96-7226. Qualification of Drivers; Vision and Diabetes; Limited Exemptions  

  • [Federal Register Volume 61, Number 59 (Tuesday, March 26, 1996)]
    [Rules and Regulations]
    [Pages 13338-13347]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-7226]
    
    
    
    
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    Part XI
    
    
    
    
    
    Department of Transportation
    
    
    
    
    
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    Federal Highway Administration
    
    
    
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    49 CFR Part 391
    
    
    
    Qualifications of Drivers; Vision and Diabetes; Limited Exemptions; 
    Final Rule
    
    Federal Register / Vol. 61, No. 59 / Tuesday, March 26, 1996 / Rules 
    and Regulations
    
    [[Page 13338]]
    
    
    DEPARTMENT OF TRANSPORTATION
    
    Federal Highway Administration
    
    49 CFR Part 391
    
    [FHWA Docket No. MC-96-2]
    RIN 2125-AD73
    
    
    Qualification of Drivers; Vision and Diabetes; Limited Exemptions
    
    AGENCY: Federal Highway Administration (FHWA), DOT.
    
    ACTION: Final rule.
    
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    SUMMARY: The FHWA announces a final determination and final rule to 
    allow those drivers currently holding valid waivers from both the 
    vision and diabetes standards contained in the Federal Motor Carrier 
    Safety Regulations (FMCSRs) to continue to operate in interstate 
    commerce after March 31, 1996. This action is directed solely at those 
    drivers who have been granted temporary waivers to participate in 
    either the Federal vision waiver study or the Federal diabetes waiver 
    study, who numbered 2210 and 116, respectively, as of March 1, 1996. 
    The FHWA believes that allowing this special group of drivers to 
    continue to drive after March 31, 1996, is consistent with the public 
    interest and safe operation of commercial motor vehicles (CMV). This 
    action is necessary because the waiver program will be terminated on 
    March 31, 1996, and without this action, the drivers will no longer be 
    qualified to operate in interstate commerce after that date. With this 
    final rule, the FHWA allows these drivers to continue operations, 
    subject to certain operating conditions. This action also includes a 
    technical amendment to relocate an existing provision so that all 
    limited exemptions from driver qualification standards can be found in 
    the same subpart.
    
    EFFECTIVE DATE: This final rule and technical amendment are effective 
    March 31, 1996.
    
    FOR FURTHER INFORMATION CONTACT: The FHWA has established a telephone 
    number to receive inquiries regarding this action. Contact Ann Dulaney 
    at (703) 448-3094. Office hours are from 7:45 a.m. to 4:15 p.m., e.t., 
    Monday through Friday, except Federal holidays.
    
    SUPPLEMENTARY INFORMATION: Section 206(f) of the Motor Carrier Safety 
    Act of 1984 (MCSA), Pub. L. No. 98-554, 98 Stat. 2835 (codified at 49 
    U.S.C. 31136(e)) allows the Secretary of Transportation to issue 
    waivers from the Federal Motor Carrier Safety Regulations only after a 
    determination that such waivers are consistent with the public interest 
    and the safe operation of CMVs. The safety performance data collected 
    under the vision and diabetes waiver programs were used as the basis 
    for this determination. Historically, the FHWA has issued limited 
    waivers and does not intend to enter into any large scale program of 
    exemptions. A separate research effort would form the basis for any 
    future adjustments, if warranted, to the current vision and diabetes 
    standards.
    
    Vision Waiver Program Background
    
        The FHWA announced its vision waiver study in a notice of final 
    disposition on July 16, 1992 (57 FR 31458). The intent of the program 
    was to obtain valuable information on the relationship between visual 
    capacity 1 and the ability to operate a CMV safely. This vision 
    waiver study program was initiated as part of an overall regulatory 
    review of the medical qualification standards applicable to interstate 
    CMV drivers. For a complete description of the waiver program, see the 
    FHWA's October 6, 1994, notice of determination; request for comments, 
    at 59 FR 50887.
    
        \1\ The current Federal vision standard for CMV drivers 
    requires: distant visual acuity of at least 20/40 (Snellen) in each 
    eye without corrective lenses or visual acuity separately corrected 
    to 20/40 (Snellen) or better with corrective lenses, distant 
    binocular acuity of at least 20/40 (Snellen) in both eyes with or 
    without corrective lenses, field of vision of at least 70 degrees in 
    the horizontal meridian in each eye, and the ability to recognize 
    the colors of traffic signals and devices showing standard red, 
    green, and amber. 49 CFR 391.41(b)(10).
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    A. Court Decision
    
        On August 2, 1994, the U.S. Court of Appeals for the D.C. Circuit 
    found that the agency's determination that the waiver program will not 
    adversely affect the safe operation of CMVs lacked empirical support in 
    the record and accordingly, the court found that the FHWA failed to 
    meet the exacting requirements of section 2505(f) (now 49 U.S.C. 
    31136(e)). Advocates for Highway and Auto Safety v. FHWA, 28 F.3d 1288, 
    1294. Consequently, the Court concluded that the FHWA's adoption of the 
    waiver program was contrary to law, and vacated and remanded the rule 
    to the agency.
    
    B. Proceedings After the Court Decision
    
        On November 17, 1994, the FHWA published a notice of final 
    determination in the Federal Register (59 FR 59386) extending the 
    validity of the vision waivers through March 31, 1996. The FHWA's 
    decision was based, in part, on data collected on the group of waived 
    drivers indicating that they had performed and continued to perform 
    more safely than drivers in the general population of commercial 
    drivers. The notice announced plans to develop and impose more 
    stringent performance conditions to further reduce safety risks to the 
    waived drivers and highway users. For more complete information on the 
    FHWA's actions after the court decision, see 59 FR 50887 (October 6, 
    1994) and 61 FR 606 (January 8,1996).
    
    Diabetes Waiver Program Background
    
        On July 29, 1993, the FHWA published in the Federal Register a 
    notice of final disposition allowing certain insulin-using diabetic 
    drivers to operate CMVs in interstate commerce for a 3-year period. The 
    purpose of the waiver study program was to collect data on the driving 
    experience of a group of insulin-using drivers and use that information 
    to support amending, if warranted, the current diabetes 
    requirement.2 Approximately 140 drivers were accepted into the 
    diabetes waiver program. For a complete description of the diabetes 
    waiver program, see 57 FR 48011 (October 11, 1992) and 58 FR 40690 
    (July 29, 1993).
    
        \2\  The Federal diabetes standard for CMV drivers requires no 
    established medical history or clinical diagnosis of diabetes 
    mellitus currently requiring insulin for control. 49 CFR 
    391.41(b)(3).
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        The August 2, 1994, court decision in Advocates called into 
    question the FHWA's ability to issue waivers to insulin-treated 
    diabetic drivers because of the similar approach used to pre-qualify 
    drivers for participation in the diabetes waiver program.
        Accordingly, the FHWA notified the diabetes waiver drivers, in 
    separate mailings on March 28, 1995, of the court's decision and 
    changes to the Vision and Diabetes Waiver Programs that allowed both 
    programs to continue until March 31, 1996. The FHWA established 
    stricter performance conditions for all participants, and enhanced the 
    FHWA's monitoring of the performance of the waived drivers in order to 
    ensure compliance with the statutory test as construed by the court.
    
    Comments
    
        The FHWA has received over 960 separate comments to the docket in 
    response to the January 8, 1996, notice of proposed rulemaking (NPRM). 
    The majority of comments were from drivers in the waiver programs, 
    their families, and employers, all of whom favored the FHWA's proposal 
    to allow waived drivers in the vision and diabetes waiver programs to 
    continue driving in interstate commerce after March 31,
    
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    1996. Their comments addressed their safe driving records and the 
    significant economic and emotional hardships that would likely befall 
    them without the relief proposed in the NPRM. Other commenters in favor 
    of the proposal include the National Private Truck Council (NPTC), the 
    Owner- Operator Independent Drivers Association (OOIDA), the American 
    Association of Motor Vehicle Administrators (AAMVA), the State of Utah 
    Department of Public Safety, the U.S. Equal Employment Opportunity 
    Commission (EEOC), the Disabilities Law Project, the American 
    Optometric Association (AOA), Eglis K. Bogdanovics, M.D., the 
    International Brotherhood of Teamsters, Teamsters, Chauffeurs, 
    Warehousemen and Helpers (Local Union No. 110), Teamsters ``General'' 
    (Local Union No. 200), the International Union of Operating Engineers 
    (IUOE) and the Institute for Public Representation of the Georgetown 
    University Law Center.
        While the majority of the commenters supported the NPRM as 
    proposed, some supported it with slight modifications. Some of the 
    waived drivers believed that the required medical monitoring, 
    especially the requirement for an annual physical examination pursuant 
    to Sec. 391.43, instead of every 2 years as is required of other 
    drivers, was burdensome, expensive and unnecessary. One supporter 
    believed that the proposed level of medical monitoring was insufficient 
    and made recommendations for additional monitoring. Other supporters of 
    the NPRM contended that the FHWA's proposal did not go far enough and 
    urged the FHWA to extend its proposed grandfathering rights to other 
    similarly qualified drivers who were not currently participating in the 
    waiver programs and/or to amend its physical qualification standards to 
    allow individual determination of the ability to drive, rather than 
    blanket exclusions.
        Phillips Petroleum Company supported the proposal for drivers 
    currently holding vision waivers, but opposed it for those drivers 
    holding diabetes waivers, stating that the insulin-using diabetic 
    drivers pose a higher medical risk with potentially disastrous 
    consequences. The American Trucking Associations (ATA) supported a 
    ``case-by case review that considered the merits of individual waived 
    drivers,'' but opposed the broad issuance of waivers stating that the 
    ``analysis doesn't justify grandfathering all waived drivers.''
        Four commenters, the Advocates for Highway and Auto Safety (AHAS), 
    the Insurance Institute for Highway Safety (IIHS), Philip A. Shelton, 
    M.D., and Mr. Bernard Gustavsen, one of the waived drivers, opposed the 
    NPRM. The comments of the AHAS and IIHS addressed the reliability and 
    accuracy of the FHWA's risk assessment, use of the General Estimate 
    System 3 (GES) as a comparison group, existing scientific evidence 
    of the increased crash risk of drivers with diabetes and vision-
    impairments and other factors which, they contend, support their 
    position that the FHWA should not grant grandfather rights to the 
    drivers holding a valid Federal vision or diabetes waiver on March 31, 
    1996. Dr. Shelton, chairman of the Medical Advisory Board of the 
    Department of Motor Vehicles of the State of Connecticut, believed that 
    the FHWA's NPRM, as proposed, was without merit and created a 
    privileged class of drivers. Mr. Gustavsen stated that he opposed the 
    waiver program and believed that all rules and regulations prior to the 
    waiver should remain enforced and be carried out to the fullest degree; 
    however, it is not clear whether Mr. Gustavsen understands that, 
    without his waiver of the current vision standard or grandfather rights 
    after March 31, 1996, he would not qualify to operate a CMV in 
    interstate commerce.
    
        \3\ The GES is a national survey conducted by the National 
    Highway Traffic Safety Administration and was selected for use as 
    the best measure of the prevailing national norm relative to large 
    truck accidents.
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        These comments are more fully discussed below.
    
    Discussion of the Comments
    
    A. In Favor
    
        The Disabilities Law Project, a non-profit law firm representing 
    individuals with disabilities including several waived drivers, 
    believed that unsafe drivers have been effectively screened out of the 
    waiver program and that the good driving performance of these remaining 
    drivers as well as the proposed medical monitoring requirements will 
    ensure the continued safe driving of this group of drivers. 
    Furthermore, this firm believes that the FHWA's proposed actions are 
    ``consistent with national policy as expressed in the Rehabilitation 
    Act of 1973 and the Americans with Disabilities Act to facilitate the 
    employment of qualified individuals with disabilities.''
        The NPTC, a national association representing more than 1100 
    companies that utilize proprietary trucks in their business activities, 
    believed the FHWA's proposal will be an important step in the FHWA's 
    overall efforts to establish performance-based standards. It cited the 
    drivers safe driving performance and emphasized the need to continue 
    the medical monitoring. The NPTC believed ``the conditions FHWA has put 
    into place will effectively screen out any unsafe drivers and safeguard 
    the operation of CMVs.''
        Egils K. Bogdanovics, M.D., a practicing endocrinologist and board 
    member of the American Diabetes Association (Connecticut Affiliate) 
    commented as a member of the Medical Advisory Board of the Department 
    of Motor Vehicles of the State of Connecticut in support of the NPRM. 
    Dr. Bogdanovics stated that he was not surprised by the safe 
    performance of the diabetes drivers, and cited the waiver program data 
    to support his belief that motivated insulin-treated diabetics can 
    ``scrupulously avoid hypoglycemia'' and operate CMVs safely.
        The AOA strongly supported the FHWA's proposal to allow the drivers 
    in the vision waiver program to continue operating CMVs in interstate 
    commerce after March 31,1996; however, they were silent on whether 
    waived drivers in the diabetes program should be allowed to continue 
    driving. The AOA believed that an examination by an ophthalmologist or 
    optometrist as part of the medical requirements for operating under the 
    proposed grandfather provision was appropriate.
        The AAMVA commented in support of the NPRM, but expressed some 
    reservations concerning the drivers in the diabetes waiver program. 
    Specifically, AAMVA was concerned about the potential effects of 
    hypoglycemia on CMV drivers. The American Diabetes Association, in 
    earlier comments to FHWA docket MC-87-17, noted that mild hypoglycemia 
    resulting in minor cognitive effects is not an immediately threatening 
    emergency, although it should be addressed immediately by ingesting 
    glucose. The FHWA believes that such ingestion can occur quickly and 
    without stopping the vehicle. Therefore, it is requiring that the 
    diabetic drivers carry a source of rapidly absorbable glucose while 
    driving. Individuals with severe hypoglycemic reactions or hypoglycemic 
    unawareness were excluded from participating in the program. The FHWA 
    believes that today's medical technology for screening individuals for 
    severe hypoglycemia and the proposed medical monitoring requirements, 
    including an annual examination by a endocrinologist, ensure that such 
    individuals will be detected and removed from the pool of diabetic 
    drivers operating under Sec. 391.64.
        The OOIDA, a national trade association representing the interests 
    of
    
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    a large number of independent owner-operators and professional drivers 
    at both the Federal and State level, urged the FHWA to allow the waived 
    drivers to continue to operate in interstate commerce, stating that the 
    drivers ``have earned the privilege .... as evidenced by their safety 
    record.'' The OOIDA also believed that the medical monitoring 
    requirements were sound and that the affected drivers would not object 
    to these requirements in order to continue driving after March 31,1996.
        The IBT, IUOE, and the EEOC, like OOIDA, supported the FHWA's 
    proposal to allow the waived drivers to operate in interstate commerce 
    after March 31, 1996, but they also urged the FHWA to move beyond this 
    proposed action and change the physical qualification requirements to 
    allow individual assessments of a driver's ability to safely operate a 
    CMV in interstate commerce. They cited the good driving performance of 
    the waived drivers and, therefore, concluded that the drivers were not 
    a high risk group.
        Comments in the form of a legal brief were filed on behalf of two 
    self-employed interstate truck drivers by the Institute for Public 
    Representation of the Georgetown University Law Center. Both of the 
    drivers are petitioners in the United States Court of Appeals for the 
    8th Circuit, appealing the FHWA's decision to deny them waivers from 
    the vision standard. The comments were strongly supportive of the 
    proposed action, but strongly critical of the FHWA's failure to extend 
    the exemption to all other drivers ``identically situated.'' The brief 
    contends that the FHWA has de facto amended the standard, and that the 
    two drivers are now qualified under the amended standard.
        The FHWA disagrees that these drivers are ``identically situated.'' 
    Since neither has participated in the waiver program, neither has been 
    subject to the same performance standards, reporting requirements and 
    monitoring. The FHWA also disagrees that the standard has been changed, 
    but the agency is continuing its efforts to conduct the research 
    necessary to enable it to make the changes that are indicated when that 
    work is completed. The remaining arguments made in the comments are 
    best left for resolution by the court in the pending litigation.
        The FHWA agrees that this group of drivers is not a high risk group 
    and will use their performance data to support allowing them to 
    continue driving after March 31, 1996. However, it does not plan to use 
    this data for any future adjustments to the vision and diabetes 
    standards; nor does the FHWA plan to reopen the waiver programs in 
    light of the Court decision in Advocates for Highway and Auto Safety v. 
    Federal Highway Administration, (28 F. 3d 1288, D.C. Circuit 1994). The 
    FHWA recognizes that there were weaknesses in the waiver study design 
    and believes that the waiver study has not produced, by itself, 
    sufficient evidence upon which to develop new vision and diabetes 
    standards. The waived group of drivers has perform as well as or better 
    than a similar group drawn from the general population of CMV drivers 
    because of the waiver program preselection criteria and conditions. The 
    FHWA's goal is to adopt driver physical qualification standards that 
    are more performance-oriented; that is, more reflective of the actual 
    physical requirements that foster safe operation of commercial 
    vehicles. Therefore, the FHWA has undertaken comprehensive research to 
    develop parameters for a more performance-based vision standard for all 
    commercial drivers and has initiated plans to conduct a retrospective 
    study to examine the risk associated with permitting insulin-using 
    diabetic individuals to operate commercial motor vehicles (CMVs).
        Many waived drivers who supported the proposal stated that the 
    requirement for an annual physical qualification examination and 
    certification, instead of every two years as required for other 
    drivers, will be burdensome to drivers both financially and in terms of 
    time off from work to get the examination. Other waived drivers 
    believed that any further monitoring of their physical condition beyond 
    the current requirements for drivers operating in interstate commerce 
    is unwarranted for the above stated reasons and because their good 
    driving performance proves that they are not a high risk group.
        The FHWA has determined that the requirements for an annual 
    physical qualification examination pursuant to Sec. 391.43 and annual 
    medical examinations by ophthalmologist or optometrist and 
    endocrinologists are not overly burdensome in light of the facts that 
    this group of drivers has physical conditions that would otherwise 
    disqualify them from interstate operations pursuant to 
    Sec. 391.41(b)(10) and Sec. 391.41(b)(3) of the FMCSRs and that an 
    individual's medical or physical condition may deteriorate over time. 
    In fact, some drivers' waivers were canceled because the disqualifying 
    condition for which they were waived had worsened or they had developed 
    other medical problems or conditions that caused them to be otherwise 
    unqualified pursuant to Sec. 391.41. Therefore, the FHWA will require 
    the annual physical qualification examination and certification in 
    addition to an annual eye examination for the vision impaired drivers 
    and an annual examination by an endocrinologist for diabetic drivers as 
    an extra precaution to ensure the continued safe operation of these 
    drivers.
        The ATA, a national trade association representing the trucking 
    industry, commented in opposition to the broad issuance of waivers, but 
    stated it would support a case-by-case evaluation that considered the 
    merits of individual waived drivers. Notwithstanding the safe 
    performance of the drivers in the waiver program, the FHWA's decision 
    to allow this group of vision and diabetes waived drivers to operate 
    CMVs in interstate commerce has been and continues to be based on the 
    individual assessment of each driver's compliance with the waiver 
    program conditions, including driving performance and medical 
    requirements. Initially, to determine eligibility for participation in 
    the waiver programs, individual determinations were made on the basis 
    of complete data submitted. Each driver's application was individually 
    examined, any missing information was required to be furnished, and 
    each driver was measured against the waiver standards to assure that 
    all the conditions were met. Recognizing that this group of waived 
    drivers could potentially include some subpar drivers who individually 
    would present an unacceptable risk, the FHWA took steps to identify and 
    remove such drivers. The FHWA's monitoring systems, which have been in 
    effect since the inception of the programs, were later enhanced to more 
    promptly identify subpar performers among the waived group to ensure 
    that safety was maintained. The FHWA's periodic verification of the 
    waived drivers' reported accidents and citations through each driver's 
    State motor vehicle record (MVR) was increased to monthly monitoring. 
    Additionally, medical reports from the waived drivers have been 
    reviewed and verified. Therefore, the FHWA has determined that the 2326 
    drivers in the vision and diabetes waiver programs have individually 
    merited partial exemption from Secs. 391.41(b)(10) or 391.41(b)(3).
        The ATA commented that the NPRM provided ``too little control'' 
    over the drivers in the waiver programs. It suggested that the FHWA 
    should augment its proposed monitoring program by requiring (1) Copies 
    of the annual physical qualification examination and certification 
    pursuant
    
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    to Sec. 391.43 and the medical examinations by the appropriate medical 
    specialists be sent directly to the FHWA to be included in a database 
    of waived drivers, (2) that information concerning the driver's 
    activities at the time of an insulin reaction (hypoglycemia) be 
    reported, (3) FHWA notification to each driver 45 days in advance of 
    the expiration of the current physical qualification certificate, and 
    (4) the medical examiner to provide copies of the required 
    certifications to the employer and driver. Although the ATA considered 
    the monitoring conditions for operating under the proposed grandfather 
    provisions to be the foundation for an appropriate monitoring program, 
    the FHWA believes its proposed monitoring program, regarding medical 
    requirements and performance, is an extra precaution that enlarges the 
    current system of safeguards in place for all CMV drivers in the 
    general population. All of the drivers who will be operating under this 
    grandfather provision will be subject to State or Federal enforcement 
    or licensing sanctions and, in most cases, to the penalty provisions of 
    the commercial drivers' license regulations (49 CFR Part 383). 
    Furthermore, the FMCSRs currently require the medical examiner to 
    provide a copy of the medical certificate to the motor carrier. In 
    addition, the FMCSRs do not preclude employing motor carriers, the 
    first level enforcers under the regulatory scheme for the FMCSRs, from 
    imposing additional requirements to ensure that their drivers meet the 
    requirements under Sec. 391.41. Many motor carriers obtain copies of 
    the completed medical examination form to keep on file while others 
    will require certification by a medical examiner of their choice even 
    though the driver has a current medical examiner's certificate. Some 
    employers require both. The provisions in Sec. 391.64 will not preclude 
    motor carriers or other employers from obtaining additional information 
    on employees who will be operating under this grandfather provision.
        Furthermore, the FHWA believes that the entire medical 
    determination process can best be delivered through a State-
    administered program linked to the issuance and renewal of CDLs. After 
    the recent completion of six pilot demonstration programs to verify 
    these States' ability to integrate the medical determination process 
    with the CDL process, the FHWA recommended that this medical transfer 
    to the States be handled through a negotiated rulemaking process to 
    begin sometime in the summer 1996. The FHWA believes that merging the 
    medical determination process with the CDL process will provide further 
    scrutiny of the performance of all commercial drivers. Therefore, the 
    FHWA has determined that the monitoring conditions, as outlined in the 
    NPRM, are more than adequate to ensure the continued safe operation of 
    these drivers when viewed in the framework of the safeguards in place 
    for monitoring all commercial drivers. The proposed monitoring 
    conditions will provide safeguards for employers while not imposing an 
    undue burden on the grandfathered drivers.
        The ATA expressed concern over potential changes to the medical 
    certificate as a result of this action and in light of additional 
    changes that may be forthcoming as a result of the FHWA's plans for 
    revising the medical examination form. Although the FHWA finds it 
    necessary to change the medical certificate to verify that a driver is 
    qualified to operate a CMV by operation under Sec. 391.64, the FHWA is 
    sensitive to ATA's concerns regarding an adequate lead time for 
    informational changes to forms and to the ATA's economic concerns as a 
    result of having to discard large inventories of current forms. 
    Therefore, the FHWA will allow the current medical certificate form to 
    be used until existing stocks are exhausted or until one year from the 
    effective date of the change, whichever comes first, provided that 
    medical examiners using existing forms make appropriate handwritten 
    notations of the required information on such forms.
        The ATA's comments included a recommendation for a final report on 
    the FHWA's waiver programs. The FHWA will prepare a final report of its 
    efforts in this area and will give consideration to the ATA's 
    suggestions for information to be addressed in the report. The report 
    will be placed in the docket.
        The ATA raised several issues concerning the risk assessment used 
    by the FHWA to justify granting grandfather rights to the waived 
    drivers after March 31, 1996. We believe that the ATA comments contain 
    a misunderstanding of the data presented in the Risk Assessment Report. 
    It stated that ``in assessing the accident rate of drivers in the 
    vision waiver program, it is reported that their rate was below that of 
    the general commercial vehicle driver population except for the period 
    January to June 1994.'' The ATA is erroneously combining statements 
    from two different tables. The NPRM did state that the accident rates 
    of these drivers were below that of the general commercial vehicle 
    driver population rate. That statement applied to Tables 1 and 2 in the 
    Risk Assessment Report which reported the rates for cumulative periods 
    of time from the beginning of the program. The accident rate given for 
    January to June 1994 (Table 4) was presented in the context of data to 
    be used for a trend analysis of independent time periods and no 
    comparison was made for that data relative to the general driver 
    population. The statement of the higher rate for that period was made 
    in the context that it represented a departure from the accident trend 
    across time. Even with this departure, the overall accident trend was 
    not increasing and, in fact, showed a decreasing trend.
        The ATA also stated that there was a failure to analyze the 
    accident experience of the drivers in the two groups, vision and 
    diabetes, in the same manner. It is true that the accident rates of the 
    two groups were viewed in a different manner relative to the national 
    rate, but this was done because the numbers of drivers in the two 
    groups were so disparate (over 2,000 in the vision group versus 
    slightly more than 100 in the diabetes group) that the same method of 
    analysis could not appropriately be used for both. In the vision group, 
    confidence intervals were used to relate that group's accident rate to 
    the national rate. This was done because the number of drivers was of 
    sufficient size that the error of estimate for the accident rate would 
    not be so large as to allow the rate to get too much above the national 
    rate before safety concerns were alerted. Conversely, the small numbers 
    in the diabetes group provide an error of estimate for their accident 
    rate which is larger and, as a result, it was determined that the 
    actual rate without confidence intervals would be compared to the 
    national rate. When the diabetes group's rate became larger than the 
    national rate, a more detailed scrutiny of the drivers was made. If the 
    lower level of the confidence interval for the vision group's rate had 
    become larger than the national rate, a similar type of scrutiny would 
    have been done for that group. An overall approach of this type is 
    accepted practice to protect patients in clinical trials that 
    investigate the therapeutic use of pharmaceutical products.
        The ATA and the AAMVA commented on the proposed requirement that 
    the endocrinologist certify that the driver is free of insulin 
    reactions (less than one documented, symptomatic hypoglycemic reaction 
    per month). The AAMVA misinterpreted this requirement concerning 
    hypoglycemia to mean that one hypoglycemic reaction per month
    
    [[Page 13342]]
    would be allowed, including severe hypoglycemic reactions. This was not 
    the FHWA's intent. The FHWA continues to believe that individuals with 
    severe hypoglycemia and hypoglycemia unawareness should be excluded 
    from operating CMVs. At the same time, the FHWA believes that mild 
    hypoglycemia is not an immediately threatening emergency, although it 
    must be addressed within a few minutes by ingesting glucose. The 
    reference, ``less than one documented, symptomatic hypoglycemic 
    reaction per month,'' was intended to provide guidelines to the 
    endocrinologist and medical examiner for evaluating the status of the 
    driver's diabetic condition for the preceding 12 months. This reference 
    was included because the FHWA was anticipating the question, `` What is 
    meant by free of insulin reactions?'' To clarify this issue, the FHWA 
    believes that an individual is free of insulin reactions if he or she 
    does not have severe hypoglycemia (i.e., episodes of altered 
    consciousness requiring the assistance of another person to regain 
    control) or hypoglycemia unawareness (i.e., the inability to recognize 
    the early symptoms of hypoglycemia), and has less than one documented, 
    symptomatic hypoglycemic reaction per month. Any one episode or a 
    series of documented, symptomatic hypoglycemia reactions should be 
    evaluated in terms of the individual's overall diabetic condition, and 
    whether the individual, as a result of such reactions, is likely to 
    experience any diminution in driving ability. The FHWA believes that 
    the more frequent medical evaluation and self-monitoring requirements 
    for operating under Sec. 391.64 will ensure that the drivers operating 
    under this grandfather provision who develop severe hypoglycemia or 
    hypoglycemia unawareness will be identified and promptly removed from 
    the pool of drivers.
    
    B. In Opposition
    
        The AHAS voiced strong opposition to the FHWA proposal to grant 
    grandfather rights to the drivers in the vision and diabetes waiver 
    program after March 21, 1996. In addition to rearguing the position it 
    took in the court proceedings, the AHAS criticized the proposal to 
    grandfather these drivers asserting that the FHWA relied on a 
    monitoring program that it characterized as lacking precision and 
    containing inaccuracies and inconsistencies. The AHAS stated that the 
    comparison of Table 1 and Table 2 in the FHWA Risk Assessment (October 
    12, 1995) shows a number of incongruities and that it is difficult to 
    perform cross-table comparisons.
        These two tables in the Assessment were not intended to be 
    compared. As is stated in the text of the assessment (page 2), Table 1 
    is a compilation of data presented in the various monitoring reports 
    developed throughout the course of the program. The rates presented in 
    that table represent all drivers who were in the program at the time of 
    the particular monitoring report. Table 2, on the other hand, is a re-
    examination of the accident data for only those drivers who are still 
    in the program as of October 1995 (as was stated in the text). Given 
    that this is a re-examination of those drivers in October 1995, it is 
    possible to retrospectively restructure the dates of accident rate 
    presentation with information available at that later date. Since the 
    tables were not intended for comparison, given that they are based on 
    different sets of drivers at different time periods with different 
    retrospective perspectives, the appearance of apparent incongruities is 
    not surprising. This misapplication is, unfortunately, exacerbated by 
    some typographical errors. In Table 1, the National Accident Rate for 
    the June 1994 comparison should be 2.400 instead of 2.422. In addition, 
    in Table 2, the year of the national accident rate for the June 1994 
    comparison should be 1992 rather than 1993.
        Other apparent inconsistencies identified by AHAS are explained on 
    the basis of how data are reported to GES and to the waiver program. 
    For example, the AHAS stated that the national accident rate used for 
    June 1993 (the 1991 rate of 2.13) is different from that used just two 
    months later for August 1993 (the 1992 rate of 2.40). The use of 
    different rates is related to the availability of data from GES. The 
    results of the GES data acquisition process for any year usually become 
    available in late summer or early fall for the subsequent year. The 
    1992 GES data were not available in June 1993 but became available by 
    August 1993.
        The AHAS also pointed out that, for June 1994, the smaller number 
    of drivers in Table 2 had a larger number of accidents (293) than the 
    number of drivers in Table 1 for that date (292). This is explained by 
    the nature of delays in reporting. The accidents reported in June 1994 
    in Table 1 are for the complete reporting period prior to that date. 
    The data reported in Table 2 is taken from complete data reported as of 
    October 1995.
        The AHAS has also observed that the drivers remaining in the 
    program (Table 2) have persistently higher accident rates than those 
    shown when the program had fuller participation. The fuller program 
    data presented in the past contains drivers whose waivers were 
    subsequently revoked for a variety of reasons, only one of which was 
    prompted by the driver having an accident with a citation. Having an 
    accident with a citation is a relatively rare event, and the 
    preponderance of revocations occurs for reporting problems, such as 
    failure to report medical evaluations, mileage, violations, and other 
    required data. When these individuals are removed from the program, 
    their vehicle miles traveled (VMT) are also removed from reports but, 
    unless they also had accidents, there is no reduction in the overall 
    number of accidents reported. Therefore, the accident rates per million 
    VMT will naturally increase. Even with this increase, however, the 
    accident rates of those remaining in the vision waiver group are still 
    considerably lower than the national rate.
        The AHAS has made several statements alluding to the inadequacy of 
    the study design in the diabetes waiver program. The AHAS claimed that 
    the inadequacies of the design undermine the ability of the FHWA to 
    draw inferences from the results. The AHAS' understanding of the 
    activities surrounding the diabetes waiver is inaccurate. The FHWA is 
    not presently conducting a study to generalize the feasibility of 
    issuing waivers to diabetic drivers. No inferences about a waiver 
    program will be drawn from these results. No research study has been in 
    place since the U.S. Court of Appeals' decision, cited above, regarding 
    the waiver programs. Since that time, the program has focused on the 
    monitoring of the drivers. This means that the procedures of 
    inferential research do not apply in this circumstance. In its place, 
    monitoring is conducted on multiple levels: in group monitoring to 
    compare the waived drivers' accident rates to the national accident 
    rate as a warning device, and thereafter, on a case-by-case basis if 
    the group monitoring indicates this is necessary.
        Since the FHWA changed the focus of the waiver program, the AHAS's 
    comments concerning the study design have been resolved. For example, 
    given that no inference is drawn, the size of the sample is irrelevant. 
    Also, when the FHWA detects that the group accident rate in a 
    monitoring report exceeds the national rate, it is not contrary to 
    study methodology to use a case-by-case review, because the monitoring 
    effort is not a study. Moving to a case review is a prudent step in the 
    monitoring process. It is the same process as that
    
    [[Page 13343]]
    used in clinical trials to protect patient safety.
        The AHAS stated that the conduct of case reviews is not a valid 
    means of conducting statistical analysis. In the context explained 
    above, this claim is clearly not relevant since the focus of the data 
    presentation in the diabetes monitoring report was comparative and not 
    a statistical analysis with such facets as confidence intervals.
        The AHAS also stated that case-by-case evaluations are entirely 
    subjective since they are not based on such methods as accident 
    reconstruction. The contrast offered here is hardly valid because 
    accident reconstruction also has subjective components and is therefore 
    not entirely objective. In like manner, the case level analysis 
    conducted by the FHWA is not entirely subjective. The analysis at that 
    level seeks to determine if the reporting police officer has issued a 
    citation indicating that the driver may be at fault. The analysis also 
    examines the accident report to detect if there is any evidence of 
    driving behavior that could potentially indicate a hypoglycemic event, 
    such as crossing the median, swerving, or driving off the road. In the 
    cases where medical attention is given to the waivered driver, reports 
    on glucose levels are obtained. Therefore, both methods involved some 
    analytical decision making based on evidence.
        The AHAS stated that the FHWA does not review GES data to eliminate 
    accidents in which the truck driver was at fault. It is true that the 
    FHWA did not do this, however, the FHWA did not compare the at-fault 
    accident rate of the diabetic group to the GES data. A comparison was 
    made for accidents when one vehicle was towed from the scene. This rate 
    for the diabetes group was 0.783. It was pointed out by the Insurance 
    Institute for Highway Safety that the rate should be compared with the 
    national rate for tow away accidents, which was estimated by the 
    University of Michigan's Transportation Research Institute (UMTRI) to 
    be 0.911. In this case, the diabetes group's rate is lower than the 
    national rate (0.783 vs 0.911).
        The AHAS stated that there is a problem in the reporting process 
    which involves a lag-time in revealing accidents in the diabetes waiver 
    program. The FHWA recognizes that there is a lag in reporting accidents 
    in the monitoring report, but notes that there is no lag in examining 
    accidents as they are reported to the FHWA. The lag in reporting in the 
    monitoring report is due to the delay in the reporting of vehicle miles 
    traveled. Since the initial focus of the monitoring report is to 
    compare the group accident rate to the national rate, it is necessary 
    to have complete mileage data to construct the group accident rate. The 
    accidents that are combined with relevant mileage must be from the same 
    period of time, and mileage data reports lag behind the accident 
    reports. Accidents must be reported within 15 days of their occurrence. 
    Since accidents occur at random times, it is not possible to have 
    mileage reported concurrently with accidents. However, since the 
    accidents are usually reported first, they are examined to determine if 
    action should be taken relative to a particular accident.
        The AHAS commented on its previous objection to the diabetes waiver 
    program that pointed out the safety dangers inherent in a plan that 
    relies on close monitoring. The FHWA is aware that an individual under 
    close or tight control has a greater propensity for episodes of 
    hypoglycemia than an individual under less rigid control. However, as 
    the FHWA stated in an earlier notice (58 FR 40690), it is not mandating 
    tight control for the drivers who will be operating under Sec. 391.64. 
    As already mentioned, individuals with severe hypoglycemia or 
    hypoglycemia unawareness were excluded from participating in the 
    diabetes waiver study program. Such individuals will continue to be 
    promptly identified, found unqualified, and removed from this pool of 
    drivers by virtue of the more frequent medical evaluation and self-
    monitoring conditions for operating under Sec. 391.64.
        The IIHS, in its comments opposing the FHWA's NPRM, stated that 
    ``evidence continues to mount concerning the increased crash risk of 
    drivers with diabetes.'' To support this, it submitted three studies 
    (Dionne et al., 1995; Koepsell et al. 1994; Cox et al. 1993) which are 
    addressed below. While these studies are well-performed and their 
    results are clearly defensible, a closer scrutiny suggests that they 
    may not be as conclusive relative to the waiver group as IIHS implies. 
    For example, the Dionne (1995) study seems to show that diabetic 
    drivers of straight trucks have a 2.4 relative risk of accidents when 
    compared to healthy drivers. Taken in isolation, this result is 
    compelling. But viewed in the broader context of the study, it is less 
    conclusive relative to FHWA's waiver program. In particular, this study 
    also examined diabetic drivers of articulated trucks, and there was no 
    significant relative risk for that group. The authors of the study 
    state that it is difficult to explain why diabetic drivers of straight 
    trucks show elevated risk while this result does not hold for 
    articulated trucks. They speculate that the different results may be 
    due to company owners being more rigorous in their selection of drivers 
    for articulated trucks or that the results are due to different levels 
    of disease severity in the two groups of diabetic drivers.
        This study does not distinguish between diabetic drivers who are 
    treated with insulin and those who are not. The authors also do not 
    report the number of diabetic drivers in relation to truck type. In 
    addition to not examining the interactive effects of disease severity, 
    the potential moderating effects of other factors (e.g., age and 
    driving behavior) are not analyzed. Thus, while the results are 
    significant in the context of straight trucks, the overall lack of 
    specificity strongly suggests that this outcome is preliminary and not 
    directly applicable to the waiver group.
        Koepsell et al. (1994) reported that they found more than a two-
    fold risk of crashes among diabetic drivers who were 65 years of age or 
    older. This would be consistent with the degenerative nature of the 
    disease relative to aging. However, the average age of the drivers in 
    the diabetes waiver group is slightly over 43 with less than one 
    percent (0.85%) 65 or older. That study, therefore, is not directly 
    relevant for the present group of drivers.
        Cox et al. (1993) reported that in a group of 25 Type I diabetics 
    on a driving simulator, driving performance was significantly disrupted 
    under conditions of moderate hypoglycemia. However, it seems reasonable 
    that these study conditions, i.e. testing conducted under fasting 
    conditions and IV insertions in the arms of individuals being tested, 
    would, in and of themselves, affect overall performance. The limited 
    relevance of these study findings to the drivers in the FHWA waiver 
    programs is best represented by the Cox Study conclusion itself: 
    ``Because we used a simulator, it is not clear to what extent these 
    data can be extrapolated to an individual's actual driving 
    performance.''
        Regarding the crash risk of drivers with vision impairments, the 
    IIHS cited the Rogers and Janke study of California heavy vehicle 
    operators with vision impairments. This was a 1987 study conducted at 
    the request of the FHWA. While the study findings for this visually 
    impaired group showed that both their accident and conviction rates, 
    adjusted for age, were significantly and substantially higher than 
    those for visually nonimpaired drivers, the authors concluded that the 
    ``evidence presented could not be considered compelling in 
    substantiating the federal standard, given the lack of good data on
    
    [[Page 13344]]
    possible exposure differences.'' Although not cited by the IIHS, 
    McKnight et al. (1985) concluded in their study of monocular and 
    binocular truck drivers that an individual's style of driving was a 
    more predictive measure of accident involvement than was visual status. 
    They found that monocular drivers showed deficiencies on a number of 
    clinical visual measures, but no differences were found between 
    monocular and binocular drivers in tasks of actual driving performance 
    (i.e., information interpretation, hazard detection, visual search, 
    lane keeping, clearance judgment, and gap judgment).
        The IIHS claimed that there are a number of fallacies in the 
    reasoning that lead to the FHWA proposal. As a first fallacy, it 
    claimed that the FHWA's reasoning is based on a relatively clean 
    individual driving record predicting future low crash risk. The IIHS 
    indicated that this reasoning is faulty because a study of crashes in 
    California showed that two-thirds of the crashes in one year involved 
    drivers who had no accidents in the preceding three years.
        Although this is a cogent result for individual drivers, it is not 
    reflective of the analysis conducted by the FHWA in making the 
    determination to grandfather this group of drivers. The FHWA has 
    determined that the current group, and only this group of drivers, as a 
    group, does not present an increased risk on the road. That is, 
    individuals may have unpredictable variability in accident behavior 
    across time but groups are not necessarily that labile. Groups can have 
    stable behavior over time when (1) preselected and (2) closely 
    monitored. The FHWA believes that by examining individuals in this 
    group, over the past three years, relative to a number of responsible 
    behaviors, the surviving group has stable behavior relative to a total 
    accident rate, a rate that is consistently lower than the national 
    rate. Moreover, when the accident rates of the drivers to be 
    grandfathered were examined in six-month periods, a significant 
    decreasing trend (page 5, Risk Assessment) was observed. Hence, while 
    the prediction of individual crash behavior is problematic, the fact 
    that this group has a lower accident rate than the national rates with 
    a significantly decreasing trend strongly support the FHWA's 
    determination that they will not present increased risk by driving on 
    the nation's roads, while being monitored.
        Furthermore, the insurance industry continues to follow a practice 
    of setting insurance rates based on accident and conviction information 
    that becomes available to them, indicating by industry practice that 
    they believe a pattern of convictions and/or accidents does indicate a 
    higher risk of a future accident. Of course, the converse is more 
    appropriate, i.e., the absence of convictions and/or accidents 
    indicates a lower risk of a future accident--the so called ``safe 
    driver'' in insurance premium-setting parlance. This is consistent with 
    the findings of the many studies cited in the Notice of Final 
    Determination of November 17, 1994 (59 FR 59386) which support the 
    principle that past behavior, in terms of accidents and convictions, is 
    still the best predictor of future performance. Thus the FHWA believes 
    that in determining the relative risk of this group of waived drivers, 
    the same information being used by the insurance industry is a valid 
    measure that should be applied in making this decision regarding 
    relative performance of the drivers in this study versus the pool of 
    all drivers.
        The IHS also claimed that GES is an inappropriate comparison group. 
    It stated that this has been noted by FHWA's consultant, Dr. Thomas 
    Songer, who pointed out that such factors as age and driving patterns 
    cannot be controlled in this manner of comparison. It is true that 
    ancillary factors cannot be controlled through a comparison with GES, 
    but the FHWA believes that this type of control is not of primary 
    interest in this situation where the decision involves safety on the 
    roads in general. For example, a study in which a control group is 
    selected, even randomly, and matched to the study group has as its 
    intent the achievement of internal validity in the comparison. But, as 
    is being increasingly pointed out in medical research where randomized 
    trials are the basis of good science, these controlled studies which do 
    not specifically address external validity have this as the chief 
    potential weakness with their results (U.S. General Accounting Office, 
    ``Cross Design Synthesis; A New Strategy for Medical Effectiveness 
    Research,'' March 1992, GAO/PEMD-92-18). It is believed that external 
    validity is of primary concern in the decision to allow this group of 
    drivers to continue in their professions and, as a result, GES is the 
    best focus for this validity.
        Another fallacy alleged by the IIHS involves the FHWA's statement 
    that most waivered drivers are not at fault in their crash involvement. 
    It stated that the problem concerns the subjective nature of fault 
    determination. The IIHS is correct in this finding and in its claim 
    that a waivered driver, while not at fault, could have an impaired 
    ability to react quickly. However, the IIHS' claim is not germane here, 
    given the behavior of the vision waiver group. Their accident rate, 
    even with the foregoing possibility, is still lower than the national 
    rate.
        The IIHS is correct in its assertion that the FHWA has improperly 
    characterized the GES data. The FHWA was incorrect to state that 
    accidents are not included in GES unless one vehicle was towed from the 
    accident scene. The diabetes waiver group accident rate of .783 under 
    towed vehicle condition should not have been compared to the national 
    rate of 2.39. The IIHS was correct in stating that the 0.783 rate 
    should have been compared to the more appropriate rate (towaway 
    crashes) calculated by UMTRI which was 0.911. However, 0.783 is still 
    smaller than 0.911 and the rate ratio involving these two .783/
    .911=.859) is less than one. For this particular group of drivers, this 
    piece of evidence suggests they are certainly not less safe than the 
    average CMV driver.
        The IIHS stated that a limitation of the program was the methods 
    used to ascertain crash involvement and traffic violation citations. 
    The IIHS stated that self-reporting of crashes and violations is 
    problematic and the primary source of verification, motor vehicle 
    records, is less than complete. It is true that self- reporting can be 
    problematic and requires some form of verification. At present, the 
    FHWA verifies the waivered drivers' accident and violation reports in 
    three ways. In some cases, driver MVRs and driving histories are 
    obtained directly from States. Verification is also conducted by 
    obtaining driver records through a commercial provider that does 
    screening for automobile and truck rental companies and insurers. In 
    addition, the FHWA is able to obtain driver histories by querying the 
    Commercial Driver License Information System (CDLIS). The CDLIS is a 
    component of the national CDL program which has as one of its 
    procedures the requirement that States communicate the relevant 
    accident and violation information for out-of-State drivers to the 
    State of their licensing.
        The IIHS' comments that jurisdictions ``are not forwarding all the 
    convictions to the primary licensing'' jurisdiction is an acknowledged 
    traffic record problem. However, for CDL drivers this is now an issue 
    subject to State compliance requirements. It is being addressed as part 
    of the overall effectiveness of the CDL program. There are a number of 
    efforts underway addressing the issue of convicting jurisdiction 
    reporting to the licensing jurisdiction, including efforts to increase 
    the awareness of various police organizations and courts regarding the 
    requirements of the CDL
    
    [[Page 13345]]
    program. The FHWA will continue to vigorously pursue this issue for all 
    licensees.
    
    Determination
    
        After a thorough review of the comments submitted in response to 
    the January 8, 1996, NPRM, the FHWA believes that grandfathering this 
    group of waived drivers to continue operating CMVs in interstate 
    commerce, subject to the operating conditions under Sec. 391.64, is 
    consistent with the public interest and the safe operation of CMVs, in 
    accordance with the Motor Carrier Safety Act of 1984 (49 U.S.C. 
    31136(e) (1994)).
        The FHWA has documented the safe driving performance over a six-
    year period for the vision waived drivers and over a five-year period 
    for diabetes waived drivers and determined that this group of waived 
    drivers will be allowed to continue driving in interstate commerce 
    after March 31, 1996, based on continuous and sustained safe 
    performance as a group. The underlying basis for this action is the 
    performance data gathered to date and risk analysis performed on this 
    data that show that the continued operation of both waived groups of 
    drivers, who total 2326 as of March 1, 1996, will be consistent with 
    the public interest and safe operation of CMVs. Prior to being admitted 
    into the study, the waiver applicants had to demonstrate a three-year 
    period of safe driving performance (i.e., no chargeable accidents and 
    no more than one serious traffic violation). Since the program began, 
    the data have shown that the driving performance of this group of 
    waived drivers is better than the driving performance of all CMV 
    drivers collectively, based on data obtained from the General Estimates 
    Service (GES). Moreover, each driver in the vision and diabetes waiver 
    programs has been closely monitored, in many cases for three years or 
    more, and the poorest performers have been eliminated. Coupled with 
    their 3-year good driving record preceding the waivers, their continued 
    good driving during the waiver program has earned these drivers 
    individually partial exemption from Secs. 391.41(b)(10) and 
    391.41(b)(3), respectively.
        In addition, the FHWA believes that the continued employment of 
    individuals with demonstrated safe driving records is in the public's 
    interest by allowing these individuals to gain employment in 
    occupations of their choice, by promoting economic viability and 
    furthering national policy and legislative goals articulated in both 
    the Rehabilitation Act of 1973 and the Americans with Disabilities Act 
    of 1992.
        Therefore, the FHWA hereby amends 49 CFR part 391 to grant 
    grandfather rights to all drivers holding a valid Federal vision or 
    diabetes waiver on March 31, 1996. Under the grandfather provision, the 
    FHWA will allow only those drivers who have been granted temporary 
    waivers to participate in the Federal vision and diabetes waiver 
    programs, numbering 2326 as of March 1, 1996, to continue to operate in 
    interstate commerce beyond March 31, 1996, subject to certain operating 
    conditions. This action will provide relief to these drivers who, 
    notwithstanding the demonstrated abilities of the group, would 
    otherwise not be permitted to operate a CMV in interstate commerce. 
    These grandfather provisions are conditional, in order to ensure the 
    continued safe operation of these drivers. In addition to the 
    conditions regarding medical requirements discussed below, the FHWA 
    will monitor the performance of these drivers through periodic checks.
    
    Medical Requirements for Operating Under This Grandfather Provision
    
        The FHWA recognizes that any person's medical or physical condition 
    may deteriorate over time. Consequently, the FHWA will require a 
    physical examination every year under Sec. 391.43, instead of every 2 
    years as is required of other drivers, as an extra precaution to ensure 
    the continued safe operation of these drivers. Under this provision, 
    the waived drivers, like all other interstate drivers, must be 
    otherwise physically qualified pursuant to Sec. 391.41 of the FMCSRs.
        In addition, in this final rule, the FHWA requires the 
    grandfathered vision impaired drivers to obtain an annual vision 
    examination by an ophthalmologist or optometrist indicating that they 
    have been examined within the past two months and that the vision in 
    the better eye is at least 20/40 acuity, corrected or uncorrected. This 
    information must be submitted to the medical examiner at the time of 
    the individual's annual physical qualification examination under part 
    391 of the FMCSRs.
        Similarly, diabetic drivers grandfathered as a result of this 
    action are required to obtain an annual examination by a board 
    certified/eligible endocrinologist who must certify that the driver (1) 
    has been examined within the past two months; (2) is free of insulin 
    reactions; (3) has the ability and has demonstrated willingness to 
    properly monitor and manage his/her diabetes; and (4) does not have a 
    diabetic condition that would adversely affect his or her ability to 
    operate a CMV. An individual is free of insulin reactions if he or she 
    does not have severe hypoglycemia (i.e., episodes of altered 
    consciousness requiring the assistance of another person to regain 
    control) or hypoglycemia unawareness (i.e., the inability to recognize 
    the early symptoms of hypoglycemia), and has less than one documented, 
    symptomatic hypoglycemic reaction per month. These drivers will be 
    required to carry a source of rapidly absorbable glucose and continue 
    to monitor their blood glucose using a portable glucose monitoring 
    device equipped with a computerized memory one hour prior to driving 
    and approximately every four hours while driving. Upon request, the 
    driver must submit his or her blood glucose logs to the endocrinologist 
    and/or the medical examiner or when otherwise directed by an authorized 
    agent of the FHWA. A copy of the endocrinologist's report must be 
    submitted to the medical examiner at the time of the annual physical 
    qualification examination under part 391 of the FMCSRs.
        This final rule requires this group of drivers to carry a medical 
    certificate stating: ``Medically qualified by operation of 49 CFR 
    391.64.'' Drivers who do not provide a copy of the required information 
    from the ophthalmologist/optometrist or the endocrinologist to the 
    medical examiner at the time of their annual physical qualification 
    examinations cannot be recertified to continue driving a CMV in 
    interstate commerce under this grandfather provision.
    
    Technical Amendment
    
        In this final rule, the FHWA also relocates the provision in part 
    391 granting limited exemptions for intra-city zone drivers. The 
    current provision, required under the Motor Carrier Act of 1988 (49 
    U.S.C. 31136(f)), is codified as paragraph (d) of 49 CFR 391.2, General 
    Exemptions. This action redesignates the provision, without any 
    substantive change, as Sec. 391.62, where it is more properly included 
    in subpart G, Limited Exemptions. Paragraph (d)(5)(i) of 49 CFR 391.2 
    is also being deleted as superfluous.
    
    Executive Order 12866 (Regulatory Planning and Review) and DOT 
    Regulatory Policies and Procedures
    
        The FHWA has determined that this final rule is not a significant 
    regulatory action under Executive Order 12866 or under the regulatory 
    policies and procedures of the DOT. It is anticipated that the economic 
    impact of this rule will be minimal because of its limited application 
    and the small number of
    
    [[Page 13346]]
    affected drivers. Moreover, this action will not have any permanent 
    effect on any existing safety standard. It will merely continue the 
    status quo by grandfathering some 2,300 drivers who have been operating 
    safely for substantial periods of time. Therefore, a full regulatory 
    evaluation is not required.
        The FHWA finds that this final rule is exempt from the 30-day 
    delayed effective date requirement of U.S.C. 553(d) because it ``grants 
    or recognizes an exemption or relieves a restriction.'' Without this 
    action, CMV drivers in the agency's diabetes and vision waiver studies 
    would no longer be qualified to operate in interstate commerce after 
    March 31, 1996, the date on which these programs would otherwise end. 
    This final rule enables these drivers to continue operations, subject 
    to certain operating and monitoring conditions, granting an exemption 
    to the vision and diabetes standards of 49 C.F.R. 391.41 that would 
    otherwise soon apply to these drivers.
    
    Regulatory Flexibility Act
    
        In compliance with the Regulatory Flexibility Act, 5 U.S.C. 601-
    612, the FHWA has evaluated the effects of this final rule on small 
    entities. The FHWA believes that this action will not have a 
    significant economic impact on a substantial number of small entities 
    because this action is directed solely at a limited number and narrowly 
    defined population of CMV drivers operating in interstate commerce. 
    This action will not cause a major increase in costs or prices and, 
    therefore, will not have a significant effect on the Nation's economy.
    
    Executive Order 12612 (Federalism Assessment)
    
        This rulemaking will amend 49 CFR part 391 pertaining to the 
    qualification of CMV drivers. This action will allow CMV drivers who 
    currently hold waivers from the Federal vision and diabetes 
    requirements to continue operating in interstate commerce after March 
    31, 1996. This rulemaking has been analyzed in accordance with the 
    principles and criteria contained in Executive Order 12612. Nothing in 
    this rulemaking will directly preempt any State law or regulation. This 
    rulemaking will not limit the policymaking discretion of the States. 
    Therefore, the FHWA has determined that this rulemaking does not have 
    sufficient federalism implications to warrant the preparation of a 
    separate Federalism Assessment.
    
    Executive Order 12372 (Intergovernmental Review)
    
        Catalog of Federal Domestic Assistance Program Number 20.217, Motor 
    Carrier Safety. The regulations implementing Executive Order 12372 
    regarding intergovernmental consultation on Federal programs and 
    activities apply to this program.
    
    Paperwork Reduction Act
    
        This program does not contain a collection of information 
    requirement for purposes of the Paperwork Reduction Act of 1995, Pub. 
    L. 104-13.
    
    Regulation Identification Number
    
        A regulation identification number (RIN) is assigned to each 
    regulatory action listed in the Unified Agenda of Federal Regulations. 
    The Regulatory Information Service Center publishes the Unified Agenda 
    in April and October of each year. The RIN contained in the heading of 
    this document can be used to cross reference this action with the 
    Unified Agenda.
    
    List of Subjects in 49 CFR Part 391
    
        Driver qualifications, Highway safety, Motor carriers, Reporting 
    and recordkeeping requirements, Safety, Transportation.
    
        Issued on: March 20, 1996.
    Rodney E. Slater,
    Federal Highway Administration.
        In consideration of the foregoing, the FHWA amends title 49, CFR, 
    subtitle B, chapter III, part 391 as set forth below:
    
    PART 391--QUALIFICATIONS OF DRIVERS
    
        1. The authority citation for part 391 continues to read as 
    follows:
    
        Authority: 49 U.S.C. 504, 31133, 31136, and 31502; and 49 CFR 
    1.48.
    
    
    Sec. 391.2  [Redesignated as Sec. 391.62]
    
        2. Part 391 is amended by redesignating Sec. 391.2 as Sec. 391.62 
    and revising it to read as follows:
    
    
    Sec. 391.62  Limited exemptions for intra-city zone drivers.
    
        The provisions of Secs. 391.11(b)(1) and 391.41(b)(1) through 
    (b)(11) do not apply to a person who:
        (a) Was otherwise qualified to operate and operated a commercial 
    motor vehicle in a municipality or exempt intracity zone thereof 
    throughout the one-year period ending November 18, 1988;
        (b) Meets all the other requirements of this section;
        (c) Operates wholly within the exempt intracity zone (as defined in 
    49 CFR 390.5);
        (d) Does not operate a vehicle used in the transportation of 
    hazardous materials in a quantity requiring placarding under 
    regulations issued by the Secretary under 49 U.S.C. chapter 51.; and
        (e) Has a medical or physical condition which:
        (1) Would have prevented such person from operating a commercial 
    motor vehicle under the Federal Motor Carrier Safety Regulations 
    contained in this subchapter;
        (2) Existed on July 1, 1988, or at the time of the first required 
    physical examination after that date; and
        (3) The examining physician has determined this condition has not 
    substantially worsened since July 1, 1988, or at the time of the first 
    required physical examination after that date.
        3. Section 391.64 is added to read as follows:
    
    
    Sec. 391.64  Grandfathering for certain drivers participating in vision 
    and diabetes waiver study programs.
    
        (a) The provisions of Sec. 391.41(b)(3) do not apply to a driver 
    who was a participant in good standing on March 31, 1996, in a waiver 
    study program concerning the operation of commercial motor vehicles by 
    insulin-controlled diabetic drivers; provided:
        (1) The driver is physically examined every year, including an 
    examination by a board-certified/eligible endocrinologist attesting to 
    the fact that the driver is:
        (i) Otherwise qualified under Sec. 391.41;
        (ii) Free of insulin reactions (an individual is free of insulin 
    reactions if that individual does not have severe hypoglycemia or 
    hypoglycemia unawareness, and has less than one documented, symptomatic 
    hypoglycemic reaction per month);
        (iii) Able to and has demonstrated willingness to properly monitor 
    and manage his/her diabetes; and
        (iv) Not likely to suffer any diminution in driving ability due to 
    his/her diabetic condition.
        (2) The driver agrees to and complies with the following 
    conditions:
        (i) A source of rapidly absorbable glucose shalll be carried at all 
    times while driving;
        (ii) Blood glucose levels shall be self-monitored one hour prior to 
    driving and at least once every four hours while driving or on duty 
    prior to driving using a portable glucose monitoring device equipped 
    with a computerized memory;
        (iii) Submit blood glucose logs to the endocrinologist or medical 
    examiner at the annual examination or when otherwise directed by an 
    authorized agent of the FHWA;
    
    [[Page 13347]]
    
        (iv) Provide a copy of the endocrinologist's report to the medical 
    examiner at the time of the annual medical examination; and
        (v) Provide a copy of the annual medical certification to the 
    employer for retention in the driver's qualification file and retain a 
    copy of the certification on his/her person while driving for 
    presentation to a duly authorized Federal, State or local enforcement 
    official.
        (b) The provisions of Sec. 391.41(b)(10) do not apply to a driver 
    who was a participant in good standing on March 31, 1996, in a waiver 
    study program concerning the operation of commercial motor vehicles by 
    drivers with visual impairment in one eye; provided:
        (1) The driver is physically examined every year, including an 
    examination by an ophthalmologist or optometrist attesting to the fact 
    that the driver:
        (i) Is otherwise qualified under Sec. 391.41; and
        (ii) Continues to measure at least 20/40 (Snellen) in the better 
    eye.
        (2) The driver provides a copy of the ophthalmologist or 
    optometrist report to the medical examiner at the time of the annual 
    medical examination.
        (3) The driver provides a copy of the annual medical certification 
    to the employer for retention in the driver's qualification file and 
    retains a copy of the certification on his/her person while driving for 
    presentation to a duly authorized federal, state or local enforcement 
    official.
        3. Section 391.43 is amended by redesignating paragraphs (e), (f) 
    and (g) as paragraphs (f), (g) and (h), respectively; by adding a new 
    paragraph (e); by revising the text preceding the Instructions in newly 
    designated paragraph (f) and the text preceding the Certificate in 
    newly designated paragraph (h); and by amending the medical examiner's 
    certificate form at the end of newly designated paragraph (h) by adding 
    a new listing after the words ``______ Qualified only when wearing a 
    hearing aid'' to read as follows:
    
    
    Sec. 391.43  Medical examination; certificate of physical examination.
    
    * * * * *
        (e) Any driver operating under a limited exemption authorized by 
    Sec. 391.64 shall furnish the medical examiner with a copy of the 
    annual medical findings of the endocrinologist, ophthalmologist or 
    optometrist, as required under that section. If the medical examiner 
    finds the driver qualified under the limited exemption in Sec. 391.64, 
    such fact shall be noted on the Medical Examiner's Certificate.
        (f) The medical examination shall be performed, and its results 
    shall be recorded, substantially in accordance with the following 
    instructions and examination form. Existing forms may be used until 
    current printed supplies are depleted or until March 31, 1997.
    * * * * *
        (h) The medical examiner's certificate shall be in accordance with 
    the following form. Existing forms may be used until current printed 
    supplies are depleted or until March 31, 1997, provided that the 
    medical examiner writes down in pen and ink any applicable information 
    contained in the following form: MEDICAL EXAMINER'S CERTIFICATE
    * * * * *
        __Qualified by operation of 49 CFR 391.64
    * * * * *
        4. In Sec. 391.45, paragraph (b)(2) is revised to read as follows:
    
    
    Sec. 391.45  Persons who must be medically examined and certified.
    
    * * * * *
        (b) * * *
        (2) Any driver authorized to operate a commercial motor vehicle 
    only with an exempt intracity zone pursuant to Sec. 391.62, or only by 
    operation of the exemption in Sec. 391.64, if such driver has not been 
    medically examined and certified as qualified to drive in such zone 
    during the preceding 12 months; and
    * * * * *
    
    [FR Doc. 96-7226 Filed 3-21-96; 12:03 am]
    BILLING CODE 4910-22-P
    
    

Document Information

Effective Date:
3/31/1996
Published:
03/26/1996
Department:
Federal Highway Administration
Entry Type:
Rule
Action:
Final rule.
Document Number:
96-7226
Dates:
This final rule and technical amendment are effective March 31, 1996.
Pages:
13338-13347 (10 pages)
Docket Numbers:
FHWA Docket No. MC-96-2
RINs:
2125-AD73
PDF File:
96-7226.pdf
CFR: (3)
49 CFR 391.41(b)(10)
49 CFR 391.2
49 CFR 391.62