Current through all regulations passed and filed through September 16, 2024
(A) Definition.
(1) For the purposes of this rule, a person
"owned or controlled" or "owns or controls" a coal mining operation if, at any
time:
(a) The person is the permittee of a
coal mining operation;
(b) Based on
instruments of legal or equitable ownership or voting securities, the person
owns of record in excess of fifty per cent of an entity which conducts coal
mining operations; or
(c) The
person has any relationship which gives that person authority directly or
indirectly to determine the manner in which an applicant, an operator, or other
entity conducts coal mining operations.
(2) It will be presumed that a person "owns
or controls" or "owned or controlled" a coal mining operation, unless it can be
demonstrated that the person does not or did not in fact have the authority
directly or indirectly to determine the manner in which the relevant coal
mining operation is or was conducted if, at any time:
(a) The person is an officer or a director of
an entity which conducts coal mining operations;
(b) The person is the operator of the coal
mining operation;
(c) The person
has the ability to commit the financial or real property assets or working
resources of an entity which conducts coal mining operations;
(d) The person is a general partner in a
partnership which conducts coal mining operations;
(e) Based on the instruments of legal or
equitable ownership or the voting securities of a corporate entity which
conducts coal mining operations, the person owns of record ten through fifty
per cent of the entity; or
(f) The
person owns or controls coal to be mined by another person under a lease,
sublease or other contract; and
(i) Has the
right to receive such coal after mining; or
(ii) Has the authority to determine the
manner in which another person conducts that coal mining operation.
(B)
Identification of interests.
(1) Each
application shall contain the names, addresses, and telephone numbers, and
either the employer identification numbers or the last four digits of the
social security numbers of:
(a) The permit
applicant;
(b) The operator, if the
operator is a person different from the applicant; and
(c) The person who will pay the abandoned
mine land reclamation fee.
(2) For a coal mining operation other than an
underground mining operation, each application shall also contain the names and
addresses of:
(a) Every legal or equitable
owner of record of the property to be mined;
(b) The holders of record of any leasehold
interest in the property to be mined; and
(c) Any purchaser of record under a real
estate contract of the property to be mined.
(3) For an underground mining operation each
application shall also contain the names and addresses of:
(a) Every legal or equitable owner of record
of the areas to be affected by surface operations and facilities and every
legal or equitable owner of record of the property to be mined;
(b) The holders of record of any leasehold
interest in areas to be affected by surface operations or facilities and the
holders of record of any leasehold interest in the coal to be mined;
and
(c) Any purchaser of record
under a real estate contract of areas to be affected by surface operations and
facilities and any purchaser of record under a real estate contract of the coal
to be mined.
(4) Each
application shall contain a statement of whether the applicant is a
corporation, partnership, single proprietorship, association or other business
entity. Each application other than a single
proprietorship shall contain the name, address and telephone numbers of the
resident agent of the applicant who will accept service of
process.
(5) For each person
who owns or controls or owned or controlled the applicant according to
paragraph (A) of this rule, the application shall contain the following
information:
(a) The person's name and
address, and either the last four digits of his or her social security number
or his or her employer identification number;
(b) The person's ownership or control
relationship to the applicant, including percentage of ownership and location
in organizational structure;
(c)
The title of the person's position, the date that the position was assumed, and
when this information is submitted under paragraph (I) of rule
1501:13-4-06
or paragraph (G)(5) of rule
1501:13-5-01
of the Administrative Code and the person is no longer employed in that
position, the date of departure from the position;
(d) Each additional name and identifying
number, including employer identification number or the last four digits of the
social security number, and federal or state permit number and corresponding
MSHA number, under which the person owns or controls, or previously owned or
controlled, a coal mining and reclamation operation in the United States within
the five-year period preceding the date of submission of the application;
and
(e) The application number or
other identifier of, and the regulatory authority for, any other pending coal
mining operation permit application filed by the person in any state in the
United States.
(6) If
any owner, holder, purchaser, or operator identified under paragraphs (B)(1) to
(B)(3) of this rule is a business entity other than a single proprietorship,
the application shall contain the names and street addresses of their
respective principals, officers, and resident agents.
(7) For any coal mining operation owned or
controlled by either the applicant or by any person who owns or controls the
applicant under the definition of "owned or controlled" and "owns or controls"
in paragraph (A) of this rule, the application shall include the operation's:
(a) Name, address, identifying numbers,
including employer identification number, federal or state permit number and
corresponding MSHA number, and the regulatory authority; and
(b) Ownership or control relationship to the
applicant, including percentage of ownership and location in organizational
structure.
(8) Each
application shall contain the names and addresses of the owners of record of
all surface and subsurface areas contiguous to any part of the proposed permit
area.
(9) Each application shall
contain the name of the proposed mine and the MSHA identification numbers for
all mine-associated structures that require MSHA approval.
(10) Each application shall contain a
statement of all lands, interests in lands, options, or pending bids on
interests held or made by the applicant for lands which are contiguous to the
area to be covered by the permit. If requested by the applicant, any
information required by this paragraph which is not on public file pursuant to
Ohio law shall be held in confidence by the chief as provided under rule
1501:13-1-10
of the Administrative Code.
(11)
After the applicant is notified that his or her application is approved, but
before the permit is issued, the applicant shall, as applicable, update,
correct, or indicate that no change has occurred in the information previously
submitted under paragraphs (B)(1), (B)(4), (B)(5), (B)(7), and (J) of this
rule.
(12) The applicant shall
submit the information required by paragraphs (B) and (C) of this rule on a
form prescribed by the chief.
(C) Violation information. Each application
shall contain:
(1) A statement of whether the
applicant or operator, or any subsidiary, affiliate, or persons controlled by
or under common control with the applicant or operator has:
(a) Had a federal or state coal mining permit
suspended or revoked during the five-year period preceding the date of
submission of the application; or
(b) Forfeited a mining bond, performance
security, or similar security deposited in lieu of bond.
(2) If any such suspension, revocation, or
forfeiture has occurred, a statement of the facts involved, including:
(a) Identification number of the
permit;
(b) Date of suspension,
revocation, or forfeiture, and, when applicable, the amount of bond,
performance security, or similar security forfeited;
(c) Identification of the regulatory
authority that suspended or revoked the permit or forfeited the bond,
performance security, or similar security, and the stated reasons for that
action;
(d) The current status of
the permit, or of the bond, performance security, or similar security involved;
and
(e) The date, location, and
type of any administrative or judicial proceedings initiated concerning the
suspension, revocation or forfeiture, and the current status of these
proceedings.
(3) The
applicant shall submit a listing of:
(a) Each
violation notice, as that term is defined in rule
1501:13-1-02 of the
Administrative Code, received by the applicant or operator in connection with
any coal mining and reclamation operation during the three-year period
preceding the date of submission of the application for violations of Chapter
1513. of the Revised Code or these rules, or of any law, rule, or regulation of
the United States, or of any state law, rule, or regulation enacted pursuant to
federal law, rule, or regulation, pertaining to air or water environmental
protection; and
(b) All unabated
violation notices received prior to the date of submission of the application
incurred in connection with any coal mining and reclamation operation owned or
controlled by either the applicant or the operator or by any person who owns or
controls the applicant.
(4) For each violation notice reported under
paragraph (C)(3)(a) or (C)(3)(b) of this rule, the application shall also
contain:
(a) Any identifying numbers for the
operation, including the federal or state permit number and associated MSHA
number, the date of issuance and identification number of the violation notice,
the name of the person to whom the violation notice was issued, and the name of
the issuing regulatory authority, department, or agency;
(b) A brief description of the violation
alleged in the violation notice;
(c) The date, location, and type of any
administrative or judicial proceedings initiated concerning the violation
notice, including, but not limited to, proceedings initiated by the applicant
to obtain administrative or judicial review of the violations;
(d) The current status of the proceedings and
of the violation notice;
(e) If the
abatement period for a violation in a notice of violation issued under
paragraph (B) of rule
1501:13-14-02 of the
Administrative Code, or its equivalent for the federal or another state
regulatory program, has not expired, certification that the violation is being
abated or corrected to the satisfaction of the agency with jurisdiction over
the violation; and
(f) For all
violations not covered under paragraph (C)(4)(e) of this rule, the actions
taken to abate or correct the violation.
(5) After the applicant is notified that his
or her application is approved, but before the permit is issued, the applicant
shall, as applicable, update, correct, or indicate that no change has occurred
in the information previously submitted under paragraph (C) of this
rule.
(D) Right of entry
and operation information.
(1) Each
application shall contain a notarized statement describing the documents upon
which the applicant bases his or her legal right to enter and begin coal mining
in the permit area, for surface mining operations, or in the permit and shadow
areas, for underground mining operations, and whether that right is the subject
of pending litigation. The notarized statement shall identify those documents
by type and date of execution, identify the specific lands to which the
document pertains, and explain the legal rights claimed by the
applicant.
(2) Each application
shall contain a notarized statement identifying the specific land for which the
applicant is negotiating to acquire the legal right to enter and begin coal
mining in the permit area, for surface mining operations, or in the permit and
shadow areas, for underground mining operations, during the term of the permit
and, when requested by the chief, signed statements from each landowner and
mineral owner granting authorized representatives of the chief a right of entry
to, upon, and through the areas of land upon which coal mining and reclamation
operations are proposed.
(3) Where
the private mineral estate to be mined has been severed from the private
surface estate and surface disturbance will result from the applicant's
proposed use of a surface mining method, the application shall also provide for
lands within the permit area:
(a) A copy of
the written consent of the surface owner to the surface disturbance that will
result from the extraction of coal by the applicant's proposed surface mining
method;
(b) A copy of the document
of conveyance that expressly grants or reserves the right to extract the coal
by surface mining methods that cause surface disturbance; or
(c) If the conveyance does not expressly
grant the right to extract the coal by surface mining methods that cause
disturbance, documentation that under state law, the applicant has the legal
authority to extract the coal by those methods.
(4) Nothing in this rule shall be construed
to afford the chief the authority to adjudicate property rights
disputes.
(E)
Relationship to areas designated unsuitable for mining.
(1) Each application shall contain a
statement of available information on whether the proposed permit area is
within an area designated unsuitable for coal mining operations under rule
1501:13-3-07
of the Administrative Code or under study for designation in an administrative
proceeding under such rule.
(2) If
an applicant claims the exemption provided in paragraph (B)(3) of rule
1501:13-3-05
of the Administrative Code, the application shall contain information
supporting the applicant's assertion that it made substantial legal and
financial commitments before January 4, 1977, concerning the proposed coal
mining operations.
(3) If an
applicant proposes to conduct coal mining operations within three hundred feet,
measured horizontally, of an occupied dwelling, the application shall contain
the waiver of the owner of the dwelling as required in paragraph (D) of rule
1501:13-3-04
of the Administrative Code.
(4) If
an applicant proposes to conduct coal mining operations within one hundred
feet, measured horizontally, of a public road, the application shall contain
the road permit as required under paragraph (C) of rule
1501:13-3-04
of the Administrative Code.
(F) Permit term information.
(1) Each application shall state the
anticipated or actual starting and termination date of each phase of the coal
mining and the anticipated number of acres of land to be affected during the
first year of mining and over the total life of the permit.
(2) Each application to conduct an
underground mining operation shall also state the horizontal extent of proposed
underground mine workings over the total life of the permit.
(3) If an applicant proposes a permit term in
excess of five years, the application shall:
(a) Be complete and accurate covering the
specified longer term; and
(b) Show
that the proposed longer term is reasonably needed to allow the applicant to
obtain financing for equipment and for the opening of the operation with the
need confirmed, in writing, by the applicant's proposed source of
financing.
(G) Identification of location of public
office for filing of application. Each application shall identify, by name and
address, the public office where the applicant will simultaneously file a copy
of the application for public inspection as required by these rules.
(H) Newspaper advertisement and proof of
publication. A copy of the newspaper advertisement of the application for a
permit or renewal of a permit, or for revision of a permit if notice is
required under paragraph (E) of rule
1501:13-4-06
of the Administrative Code, shall be filed with the chief and made a part of
the complete application. A proof of publication shall be filed with the chief
prior to approval of the permit application.
(I) Facilities or structures used in common.
The plans of a facility or structure that is to be shared by
two or more separately permitted mining operations may be included in one
permit application and referenced in the other applications. In accordance with
Chapter 1501:13-7 of the Administrative Code, each permittee shall provide
performance security for the facility or structure unless the permittees
sharing it agree to another arrangement for assuming their respective
responsibilities. If such agreement is reached, then the application shall
include a copy of the agreement between or among the parties setting forth the
respective performance security responsibilities of each party for the facility
or structure. The agreement shall demonstrate to the satisfaction of the chief
that all responsibilities under this chapter for the facility or structure will
be met.
(J) Central file
for identity information.
(1) The chief shall
allow an applicant or permittee to meet the information submittal requirements
of paragraph (B) of this rule, paragraph (I) of rule
1501:13-4-06,
and paragraph (G)(5) of rule
1501:13-5-01
of the Administrative Code, by submitting the required information to the
chief, on a form provided by the chief, with an indication that the information
in the form applies to all permits held by the applicant or permittee. The
applicant or permittee shall swear or affirm, under oath and in writing, that
all information provided pursuant to paragraph (J) of this rule is accurate and
complete.
(2) The chief shall
establish a central file to house the information submitted pursuant to
paragraph (J) of this rule, rather than placing duplicate information in each
application file for a permittee. The chief shall make the information in this
central file available to the public upon request.
(3) Permittees shall update information in
this central file according to the following:
(a) If the information already submitted to
the chief under paragraph (B) of this rule, paragraph (I) of rule
1501:13-4-06
and paragraph (G)(5) of rule
1501:13-5-01
of the Administrative Code is accurate and complete, the permittee shall
certify to the chief, on a form provided by the chief, by swearing or
affirming, under oath and in writing, that the information is accurate,
complete, and up to date; or
(b) If
part of the information already submitted to the chief under paragraph (B) of
this rule, paragraph (I) of rule
1501:13-4-06
and paragraph (G)(5) of rule
1501:13-5-01
of the Administrative Code is missing or incorrect, the permittee shall submit
to the chief, on a form provided by the chief, the necessary information or
corrections and swear or affirm, under oath and in writing, that the
information is accurate and complete.