Current through all regulations passed and filed through September 16, 2024
(A) General requirements.
(1) This rule shall apply only to coal mining
operations other than underground mining operations.
(2)
(a)
Each application shall describe and identify the nature of cultural, historic
and archeological resources listed or eligible for listing on the "National
Register of Historic Places," administered by the national parks service, U.S.
department of the interior, and known archeological sites within the proposed
permit and adjacent areas. The description shall be based on all available
information, including, but not limited to, information from the state historic
preservation officer and from local archeological, historical, and cultural
preservation agencies. The website for the "National Register of Historic
Places" for Ohio sites is
http://www.nationalregisterofhistoricplaces.com/oh/state.html.
(b) The chief may require the applicant to
identify and evaluate important historic and archeological resources that may
be eligible for listing on the "National Register of Historic Places," as
referenced in paragraph (A)(2)(a) of this rule, through:
(i) Collection of additional
information;
(ii) Conduct of field
investigations; or
(iii) Other
appropriate analyses.
(3) Each application shall describe and
identify the lands subject to coal mining operations over the estimated life of
those operations and the size, sequence, and timing of the subareas for which
it is anticipated that individual permits for mining will be sought.
(B) Description of hydrology and
geology; general requirements.
Each application shall contain a description of surface and
ground water within the general area, and any water which will flow into or
receive discharges of water from the permit area. The description shall be
prepared in the manner required by paragraphs (B) to (G) of this rule, and
conform to the following:
(1)
Information on hydrology, water quality and quantity, and geology related to
hydrology of areas outside the proposed permit area and within the general area
shall be provided by the chief, to the extent that this data is available from
an appropriate federal or state agency.
(2) If this information is not available from
those agencies, the applicant may gather and submit this information to the
chief as part of the permit application.
(3) The permit shall not be approved by the
chief until this information is made available in the application.
(C) Geology description.
(1) Each application shall include geologic
information in sufficient detail to assist in determining:
(a) The probable hydrologic consequences of
the operation upon the quality and quantity of surface and ground water in the
permit and adjacent areas, including the extent to which surface and
groundwater monitoring is necessary.
(b) All potentially acid- or toxic-forming
strata down to and including the stratum immediately below the lowest coal seam
to be mined; and
(c) Whether
reclamation as required by these rules can be accomplished and whether the
proposed operation has been designed to prevent material damage to the
hydrologic balance outside the permit area.
(2)
(a) The
description shall include a general statement of the geology within the
proposed permit area and adjacent areas down to and including the deeper of
either the first stratum below the lowest coal seam to be mined or any aquifer
below the lowest coal seam to be mined which may be adversely affected by
mining. It shall also include the areal and structural geology of the permit
and adjacent areas, and the other parameters which influence the required
reclamation, and shall show how the areal and structural geology may affect the
occurrence, availability, movement, quantity, and quality of potentially
affected surface and ground waters. It shall be based on:
(i) The cross sections, maps and plans
required by paragraph (B) of rule
1501:13-4-08 of the Administrative
Code;
(ii) The information
obtained under paragraph (C)(3) of this rule; and
(iii) Geologic literature and
practices.
(b) Each
application for a permit shall contain the results of tests conducted on the
area of land to be mined. Unless the chief first approves a fewer number of
test holes, such tests shall consist of test holes made by the boring or
drilling method and be conducted at the rate of one test hole for each
twenty-five acres of land or fraction thereof, which is underlain by coal on
the area of land to be mined. At least one test hole shall be located on the
highest elevation in the area of land to be mined. Holes shall be located as
far apart as the size and shape of the area of land to be mined will allow.
Such holes shall be drilled to the bottom of the material underlying the lowest
coal seam to be mined and shall be staked or otherwise marked at the time of
filing the application for a permit so as to be clearly visible at the
approximate location, and shall be numbered. Such stakes or other markers shall
be maintained until the permit to conduct a coal mining operation is granted or
denied.
(3) Test borings
or core samples.
(a) Test borings or core
samples from the proposed permit area shall be collected and analyzed down to
and including the stratum immediately below the lowest coal seam to be mined.
Individual drilling reports shall be furnished for each test boring or core
sampling and shall contain the following information on forms prescribed by the
chief:
(i) Location of subsurface water, if
encountered;
(ii) Lithologic
characteristics including physical properties and thickness of each stratum and
each coal seam;
(iii) Chemical
analyses to include pH, neutralization potential, potential acidity, total or
pyritic sulfur, and calcium carbonate deficiency of each stratum;
(iv) Analyses of the coal seam for
acid-forming or toxic-forming materials, including, but not limited to, an
analysis of the total sulfur and the sulfur present in pyrite and
marcasite;
(v) Identification of
the test hole by the number assigned in paragraph (C)(2)(b) of this rule;
and
(vi) Identification of all coal
seams by name and number.
(b) To verify the results of the applicant's
tests, the chief may, prior to approval of the application, require the
applicant to drill additional test holes and provide the information required
in paragraph (C)(3)(a) of this rule.
(c) If more precise information than can be
provided by drilling techniques is warranted by potentially adverse site
conditions, the chief may require that the test hole information required in
paragraph (C)(3) of this rule be obtained by core drilling.
(4) Prior to submission of an
application, an applicant may request that the requirements of paragraphs
(C)(2)(b) and (C)(3)(a) of this rule be waived by the chief. The waiver may be
granted only if the chief makes a written determination that the statement
required is unnecessary because other equivalent information is accessible to
him or her in a satisfactory form. If the chief grants a waiver the waiver
shall be submitted with the permit application.
(D) Ground water information.
(1) The application shall contain a
description of the ground water hydrology for the proposed permit and adjacent
areas, including, at a minimum:
(a) The depth
below the surface and the horizontal extent of the water table and
aquifers;
(b) The lithology and
thickness of the aquifers;
(c)
Known uses of the water in the aquifers and water table;
(d) The quality of subsurface water, if
encountered;
(e) The depth to the
water in the coal seam if the seam is a water-bearing stratum, and each
water-bearing stratum above and potentially affected water-bearing stratum
below the coal seam; and (f) The approximate rate of discharge or usage of the
water.
(2) The
application shall contain a water supply inventory to include, at a minimum:
(a) A list of existing water wells on the
proposed permit and adjacent areas to describe the quality and quantity of the
ground water to include:
(i) Identification
number of the well;
(ii) Surface
elevation of the well;
(iii) Depth
of the well in feet below the land surface;
(iv) Static water level of the well in feet
below the land surface;
(v) The
lithology of the aquifer in which each well is developed; and
(vi) Name of owner of the well;
(b) A list of existing springs on
the proposed permit and adjacent areas to include:
(i) Identification number of the
spring;
(ii) Name of owner of any
spring that is developed for use as a water supply;
(iii) The surface elevation of the spring;
and
(iv) The aquifer each spring
flows from; and
(c) A
list of the location and type of any public water supply sources on the permit
and adjacent areas.
(3)
Where information required in the water supply inventory of paragraph (D)(2) of
this rule is unobtainable, a statement to that effect shall be made, giving the
reasons therefor.
(4) The
application shall contain the results of water quality analyses and
measurements of static water level or discharge, conducted on at least ten (or
all if less than ten) of the wells and springs on the permit and adjacent areas
or twenty-five per cent of such wells and springs, whichever number is greater.
(a) Wells and springs chosen for analysis and
measurement shall, as a group, represent all known aquifers present in the
permit and adjacent areas and shall, wherever possible, be those nearest to or
on the permit area.
(b) Sampling
for water quality analysis shall be conducted at a minimum one time prior to
submission of an application for a permit.
(c) The measurement of static water level or
discharge shall be conducted for each well and spring identified in paragraph
(D)(4) of this rule at a minimum one time prior to submission of an application
for a permit.
(d) Water samples
collected at the sites prescribed in paragraph (D)(4) of this rule shall be
analyzed for the following parameters according to the methodology specified in
40 C.F.R. parts 136 and 434:
(i) pH in
standard units;
(ii) Total acidity
in milligrams per liter of CaCO3;
(iii) Total alkalinity in milligrams per
liter of CaCO3;
(iv) Total manganese in milligrams per
liter;
(v) Total iron in milligrams
per liter;
(vi) Total hardness in
milligrams per liter of CaCO3;
(vii) Total dissolved solids or specific
conductance corrected to twenty-five degrees centigrade;
(viii) Total aluminum in milligrams per
liter;
(ix) Total sulfates in
milligrams per liter; and
(x) Other
such information as the chief determines relevant.
(e) The results of water quality analyses and
measurements prescribed in paragraph (D) of this rule shall be reported on a
form to be provided by the chief.
(5) Water quality and quantity data
sufficient to identify seasonal variations pursuant to
paragraph (D)(6) or (D)(7) of this rule shall be submitted with an
application for a permit.
(6)
Identifying seasonal variations for ground water and
surface water. For each application, the applicant shall submit three water
samples from each required sampling site designated pursuant to paragraphs
(D)(4) and (E)(1) of this rule. One sample shall be from the low flow period,
one sample from the high flow period, and one sample from either of the
intermediate flow periods, as established in the following table:
Flow Periods and Duration of Flow
Periods
Low Flow
|
August 16 to October 31
|
Transition Flow
|
November 1 to November 15
|
Intermediate Flow
|
November 16 to January 31
|
Transition Flow
|
February 1 to February 14
|
High Flow
|
February 15 to April 30
|
Transition Flow
|
May 1 to May 15
|
Intermediate Flow
|
May 16 to July 31
|
Transition Flow
|
August 1 to August 15
|
(a)
For samples submitted to meet the seasonal variations
requirements, the period between consecutive samples shall be at least thirty
days, but not more than eighteen months, and no sample shall be collected more
than thirty-six months before the date of submission of the application to the
chief. A sample that exceeds the eighteen month or thirty-six month time limit
of this paragraph may be acceptable if the applicant submits the following
information with the sample:
(i)
The date and sampling site of the sample;
and
(ii)
A description of all land disturbance activities that
existed at the time of the sample date or that have occurred since the sample
date within the local watershed that could affect the quality and quantity of
the surface water or ground water. The description shall include, but is not
limited to, land disturbances such as mining operations, highway construction,
cut and fill operations, building construction, and dam construction or
demolition.
(iii)
A sample that exceeds the eighteen month or thirty-six
month time limit is acceptable only if the chief determines that it is still
representative of the quality and quantity of the surface water or ground water
at the time of submission of the application.
(b)
The applicant is
not required to collect samples from consecutive flow periods.
(c)
The applicant may
record a low flow sample as "no flow" if the applicant documents that the
applicant made at least two attempts, at least thirty days apart, to collect a
flow at that site during the low flow period.
(d)
Transition flow
periods. A sample obtained during a transition flow period may be used for
either the preceding or succeeding flow period if the following conditions are
met:
(i)
The
applicant submits documentation showing that the sample from the transition
period accurately reflects the flow period for which the sample is submitted
and the chief agrees with this assessment;
(ii)
The sample
obtained during a transition period is not used for both the preceding and
succeeding flow periods;
(iii)
At least one of
the three required samples is obtained during a flow period other than a
transition period; and
(iv)
The applicant submits precipitation data for the local
watershed for the thirty days prior to the sample date.
(e)
Substitute sampling site for one sample. The applicant may request, in writing,
that a sample obtained from a site other than a designated sampling site be
substituted for one of the three designated site samples. A sample from a
substitute site shall not be used as the earliest of the three samples from a
designated sampling site. The chief shall review this request and determine
whether the substitute sampling site and the data collected from the site are
acceptable. In making the request, the applicant shall:
(i)
Describe how the
substitute sampling site adequately represents the original sampling
site;
(ii)
Demonstrate that the substitute sampling site is
located in the same aquifer as the original sampling site;
(iii)
Demonstrate
that the geology of the groundwater recharge area of the substitute site, as
well as the surface disturbance of the recharge area of the substitute site,
are similar to that of the original site;
(iv)
Demonstrate that
the substitute sampling site represents and performs the same function as the
original site;
(v)
Demonstrate that the analysis of the water quality and
quantity data from the substitute site accurately represents the quality and
quantity of the water at the original site and explain any anomalies in water
quality or quantity at the substitute site;
(vi)
Demonstrate that
the flow obtained at the substitute site was obtained during the flow period
missed at the original site;
(vii)
Include
precipitation data for the thirty days prior to the sample date at the
substitute site;
(viii)
Provide a description of the location of the substitute
sampling site relative to the original sampling location. The description shall
include bearing and distance measurements from the original sampling location
to the substitute sampling location; and
(ix)
Submit
additional information if required by the chief to support the use of a
substitute sample.
(f)
The applicant may
submit additional samples and other data related to seasonal variations beyond
that submitted to meet the minimum requirements of paragraph (D)(6) of this
rule.
(7)
Water quality and quantity data collected and described
other than as required by paragraph (D)(6) of this rule may be submitted to
identify seasonal variations in ground water and surface water, provided the
chief determines that the alternative data are sufficient to identify seasonal
variations needed for the hydrologic assessments required by Chapter 1513. of
the Revised Code and the rules adopted thereunder.
(E) Surface-water information.
(1) Within the proposed permit and adjacent
areas, all surface-water bodies such as streams, lakes and impoundments and all
discharges from the permit area into surface-water bodies shall be described
and sampled for analysis under paragraph (E) of this rule. The description
shall include the name of any watershed that will receive water discharges, the
name, ownership and location of all surface-water bodies and the known uses of
the water in these water bodies.
(2) Water samples collected under paragraph
(E) of this rule shall be analyzed according to the methodology specified in 40
C.F.R. parts 136 and 434. Surface water information shall include the following
water quality data to identify the characteristics of surface waters within the
proposed permit and adjacent areas:
(a) Total
suspended solids in milligrams per liter;
(b) Total acidity in milligrams per liter of
CaCO3;
(c)
Total alkalinity in milligrams per liter of
CaCO3;
(d)
pH in standard units;
(e) Total
iron in milligrams per liter;
(f)
Total manganese in milligrams per liter;
(g) Total dissolved solids or specific
conductance corrected to twenty-five degrees centigrade;
(h) Total aluminum in milligrams per
liter;
(i) Total sulfates in
milligrams per liter; and
(j) Other
such information as the chief determines relevant.
(3) Water quality and quantity data
sufficient to identify seasonal variations pursuant to
paragraph (D)(6) or (D)(7) of this rule shall be submitted with an
application for a permit.
(4) The
results of water quality analyses and measurements prescribed in paragraph (E)
of this rule shall be reported on a form to be provided by the chief.
(F) Alternative water supply
information. The application shall identify the extent to which the proposed
coal mining operations may proximately result in contamination, diminution, or
interruption of an underground or surface source of water that is for domestic,
agricultural, industrial, or other legitimate use. If contamination,
diminution, or interruption may result, then the description shall contain
information on water availability and alternative sources of water, including
the suitability of alternative water sources for existing premining uses and
approved post-mining land uses.
(G)
Supplemental information. If the determination of the probable hydrologic
consequences required by paragraph (E)(2) of rule
1501:13-4-05
of the Administrative Code indicates that adverse impacts on or off the
proposed permit area may occur to the hydrologic balance, or that acid-forming
or toxic-forming material is present that may result in the contamination of
ground-water or surface-water supplies, then information supplemental to that
required under paragraphs (D) and (E) of this rule shall be provided to
evaluate such probable hydrologic consequences and to plan remedial and
reclamation activities. Such supplemental information may be based upon
drilling, aquifer tests, hydrogeologic analysis of the water-bearing strata,
flood flows, or analyses of other water quality or quantity
characteristics.
(H) Climatological
information.
(1) When required by the chief,
the application shall contain a statement of the climatological factors that
are representative of the proposed permit area, including:
(a) The average seasonal
precipitation;
(b) The average
direction and velocity of prevailing winds; and
(c) Seasonal temperature ranges.
(2) The chief may request such
additional data as deemed necessary to ensure compliance with the requirements
of these rules.
(I)
Land-use information.
(1) The application
shall contain a statement of the condition, capability, and productivity of the
land within the proposed permit area, including:
(a) A map and supporting narrative of the
uses of the land existing at the time of the filing of the application. If the
premining use of the land was changed within five years before the anticipated
date of beginning the proposed operations, the historic use of the land shall
also be described.
(b) A narrative
of the land capability and productivity, which analyzes the land use described
under paragraph (I)(1)(a) of this rule in conjunction with other environmental
resources information required under these rules. The narrative shall provide
analyses of:
(i) The capability of the land
before any mining to support a variety of uses, giving consideration to soil
and foundation characteristics, topography, vegetative cover and the hydrology
of the proposed permit area; and
(ii) The productivity of the proposed permit
area before mining, including appropriate classification as prime farmlands, as
well as the average yield of food, fiber, forage, or wood products from the
land obtained under high level of management. The productivity shall be
determined by yield data or estimates for similar sites based on current data
from the United States department of agriculture, state agricultural
universities, or appropriate state natural resources or agricultural
agencies.
(2)
The application shall state whether the proposed permit area has been
previously mined, and if so, the following information, if available:
(a) The type of mining method used;
(b) The coal seams or other mineral strata
mined;
(c) The extent of coal or
other minerals removed;
(d) The
approximate dates of past mining; and
(e) The uses of the land preceding
mining.
(3) The
application shall contain a description of the existing land uses and land use
classifications under local law, if any, of the proposed permit and adjacent
areas.
(J)
Prime farmland investigation.
(1) The
applicant shall conduct a pre-application investigation of the proposed permit
area to determine whether lands within the area may be prime farmland. The
chief, in consultation with the U.S. natural resources conservation service,
shall determine the nature and extent of this investigation.
(2) Land shall not be considered prime
farmland if the applicant can demonstrate that:
(a) The land has not been historically used
for cropland; or
(b) On the basis
of a soil survey of lands within the permit area, there are no soil map units
that have been designated prime farmland by the U.S. natural resources
conservation service.
(3) If the investigation establishes that the
lands are not prime farmland, the applicant shall submit with the permit
application a request for a negative determination which shows that the land
for which the negative determination is sought meets one of the criteria of
paragraph (J)(2) of this rule.
(4) If the investigation indicates that lands
within the proposed permit area may be prime farmlands, the applicant shall
contact the U.S. natural resources conservation service to determine if a soil
survey exists for those lands and whether the applicable soil map units have
been designated as prime farmlands. If no soil survey has been made for the
lands within the proposed permit area, the applicant shall cause a survey to be
made that is of the detail of a second order soil survey used by the U.S.
natural resources conservation service for operational conservation planning.
This survey shall be used to identify and locate prime farmland soils.
(a) When a soil survey made pursuant to
paragraph (J)(4) of this rule indicates that the land contains
soil map units which have been designated as prime farmlands, the applicant
shall submit an application, in accordance with the requirements of paragraph
(F) of rule
1501:13-4-12
of the Administrative Code, for such designated land.
(b) When a soil survey made pursuant to
paragraph (J)(4) of this rule indicates that the land contains
soil map units which have not been designated as prime farmland after review by
the U.S. natural resources conservation service, the applicant shall submit a
request for negative determination for non-designated land with the permit
application establishing compliance with paragraph (J)(2) of this
rule.
(K) For dates of
federal rules and federal laws referenced in this rule, see rule
1501:13-1-14
of the Administrative Code.
Effective: 1/17/2016
Five Year
Review (FYR) Dates: 11/02/2015 and
01/16/2021
Promulgated
Under: 119.03
Statutory
Authority: 1513.02
Rule
Amplifies: 1513.07
Prior
Effective Dates: 8/28/78, 5/1/80, 8/16/82 (Emer.), 11/15/82, 11/23/83 (Emer.),
3/4/84, 8/12/85 (Emer.), 2/20/86, 10/1/88, 2/12/09,
10/28/10