenous Knowledge is developed, held, and stewarded
by Indigenous Peoples and is often intrinsic within Indigenous legal
traditions, including customary law or traditional governance
structures and decision-making processes. Other terms, such as
Traditional Knowledge, Traditional Ecological Knowledge, Genetic
Resources associated with Traditional Knowledge, Traditional Cultural
Expression, Tribal Ecological Knowledge, Native Science, Indigenous
Applied Science, Indigenous Science, and others, are sometimes used to
describe this knowledge system.
(i) In-lieu fee program means a program involving the restoration,
establishment, and/or enhancement and protection of resources at
specific sites through funds paid to a local or State government
agency, non-profit organization that qualifies for tax-exempt status in
accordance with Internal Revenue Code (IRC) section 501(c)(3), or
Tribal organization to satisfy compensatory mitigation requirements for
adverse impacts resulting from BLM-authorized public land uses.
Collected funds are pooled and expended on projects that provide
compensatory mitigation for the same types of resource impacts. Similar
to a mitigation bank, an in-lieu fee program sells mitigation credits
to permittees whose obligation to provide compensatory mitigation is
then transferred to the in-lieu program sponsor.
(j) Intact landscape means a relatively unfragmented landscape free
of local conditions that could permanently or significantly disrupt,
impair, or degrade the landscape's composition, structure, or function.
Intact landscapes are large enough to maintain native biological
diversity, including viable populations of wide-ranging species. Intact
landscapes provide critical ecosystem services and are resilient to
disturbance and environmental change and thus may be prioritized for
conservation action. For example, an intact landscape would have
minimal fragmentation from roads, fences, and dams; low densities of
agricultural, urban, and industrial development; and minimal pollution
levels.
(k) Intactness means a measure of the degree to which human
influences, which can include invasive species and unnatural wildfire,
alter or impair the structure, function, or composition of a landscape.
Areas experiencing a natural fire regime can be intact.
(l) Land health means the degree to which the integrity of the
soil, water, and ecological processes sustain habitat quality and
ecosystem functions.
(m) Landscape means an area that is spatially heterogeneous in at
least one factor of interest which may include common management
concerns or conditions. The landscape is not defined by the size of the
area, but rather by the interacting elements that are relevant and
meaningful in a management context. Landscapes may be defined in terms
of aquatic conditions, such as watersheds, or terrestrial conditions,
such as ecoregions.
(n) Mitigation means:
(1) avoiding the impacts of a proposed action by not taking a
certain action or parts of an action;
(2) minimizing impacts by limiting the degree or magnitude of the
action and its implementation;
(3) rectifying the impact of the action by repairing,
rehabilitating, or restoring the affected environment;
(4) reducing or eliminating the impact over time by preservation
and maintenance operations during the life of the action; and
(5) compensating for the impact of the action by replacing or
providing substitute resources or environments. In practice, the
mitigation sequence is often summarized as avoid, minimize, and
compensate. The BLM generally applies mitigation hierarchically: first
avoid, then minimize, and then compensate for any residual impacts from
proposed actions.
(o) Mitigation bank means a site, or suite of sites, where
resources are restored, established, enhanced, or protected for the
purpose of providing compensatory mitigation for impacts to the same
types of resources from BLM-authorized public land uses. In general,
the sponsor of a mitigation bank sells mitigation credits to permittees
whose obligation to provide compensatory mitigation is then transferred
to the mitigation bank sponsor.
(p) Mitigation fund means an account established by a mitigation
fund holder through a written agreement with the BLM. Permittees with
compensatory mitigation requirements may deposit funds with the fund
holder, when approved to do so by the BLM. Funds are then expended by
the fund holder on projects that mitigate for the same types of
resources that were impacted as a result of BLM-authorized land uses.
(q) Mitigation strategies means documents that identify, evaluate,
and communicate potential mitigation needs and mitigation measures in a
geographic area, at relevant scales, in advance of anticipated public
land uses.
(r) ``Monitoring'' means the periodic observation and orderly
collection of data to evaluate:
(1) existing conditions;
(2) the effects of management actions; or
(3) the effectiveness of actions taken to meet management
objectives.
(s) Permittee means any person or other legal entity that has a
valid permit, right-of-way grant, lease, or other BLM land use
authorization.
(t) Protection means the act or process of conservation by
maintaining the existence of resources while preventing degradation,
damage, or destruction. Protection is not synonymous with preservation
and allows for active management or other uses consistent with multiple
use and sustained yield principles.
(u) Public lands means any surface estate or interests in the
surface estate owned by the United States and administered by the
Secretary of the Interior through the BLM without regard to how the
United States acquired ownership.
(v) Reclamation means, when used in relation to individual project
goals and objectives, practices intended to achieve an outcome that
reflects the final goal to restore the character and productivity of
the land and water. Components of reclamation include, as applicable:
(1) Isolating, controlling, or removing toxic or deleterious
substances;
(2) Regrading and reshaping to conform with adjacent landforms,
facilitate revegetation, control drainage, and minimize erosion;
(3) Rehabilitating fisheries or wildlife habitat;
(4) Placing growth medium and establishing self-sustaining
revegetation;
(5) Removing or stabilizing buildings, structures, or other support
facilities;
(6) Plugging drill holes and closing underground workings; and
(7) Providing for post-activity monitoring, maintenance, or
treatment.
[[Page 40341]]
(w) Restoration means the process or act of conservation by
passively or actively assisting the recovery of an ecosystem that has
been degraded, damaged, or destroyed to a more natural, native
ecological state.
(x) Significant causal factor means a use, activity, or disturbance
that prevents an area from achieving or making significant progress
toward achieving one or more land health standards. To be a significant
factor, a use may be one of several causal factors in contributing to
less-than-healthy conditions; it need not be the sole causal factor
inhibiting progress toward the standards.
(y) Significant progress means measurable or observable changes in
the indicators that demonstrate improved land health. Acceptable levels
of change must be realistic in terms of the capability of the resource
but must also be as expeditious and effective as practical.
(z) Sustained yield means the achievement and maintenance in
perpetuity of a high-level annual or regular periodic output of the
various renewable resources of BLM-managed lands consistent with
multiple use and without permanent impairment of the productivity of
the land. Preventing permanent impairment means that renewable
resources are not permanently depleted and that desired future
conditions are met for future generations. Ecosystem resilience is
essential to the BLM's ability to manage for sustained yield.
(aa) Unnecessary or undue degradation means harm to resources or
values that is not necessary to accomplish a use's stated goals or is
excessive or disproportionate to the proposed action or an existing
disturbance. Unnecessary or undue degradation includes two distinct
elements: ``Unnecessary degradation'' means harm to land resources or
values that is not needed to accomplish a use's stated goals. For
example, approving a proposed access road causing damage to critical
habitat for a plant listed as endangered under the Endangered Species
Act that could be located without any such impacts and still provide
the needed access may result in unnecessary degradation. ``Undue
degradation'' means harm to land resources or values that is excessive
or disproportionate to the proposed action or an existing disturbance.
For example, approving a proposed access road causing damage to the
only remaining critical habitat for a plant listed as endangered under
the Endangered Species Act, even if there is not another location for
the road, may result in undue degradation. The statutory obligation to
prevent ``unnecessary or undue degradation'' applies when either
unnecessary degradation or undue degradation, and not necessarily both,
is implicated.
(bb) Watershed condition assessment means a process for assessing
and synthesizing information on the condition of soil, water, habitats,
and ecological processes within watersheds relative to the BLM's land
health fundamentals. A watershed condition assessment may include
assessment of one or more of watershed physical and biological
characteristics, landscape intactness, and disturbances.
Sec. 6101.5 Principles for Ecosystem Resilience.
(a) Except where otherwise provided by law, public lands must be
managed under the principles of multiple use and sustained yield.
(b) To ensure multiple use and sustained yield, the BLM's
management must conserve the quality of scientific, scenic, historical,
ecological, environmental, air and atmospheric, water resource, and
archeological values; preserve and protect certain public lands in
their natural condition (including ecological and environmental
values); maintain the productivity of renewable natural resources in
perpetuity; and consider the long-term needs of future generations,
without permanent impairment of the productivity of the land.
(c) The BLM must conserve renewable natural resources at a level
that maintains or improves future resource availability and ecosystem
resilience, in a manner consistent with multiple use and sustained
yield.
(d) Authorized officers must implement the foregoing principles
through:
(1) Conservation as a land use within the multiple use framework,
including in decision-making, authorization, and planning processes;
(2) Protection and maintenance of the fundamentals of land health
and ecosystem resilience;
(3) Restoration and protection of public lands to support ecosystem
resilience, including habitat connectivity and old-growth forests;
(4) Use of the full mitigation hierarchy to address impacts to
species, habitats, and ecosystems from land use authorizations; and
(5) Prevention of unnecessary or undue degradation.
Subpart 6102--Conservation Use To Achieve Ecosystem Resilience
Sec. 6102.1 Protection of Landscape Intactness.
(a) The BLM must manage certain landscapes to protect their
intactness, including habitat connectivity and old-growth forests. This
requires:
(1) Maintaining ecosystem resilience and habitat connectivity
through conservation actions;
(2) Conserving landscape intactness when managing compatible uses,
especially where development or fragmentation that could permanently
impair ecosystem resilience has the potential to occur on public lands;
(3) Maintaining or restoring resilient ecosystems through habitat
and ecosystem restoration projects that are implemented over broader
spatial and longer temporal scales;
(4) Coordinating and implementing actions across BLM programs,
offices, and partners to protect intact landscapes; and
(5) Pursuing management actions that maintain or mimic
characteristic disturbance, or mimic natural disturbance, when
maintaining it is not possible.
(b) Authorized officers will seek to prioritize actions that
conserve and protect landscape intactness in accordance with Sec.
6101.2.
Sec. 6102.2 Management to Protect Intact Landscapes.
(a) The BLM will maintain an inventory of landscape intactness as a
resource value using watershed condition assessments (see Sec.
6103.2(a)) to establish a consistent baseline condition.
(b) When updating a resource management plan under part 1600 of
this chapter, the BLM will use a baseline condition of intactness and
available high-quality information about landscape intactness, such as
watershed condition assessments, environmental disturbances, and
monitoring (see Sec. 6103.2), to:
(1) Identify and delineate boundaries for intact landscapes within
the planning area, taking into consideration habitat connectivity and
migration corridor data;
(2) Evaluate alternatives to protect intact landscapes or portions
of the intact landscapes from activities that would permanently or
significantly disrupt, impair, or degrade the ecosystem's structure or
functionality of the intact landscapes; and
(3) Identify which intact landscapes or portions of intact
landscapes will be managed for protection consistent with
[[Page 40342]]
the principles enumerated in Sec. 6102.1(a).
(c) The BLM will identify desired conditions and landscape
objectives to guide implementation of decisions regarding management of
intact landscapes, habitat connectivity, and old-growth forests. As
part of carrying out paragraph (b) of this section, the BLM will seek
to:
(1) Establish partnerships to work across Federal and non-Federal
lands to promote and protect intact landscapes;
(2) Work with communities to identify geographic areas important
for their strategic growth and development in order to allow for better
identification of the most suitable areas to protect intact landscapes
and habitat connectivity;
(3) Consult with Tribes to identify opportunities for co-
stewardship to protect intact landscapes (see Sec. 6102.5(b)(4)
through (6)); and
(4) Use high-quality information including standardized
quantitative monitoring to evaluate the effectiveness of management
actions for ecosystem resilience (see Sec. 6103.2).
(d) When determining whether to acquire lands or interests in lands
through purchase, donation, or exchange, authorized officers must
prioritize the acquisition of lands or interests in lands that would
further protect and connect intact landscapes and functioning
ecosystems.
(e) Authorized officers must collect and track landscape intactness
data to support minimizing surface disturbance and inform conservation
actions. This information must be included in a publicly available
national tracking system.
Sec. 6102.3 Restoration.
(a) The BLM must emphasize restoration on the public lands to
achieve its multiple use and sustained yield mandate.
(b) In determining the restoration actions required to achieve
recovery of ecosystems and promote resilience, the BLM must consider
the causes of degradation, the recovery potential of the ecosystem, and
the allowable uses in the governing land use plan, such as whether an
area is managed for recreation or is degraded land prioritized for
development. The BLM must then develop commensurate restoration goals
and objectives (see Sec. 6103.1.1).
(c) The BLM should employ management actions to promote
restoration. Over the long-term, restoration actions must be durable,
self-sustaining, and expected to persist in a manner that supports land
health and ecosystem resilience.
(d) When designing and implementing restoration actions on public
lands, including authorizing restoration leases, authorized officers
must adhere to the following principles:
(1) Ensure that restoration actions address causes of degradation,
focus on process-based solutions, and where possible maintain
attributes and resource values associated with the potential or
capability of the ecosystem;
(2) Ensure that actions are designed, implemented, and monitored at
appropriate spatial and temporal scales using suitable treatments and
tools to achieve desired outcomes;
(3) Coordinate and implement actions across BLM programs, with
partners, and in consideration of existing uses to develop holistic
restoration actions;
(4) Ensure incorporation of locally appropriate best management
practices, high-quality information, and adaptive management that
supports restoration;
(5) Identify opportunities to implement nature-based or low-tech
restoration activities and use seed from native plants; and
(6) Consult with Tribes to identify opportunities for co-
stewardship or collaboration (see Sec. 6102.5(b)(4) through (6)).
Sec. 6102.3.1 Restoration Prioritization and Planning.
(a) Authorized officers must identify measurable and quantifiable
restoration outcomes consistent with the restoration principles
enumerated in Sec. 6102.3 in all resource management plans.
(b) Authorized officers will, at least every 5 years, identify
priority landscapes for restoration consistent with resource management
plan objectives and the restoration principles enumerated in Sec.
6102.3. In doing so, authorized officers must consider:
(1) Current conditions and causes of degradation as indicated by
watershed condition assessments, existing land health assessments,
evaluations, and determinations, and other high-quality information
(see Sec. 6103.2);
(2) The likelihood of success of restoration activities to achieve
resource or conservation objectives including ecosystem resilience;
(3) Where restoration actions may have the most social and economic
benefits or work to address environmental justice, including impacts on
communities with environmental justice concerns; and
(4) Where restoration or mitigation can minimize or offset
unnecessary or undue degradation, such as ecosystem conversion,
fragmentation, habitat loss, or other negative outcomes that
permanently impair ecosystem resilience.
(c) For priority landscapes identified in accordance with this
subpart, authorized officers must periodically, and at least every 5
years, develop or amend restoration plans consistent with resource
management plan objectives in accordance with part 1600 of this
chapter. Each restoration plan must include goals, objectives, and
management actions that are:
(1) Consistent with the restoration principles enumerated in Sec.
6102.3;
(2) Commensurate with recovery potential;
(3) Evaluated against measurable objectives, including to
facilitate adaptive management to achieve outcomes supporting ecosystem
resilience (see subpart 6103);
(4) Developed consistent with scientifically accepted standards and
principles for restoration; and
(5) Consistent with statewide and regional needs as identified in
the assessment of priority landscapes for restoration as identified in
this subpart.
(d) Authorized officers must track restoration implementation and
progress toward achieving goals at appropriate temporal scales. If
restoration goals are not met, authorized officers must assess why
restoration outcomes are not being achieved and what, if any,
additional resources or changes to management are needed to achieve
restoration goals.
Sec. 6102.4 Restoration and Mitigation Leasing.
(a) The BLM may authorize restoration leases or mitigation leases
under such terms and conditions as the authorized officer determines
are appropriate for the purpose of restoring degraded landscapes or
mitigating impacts of other uses.
(1) Restoration or mitigation leases on the public lands may be
authorized for the following purposes:
(i) Restoration of land and resources by passively or actively
assisting the recovery of an ecosystem that has been degraded, damaged,
or destroyed to a more natural, resilient ecological state; and
(ii) Mitigation to offset impacts to resources resulting from other
land use authorizations.
(2) Authorized officers may issue restoration or mitigation leases
to any qualified entity that can demonstrate capacity for implementing
restoration or mitigation projects (as appropriate) and meets the lease
requirements. Consistent with the lease adjudication practices
established in 43 CFR 2920, qualified entities for restoration or
mitigation
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leases may be individuals, businesses, non-governmental organizations,
Tribal governments, conservation districts, or State fish and wildlife
agencies. Qualified entities for a mitigation lease to establish an in-
lieu fee program are limited to non-governmental organizations, State
fish and wildlife agencies, and Tribal government organizations.
Restoration and mitigation leases may not be held by a foreign person
as that term is defined in 31 CFR 802.221.
(3) Restoration or mitigation leases shall be issued for a term
consistent with the time required to achieve their objective.
(i) A lease issued for purposes of restoration may be issued for a
maximum term of 10 years, and all activities taken under the lease
shall be reviewed mid-term for consistency with the lease provisions.
(ii) A lease issued for purposes of mitigation shall be issued for
a term commensurate with the impact it is mitigating, and all
activities taken under the lease reviewed every 5 years for consistency
with the lease provisions.
(iii) Authorized officers may renew a restoration or mitigation
lease if necessary to serve the purpose for which the lease was first
issued, provided that the lease holder is in compliance with the terms
and conditions of the lease and renewal is consistent with applicable
law. Such renewal can be for a period no longer than the original term
of the lease.
(4) Subject to valid existing rights and applicable law, once the
BLM has issued a lease, the BLM shall not issue new authorizations to
use the leased lands if the use would be incompatible with the
authorized restoration or mitigation use.
(5) No land use authorization is required under the regulations in
this part for casual use of the public lands covered by a restoration
or mitigation lease.
(b) The application process for a restoration or mitigation lease
and for renewal of such a lease is as follows:
(1) An application for a restoration or mitigation lease must be
filed using an approved application form with the Bureau of Land
Management office having jurisdiction over the public lands covered by
the application.
(2) The filing of an application gives the applicant no right to
use the public lands.
(3) Acceptance of an application or approval of a lease is not
guaranteed and is at the discretion of the authorized officer.
(4) Actions that pertain to or address geographic areas or resource
conditions previously identified as needing restoration by the BLM
through watershed condition assessments and existing land health
assessments, land health evaluations, an existing restoration plan, a
mitigation strategy, or high-quality inventory, assessment, and
monitoring information shall be given priority for consideration (see
subpart 6103).
(c) An application for a restoration or mitigation lease must
comply with the following requirements:
(1) An application must include a restoration or mitigation
development plan that describes the proposed restoration or mitigation
use in sufficient detail to enable authorized officers to evaluate the
feasibility, impacts, benefits, costs, threats to public health and
safety, collaborative efforts, and conformance with BLM plans,
programs, and policies, including compatibility with other uses.
(2) The development plan shall include, but not be limited to:
(i) Results from available assessments, inventory and monitoring
efforts, or other high-quality information (see subpart 6103) that
identify the current conditions of the site(s) of the proposed
restoration or mitigation action;
(ii) The desired future condition of the proposed lease area
including clear goals, objectives, and measurable performance criteria
needed to determine progress toward achieving the objectives;
(iii) Justification for passive restoration or mitigation if
proposed;
(iv) A description of all facilities for which authorization is
sought, including access needs and any other special types of
authorizations that may be needed;
(v) A map of sufficient scale to allow the required information to
be legible as well as a legal description of primary and alternative
project locations;
(vi) Justification of the total acres proposed for the restoration
or mitigation lease;
(vii) A schedule for restoration activities if applicable; and
(viii) Information on outreach already conducted or to be conducted
with existing permittees, lease holders, adjacent land managers or
owners, and other interested parties.
(3) Restoration lease development plans must be consistent with
Sec. 6102.3 and mitigation lease development plans must be consistent
with Sec. 6102.5.1.
(4) Applicants must submit the following additional information,
upon request of the authorized officer:
(i) Additional high-quality information, if such information is
necessary for the BLM to decide whether to issue, issue with
modification, or deny the proposed lease;
(ii) Documentation of or proof of application for any required
private, State, local, or other Federal agency licenses, permits,
easements, certificates, or other approvals; and
(iii) Evidence that the applicant has, or will have prior to
commencement of lease activities, the technical and financial
capability to operate, maintain, and terminate the authorized lease
activities.
(d) When reviewing restoration and mitigation lease applications,
authorized officers will consider the following factors, along with
other applicable legal requirements, which will make lease issuance
more likely:
(1) Lease outcomes that are consistent with the restoration
principles in Sec. 6102.3(d);
(2) Desired future conditions that are consistent with the
management objectives and allowable uses in the governing land use
plan, such as an area managed for recreation or prioritized for
development;
(3) Collaboration with existing permittees, leaseholders, and
adjacent land managers or owners;
(4) Outreach to or support from local communities; or
(5) Consideration of environmental justice objectives.
(e) If approved, the leaseholder shall provide a monitoring plan
that describes how the terms and conditions of the lease will be
applied, the monitoring methodology and frequency, measurable criteria,
and adaptive management triggers.
(1) The lease holder shall provide a lease activity report annually
and at the end of the lease period. At a minimum, the report shall
specify:
(i) The restoration or mitigation activities taken as of the time
of the report;
(ii) Any barriers to meeting the stated purpose of the lease;
(iii) Proposed steps to resolve any identified barriers; and
(iv) Monitoring information and data that meet BLM methodology
requirements and data standards (see Sec. 6103.2(d)).
(2) Additional requirements for development plans and monitoring
plans for mitigation leases are provided in Sec. 6102.5.1.
(f) An approved lease does not convey exclusive rights to use the
public lands to the lease holder The authorized officer retains the
discretion to determine compatibility of the renewal of existing
authorizations and future land use proposals on lands subject to
restoration or mitigation leases.
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(g) A restoration or mitigation lease will not preclude access to
or across leased areas for casual use, recreation use, research use, or
other use taken pursuant to a land use authorization that is compatible
with the approved restoration or mitigation use.
(h) Existing access that accommodates accessibility under section
504 of the Rehabilitation Act shall remain after a lease has been
issued.
(i) A restoration or mitigation lease may only be amended,
assigned, or transferred with the written approval of the authorized
officer, and no amendment, assignment, or transfer shall be effective
until the BLM has approved it in writing. Authorized officers may
authorize assignment or transfer of a restoration or mitigation lease
in their discretion if no additional rights will be conveyed beyond
those granted by the original authorization, the proposed assignee or
transferee is qualified to hold the lease, and the assignment or
transfer is in the public interest.
(j) Administrative cost recovery, rents, and fees for restoration
and mitigation leases will be governed by the provisions of 43 CFR
2920.6 and 2920.8, provided that the BLM may waive or reduce
administrative cost recovery, fees, and rent of a restoration lease if
the restoration lease is not used to generate revenue or satisfy the
requirements of a mitigation program (e.g., selling credits in an
established market), and the restoration lease will enhance ecological
or cultural resources or provide a benefit to the general public.
Sec. 6102.4.1 Termination and Suspension of Restoration and
Mitigation Leases.
(a) If a restoration or mitigation lease provides by its terms that
it shall terminate on the occurrence of a fixed or agreed-upon event,
the restoration or mitigation lease shall automatically terminate by
operation of law upon the occurrence of such event.
(b) A restoration or mitigation lease may be terminated by mutual
written agreement between the authorized officer and the lease holder.
(c) Authorized officers have discretion to suspend or terminate
restoration or mitigation leases under the following circumstances:
(1) Improper issuance of the lease;
(2) Noncompliance by the holder with applicable law, regulations,
or terms and conditions of the lease;
(3) Failure of the holder to use the lease for the purpose for
which it was authorized; or
(4) Impossibility of fulfilling the purposes of the lease.
(d) Upon determination that the holder has failed to comply with
any terms or conditions of a lease and that such noncompliance
adversely affects or poses a threat to land or public health or safety,
or impacts ecosystem resilience, the authorized officer shall issue an
immediate temporary suspension.
(1) The authorized officer may issue an immediate temporary
suspension order orally or in writing at the site of the activity to
the holder or a contractor or subcontractor of the holder, or to any
representative, agent, employee, or contractor of any such holder,
contractor, or subcontractor, and the suspended activity shall cease at
that time. As soon as practicable, the authorized officer shall confirm
the order by a written notice to the holder addressed to the holder or
the holder's designated agent. The authorized officer may also take
such action that the authorized officer considers necessary to address
the adverse effects or threat to land or public health or safety or
impacts to ecosystem resilience.
(2) The authorized officer may order immediate temporary suspension
of an activity independent of any action that has been or is being
taken by another Federal or State agency.
(3) Any time after an order of temporary suspension has been
issued, the holder may file with the authorized officer a request for
permission to resume activities authorized by the lease. The request
shall be in writing and shall contain a statement of the facts
supporting the request. The authorized officer may grant the request
upon determination that the adverse effects or threat to land or public
health or safety or impacts to ecosystem resilience are resolved.
(4) The authorized officer may render an order to either grant or
deny the request to resume within 30 working days of the date the
request is filed. If the authorized officer does not render an order on
the request within 30 working days, the request shall be considered
denied, and the holder shall have the same right to appeal as if an
order denying the request had been issued.
(e) Process for termination or suspension other than temporary
immediate suspension.
(1) Prior to commencing any proceeding to suspend or terminate a
lease, the authorized officer shall give written notice to the holder
of the legal grounds for such action and shall give the holder a
reasonable time to address the legal basis the authorized officer
identifies for suspension or termination.
(2) After due notice of termination or suspension to the holder of
a restoration or mitigation lease, if grounds for suspension or
termination still exist after a reasonable time, the authorized officer
shall give written notice to the holder and refer the matter to the
Office of Hearings and Appeals for a hearing before an administrative
law judge pursuant to 43 CFR part 4. The authorized officer shall
suspend or revoke the restoration or mitigation lease if the
administrative law judge determines that grounds for suspension or
revocation exist and that such action is justified.
(3) Authorized officers shall terminate a suspension order when
they determine that the grounds for such suspension no longer exist.
(4) Upon termination of a restoration or mitigation lease, the
holder shall, for 60 days after the notice of termination, retain
authorization to use the associated public lands solely for the
purposes of reclaiming the site to its pre-use conditions consistent
with achieving land health fundamentals, unless otherwise agreed upon
in writing or in the lease terms. If the holder fails to reclaim the
site consistent with the requirements of the lease terms within a
reasonable period, all authorization to use the associated public lands
will terminate, but that shall not relieve the holder of liability for
the cost of reclaiming the site.
Sec. 6102.4.2 Bonding for Restoration and Mitigation Leases.
(a) Bonding obligations. (1) Prior to the commencement of surface-
disturbing or active management activities, the authorized officer may
require the restoration or mitigation lease holder to submit a
reclamation, decommission, or performance bond conditioned upon
compliance with all the terms and conditions of the lease covered by
the bond, as described in this subpart. For mitigation leases, the
lease holder will usually be required to provide letters of credit or
establish an escrow account for the full amount needed to ensure the
development plan meets all performance criteria. The bond amounts shall
be sufficient to ensure reclamation of the restoration and mitigation
lease area(s) and the restoration of any lands or surface waters
adversely affected by restoration or mitigation lease operations. Such
restoration may be required after the abandonment or cessation of
operations by the restoration or mitigation lease holder in accordance
with, but not limited to, the standards and requirements set forth by
authorized officers.
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(2) Considerations for requiring a bond include, but are not
limited to:
(i) The type and level of active restoration;
(ii) Amount and type of surface disturbing activity;
(iii) Proposed use of non-natural restoration methods, such as the
use of pesticides;
(iv) Proposed use of experimental methods of restoration;
(v) Risk of compounding effects resulting from restoration
activities, such as a proliferation of invasive species; and
(vi) Fire risk.
(3) Surety bonds shall be issued by qualified surety companies
certified by the Department of the Treasury.
(4) Personal bonds shall be accompanied by:
(i) Cashier's check;
(ii) Certified check; or
(iii) Negotiable Treasury securities of the United States of a
value equal to the amount specified in the bond. Negotiable Treasury
securities shall be accompanied by a proper conveyance to the Secretary
of full authority to sell such securities in case of default in the
performance of the terms and conditions of a conservation use
authorization.
(b) In lieu of bonds for each individual restoration or mitigation
lease, holders may furnish a bond covering all restoration or
mitigation leases and operations in any one State. Such a bond must be
at least $25,000 and must be sufficient to ensure reclamation of all of
the holder's restoration or mitigation lease area(s) and the
restoration of any lands or surface waters adversely affected by
restoration or mitigation lease operations in the State.
(c) All bonds shall be filed in the proper BLM office on a current
form approved by the Office of the Director. A single copy executed by
the principal or, in the case of surety bonds, by both the principal
and an acceptable surety is sufficient. Bonds shall be filed in the
Bureau State Office having jurisdiction of the restoration or
mitigation lease covered by the bond.
(d) Default.
(1) Where, upon a default, the surety makes a payment to the United
States of an obligation incurred under a restoration or mitigation
lease, the face amount of the surety bond or personal bonds and the
surety's liability thereunder shall be reduced by the amount of such
payment.
(2) After default, where the obligation in default equals or is
less than the face amount of the bond(s), the principal shall either
post a new bond or restore the existing bond(s) to the amount
previously held or a larger amount as determined by authorized
officers. In lieu thereof, the principal may file separate or
substitute bonds for each conservation use covered by the deficient
bond(s). Where the obligation incurred exceeds the face amount of the
bond(s), the principal shall make full payment to the United States for
all obligations incurred that are in excess of the face amount of the
bond(s) and shall post a new bond in the amount previously held or such
larger amount as determined by authorized officers. The restoration of
a bond or posting of a new bond shall be made within 6 months or less
after receipt of notice from authorized officers.
(3) Failure to comply with these requirements may:
(i) Subject all leases covered by such bond(s) to termination under
the provisions of this title;
(ii) Prevent the bond obligor or principal from acquiring any
additional restoration or mitigation leases or interest therein under
this subpart; and
(iii) Result in the bond obligor or principal being referred to the
suspension and debarment program under 2 CFR part 1400 to determine if
the entity will be suspended or debarred from doing business with the
Federal Government.
Sec. 6102.5 Management Actions for Ecosystem Resilience.
(a) Authorized officers must:
(1) Identify priority watersheds, landscapes, and ecosystems that
require protection and restoration efforts (see Sec. Sec. 6102.2 and
6102.3.1);
(2) Develop and implement plans and strategies, including
protection, restoration, and mitigation strategies that effectively
manage public lands to protect and promote resilient ecosystems (see
Sec. Sec. 6102.1, 6102.3.1, 6102.5.1, 6103.1.2);
(3) Develop and implement monitoring and adaptive management
strategies for maintaining sustained yield of renewable resources,
accounting for changing landscapes, fragmentation, invasive species,
and other disturbances (see Sec. 6103.2);
(4) Report annually on the results of land health evaluations, and
determinations (see Sec. 6103.1.2);
(5) Ensure that watershed condition assessments incorporate
consistent analytical approaches (see Sec. 6103.2) both among
neighboring BLM State Offices and with the fundamentals of land health;
and
(6) Share watershed condition assessments in a publicly available
national database to determine changes in watershed condition and
record measures of success based on conservation and restoration goals.
(b) In taking management actions, and as consistent with applicable
law and resource management plans, such as where an area is managed for
recreation or is degraded land prioritized for development, authorized
officers must:
(1) Make every effort to avoid authorizing uses of the public lands
that permanently impair ecosystem resilience;
(2) Promote opportunities to support conservation and other actions
that work toward achieving land health standards and ecosystem
resilience;
(3) Issue decisions that promote the ability of ecosystems to
passively recover or the BLM's ability to actively restore ecosystem
composition, structure, and function;
(4) Meaningfully consult with Indian Tribes and Alaska Native
Corporations during the decision-making process on actions that are
determined, after allowing for Tribal input, to potentially have a
substantial effect on the Tribe or Corporation;
(5) Allow State, Tribal, and local agencies to serve as joint lead
agencies consistent with 40 CFR 1501.7(b) or as cooperating agencies
consistent with 40 CFR 1501.8(a) in the development of environmental
impact statements or environmental assessments;
(6) Respect Indigenous Knowledge, by:
(i) Improving engagement and expanding co-stewardship of public
lands with Tribal entities;
(ii) Encouraging Tribes to suggest ways in which Indigenous
Knowledge can be used to inform the development of alternatives,
analysis of effects, and when necessary, identification of mitigation
measures; and
(iii) Communicating to Tribes in a timely manner and in an
appropriate format how their Indigenous Knowledge was included in
decision-making, including addressing management of sensitive
information;
(7) Seek opportunities to restore or protect ecosystem resilience
when the effects of potential uses are unknown; and
(8) Provide justification for decisions that may impair ecosystem
resilience.
(c) Authorized officers must use high-quality inventory,
assessment, and monitoring data, as available and appropriate, to
evaluate resource conditions and inform decision-making across program
areas (see Sec. 6103.2(c)), specifically by:
(1) Identifying clear goals or desired outcomes relevant to the
management decision;
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(2) Gathering high-quality information relevant to the management
decision, including standardized quantitative monitoring data and data
about land health;
(3) Selecting relevant indicators for each applicable management
question (e.g., land health standards, restoration effectiveness,
assessments of intactness);
(4) Establishing a framework for translating indicator values to
condition categories (such as quantitative monitoring objectives or
science-based conceptual models); and
(5) Summarizing results and ensuring that a clear and
understandable rationale is documented, explaining how the data were
used to make the decision.
Sec. 6102.5.1 Mitigation.
(a) The BLM will apply the mitigation hierarchy to avoid, minimize,
and compensate, as appropriate, for adverse impacts to resources when
authorizing uses of public lands. As appropriate, the authorized
officer may identify specific mitigation approaches or requirements to
address resource impacts through land use plans or in other decision
documents.
(b) For important, scarce, or sensitive resources, authorized
officers shall apply the mitigation hierarchy with particular care,
with the goal of eliminating, reducing, and/or offsetting impact on the
resource, consistent with applicable law.
(c) When implementing the mitigation hierarchy, including
authorizing mitigation leases, the BLM will:
(1) Use a landscape-scale approach to develop and implement
mitigation strategies that identify mitigation needs and opportunities
in a geographic area, including opportunities for the siting of large,
market-based mitigation programs or projects (e.g., mitigation banks)
on public lands;
(2) Use high-quality information to inform the identification and
analysis of adverse impacts, to determine appropriate mitigation
programs or projects for those impacts, and to achieve appropriate and
effective mitigation outcomes;
(3) Require identification of performance criteria for mitigation
programs or projects, effectiveness monitoring of those performance
criteria, and reports that assess the achievement of those performance
criteria;
(4) Use adaptive management principles to guide and improve
mitigation outcomes; and
(5) Ensure that any compensatory mitigation programs or projects
are commensurate with the applicable adverse impacts and that the
required compensatory mitigation programs and projects are durable,
additional, and timely.
(6) As used in this section, the terms additional, commensurate,
durable, and timely have the following definitions:
(i) Additional means the compensatory mitigation program or
project's benefit is demonstrably new and would not have occurred
without the compensatory mitigation measure.
(ii) Commensurate means the compensatory mitigation program or
project is reasonably related and proportional to the adverse impact
from authorizing uses of public lands.
(iii) Durable means the maintenance of the effectiveness of a
mitigation program or project, including resource, administrative, and
financial considerations.
(iv) Timely means the lack of a time lag between the impact to the
resources and the achievement of the outcomes of the associated
compensatory mitigation.
(d) The BLM may approve, through a formal agreement, a third-party
mitigation fund holder to administer funds for the implementation of
compensatory mitigation programs or projects. A BLM-approved third-
party mitigation fund holder may:
(1) Collect mitigation funds from permittees;
(2) Manage funds in accordance with agency decision documents, use
authorizations and applicable law; and
(3) Disperse those funds in accordance with agency decision
documents, use authorizations, and applicable law.
(e) Approved third-party mitigation fund holders must file with the
BLM annual fiscal reports. To qualify as a third-party mitigation fund
holder, the entity must either:
(1) Qualify for tax-exempt status in accordance with Internal
Revenue Code section 501(c)(3); provide evidence that they can
successfully hold and manage mitigation accounts; be a public charity
bureau for the State in which the mitigation area is located, or
otherwise comply with applicable State laws; be a third party
organizationally separate from and having no corporate or family
connection to the entity accomplishing the mitigation program or
project, BLM employees, or the permittee; adhere to generally accepted
accounting practices that are promulgated by the Financial Accounting
Standards Board, or any successor entity; and have the capability to
hold, invest, and manage the mitigation funds to the extent allowed by
law; or
(2) Be a State or local government agency, if the government agency
is able to demonstrate, to the satisfaction of the BLM, that:
(i) it is acting as a fiduciary for the benefit of the mitigation
project or site and can show that it has the authority and ability to
collect the funds, protect the account from being used for purposes
other than the management of the mitigation project or site, and
disburse the funds to the entities conducting the mitigation project or
management of the mitigation site;
(ii) it is organizationally separate from and has no corporate or
family connection to the entity accomplishing the mitigation program or
project, BLM employees, or the permittee; and
(iii) it adheres to generally accepted accounting practices that
are promulgated by the Governmental Accounting Standards Board or any
successor entity.
(f) Authorized officers will require mitigation leases and collect
annual rent at fair market value for large or otherwise substantial
compensatory mitigation programs or projects on public lands, including
mitigation banks and in-lieu fee programs. Mitigation leases may be
required for other compensatory mitigation projects on public lands at
the discretion of the authorized officer.
(g) In addition to the general requirements for mitigation leases
(Sec. 6102.4), in some circumstances, authorized officers may require
that mitigation lease holders submit to the agency a formal agreement
with a qualified mitigation fund holder as defined in paragraph (d) of
this section.
(h) An application for a mitigation lease for a mitigation bank or
an in-lieu fee program, in addition to the requirements in (Sec.
6102.4(c)), must also include sufficient information about the
anticipated demand for and duration of the mitigation bank or in-lieu
fee program, the anticipated types of mitigation projects that will be
conducted, and the methods that will be used to generate, evaluate,
assess, and maintain the mitigation projects.
(i) Authorized officers will ensure that compensatory mitigation
programs and projects, including those with mitigation leases, are
tracked in the appropriate BLM data systems.
Subpart 6103--Managing Land Health To Achieve Ecosystem Resilience
Sec. 6103.1 Land Health Standards.
(a) The BLM shall develop national land health standards that
facilitate progress toward achieving the following fundamentals of land
health across all ecosystems on lands managed by the BLM:
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(1) Watersheds are in, or are making significant progress toward,
properly functioning physical condition, including their upland,
riparian-wetland, and aquatic components; soil and plant conditions
support infiltration, soil moisture storage, and the release of water
that are in balance with climate and landform and maintain or improve
water quality, water quantity, and timing and duration of flow.
(2) Ecological processes, including the hydrologic cycle, nutrient
cycle, and energy flow, are maintained, or there is significant
progress toward their attainment, in order to support healthy biotic
populations and communities.
(3) Water quality complies with State water quality standards and
achieves, or is making significant progress toward achieving, BLM
management objectives established in the land use plan, such as meeting
wildlife needs.
(4) Habitats are, or are making significant progress toward being,
restored or maintained for Federal threatened and endangered species,
Federal proposed or candidate threatened and endangered species, and
other special status species.
(b) Land health fundamentals will be advanced through national land
health standards that, at a minimum, address the following resources,
processes, and values:
(1) Upland hydrologic function;
(2) Riparian, wetland, and aquatic hydrologic function;
(3) Upland ecological processes and biotic communities, including
connectivity, and intactness of native plant and animal habitats;
(4) Riparian, wetland, and aquatic ecological processes and biotic
communities including condition, connectivity, and intactness of native
plant and animal habitats;
(5) Water quality; and
(6) Habitat condition connectivity and intactness for Federal
threatened and endangered species, Federal proposed or candidate
threatened and endangered species, and other special status species.
(c) To facilitate land health evaluations, the national land health
standards will include indicators that are broadly applicable across
the major ecosystem or habitat types (e.g., forest, rangeland, cold
water fisheries) the BLM manages, and will include indicators derived
from standardized datasets.
(d) Authorized officers must manage all program areas in accordance
with the fundamentals of land health and standards, as provided in this
subpart. Authorized officers must adopt the national standards and
indicators, and may, when necessary, incorporate geographically
distinct land health standards and indicators to evaluate rare or
unique habitat or ecosystem types (e.g., permafrost) if such habitats
or ecosystems cannot be evaluated using the national land health
standards and indicators.
(e) Rangeland health standards developed under 43 CFR subpart 4180
will be reviewed and amended or supplemented as necessary to
incorporate the national standards and indicators within 3 years of the
effective date of these regulations. Subsequently, authorized officers
shall review all land health standards for sufficiency at least every
10 years.
(f) Amended land health standards must be approved by the
appropriate BLM State Director prior to implementation.
Sec. 6103.1.1 Management for Land Health.
(a) To facilitate ecosystem resilience, authorized officers should
use watershed condition assessments (see Sec. 6103.2), and land health
evaluations and causal factor determinations to support decision-
making. Such action promotes efficiency, supports environmental
analysis, and streamlines decision-making.
(b) To facilitate ecosystem resilience, authorized officers must
manage all program areas to progress toward achieving land health
standards.
(1) Authorized officers must apply approved land health standards,
as revised from rangeland health standards previously established under
subpart 4180 of this chapter (fundamentals of rangeland health), across
all ecosystems managed by the BLM.
(2) Programs that authorize and manage uses or implement management
actions on public land will develop management guidelines, which are
best management practices designed to facilitate progress toward
achievement and maintenance of land health standards.
(i) Authorized officers may develop or adopt additional management
guidelines to address local ecosystems and management practices.
(ii) Programs and authorized officers will review management
guidelines for sufficiency and make necessary revisions at least every
10 years in conjunction with the review of land health standards
described in this subpart.
(c) Land use plans must identify the allocations and actions
anticipated to achieve desired land health outcomes, including actions
to maintain or restore land health in accordance with the land health
standards. These actions include, but are not limited to, prioritizing
development in degraded areas as well as prioritizing and implementing
restoration actions (see Sec. 6102.3).
(d) Land use plans shall identify statutory, regulatory, and other
requirements that may prevent achievement of land health standards.
(1) Best management practices and mitigation measures to minimize
effects to land health resulting from these requirements should be
identified and required where practicable.
(2) Environmental effects analysis, consistent with NEPA
requirements, for proposed management actions must consider effects to
relevant land health standards.
Sec. 6103.1.2 Land Health Evaluations and Determinations.
(a) Authorized officers shall rely on watershed condition
assessments when possible to complete land health evaluations for BLM-
managed lands on a periodic basis, at least every 10 years (Sec.
6103.2).
(b) Authorized officers must determine the priority landscape and
appropriate scale for completing land health evaluations based on
resource concerns and, as necessary, to support decision-making
processes.
(c) Authorized officers must consider available watershed condition
assessments and existing land health assessments, evaluations, and
determinations in the course of decision-making processes for all
program areas.
(d) Land health evaluations interpret watershed condition
assessments, including locally relevant high-quality information to
draw conclusions about whether land health standards are achieved on
public lands. In the course of conducting land health evaluations,
authorized officers should:
(1) Consider multiple lines of evidence to evaluate achievement of
each standard;
(2) Identify trends toward or away from desired conditions through
analysis of high-quality information available over relevant time
periods and spatial scales;
(3) Document the rationale and findings as to whether each land
health standard is achieved or significant progress is being made
towards its achievement; and
(4) Develop an interdisciplinary monitoring plan with quantitative
objectives that can be measured to demonstrate significant progress
when a land health evaluation report identifies that any standard is
not achieved but significant progress is being made towards
achievement.
(e) When conducting a land health evaluation, if the authorized
officer
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finds that resource conditions are achieving or making significant
progress toward achieving land health standards, no additional land
health analysis is needed to authorize a use or permit activities.
(f) When conducting a land health evaluation, if the authorized
officer finds that resource conditions are not achieving or making
significant progress toward achieving land health standards, a
documented causal factor determination must be prepared as soon as
practicable but no later than 1 year after completion of the land
health evaluation identifying the nonachievement. Causal factor
determinations use available data to identify significant causal
factors and describe contributing causal factors or conditions leading
to non-achievement of standards.
(1) If the authorized officer determines sufficient information
exists to identify and address the significant causal factors
preventing resources from achieving or making significant progress
towards achieving land health standards, no further land health
analysis is required to address such factors.
(2) If the authorized officer determines insufficient information
exists to identify and address the significant causal factors
preventing resources from achieving or making significant progress to
achieving land health standards, additional information, assessment and
evaluation may be needed at finer scale.
(3) The authorized officer must take appropriate actions to
facilitate achievement or significant progress toward achievement of
land health standards as soon as practicable, unless otherwise
specified in the land use plan, or when significant causal factors are
outside of BLM control (e.g., lack of streamflow due to dewatering on
connected lands not administered by the BLM).
(4) To the extent existing grazing management practices or levels
of grazing use on public lands are identified as significant causal
factors preventing resources from achieving or making significant
progress towards achieving land health standards, authorized officers
must proceed under Sec. 4180.2(c) of this chapter. by taking
appropriate action as soon as practicable but no later than the start
of the next grazing year.
(5) Taking appropriate action means implementing actions that will
result in significant progress toward achieving land health standards.
Appropriate action must be consistent with applicable law, regulation,
and the governing land use plan and its management objectives, such as
where an area is managed for recreation or is degraded land prioritized
for development. Appropriate actions may include, but are not limited
to:
(i) Establishment or modification of terms and conditions for
permits, leases, and other use authorizations;
(ii) Development and implementation of activity plans;
(iii) Implementation of adaptive management actions; and
(iv) Control of unauthorized use.
(g) Upon determining that significant causal factors other than
current management practices are preventing achievement of land health
standards, but are not outside of BLM control (e.g., presence of
invasive species), the authorized officer shall identify and prioritize
appropriate actions that may result in significant progress toward
achievement of land health standards (see Sec. 6102.5).
(h) Subject to other applicable law, authorized officers may
implement restoration plans, modify authorized uses, or implement other
management actions to increase expediency and effectiveness of progress
towards achieving land health standards, to protect areas achieving
land health standards, or to meet other objectives.
(i) If current authorized uses are determined to be significant
causal factors and the authorized officer determines appropriate action
is needed, then appropriate action must be consistent with the
governing land use plan. Changes to some types of authorized uses may
first warrant an amendment to the land use plan to allow the authorized
officer to adjust those uses sufficient to make progress toward meeting
land health standards. However, whether to undertake a planning process
is at the discretion of the authorized officer.
(j) Authorized officers will report annually on land health
evaluation, and determination accomplishments; results; and actions
taken to address areas not achieving or making progress toward
achieving standards.
(k) The BLM will maintain and annually update a publicly available
record of land health evaluation and determination results and
management actions taken to facilitate progress toward achieving land
health standards.
Sec. 6103.2 Inventory, Assessment, and Monitoring.
(a) Watershed condition assessments must be completed at least once
every 10 years and used to inform land use planning, protect intact
landscapes (Sec. 6102.2), manage for ecosystem resilience (Sec.
6102.5), inform restoration actions (Sec. 6102.3), and inform land
health evaluations and determinations (Sec. 6103.1.1). Watershed
condition assessments assess and synthesize information on the
condition of soil, water, habitats, and ecological processes within
watersheds relative to the BLM's land health fundamentals and the
national land health standards. When conducting watershed condition
assessments, the BLM must:
(1) Compile and analyze multiple sources of high-quality
information to understand conditions and trends relevant to each land
health standard, including remote sensing products, field-based data,
and other data gathered through inventory, assessment, and monitoring
activities; and
(2) Incorporate consistent analytical approaches, quantitative
indicators, and benchmarks where practicable.
(b) The BLM will maintain a publicly available inventory of
infrastructure and natural resources on public lands. This inventory
must include both critical landscape components (e.g., roads, land
types, streams, habitats) and core indicators that address land health
fundamentals.
(c) Authorized officers will use high-quality inventory,
assessment, and monitoring information, including standardized
quantitative monitoring data, remote sensing maps, and geospatial
analyses, to inform decision-making across program areas, including,
but not limited to:
(1) Authorization of permitted uses;
(2) Land use planning;
(3) Watershed condition assessments and land health evaluations;
(4) Restoration planning, including prioritization;
(5) Assessments of restoration effectiveness;
(6) Consideration of areas of critical environmental concern;
(7) Evaluation and protection of intact landscapes;
(8) Restoration and mitigation leasing; and
(9) Other decision-making processes.
(d) Authorized officers must inventory, assess, and monitor
activities as necessary to inform the decision-making processes
identified in paragraph (b) of this section and, in so doing, must
employ the following:
(1) Interdisciplinary monitoring plans for providing data relevant
to decision makers;
(2) Standardized field protocols and indicators to allow data
comparisons through space and time in support of multiple management
decisions;
(3) Appropriate sample designs to minimize bias and maximize
applicability of collected data;
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(4) Integration with remote sensing products to optimize sampling
and calibrate continuous map products; and
(5) Data management and stewardship to ensure data quality,
accessibility, and use.
[FR Doc. 2024-08821 Filed 5-8-24; 8:45 am]
BILLING CODE 4331-27-P