96-4274. Response Plans for Marine Transportation-Related Facilities  

  • [Federal Register Volume 61, Number 41 (Thursday, February 29, 1996)]
    [Rules and Regulations]
    [Pages 7890-7939]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-4274]
    
    
    
    
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    Part III
    
    
    
    
    
    Department of Transportation
    
    
    
    
    
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    Coast Guard
    
    
    
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    33 CFR Parts 150 and 154
    
    
    
    Response Plans for Marine Transportation-Related Facilities; Final Rule
    
    Federal Register / Vol. 61, No. 41 / Thursday, February 29, 1996 / 
    Rules and Regulations
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    DEPARTMENT OF TRANSPORTATION
    
    Coast Guard
    
    33 CFR Parts 150 and 154
    
    [CGD 91-036]
    RIN 2115-AD82
    
    
    Response Plans for Marine Transportation-Related Facilities
    
    AGENCY: Coast Guard, DOT.
    
    ACTION: Final rule.
    
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    SUMMARY: The Coast Guard is adopting with some changes, as final, the 
    interim final rule which establishes regulations requiring response 
    plans for marine transportation-related (MTR) facilities including 
    deepwater ports, certain Coast Guard regulated onshore facilities, 
    marinas, tank trucks, and railroad tank cars. This final rule also 
    adopts with some changes, as final, the interim final rule which 
    establishes additional response plan requirements for facilities 
    located in Prince William Sound, Alaska, permitted under the Trans-
    Alaska Pipeline Authorization Act (TAPAA). These regulations are 
    mandated by the Federal Water Pollution Control Act (FWPCA), as amended 
    by the Oil Pollution Act of 1990 (OPA 90). The purpose of requiring 
    facility response plans is to enhance private sector planning and 
    response capabilities to minimize the environmental impact of spilled 
    oil.
    
    EFFECTIVE DATE: May 29, 1996.
    
    ADDRESSES: Unless otherwise indicated, documents referred to in this 
    preamble are available for inspection or copying at the office of the 
    Executive Secretary, Marine Safety Council (G-LRA/3406) (CGD 91-036), 
    U.S. Coast Guard Headquarters, 2100 Second Street SW., room 3406, 
    Washington, DC 20593-0001, between 8 a.m. and 3 p.m., Monday through 
    Friday, except Federal holidays. The telephone number is (202) 267-
    1477.
    
    FOR FURTHER INFORMATION CONTACT:
    LCDR Walter (Bud) Hunt, Response Division (G-MEP), (202) 267-0441. This 
    telephone is equipped to record messages on a 24-hour basis.
    
    SUPPLEMENTARY INFORMATION:
    
    Drafting Information
    
        The principal persons involved in drafting this document are LT 
    Cliff Thomas, Project Manager, Standards Evaluation Branch (G-MES-2), 
    and Jacqueline Sullivan, Project Counsel, Office of Chief Counsel (G-
    LRA).
    
    Regulatory History
    
        On March 11, 1992 the Coast Guard published an advance notice of 
    proposed rulemaking (ANPRM) in the Federal Register (57 FR 8708) 
    entitled ``Facility Response Plans.'' The ANPRM discussed the 
    background, statutory requirements of section 311(j) of the FWPCA, and 
    possible regulatory approaches. In addition, the ANPRM posed questions 
    for public comment. The Coast Guard received 116 comments.
        On June 19, 1992, the Coast Guard published a notice of proposed 
    rulemaking (NPRM) on the related rulemaking project Vessel Response 
    Plans (VRP) (57 FR 27514). The Coast Guard also gathered public input 
    on the proposed VRP rule through the Oil Spill Response Plan Negotiated 
    Rulemaking Committee. Twenty-six organizations and the Coast Guard were 
    members of the Committee. To maintain consistency between the two 
    regulations, this rule uses certain concepts developed in the VRP NPRM 
    and negotiated rulemaking committee.
        The Coast Guard released Navigation and Vessel Inspection Circular 
    (NVIC) No. 7-92 on September 15, 1992. NVIC No. 7-92 provided immediate 
    guidance to the marine industry for preparing facility response plans 
    to meet the February 1993 deadline established by the Oil Pollution Act 
    of 1990 (OPA 90).
        On February 5, 1993, the Coast Guard published an Interim Final 
    Rule (IFR) entitled ``Response Plans for Marine Transportation-Related 
    Facilities'' in the Federal Register (58 FR 7330). The Coast Guard 
    received 55 comments on the IFR. These comments were considered in 
    developing this final rule.
    
    Background and Purpose
    
        In response to several recent major oil spills, Congress passed the 
    Oil Pollution Act of 1990 (OPA 90) (Pub. L. 101-380). OPA 90 amended 
    section 311(j) of the Federal Water Pollution Control Act (FWPCA) (33 
    U.S.C. 1321(j)). It established requirements, and an implementation 
    schedule, for facility response plans and periodic inspections of 
    discharge-removal equipment.
        As amended by OPA 90, section 311(j)(5) directs the President to 
    issue regulations implementing the new FWPCA requirements for facility 
    response plans. The President delegated this authority, in part, to the 
    Secretary of Transportation (DOT) by Executive Order 12777 (3 CFR, 1991 
    Comp.; 56 FR 54757). The Secretary of Transportation, in 49 CFR 1.46(m) 
    (57 FR 8581; March 11, 1992), further delegated, to the Commandant of 
    the Coast Guard, the authority to regulate marine transportation-
    related (MTR) onshore facilities, and deepwater ports subject to the 
    Deepwater Ports Act of 1974, as amended (33 U.S.C. 1501, et seq.). This 
    rule addresses only MTR facilities that handle, store, or transport 
    oil. Oil spill response plan regulations for vessels are the subject of 
    a separate rulemaking project (CGD 91-034).
        Section 311(a)(1) of the FWPCA defines oil as including, but not 
    limited to, petroleum, fuel oil, sludge, oil refuse, and oil mixed with 
    waste other than dredge spoils (33 U.S.C. 1321(a)(1)). While the most 
    common oils are the various petroleum oils (e.g., crude oil, gasoline, 
    diesel, etc.), non-petroleum oils such as animal fats (e.g., tallow, 
    lard, etc.), vegetable oils (e.g., corn oil, sunflower seed oil, palm 
    oil, etc.), and other non-petroleum oils, such as turpentine, are 
    included within the ambit of this regulation when handled, stored or 
    transported by an MTR facility.
        A major objective of the OPA 90 amendments to the FWPCA was to 
    create a national planning and response system. OPA 90 requires the 
    President to develop nationwide criteria for determining those 
    facilities which could reasonably be expected to cause substantial harm 
    to the environment. The OPA 90 Conference Report (Report 101-653) 
    states that the criteria should result in a broad requirement for 
    facility owners or operators to prepare and submit response plans. 
    Those facilities identified by the President are required to submit 
    response plans.
        Section 311(j)(5) of the FWPCA requires the preparation and 
    submission of response plans from all onshore facilities that could 
    reasonably be expected to cause either ``substantial'' or ``significant 
    and substantial'' harm to the environment by discharging oil into or on 
    the navigable waters, adjoining shorelines, or exclusive economic zone 
    of the United States. Response plans must also be consistent with the 
    National Oil and Hazardous Substances Pollution Contingency Plan (NCP) 
    (40 CFR part 300) and applicable Area Contingency Plans (ACPs).
        Section 311(j)(5) also requires that, in a facility response plan, 
    an owner or operator identify and ensure by contract or other means 
    approved by the President the availability of private personnel and 
    equipment sufficient to remove, to the maximum extent practicable, a 
    worst case discharge and to mitigate or prevent substantial threat of 
    such a discharge.
        Section 311(j)(5)(F) of the FWPCA allows the Coast Guard to 
    authorize an MTR facility requiring plan approval to 
    
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    operate for up to 2 years after a plan is submitted for approval. This 
    provides an interim period in which the facility may continue to 
    operate while the plan approval process is completed.
        Section 5005 of OPA 90 establishes requirements for response plans 
    for MTR facilities located in Prince William Sound, Alaska, which are 
    permitted under the Trans-Alaska Pipeline Authorization Act (TAPAA) (43 
    U.S.C. 1651, et seq.). This section requires a higher level of 
    preparedness for facilities in Prince William Sound in order to provide 
    an even greater margin of safety.
        Although OPA 90 requires response plans for oil or hazardous 
    substance spills, section 4202(b)(4) establishes an implementation 
    schedule only for oil spill response plans. Response plans for 
    hazardous substance spills will be the subject of a separate 
    rulemaking.
    
    Discussion of Comments and Changes
    
        The Coast Guard received 55 comments on the IFR. The following 
    discussion summarizes the comments and explains substantive changes 
    made to the regulation in response to the comments. Comments are 
    categorized by the specific section of the IFR to which they apply. In 
    addition to these changes, editorial changes have been made to clarify 
    the rule or standardize terminology. The following sections have 
    changes which are purely editorial: Secs. 154.1010, 154.1017, 154.1030, 
    154.1047, 154.1050, 154.1070, 154.1075, 154.1125, and appendix C, 
    sections 1, 3, 4, 5, 7, and 8. The following sections were not changed: 
    Secs. 154.1028, 154.1029, 154.1041, 154.1057, 154.1115, 154.1130, 
    154.1135, 154.1140 and appendix C, sections 6 and 9 and Tables 1-5. For 
    the convenience of the public, the Coast Guard has reprinted subparts F 
    and G of part 154 in their entirety, including both changed and 
    unchanged sections. Two new subparts H and I have also been added to 
    part 154.
    
    General Comments
    
        One comment argued that the regulations do not consider economic 
    reasonableness, overstep the intent of Congress in their scope and 
    essentially place the entire burden for cleanup on owners and operators 
    of facilities. The Coast Guard disagrees. The primary intent of the 
    response planning portions of OPA 90 was to require that facility 
    owners or operators identify and ensure, by contract or other approved 
    means, the availability of private personnel and equipment to remove a 
    worst case discharge. The Coast Guard has considered the economic costs 
    of this final rule and they are summarized in this preamble in the 
    section entitled ``Assessment.''
        Regulatory consistency. The Coast Guard received 16 comments urging 
    regulatory consistency in the development of these regulations. All of 
    these comments stated that there should be consistency with the other 
    regulations issued under OPA 90. One of these comments also recommended 
    the establishment of an interagency working group to identify which 
    sections of rules should be consistent and work toward achieving that 
    consistency. Another of these comments also urged that response plan 
    requirements should be amended to resemble EPA's requirements more 
    closely but that the Coast guard's requirements should have a much 
    closer focus on emergency response. The Coast Guard, EPA, and other 
    Federal agencies met repeatedly throughout the development of each 
    agency's rules. This coordination has produced significant similarities 
    between agencies issuing response plan rules. For example, the Coast 
    Guard and EPA have adopted the same requirements with respect to 
    planning volumes, amounts of response equipment, and the use of 
    dispersants, and other similar new or unconventional spill mitigation 
    techniques including mechanical dispersal.
        Public Participation. Six comments addressed concerns of public 
    participation in the process of this rulemaking. Four comments argued 
    that the Coast Guard should have issued an NPRM instead of an IFR to 
    facilitate public comment. The IFR was issued to meet OPA 90's deadline 
    for implementing these oil pollution rules. Public comment to the IFR 
    has been considered in the development of this final rule.
        One comment argued that the IFR did not meet the requirements of 
    OPA 90 for public input regarding the adequacy of the plans because it 
    does not provide for notification of plan receipt by the Coast Guard; 
    supplying copies of the plans to interested people; making copies of 
    the plans available in a central location for public review; or 
    allowing the public to appeal Coast Guard decisions on deficiencies or 
    classification.
        The Coast Guard concludes that there is no requirement contained in 
    OPA 90 for the public to determine the adequacy of individual response 
    plans from onshore or offshore facilities. Along with Federal, state, 
    and local government representatives who are responsible for 
    coordinating environmental issues and emergency response operations, 
    the Coast Guard has encouraged Area Committees to include environmental 
    groups, representatives from academia, and concerned citizens. The 
    Coast Guard concludes that this is an appropriate method for private 
    citizens to provide advice, guidance, and expertise to the Area 
    Committee and will result in a coordinated community response to an oil 
    discharge.
        This same comment requested a public hearing and the establishment 
    of a negotiated rulemaking committee for this regulation. The Coast 
    Guard established an Oil Spill Response Plan Negotiated Rulemaking 
    Committee (56 FR 58202, November 18, 1991). The Coast Guard used 
    information in the final report provided by the Committee in the 
    drafting of the VRP Rule (CGD 91-036) and this rule. The Coast Guard 
    finds it unnecessary to conduct a separate negotiated rulemaking for 
    the Facility Response Plan (FRP) rule.
        Clarification. Two comments requested general clarification of the 
    IFR. One comment stated that the regulations must be clarified in many 
    respects to avoid differences of interpretation. The other comment was 
    concerned with words in the regulations having different meanings from 
    their accepted meanings. The Coast Guard recognizes these concerns and 
    has strived for clarity in this final rule. For example, in this final 
    rule, the Coast Guard has added definitions of the terms ``complex'', 
    ``tier'', and ``fish and wildlife and sensitive environment''. It has 
    also issued guidance to response plan reviewers to assure uniform 
    understanding and enforcement of response plan requirements.
        Agency jurisdiction. Two comments addressed the issue of 
    jurisdictional conflicts between agencies. One comment asserted that 
    there is an overlap in Coast Guard and Research and Special Programs 
    Administration (RSPA) authority over pipelines. This comment argued 
    that pipelines used only for transporting fuel between tanks and 
    vessels were previously subject only to Coast Guard jurisdiction. 
    However, this comment argues, new RSPA regulations now apply to all 
    pipelines. This comment contended that such regulation conflicts with 
    the delegation of authority in E.O. 12777 giving RSPA authority over 
    non-MTR pipelines only.
        Executive Order 12777 delegated to the Secretary of Transportation 
    responsibility for the issuance of regulations requiring the owner or 
    operator of a transportation-related onshore facility and deepwater 
    ports to prepare and submit response plans. The Secretary delegated to 
    the Commandant of the Coast Guard the responsibility for 
    
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    the issuance of regulations requiring the owner or operator of a marine 
    transportation-related onshore facility and deepwater ports to prepare 
    and submit response plans. The Secretary delegated to the Administrator 
    of RSPA the same authority for non-marine transportation-related 
    pipelines. The Coast Guard finds that there is no conflict over 
    jurisdiction.
    
    Section 150.129  Response Plans
    
        The Coast Guard received one comment on this section. The comment 
    requested that the Coast Guard clarify the submission requirements for 
    deepwater ports. Under the IFR, the Coast Guard determined that 
    deepwater ports are significant and substantial harm facilities under 
    Sec. 154.1015 and, therefore, are required to submit a response plan 
    for review and approval. The Coast Guard finds that the submission 
    requirements are clear and, therefore, has made no changes to the final 
    rule on the classification of deepwater ports.
    
    Section 154.106  Incorporation by Reference
    
        The Coast Guard received one comment on this section. The comment 
    stressed that the Coast Guard should review the standard test methods 
    developed by the American Society of Testing Materials (ASTM) that are 
    incorporated by reference in this section as the standards are revised. 
    The Coast Guard intends to review any revisions to these standards and 
    will conduct appropriate rulemaking to revise this section if warranted 
    by changes to these standards.
    
    Section 154.1010  Purpose
    
        The Coast Guard received several comments requesting clarification 
    of this section. In response to these comments, the Coast Guard has 
    revised this section to clarify the purpose of response plans.
    
    Section 154.1015  Applicability
    
        The Coast Guard received eight comments on this section of the IFR. 
    Three comments argued that the classification of facilities should not 
    be determined solely by the amount of oil that a facility is capable of 
    transferring. The comments stated that other factors such as a 
    facility's spill history, proximity to fish and wildlife and sensitive 
    environments, presence of containment structures, and potential worst 
    case discharge should be considered in the classification of 
    facilities.
        The IFR reflects the Coast Guard determination that all MTR 
    facilities that transfer oil to or from a vessel with a capacity of 250 
    barrels or more could reasonably be expected to cause at least 
    substantial harm to the environment, and that large fixed facilities 
    and deepwater ports could reasonably be expected to cause significant 
    and substantial harm to the environment in the case of an oil 
    discharge. If a facility owner or operator believes that his or her 
    facility should be reclassified from significant and substantial harm 
    to substantial harm or excluded from the substantial harm category 
    based on factors other than the facility's capacity for transferring 
    oil, then under Sec. 154.1075 the facility owner or operator is 
    permitted to appeal the classification to the COTP and then to the 
    District Commander, and then to the Commandant. There have been no 
    changes in these provisions in the final rule.
        Although the Coast Guard has not changed the final rule to reflect 
    the consideration of factors other than the facility's type and its 
    capacity for transferring oil in the classification of the facility, 
    the Coast Guard has modified the threshold for the initial 
    classification of significant and substantial harm facilities in the 
    final rule, thereby decreasing the number of facilities which will be 
    classified as significant and substantial harm facilities. The Coast 
    Guard has identified several fixed MTR facilities which are segments of 
    non-MTR facilities that have a total storage capacity of less than 
    42,000 gallons. The Environmental Protection Agency (EPA) has 
    determined that such non-transportation related facilities with a 
    storage capacity of less than 42,000 gallons associated with a MTR 
    facility are not considered as substantial harm facilities. However, 
    these MTR facilities are capable of transferring oil to or from a 
    vessel with a capacity of 250 barrels or more. The Coast Guard has 
    determined that these facilities could reasonably be expected to cause 
    substantial harm to the environment. These facilities must still submit 
    response plans; however, they are no longer classified as ``significant 
    and substantial harm'' facilities. Paragraph (c)(1) of Sec. 154.1015 
    has been amended to incorporate this change.
        One comment suggested that facilities that transfer only oily water 
    mixtures should be classified as substantial harm facilities. The Coast 
    Guard disagrees. Although a facility may transfer only oil that is 
    mixed with water, the facility may transfer enough oil to reasonably be 
    expected to cause significant and substantial harm to the environment 
    if a discharge were to occur.
        Another comment stated that the Coast Guard should clarify that 
    mobile facilities are the only facilities that are not classified as 
    significant and substantial harm facilities. Under the IFR, mobile 
    facilities are the only facilities which initially are classified only 
    as substantial harm facilities; however, under Sec. 154.1016, the COTP 
    may determine that other facilities may reasonably be expected to cause 
    substantial harm to the environment and may upgrade mobile MTR 
    facilities to significant and substantial harm facilities. 
    Additionally, the amended paragraph (c)(1) of Sec. 154.1015 of the 
    final rule, which modifies the threshold for significant and 
    substantial harm facilities, has increased the number of facilities 
    that will initially be classified only as substantial harm facilities.
        One comment suggested that the Coast Guard provide guidance on how 
    to determine whether a facility is part of a complex. A facility is 
    part of a complex if the entire facility is regulated by more than one 
    Federal agency under section 311(j) of the FWPCA. Most MTR facilities 
    are part of a larger facility that has segments which are regulated by 
    agencies such as EPA, RSPA or the Minerals Management Service (MMS). If 
    a facility owner or operator is unable to determine whether his or her 
    facility is part of a complex, he or she may request guidance from the 
    COTP.
        Two comments contended that the regulation should not apply to non-
    petroleum oils. One comment specifically stated that the regulation 
    should not apply to facilities which handle animal and vegetable oils 
    because these oils are not toxic to the environment. The Coast Guard 
    disagrees. The response planning requirements of this regulation were 
    developed to ensure that facility owners or operators are prepared to 
    respond to an oil spill originating from their facility, regardless of 
    the type of oil spilled. The Coast Guard recognizes that certain non-
    petroleum oils, including certain animal fats and vegetable oils, are 
    non-toxic in the marine environment; however, lethal acute aquatic 
    toxicity is not the sole factor considered in determining harm to the 
    environment. A discharge of animal fats or vegetable oils may cause 
    chronic effects for waterfowl and aquatic organisms. Proper response 
    planning for a discharge of non-petroleum oils will have a significant 
    effect in limiting harm to the environment. Therefore, facility owners 
    or operators handling non-petroleum oils at their facility are required 
    to prepare response plans under this regulation.
    
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        The Coast Guard has determined, based upon comments, that animal 
    fats and vegetable oils, and other non-petroleum oils will be addressed 
    separately from petroleum oils, and from one another, in the final 
    rule. The final rule removes the response planning requirements for 
    animal fats and vegetable oils, and other non-petroleum oils from 
    Sec. 154.1049 in the IFR and establishes two new subparts H and I, 
    containing requirements for these oils. Subpart H contains requirements 
    for animal fats and vegetable oils, while subpart I contains 
    requirements for other non-petroleum oils. Although new subparts have 
    been established for animal fats and vegetable oils, and other non-
    petroleum oils, the response planning requirements for these oils are 
    not changed in the final rule.
        One comment stated that a facility that is capable of transferring 
    oil to or from a vessel with a capacity of 250 barrels or more, but 
    that does not transfer to a vessel of this size should not be required 
    to submit a response plan. Although the Coast Guard has not lowered the 
    threshold for substantial harm facilities in the final rule, the 
    revised final rule permits the COTP to downgrade a facility. The COTP 
    is in the position to evaluate the individual situation of each 
    facility under his or her jurisdiction with respect to operational 
    history and other factors which would affect the facility's 
    classification. The COTP may downgrade a facility's classification, 
    acting either on his own or upon request of the facility's owner or 
    operator, if he finds that such action is warranted.
    
    Section 154.1016  Facility Classification by COTP
    
        The Coast Guard received four comments on this section. One comment 
    stated that the COTP should not be permitted to upgrade a facility 
    based on the facility's proximity to areas of economic importance and 
    environmental sensitivity. The comment contended that OPA 90 does not 
    permit such an action. Another comment stated that a facility's spill 
    history does not indicate that the facility is at greater risk for 
    future spills and, therefore, spill history should not be considered in 
    determining a facility's classification. The Coast Guard disagrees. OPA 
    90 permits the Coast Guard to require response plans for facilities 
    that could reasonably be expected to cause substantial harm and 
    significant and substantial harm to the environment. OPA 90 does not 
    define these terms; therefore, the Coast Guard must determine the 
    criteria used to distinguish these facilities. The Coast Guard has 
    adopted EPA's term ``fish and wildlife and sensitive environments'' to 
    refer to areas of environmental sensitivity. The Coast Guard has 
    concluded that a facility's proximity to fish and wildlife and 
    sensitive environments and its spill history are relevant factors in 
    determining whether a facility could reasonably be expected to cause 
    substantial harm or significant and substantial harm to the environment 
    in the case of an oil discharge.
        Two comments stated that a facility owner or operator should be 
    permitted to appeal the COTP's decision to upgrade a facility. Under 
    Sec. 154.1075 of the IFR, a facility owner or operator is permitted to 
    request the COTP to review the initial facility classification. The 
    owner or operator may submit relevant data to the COTP to support his 
    or her argument. If the owner or operator is dissatisfied with the 
    COTP's decision, the owner or operator may appeal the decision to the 
    District Commander. The decision of the District Commander may be 
    appealed to the Commandant. This appeals provision is unchanged in the 
    final rule.
        Under the IFR, the COTP was permitted only to upgrade a facility's 
    initial classification. Under the final rule, the COTP is permitted to 
    upgrade or downgrade the facility's classification. Upon written 
    request from the facility owner or operator to review the facility's 
    classification, the COTP may downgrade a facility from significant and 
    substantial harm to substantial harm or from substantial harm to a 
    status in which it is exempt from the regulation. This provides the 
    COTP with greater latitude to appropriately regulate his or her port 
    area. This change has prompted the renaming of this section to 
    ``Facility Classification by COTP'' in the final rule.
    
    Section 154.1017  Response Plan Submission Requirement
    
        The Coast Guard received many comments on this section of the IFR. 
    Four comments requested the Coast Guard to clarify whether the FRP 
    regulations apply to inactive facilities. Under Sec. 154.100(a), the 
    applicability section for part 154, facilities in caretaker status are 
    exempt from the requirements of this part, with the exception of 
    certain safety requirements set out in Sec. 154.735.
        Two comments stated that facility complexes should not be required 
    to submit response plans to more than one Federal agency for approval. 
    The comments further stated that all facilities that transfer oil over 
    water should be regulated exclusively by the Coast Guard. The Coast 
    Guard recognizes that submitting plans to several agencies for approval 
    may have been burdensome for those facilities whose options 
    necessitated submission of response plans to more than one Federal 
    agency. The initial delegation under Executive Order 12777 to issue 
    regulations and review and approve response plan to multiple Federal 
    agencies reflected agency expertise in the regulated industries and the 
    traditional jurisdiction of Federal agencies under section 311 of the 
    FWPCA. This delegation provided each agency with the opportunity to 
    review response plans and to ensure that the plans reflected industry 
    practices and were in compliance with statutory requirements.
        Today, virtually every facility required to submit response plans 
    has already done so in compliance with the rules promulgated by the 
    appropriate agency. It has become apparent that some response plans 
    unnecessarily duplicate information contained in other plans. Federal 
    agencies are interested in streamlining the response plan preparation 
    and submission procedures to reduce significantly the burden when plan 
    revision and resubmission is required. The Coast Guard believes that 
    the ``One Plan'' or Integrated Contingency Planning concept has merit 
    and discussions are ongoing between industry, the appropriate Federal 
    agencies, and members of the National Response Team (NRT). The NRT is 
    developing guidance for preparation of integrated response plans that 
    will satisfy the regulatory requirements of various Federal agencies 
    while avoiding unnecessary and confusing duplication of standard 
    response procedures and organizational details. With the completion of 
    guidance on Integrated Contingency Planning, the Coast Guard will 
    accept plans developed in accordance with that guidance. The NRT is 
    also examining the feasibility of vesting response plan review in the 
    On Scene Coordinator. The NRT is discussing minimizing the number of 
    Federal agencies involved in reviewing a response plan for those 
    facilities that, due to their diverse nature, may have to prepare and 
    submit a response plan to more than one Federal agency. The Coast Guard 
    is committed to working with the NRT on these issues and working to 
    minimize the regulatory burden on facilities that have marine 
    transportation-related mode and non-transportation-related components.
    
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    Section 154.1020  Definitions
    
        The Coast Guard received many comments on the definitions of the 
    terms used in the IFR. Some comments suggested clarification of certain 
    terms while others suggested the addition of terms. The following 
    discussion addresses only those definitions or issues on which the 
    Coast Guard received comment or made significant revisions.
        Adverse weather. The Coast Guard received one comment on ``adverse 
    weather'' which suggested that wind, tides, and the number of daylight 
    hours be included as three additional environmental factors that 
    contribute to adverse weather conditions for a spill response. The 
    Coast Guard did not intend the listed conditions to be exclusive. To 
    address this comment's concern, the Coast Guard is adding language to 
    the definition of ``adverse weather'' to indicate that other relevant 
    factors including wind, tides, etc., should also be taken into account 
    when identifying response systems and equipment.
        Availability (of response resources). The Coast Guard received one 
    comment which requested that this term be defined. The comment stated 
    that the definition should indicate that response organizations often 
    have contracts with many facilities and, as a result, there may be 
    instances where the contractor's obligations to one facility may limit 
    its ability to arrive at the scene of an oil spill at another facility 
    within the specified times. The Coast Guard recognizes that actual 
    availability of response resources may be limited by unforeseeable 
    events such as multiple, simultaneous oil spills. The Coast Guard 
    stresses that the requirements are not performance standards. They are 
    intended to be used to develop a plan for responding to a discharge of 
    oil to the maximum extent practicable in the existing conditions. The 
    Coast Guard recognizes that actual conditions may not permit the 
    arrival of resources within the prescribed timelines. The Coast Guard 
    concludes that there is no need to provide a definition.
        Complex. The Coast Guard received one comment suggesting that it 
    clarify the meaning of ``complex'' and that the Coast Guard definition 
    be consistent with the definition in EPA regulations. A ``complex'' is 
    composed of facilities regulated by two or more Federal agencies, and 
    that are used, or intended to be used, to transfer oil to or from a 
    vessel. A ``complex'' may include marine transportation-related 
    portions and other non-marine transportation-related portions. The 
    Coast Guard has included a definition that is consistent with the FWPCA 
    and applicable EPA regulations.
        Consistency with EPA regulations. Two comments stated that the 
    definitions in the Coast Guard regulation should be consistent with 
    those in the EPA regulation. Wherever relevant, the Coast Guard has 
    consulted other agencies and their regulations to ensure that the Coast 
    Guard's OPA 90 regulations do not conflict with those of other 
    agencies. Occasionally, the Coast Guard's definitions diverge from 
    similar definitions of other agencies. In those cases, the Coast Guard 
    has examined the other agency regulations and decided upon a different 
    approach for legal, policy, or technical reasons.
        Environmentally Sensitive Area. The Coast Guard received one 
    comment suggesting that it add a definition of the term 
    ``environmentally sensitive area'' to be consistent with EPA 
    regulations, the NCP, and OPA 90. The EPA has adopted the term ``fish 
    and wildlife and sensitive environment.'' For consistency, the Coast 
    Guard is adopting EPA's term and its definition. However, the Coast 
    Guard is adding economically important areas to the EPA definition. OPA 
    90 requires that response plans be consistent with the applicable Area 
    Contingency Plan (ACP). The ACPs are prepared by Area Committees 
    composed of qualified personnel from Federal, State and local agencies. 
    The Coast Guard has provided guidance to the Area Committees on the 
    preparation of ACPs. Coastal ACPs have been prepared and are available 
    for preparation of facility response plans. The Area Committees 
    identify, and prioritize for protection, specific locations that fall 
    under the category ``fish and wildlife and sensitive environments.'' 
    The ACPs will be revised annually and will identify areas of economic 
    importance. The completed fish and wildlife and sensitive environments 
    plans will likely be geographic-specific annexes to the ACPs. The 
    National Oceanic and Atmospheric Administration (NOAA) published a 
    notice in the Federal Register on March 29, 1994 entitled ``Guidance 
    for Facility and Vessel Response Plans Fish and Wildlife and Sensitive 
    Environments.'' (59 FR 14714) NOAA's notice provides detailed guidance 
    which facility and vessel owners may use to supplement the information 
    contained in the applicable Coast Guard regulations. However, the ACP 
    will still be used to make the final determination regarding fish and 
    wildlife and sensitive environments.
        Full-scale. The Coast Guard received five comments suggesting the 
    addition of the term ``full scale'' in order to clarify certain 
    requirements for spill drills. The comments proposed that the term mean 
    maximum participation by all levels of a facility's response 
    organization to test major portions of the plan with a high degree of 
    realism and extensive involvement. The Coast Guard extensively revised 
    Sec. 154.1055 of subpart F to reflect concerns expressed by comments, 
    as well as to bring the section into alignment with the vessel response 
    plan final rule and the applicable EPA regulations. Section 154.1055 is 
    now entitled ``Exercises'' and requires the owner or operator of a 
    facility to conduct exercises that will test the entire response plan 
    every 3 years. The requirements allow the owner or operator to exercise 
    different elements of the plan (e.g. qualified individual notification, 
    spill management team, equipment deployment) at different times. 
    However, the exercises must still test every element of the plan every 
    3 years and, in addition, an unannounced exercise must also be 
    conducted every 3 years. The revised Sec. 154.1055 also allows owners 
    or operators to fulfill the exercise requirements by complying with the 
    National Preparedness for Response Exercise Program (PREP). In view of 
    these changes, a definition of ``full scale'' is not necessary.
        Functional. The Coast Guard received five comments suggesting that 
    the term ``functional'' be added to the definitions section in the 
    final rule to clarify certain requirements for spill drills. The 
    comments proposed that the term be defined as the limited exercising of 
    specific functions, such as a command and control, internal 
    coordination, external coordination, and tests of the functional 
    planning and response capabilities of personnel and systems. In 
    response to these, and other comments, the Coast Guard has extensively 
    revised Sec. 154.1055 which was entitled ``Drills'' in the IFR and is 
    now entitled ``Exercises.'' The Coast Guard concludes that the 
    Exercises section now adequately addresses the meaning of the term 
    functional. The functional areas are laid out in 
    Sec. 154.1035(b)(3)(iii) of subpart F. Response plans must contain an 
    organizational structure incorporating the listed functional areas. 
    Section 154.1035(b)(3)(iv) requires response plans to also contain job 
    descriptions for the spill management team members in each functional 
    area identified in the organizational structure described in 
    Sec. 154.1035(b)(3)(iii).
        Group IV oil. The Coast Guard received several comments indicating 
    that the definition for Group IV oil included Group V oil. The Coast 
    Guard has revised the definition of Group IV 
    
    [[Page 7895]]
    oil which is found in the definition of ``persistent oils'' to mean oil 
    having a specific gravity equal to or greater than .95 and less than or 
    equal to 1.0.
        Higher volume port areas. The Coast Guard received one comment 
    which proposed to add Cook Inlet, Alaska to the list of higher volume 
    port areas. The Coast Guard classified higher volume port areas based 
    upon a study of the relative volumes of oil handled, stored or 
    transported. The U.S. Army Corps of Engineers reports on ``Waterborne 
    Commerce of the United States'' provided the statistics for 34 port 
    areas. The decision to classify some ports as higher volume was based 
    upon the Coast Guard's analysis of the data from the reports. The data 
    revealed a distinct break point. Cook Inlet, Alaska falls below the 
    break point and, as such, does not meet the criteria for designation as 
    a higher volume port area.
        Marine transportation-related facility. The Coast Guard received 
    three comments on the definition of MTR facility. One comment requested 
    that the Coast Guard clarify the definition by citing specific types of 
    facilities to which it refers. The Coast Guard gave examples of MTR 
    facilities in the preamble to the IFR (e.g., fixed onshore MTR 
    facilities include marinas; and mobile MTR facilities include tank 
    trucks and railroad tank cars). Two other comments requested 
    clarification of Coast Guard and RSPA jurisdiction over pipelines at 
    MTR facilities. As stated in the preamble to the IFR, the definition of 
    transportation-related and non-transportation-related facilities 
    appeared in a 1971 Memorandum of Understanding (MOU) between the 
    Environmental Protection Agency and the Department of Transportation. 
    The MOU appears in the appendix to 40 CFR part 112. The Coast Guard 
    definition of MTR is drawn directly from the MOU. The division point 
    between the transportation-related portion of a pipeline, and the non-
    transportation-related portion of a pipeline is the first design 
    discontinuance (valve) inside the secondary containment surrounding the 
    tanks in the non-transportation-related portion of the facility. The 
    Coast Guard finds that MTR is clearly defined in accordance with the 
    appropriate legal authority. In a particular situation, if the location 
    of the division between the MTR portion and the non-MTR portion is 
    unclear, then the appropriate Federal officials, including the Coast 
    Guard COTP, should be consulted. As set forth in the definition, these 
    officials may agree to a specific location for the separation.
        Maximum extent practicable. One comment asserted that the 
    definition of ``maximum extent practicable'' is too rigid and does not 
    allow for the flexibility that Congress intended. According to the 
    comment, location, size, configuration, and other similar factors, 
    should be considered in developing response plans. The Coast Guard has 
    used a number of factors in determining the need to prepare and submit 
    a response plan. The planning process also considers other factors as 
    provided in Secs. 154.1035 and 154.1045.
        Maximum most probable discharge. The Coast Guard received four 
    comments on the definition of maximum most probable discharge 
    suggesting that the Coast Guard revise the maximum most probable 
    discharge volume of 1,200 barrels or 10 percent of the volume of the 
    worst case discharge to be consistent with the EPA maximum most 
    probable discharge volume of 36,000 gallons. As stated in the preamble 
    to the IFR, the Coast Guard based its maximum most probable discharge 
    definition upon historical spill data which indicated that 99 percent 
    of oil spills from coastal zone facilities were approximately 1,200 
    barrels or less. The Coast Guard concludes that the existing definition 
    is appropriate because it protects the environment while not overly 
    burdening small volume facilities.
        Nearshore area. The Coast Guard received two comments on the 
    definition of nearshore area. One comment stated that the definition 
    should exclude areas which also meet the definition of rivers and 
    canals. Another comment requested clarification of the relationship 
    between nearshore areas and other terms such as ``close-to-shore'' in 
    Appendix C and ``close to shore response activities in shallow water'' 
    in Sec. 154.1045(e). The definition of ``Nearshore area'' does not 
    presently include areas which meet the definition of rivers and canals 
    because ``Rivers and canals'' is a subset of the definition of ``Inland 
    areas'' not ``Nearshore areas.'' The precise meaning of ``close-to-
    shore'' is specified at the point where the term is used. Close-to-
    shore refers to waters six feet or less in depth.
        Notification drill. The Coast Guard received five comments that 
    suggested the addition of the term ``notification drill'' to the 
    definition section of the final rule. The comments suggested defining 
    the term to mean a test of the facility's system of notifying or 
    activating, according to the facility's response plan, appropriate 
    agencies, the facility spill management team, the oil spill removal 
    organization, and the next higher level of the facility owner's or 
    operator's organization. A notification drill tests the facility's 
    ability to start activation of its plan. To be successful, a 
    notification drill need not result in calls to the top of the 
    facility's response organization. The Coast Guard has extensively 
    revised Sec. 154.1055 which was previously entitled ``Drills'' and is 
    now entitled ``Exercises.'' The revised section includes a ``Qualified 
    Individual notification exercise'' and specifies that compliance with 
    the National Preparedness for Response Exercise Program (PREP) fulfills 
    all exercise requirements. The Coast Guard concludes that these changes 
    adequately address the points raised by the comments.
        Oil. The Coast Guard received seven comments on this definition. 
    One comment requested that the Coast Guard narrow the definition of oil 
    to exclude substances which contain small percentages of oil such as 
    ship bilge and ballast water. One comment indicated that the definition 
    of oil in the regulations should be consistent with the definition in 
    OPA 90, which excludes hazardous substances subject to CERCLA. Four 
    comments stated that oil should be limited only to petroleum oils which 
    are liquid under the range of ambient conditions which exist at a 
    facility and which are not considered CERCLA substances. OPA 90 did not 
    amend the definition of oil in section 311 of the FWPCA. The Coast 
    Guard's definition of ``oil'' is the same definition used by the FWPCA. 
    The statutory definition refers to oil in any form. That includes oily 
    bilge and ballast water because they have been shown to be sources of 
    oil pollution and discharges may result in substantial harm to the 
    environment. The Coast Guard has determined that it is appropriate for 
    response plans to include provisions covering oils which may not be 
    liquid in all conditions. Such oils may sink to the bottom or remain 
    suspended in the water column. In either case, they may cause 
    substantial harm to the environment if not cleaned up as soon as 
    possible. The Coast Guard concludes that the current definition of oil 
    meets both the letter and the spirit of the FWPCA and therefore is not 
    changing the definition of oil.
        Another comment stated that the response plan regulations should 
    not apply to edible oils. The comment contended that if edible oils 
    were excluded from the regulations, the owner or operator of a facility 
    handling edible oils still would be required to report and cleanup a 
    spill under the Clean Water Act (CWA). The Coast Guard definition of 
    ``oil'' is the same definition that is used by the FWPCA. That 
    definition includes edible oils. The 
    
    [[Page 7896]]
    Coast Guard has created new subparts in the final rule to distinguish 
    non-petroleum oils, including edible oils such as animal fats and 
    vegetable oils, from petroleum oils. The scientific data currently 
    available to the Coast Guard strongly indicate that these oils may have 
    an adverse impact upon the environment that is similar to the impact of 
    petroleum oils. As a result, the Coast Guard is not exempting non-
    petroleum oils from response planning in the final rule. The Coast 
    Guard will continue to assess its position as further data become 
    available on the subject.
        Oil spill removal organization. The Coast Guard received two 
    comments on the definition of oil spill removal organization which 
    suggested that the definition be revised to be more specific. The Coast 
    Guard crafted the definition if oil spill removal organization to be 
    flexible enough to apply to varying types of organizations which may be 
    called upon to respond to a discharge of oil while complying with OPA 
    90 requirements. A more specific definition, while useful to some in 
    the industry, might exclude organizations which are able to provide 
    useful and needed response capabilities. The Coast Guard is not 
    changing the definition of oil spill removal organization and suggests 
    that any questions regarding the suitability of a particular 
    organization be directed to the COTP for the area in which the facility 
    is located.
        Other non-petroleum oil. The Coast Guard has added a definition of 
    ``other non-petroleum oil.'' Other non-petroleum oil means a non-
    petroleum oil of any kind that is not generally an animal fat or 
    vegetable oil.
        Persistent oil. The Coast Guard received two comments on the 
    definition of persistent oil. Both comments indicated that the 
    definition proposed in the IFR does not account for oils that have a 
    specific gravity greater than 1.0 that do not sink in salt water. The 
    comments suggest that the definition be revised to include all products 
    which could reasonably be expected to sink in the environment in which 
    they are likely to be discharged. The definition of persistent oils is 
    subdivided based upon specific gravity into Groups II, III, IV and V. 
    The Coast Guard finds that further subdivision is unnecessary because 
    the definition currently includes all oils with a specific gravity of 
    greater than 1.0, regardless of whether or not they sink in salt water. 
    Furthermore, the Coast Guard concludes that, in combination with other 
    factors, even those oils referred to in the comments are very likely to 
    sink in salt water.
        Private shore-based personnel. The Coast Guard received one comment 
    suggesting the addition of this term to the regulation. The comment 
    indicated that certain Occupational Safety and Health Administration 
    (OSHA) standards are not enforced. The Coast Guard is not tasked with 
    enforcement of OSHA standards except in very specific instances. In the 
    context of pollution control regulations such as OPA 90, the Coast 
    Guard is not responsible for enforcing OSHA standards. Therefore, it is 
    unnecessary for the Coast Guard to add this term to the final rule.
        Rivers and canals. The Coast Guard received 8 comments on this 
    definition. All eight comments questioned the use of the 12 foot 
    project depth as a criterion for determining whether a waterway is a 
    river or canal. One comment suggested that a project depth of 18 feet 
    be applied as the standard. Four comments suggested that the COTP 
    should be given the discretion to determine which waterways will be 
    determined to be rivers or canals. The 4 comments also stated that the 
    terms rivers and canals should be applied only to certain areas with 
    definite geographical demarcations. Two comments requested 
    clarification on whether the 12-foot project depth criterion applies 
    only to artificially created waterways. Additionally, these 2 comments 
    indicated that the definition of rivers and canals excludes certain 
    rivers. The definition of rivers and canals applies to all waterways 
    with a project depth of 12 feet or less including both naturally and 
    artificially occurring ones. The Coast Guard finds that the 12-foot 
    depth is appropriate to define the inland areas where shallow draft 
    vessels may call at MTR facilities and has not changed it in the final 
    rule. The COTP has the authority to redefine specific operating 
    environments within his or her jurisdiction. This provisions is 
    continued in the final rule.
        Specific gravity. Several comments encouraged the Coast Guard to 
    define specific gravity in the final rule. The Coast Guard agrees and 
    has used the definition of specific gravity found in ASTM Standard D 
    1298 entitled ``Standard Practice for Density, Relative Density 
    (Specific Gravity), or API Gravity of Crude Petroleum and Liquid 
    Petroleum Projects by Hydrometer Method.''
        Spill management team. The Coast Guard received 5 comments on this 
    definition. Four comments stated that the definition of spill 
    management team should reflect the allowance for tiered spill 
    management teams. Another comment indicated that the FRP regulation 
    should be consistent with the VRP regulation which permits the spill 
    management team function to be fulfilled by an organization outside the 
    planning area of the spill. A ``tiered'' spill management team is not 
    prohibited by the regulations as they appeared in the IFR and remain in 
    the final rule. The definition is identical in both the VRP and FRP 
    final rules to ensure consistency in spill management team 
    requirements.
        The Coast Guard received 5 comments suggesting that it define the 
    term ``corporate spill management team.'' One comment suggested that 
    this term be defined to mean a national team of operational and 
    functional experts and consultants responsible for moving quickly to a 
    spill site to replace or support a facility response team in managing a 
    response. The Coast Guard also received 5 comments requesting that it 
    add the term ``facility spill management team'' to the regulation. The 
    comments suggested that the term be defined to mean a team responsible 
    for initiating and managing a response to a spill to its conclusion or 
    until a team member from a higher tier in the overall response 
    organization is activated and on-scene to support the facility team or 
    manage the response until its conclusion.
        The Coast Guard concludes that the existing definition of ``spill 
    management team'' already incorporates the elements that the comments 
    suggest. The Coast Guard therefore finds that it is both unnecessary 
    and undesirable to complicate the regulation by subdividing the 
    definition of spill management team. Section 154.1035(b) contains 
    detailed requirements regarding plan content including the spill 
    management team. The spill management team may include all persons 
    relevant to an effective spill response except Federal, State and local 
    authorities. It may include local, as well as regional or national 
    corporate officials, operational, as well as functional experts, and 
    representatives of OSROs. The local or on-site spill response team 
    members can, and should, be prepared to integrate other persons, such 
    as regional and national corporate officials, into their spill response 
    team structure.
        Table top. The Coast Guard received 5 comments requesting that it 
    add the term ``table top'' to the final rule to clarify certain spill 
    drill requirements. The comments suggested that the term be defined as 
    a verbal walk-through to discuss action to be taken during simulated 
    emergency situations, designed to elicit constructive discussion by the 
    participants without time constraints. A table top drill does 
    
    [[Page 7897]]
    not involve the movement of equipment or people. The Coast Guard has 
    extensively revised Sec. 154.1055 which was previously entitled 
    ``Drills'' and is now entitled ``Exercises.'' The revised section 
    specifies that compliance with the National Preparedness for Response 
    Exercise Program (PREP) fulfills all exercise requirements. The Coast 
    Guard concludes that the changes adequately address the points raised 
    by the comments.
        Tier. The Coast Guard received one comment which stated that the 
    use of ``tier'' in the IFR was unclear, and suggested that the Coast 
    Guard define the term in the final rule. The Coast Guard agrees and has 
    defined ``tier'' in the final rule.
        The requirements for response to a worst case discharge to the 
    maximum extent practicable are based on the tiering of response 
    resources. The concept of ``tier'' has two primary components: The 
    amount of equipment and personnel required for a response to a worst 
    case discharge, and the amount of time in which these response 
    resources are required to be on-scene from the time of discovery of an 
    oil discharge. Tiering allows for the arrival of response resources at 
    various stages of the response effort. Tiering the mobilization of 
    response resources recognizes the need for a rapid initial response to 
    an oil spill, yet allows for the identification of response resources 
    from outside the area of the facility to meet the response resource 
    planning requirements.
        Sections 154.1045(e) and 154.1047(a)(1) of subpart F of the final 
    rule require a facility owner or operator to identify, by contract or 
    other approved means, equipment and personnel to respond to the 
    facility's worst case discharge for Group I-IV oils and Group V oils, 
    respectively. Appendix C and especially Tables 2, 3, and 4 provide 
    specific guidance on calculating the amount of response equipment 
    required by these sections. Table 4 provides mobilization factors used 
    to calculate the amount of response resources required for on-water 
    recovery for each tier. Table 5 establishes caps to the amount of 
    response resources for which a facility owner or operator must contract 
    in advance. Caps have been established for response resources required 
    for Tiers 1, 2, and 3. The caps recognize the current limits on 
    technology and private removal capabilities. The caps are for planning 
    purposes only; in no way do the caps limit the amount of resources 
    which a facility owner or operator may be required to mobilize during 
    an actual spill response.
        Section 154.1045(f) of subpart F establishes three time tiers for 
    the on-scene arrival of response resources for the different operating 
    environments for Group I-IV oils.
    
    Section 154.1025  Operating Restrictions and Interim Operating 
    Authorization
    
        The Coast Guard received 10 comments on this section of the 
    regulation. One comment requested that the Coast Guard clarify the 
    requirement for facilities to submit response plans meeting the 
    requirements of Sec. 154.1030 for review and approval to the Coast 
    Guard COTP and the requirement to operate in full compliance with the 
    approved plans.
        Section 154.1017 requires all facilities which could reasonably be 
    expected to cause at least substantial harm to the environment to 
    prepare and submit response plans to the Coast Guard. Only facilities 
    which could reasonably be expected to cause significant and substantial 
    harm to the environment are required to submit response plans for 
    review and approval by the Coast Guard. Section 154.1025(b) requires 
    all facilities that are required to prepare response plans to operate 
    in compliance with their plans.
        The Coast Guard has added to the final rule a provision that 
    requires facility owners or operators making initial response plan 
    submissions after May 29, 1996, to comply with the requirements of the 
    final rule. The Coast Guard is not requiring facility owners or 
    operators who submitted response plans under the IFR or NVIC to revise 
    their response plans to conform with the requirements of the final rule 
    until the plan's 5-year resubmission date. However, a facility owner or 
    operator who has prepared a response plan under the NVIC or the IFR may 
    comply with any of the provisions of this final rule by revising the 
    appropriate section of the previously submitted plan in accordance with 
    the revision and amendment procedures in Sec. 154.1065. An owner or 
    operator who elects to comply with all of the requirements of the final 
    rule must resubmit the entire plan for review and approval, if 
    appropriate, in accordance with Sec. 154.1060.
        One comment suggested that Sec. 154.1025(d) be revised to give the 
    Coast Guard authority to prohibit a facility from operating if the COTP 
    determines that a previously approved plan has not been properly 
    revised or updated. The Coast Guard finds that Sec. 154.1065 provides 
    the COTP with adequate authority to enforce the requirements for 
    response plan amendments and revisions. Under Sec. 154.1065(c), the 
    COTP may require a facility owner or operator to revise a response plan 
    at any time if the COTP determines that the plan does not meet the 
    requirements of this regulation.
        Section 154.1025(d) provides four specific circumstances under 
    which a facility may not handle, store, or transport oil including a 
    COTP determination that owner-certified response resources or a 
    submitted response plan do not meet the requirements of the subpart.
        One comment indicated that the Coast Guard should limit its review 
    and approval of response plans to 30 days for those plans submitted by 
    February 18, 1993, the deadline for plan submission under the IFR. 
    Limited resources prevented the Coast Guard from guaranteeing a review 
    of every submitted response plan within 30 days. However, to facilitate 
    the operations of facilities requiring Coast Guard review and approval 
    under Sec. 154.1025(c), the Coast Guard permitted these facilities to 
    continue operations for up to 2 years from the date of plan submission. 
    This procedure is in accordance with Sec. 311(j)(5)(F) of the FWPCA.
        The same comment suggested that a facility owner or operator should 
    have no more than 30 days to make corrections to a plan if the plan is 
    not approved by the COTP. Because of the varying degrees of plan 
    deficiencies, the Coast Guard has determined that the COTP must have 
    the flexibility to specify the period in which the facility owner or 
    operator could reasonably be expected to correct the deficiencies.
        One comment stated that, to be consistent with EPA and RSPA 
    regulations, the Coast Guard should not formally review the letter from 
    a facility owner or operator certifying the availability of response 
    resources. Conversely, another comment indicated that a facility owner 
    or operator should be required to certify in writing not only that he 
    or she has ensured the availability of the necessary response 
    resources, but also that the response resources are capable of being 
    on-scene within the specified response times. The Coast Guard has 
    determined that, until it is able to complete the review of the 
    submitted response plans, its review and acceptance of the 
    certification letters is its primary means of ensuring that facilities 
    are in compliance with the statutory provisions of OPA 90 requiring the 
    identification of response resources. The Coast Guard requires facility 
    owners or operators to indicate in the certification letter that the 
    response resources identified are in compliance with subpart F, G, or H 
    as appropriate. 
    
    [[Page 7898]]
    Section 154.1028(a) requires response resources to be capable of being 
    on-scene within specified times.
        One comment indicated that response contractors probably would not 
    have all of the spill response equipment in stock that is necessary to 
    meet the August 18, 1993 deadline in the IFR, particularly the 
    equipment used for recovering oil in shallow waters. The comment 
    requested that the Coast Guard exempt this type of equipment from the 
    response plan requirements. The Coast Guard found that at the time of 
    the comment there was no evidence to indicate that facility owners or 
    operators were unable to identify adequate response resources for 
    recovering oil in shallow water.
        Another comment suggested that the Coast Guard clarify the language 
    in Sec. 154.1025(c) permitting interim operating requirements prior to 
    Coast Guard approval of a response plan. The Coast Guard has updated 
    and clarified Sec. 154.1025(c). Additionally, the comment indicated 
    that this paragraph should apply also to substantial harm facilities. 
    Section 154.1025(c) applies only to the owners or operators of 
    facilities for which the Coast Guard must review and approve response 
    plans. Under section 311(j) of the FWPCA and 33 CFR 154.1017(b), only 
    significant and substantial harm facilities are required to submit 
    response plans for Coast Guard review and approval.
    
    Section 154.1026  Qualified Individual and Alternate Qualified 
    Individual
    
        The Coast Guard received 9 comments on this section of the IFR. 
    Four of the comments contended that the Coast Guard should permit the 
    qualified individual to be identified in the plan by his or her title, 
    rather than his or her name. Two comments suggested that the Coast 
    Guard establish a mechanism by which the qualified individual can be 
    chosen from a group of individuals among whom the responsibility of the 
    qualified individual rotates. Another comment stated that the facility 
    owner or operator should not be required to provide documentation to 
    the qualified individual in order to activate his or her authority as 
    the qualified individual. The Coast Guard finds that the amount of 
    authority vested in the qualified individual warrants that the response 
    plan identify the specific individual(s) assuming this position. For 
    this reason, the Coast Guard also requires the qualified individual to 
    have documentation which clearly indicates his or her role in the 
    facility's response activities.
        Five comments requested clarification on the responder immunity 
    provisions in Sec. 154.1026 (e) and (f). Three of the comments 
    specifically requested that the Coast Guard clarify who is immune from 
    liability under the provisions. Two comments suggested that the Coast 
    Guard address the immunity of the qualified individual in the 
    regulatory text. One comment suggested that the potential liability for 
    the qualified individual is too significant to attract many capable and 
    qualified persons for the position.
        As discussed in the preamble to the IFR, section 311(c)(4) of the 
    FWPCA provides that only a responsible party is liable for the removal 
    costs or damages which result from actions taken or omitted in the 
    course of rendering care, assistance, or advice consistent with the 
    National Response Plan or as otherwise directed by the President. A 
    person does not become a responsible party under section 311(c) of the 
    FWPCA by being designated as a qualified individual for response plan 
    purposes. However, a person whose acts or omissions are grossly 
    negligent, or who engages in willful misconduct may, as a result, 
    become liable for the resulting damages. The Coast Guard does not have 
    the authority to grant immunity to the qualified individual and, 
    therefore, cannot establish immunity provisions in the final rule. 
    However, the Coast Guard does recognize that the qualified individual 
    is not responsible for the adequacy of response plans, nor is he or she 
    responsible for contracting response resources beyond the authority 
    delegated from the facility owner or operator. These points are 
    reflected in the regulatory text.
        Seven comments addressed the facility owner's or operator's ability 
    to substitute a person from a higher level of management for the 
    designated qualified individual. Four comments requested that the Coast 
    Guard state this option in the regulatory text. Additionally, three 
    comments questioned whether the person from a higher level of 
    management who is assuming the responsibilities of the qualified 
    individual is considered to be the qualified individual during an 
    actual spill response. The Coast Guard does not intend to limit the 
    discretion of the facility owner or operator to select any qualified 
    person to assume the full range of responsibilities of the qualified 
    individual. A facility owner or operator may, at any time, substitute 
    the designated qualified individual or alternate qualified individual 
    with a person from a higher organizational level who meets the 
    requirements of Sec. 154.1026. In order for that person to be 
    recognized as the qualified individual, the facility owner or operator 
    must provide the individual with a document designating them as the 
    qualified individual as required by Sec. 154.1026(c). The Coast Guard 
    has changed the language in Sec. 154.1026 to clarify that the Qualified 
    Individual or an Alternate Qualified Individual must be available on a 
    24-hour basis and must be able to arrive at the facility within a 
    reasonable time.
        One comment requested a more stringent English language requirement 
    for the qualified individual and suggested that the qualified 
    individual be required not only to speak fluent English, but also be 
    required to read, comprehend, and write in English at a level of high 
    school equivalency. Although the regulation states only that the 
    qualified individual must speak fluent English, the Coast Guard 
    concludes that this requirement will restrict the designation of the 
    qualified individuals to persons who can communicate effectively with 
    the On-Scene Coordinator during a response effort.
        One comment objected to the requirement that both the qualified 
    individual and the alternate qualified individual be available on a 24-
    hour basis. The preamble to the IFR stated that the Coast Guard's 
    intent is to ensure that either the qualified individual or the 
    alternate qualified individual be available to respond to an oil spill 
    on a 24-hour basis. In response to this comment, the Coast Guard has 
    reworded Sec. 154.1026(a) to make it clear that either the qualified 
    individual or the alternate, but not both, must be available on a 24-
    hour basis. This conforms with both the intent stated in the IFR 
    preamble and the related section of the VRP rule.
        One comment stressed that the qualified individual should be 
    knowledgeable about not only the financial aspect of an oil spill 
    response, but also the technical issues pertaining to an oil spill 
    response. The Coast Guard agrees that familiarity with response methods 
    is an asset to a Qualified Individual and encourages facility owners or 
    operators to designate such persons as qualified individuals; however 
    the ability to commit response resources is the primary requirement.
        Under the regulations, the facility owner or operator is required 
    to identify a qualified individual who is capable of arriving at the 
    facility in a reasonable time. To ensure this, the Coast Guard has 
    amended this section to require the qualified individual to be located 
    in the United States. This issue was previously discussed in the 
    preamble to the IFR.
    
    [[Page 7899]]
    
    
    Section 154.1028  Methods for Ensuring the Availability of Response 
    Resources by Contract or Other Approved Means
    
        The Coast Guard received 11 comments on this section of the IFR. 
    Four comments suggested that Sec. 154.1028(a)(1), the first means of 
    identifying response resources by contract or other approved means, be 
    revised to indicate that an oil spill removal organization is unable to 
    guarantee the availability of identified response resources to respond 
    to a spill at a facility. The regulations require the owner or operator 
    of a facility to ``ensure'' the availability of response resources 
    because this is the terminology used in the statute. The Coast Guard 
    has emphasized that response plans are planning documents, not 
    performance criteria, and that neither the owner or operator nor the 
    spill removal organization can guarantee the availability of resources 
    at all times. Acts of God, extremes of weather, labor disputes, the 
    prior commitment of resources, and other events may preclude 
    performance as planned. The Coast Guard also expects certain caveats to 
    be placed in a contract indicating that the response resources 
    identified are not guaranteed to perform response activities at a 
    facility. The Coast Guard expects that the contract will provide for 
    prompt notification of impaired ability to perform and that, when 
    appropriate, facility owners and operators will seek alternate response 
    resources. Notification of changes in response resources may be 
    required under Sec. 154.1065(b)(3).
        Another comment stated the Coast Guard should require a facility 
    owner or operator who ensures the availability of response resources by 
    certifying his or her active membership in an oil spill removal 
    organization under Sec. 154.1028(a)(3) also to certify that the oil 
    spill removal organization has committed to respond to an oil spill 
    from the facility. The Coast Guard finds that a facility's active 
    membership in a spill removal organization that has identified 
    specified personnel and equipment required by the regulation to arrive 
    at the specified times is adequate assurance that the spill removal 
    organization will respond to an oil spill at the facility.
        Four comments questioned whether an oil spill removal organization 
    that has identified specific response resources to respond to an oil 
    spill at one facility can list the same resources to respond to a spill 
    at another facility. The Coast Guard recognizes that there are current 
    limits on the amount of available response resources in the U.S.
        Facilities would be unable to operate due to their inability to 
    identify available response resources which were not contracted for by 
    other facilities. In addition, prohibiting oil spill removal 
    organizations from contracting response resources for more than one 
    facility is economically prohibitive for oil spill removal 
    organizations.
        One comment suggested that the Coast Guard remove the fourth method 
    of ensuring by contract or other approved means in Sec. 154.1028(a)(4). 
    Section 154.1028(a)(4) permits the facility owner or operator to ensure 
    the availability of response resources by providing a document that: 
    (1) Identifies response resources to be provided by an oil spill 
    removal organization in the stipulated response times in specific 
    geographic areas; (2) sets out the parties' acknowledgment that the oil 
    spill removal organization intends to commit the resources in the case 
    of a spill; (3) permits the Coast Guard to verify the availability of 
    the response resources through tests, inspections, and drills; and (4) 
    is referenced in the response plan. The comment indicated that this 
    provision is not necessary. The Coast Guard disagrees. Section 
    154.1028(a)(4) provides the owner or operator of a facility with an 
    alternate means of identifying and ensuring the availability of 
    response resources. This flexibility may prove to be economically 
    essential for certain facilities.
        Four comments stated that an oil spill removal organization should 
    not be required to list the names of the response personnel who are 
    identified to be available to respond to an oil spill. The comments 
    contend that OSROs are responsible for maintaining sufficient numbers 
    of trained personnel to respond to any potential spills to which it has 
    committed to respond. The Coast Guard agrees. An OSRO is not required 
    to list the names of persons who are identified to be available to 
    respond to an oil spill; however, an oil spill removal organization 
    must specify the response personnel available to respond to an oil 
    spill.
        One comment indicated that a signed service agreement should be 
    sufficient to meet the requirements of Sec. 154.1028(a)(5). As long as 
    the ``signed service agreement'' meets the requirements of 
    Sec. 154.1028 it is acceptable to the Coast Guard. Such an agreement, 
    to be valid under Sec. 154.1028(a)(5), would need to identify specified 
    equipment and personnel available within the applicable stipulated 
    response times; and, the OSRO would need to consent to being identified 
    in the plan.
        Another comment stated that the Coast Guard should require a 
    facility owner or operator to ensure that identified response resources 
    not only are available to arrive at stipulated times, but also are 
    capable of sustaining a response effort. The comment indicated that the 
    Coast Guard should analyze the adequacy of response resources on a 
    systems basis to ensure that all identified resources are capable of 
    functioning together. The Coast Guard finds that the response resource 
    requirements are sufficient as set forth in this final rule. The 
    requirements are for planning purposes only and are not intended to be 
    performance standards. Where the Coast Guard has determined that it is 
    both appropriate and necessary it has included times for sustained 
    response effort (see Appendix C).
        One comment indicated that a facility that operates only on a 
    seasonal basis should not be required to ensure the availability of 
    response resources when it is not operating. Under the provisions of 
    Sec. 154.100(a), a facility which is in caretaker status is exempt from 
    the requirements of this regulation and, therefore, is not required to 
    ensure the availability of response resources when it is in caretaker 
    status.
        One comment suggested that the Coast Guard provide a mechanism for 
    contractors to exercise some control over where they are named as 
    response resources. This comment expanded upon its suggestion by 
    stating that the Coast Guard should require some documentation which 
    validates the relationship between the contractor and the owner or 
    operator. Section 154.1028 provides for five methods of ensuring the 
    availability of response resources, including OSROs, by contract or 
    other approved means. At a minimum, the OSRO must provide written 
    consent to being identified in a response plan. Under some conditions, 
    a written contractual agreement must be executed between the OSRO and 
    the owner or operator of the facility. These contracts must be made 
    available for review upon request by the Coast Guard. The Coast Guard 
    contends that this provides adequate documentation that the proper 
    relationship exists between the OSRO and the owner or operator of the 
    facility.
        One comment argued that contracts should be required as an 
    outgrowth of comprehensive risk analyses at each potential spill site 
    rather than the result of an intuitive need to have resources 
    available. The Coast Guard disagrees. OPA 90 requires the preparation 
    and submission of a response plan for an onshore facility that, because 
    of its 
    
    [[Page 7900]]
    location, could reasonably be expected to cause substantial harm to the 
    environment by discharging into or on the navigable waters or adjoining 
    shorelines. The OPA 90 Conference Report (Report 101-653) states that 
    even small onshore facilities could result in substantial harm under 
    some circumstances. Therefore, the requirements to prepare and submit a 
    response plan should be broadly applied. Along with other Federal 
    agencies, the Coast Guard has established criteria to be considered in 
    designating a facility as substantial harm. These factors include, but 
    are not limited to: type and quantity of oils handled in bulk, facility 
    spill history, proximity to public and commercial water supply intakes; 
    proximity to navigable water and proximity to areas of economic 
    importance.
    
    Section 154.1029  Worst Case Discharge
    
        The Coast Guard received a total of 16 comments on this section of 
    the IFR. Ten comments addressed the relationship between the Coast 
    Guard's definition of worst case discharge and the term as it is 
    defined by other Federal agencies. Four comments indicated that the 
    Coast Guard's definition of worst case discharge should be the same as 
    the definition found in EPA's response plan regulations. Five comments 
    indicated the need for consistency among Coast Guard, EPA, and RSPA 
    definitions of worst case discharge, and suggested that the Coast Guard 
    adopt RSPA's definition. The Coast Guard disagrees with these comments. 
    Because the Coast Guard, EPA, and RSPA regulate different portions of 
    an oil complex, the amount of oil in a worst case discharge volume from 
    each of these portions of the complex will vary depending on the nature 
    of the facility's operations. Coast Guard regulations address only the 
    MTR portion of the complex.
        Three comments indicated that the Coast Guard should adopt the EPA 
    and RSPA policy of giving credit to the facility for the use of 
    secondary containment and other preventive measures. Seven comments 
    reiterated the point that Coast Guard regulations should encourage the 
    use of preventive measures. The Coast Guard strongly encourages 
    facilities to employ pollution prevention measures including secondary 
    containment. However, the nature of MTR facilities makes secondary 
    containment impractical in most cases and therefore very uncommon. For 
    this reason, the Coast Guard does not require MTR facilities to have 
    secondary containment. The Coast Guard does not give credit for such 
    measures because, while these measures will reduce the risk to the 
    environment from an oil spill, they will not eliminate it altogether. 
    Subparts A and B of 33 CFR part 154 already contain pollution 
    prevention regulations. The Coast Guard considers additional pollution 
    prevention regulations to be outside the scope of this regulation.
        The Coast Guard received several comments on the amount of the 
    worst case discharge volume. All comments indicated that the worst case 
    discharge volume, as calculated using the formula in 
    Sec. 154.1029(a)(2), should be reduced. Many of the comments stated 
    that the Coast Guard's definition of worst case discharge should not 
    include a total loss of a facility's oil storage capacity and suggested 
    that it be based on factors such as spill history, the capacity of the 
    largest single pipeline, or the capacity of pipelines to the single 
    largest docking pier. Additionally, four comments indicated that the 
    definition exceeded the congressional intent of this term--the largest 
    foreseeable discharge from a facility. The Coast Guard disagrees. 
    Section 4201(b) of OPA 90 defines a worst case discharge as the largest 
    foreseeable discharge (from a facility) in adverse weather conditions. 
    The Coast Guard has interpreted this to mean the largest probable 
    discharge that could occur from a facility and has determined that the 
    worst case discharge includes the volumes of oil from all pipelines 
    between the dock and the storage tanks. Additionally, the formula for 
    calculating the worst case discharge in Sec. 154.1029(a)(2) accounts 
    for the time to detect a spill from the piping and the time to secure 
    the operation.
        One comment contended that the Coast Guard should not deny the 
    validity of a response time calculation without substantial evidence 
    that it cannot be accomplished in the time stated. The Coast Guard 
    disagrees. Section 154.1045 and appendix C of the final rule provide 
    requirements on which to base on-water and on-land response times. A 
    facility owner or operator proposing to use more rapid response times 
    bears the burden of proving the validity of the alternate calculation.
        One comment suggested that both human and mechanical systems should 
    be considered for detecting spills during transfer operations. The 
    comment notes that, in the preamble to the IFR for this section, the 
    Coast Guard referred only to ``fail-safe features designed into the 
    operation such as leak detection and mechanical methods of isolating 
    segments of the pipeline.''
        The Coast Guard is concerned that undue reliance on fail-safe 
    features may lead to an underestimation of necessary response resources 
    in the event of a discharge from the facility. The Coast Guard 
    concludes that it is reasonable to base the worst case discharge 
    planning volume on the failure of such fail-safe features since it has 
    been the Coast Guard's experience that these features do not always 
    work as expected.
        One comment argued that worst case discharge calculation methods 
    should be maintained separate from the facility response plan to keep 
    the document from becoming too bulky. The Coast Guard agrees. It is not 
    required that the response plan contain the method or numbers used in 
    calculating the worst case discharge. Only the volume of the average 
    most probable, maximum most probable, and worst case discharges need be 
    provided. However, providing the numbers used to arrive at the worst 
    case discharge will facilitate review of the response plan.
    
    Section 154.1030  General Response Plan Contents
    
        The Coast Guard received 10 comments on the requirements for 
    general response plan contents. Two comments expressed approval of the 
    plan format requirements established in the IFR and indicated that 
    other Federal agencies should adopt these requirements. Another 
    comment, however, expressed that the order of the sections required in 
    the plan is inappropriate and should be changed. The Coast Guard has 
    reviewed the response plan formatting requirements and has determined 
    that the current response plan format facilitates easy use of the 
    response plan; therefore, the Coast Guard has made no changes to the 
    formatting requirements in the final rule. Section 154.1030(e), 
    however, does permit a facility owner or operator to submit a response 
    plan that does not follow the format specified in the regulation as 
    long as the plan is supplemented with a detailed cross-reference 
    section identifying the location of the applicable sections required by 
    the regulation.
        One comment stated that a facility owner or operator should be 
    permitted to reference previously established procedures in the plan's 
    appendices rather than restating them in the plan. The Coast Guard 
    disagrees. The Coast Guard intends for the response plan to serve as 
    the primary document referenced by facility personnel during a spill 
    response. In the event of an oil discharge, facility personnel should 
    be required to refer to only one comprehensive manual for instruction 
    
    [[Page 7901]]
    on spill response activities and procedures. The regulation, however, 
    does not preclude a facility owner or operator from referencing 
    previously established material in the plan as long as the information 
    required by the regulation is contained in the appropriate section on 
    the response plan.
        Many comments addressed the requirements for response plan 
    contents. One comment suggested that response plans be expanded to 
    include measures for prevention, control, containment, and restoration 
    as well as methods for cleanup and disposal. The regulation currently 
    addresses these issues, with the exception of prevention and 
    restoration methods. Section 4202 of OPA 90, the authorizing provision 
    for response plan requirements, grants the Coast Guard authority to 
    issue regulations addressing only spill response activities. It does 
    not address spill prevention or restoration and, therefore, these 
    issues are not addressed by this regulation.
        Four comments suggested that the plans address company or site-
    specific information. Section 154.1035(g) requires facility specific 
    information to be included as an appendix to the plan. A facility owner 
    or operator may also include company specific information as a separate 
    appendix to the plan.
        One comment suggested that the Coast Guard reduce the amount of 
    information required in the plan and indicated that the Coast Guard 
    should require only vital emergency response information in the plan to 
    streamline the initial notification process. The regulations establish 
    minimum content requirements for response plans and require information 
    that the Coast Guard has determined to be essential for the plan to be 
    of significant use by facility personnel. The Coast Guard, however, 
    encourages facility owners or operators to develop response plans which 
    incorporate flowcharts and checklists to facilitate the use of the plan 
    in an emergency.
        Several comments addressed the requirement for response plans to be 
    consistent with the NCP and the ACPs, particularly as it applies to the 
    identification of sensitive areas under Sec. 154.1035(b)(4). Some 
    comments pointed out the difficulties of developing response plans that 
    are consistent with the ACPs when many of the ACPs are not yet 
    published. In the preamble to the IFR, the Coast Guard recognized that 
    many of the ACPs were not complete when the IFR was published. The 
    Coast Guard indicated that, in these cases, the facility owner or 
    operator would be required to identify the fish and wildlife and 
    sensitive environments described in the applicable local contingency 
    plans. Additionally, Appendix D of part 154 was developed to assist 
    facility owners or operators in identifying fish and wildlife and 
    sensitive environments which could be impacted by a worst case 
    discharge from the facility. Because the coastal ACPs are now complete, 
    in this final rule the Coast Guard has replaced appendix D of part 154 
    which provided guidance in identifying fish and wildlife and sensitive 
    environments with a new appendix D which covers training. On March 29, 
    1994, the National Oceanic and Atmospheric Administration (NOAA) of the 
    Department of Commerce published a notice establishing guidelines for 
    the identification of fish and wildlife and sensitive environments to 
    further assist facility owners or operators in identifying areas 
    requiring additional protection from discharged oil (59 FR 14714). This 
    interim guidance was to be used by a facility owner or operator until 
    the applicable ACPs were completed.
        Since the publication of the NOAA guidance, all of the ACPs have 
    been completed. Facility owners or operators must ensure that their 
    response plans are in accordance with the ACP in effect 6 months prior 
    to initial plan submission or the annual plan review required under 
    Sec. 154.1065(a). The facility owner or operator who submits plan is 
    not required to, but may, at the owner or operator's option, conform to 
    an ACP which is less than 6 months old at the time of plan submission.
        One comment expressed that the ACPs should be open for public 
    comment because of their impact on the response plans. Any member of 
    the public may attend meetings held on the development of the ACP.
        One comment urged the Coast Guard to provide guidance as to how an 
    owner or operator could cover more than one facility in a response 
    plan. Facility response plans must be developed for a specific facility 
    and it is not practical for a plan to cover more than one facility. 
    Portions of a corporate response plan may be appropriate for inclusion 
    in several facility response plans.
        Two comments urged that the facility response plan be part of a 
    more comprehensive plan and not necessarily a stand-alone document. The 
    Coast Guard disagrees. The facility response plan must be 
    comprehensive. While it may reference other documents, it must 
    demonstrate adequate response planning and outline facility response to 
    a discharge from the facility.
    
    Section 154.1035  Specific Requirements for Facilities That Could 
    Reasonably be Expected to Cause Significant and Substantial Harm to the 
    Environment
    
        The Coast Guard received 19 comments on the response plan 
    requirements for significant and substantial harm facilities. The 
    following discussion is divided to address the specific sections of the 
    response plan on which comments were received.
        General. The Coast Guard received 2 comments addressing 
    Sec. 154.1035(a), the response plan requirements for significant and 
    substantial harm facilities, in general. One comment stated that the 
    regulations require too much detail to be continued in the response 
    plans. Another comment suggested that the response plans be required to 
    address planning and prevention programs for spills that occur most 
    frequently. The Coast Guard disagrees. As explained in the discussions 
    on the requirements of Sec. 154.1030, the regulations require 
    information that the Coast Guard has determined to be essential for a 
    response plan to be of significant use to facility personnel for all 
    reasonably foreseeable discharges. The plans address only spill 
    response activities; they do not address spill prevention. Although the 
    Coast Guard encourages facility owners or operators to establish spill 
    prevention measures, they are beyond the scope of this regulation. The 
    Coast Guard has issued pollution prevention regulations in 33 CFR part 
    154.
        Notification procedures. Six comments addressed 
    Sec. 154.1035(b)(1), requirements for notification procedures in the 
    response plan. One comment suggested that the Coast Guard require the 
    facility owner or operator to report to the initial notification if 
    there was an early arrival of response equipment and whether response 
    equipment was on-site during the transfer. The comment indicated that 
    this would assist the Coast Guard On-Scene Coordinator (OSC) in 
    assessing the need for additional response resources and in determining 
    an appropriate response strategy for the spill.
        Under this section, the facility owner or operator is required to 
    develop a notification sheet, which contains the information identified 
    in Figure 1, to be transmitted to Federal, State, or local agencies in 
    the initial and follow-up notifications of an oil discharges. The Coast 
    Guard limited the required information to the minimum necessary. The 
    facility owner or operator is not 
    
    [[Page 7902]]
    required to use the same format as Figure 1, but must develop a 
    notification sheet that includes space for the information contained in 
    Figure 1. The notification sheet may include any additional information 
    that the facility owner or operator determines could be helpful to 
    responding agencies. For this reason, the Coast Guard will not require 
    additional information to be included on the notification sheet. The 
    Coast Guard, however, urges the facility owner or operator to provide 
    agency officials with any information that will assist them in 
    developing appropriate spill response strategies.
        Five comments question whether the facility owner or operator is 
    required to notify each individual in the spill management team and oil 
    spill removal organization. This is not required. However, the facility 
    owner or operator must notify someone in the management team and a 
    representative of the oil spill removal organization. The Coast Guard 
    encourage facility owners or operators to coordinate with the spill 
    management team and oil spill removal organization to designate a 
    primary, and an alternate, point-of-contact for notifications in each 
    organization.
        Facility spill mitigation procedures. The Coast Guard received two 
    comments on Sec. 154.1035(b)(2), facility spill mitigation procedures 
    which addressed spill prevention measures, secondary containment, and 
    requirements for complexes. These issues have been addressed in 
    discussions on Secs. 154.1030, 154.1029, and 154.1017 respectively.
        Facility response activities. The Coast Guard received two comments 
    on Sec. 154.1035(b)(3) which suggested that the Coast Guard require an 
    OSRO to provide trained personnel necessary to continue operation not 
    only for the first 7 days of the response, but for the total time 
    needed to complete the spill response or until the OSRO is released 
    from its response obligations by the COTP. The comments indicated that 
    7 days is too short to complete response activities for a large oil 
    spill. The Coast Guard agrees that 7 days is not long enough to 
    complete a response to a large spill; however, the requirements of this 
    section are for planning purposes only. The facility owner or operator 
    is required only to identify resources for the first 7 days of the 
    spill response; however, he or she is required to ensure that adequate 
    response resources are available until all spill response activities 
    are concluded and the resources are dismissed by the OSC.
        One of the comments also suggested that the Coast Guard require the 
    use of the National Interagency Incident Management System (NIIMS) 
    Incident Command System (ICS) to standardize incident command in the 
    United States. Facility owners or operators should refer to the ACPs 
    for guidance on the use of NIIMS ICS.
        The Coast Guard has revised Sec. 154.1035(b)(3)(iii) and (iv) of 
    the final rule to be consistent with the language found in comparable 
    sections of the VRP regulation. These revisions do not change the 
    substantive requirements of this section.
        Sensitive environments. The Coast Guard received 14 comments 
    addressing Sec. 154.1035(b)(4), requirements to protect sensitive 
    environments.
        Two comments stated that the definition of sensitive environments 
    should be the same in both the Coast Guard and EPA response plan 
    regulations. As previously stated in the discussion on Sec. 154.1020, 
    the Coast Guard has added the term ``fish and wildlife and sensitive 
    environments'' to the definitions in the final rule. This term also has 
    been adopted by EPA. Accordingly, this subsection has been renamed 
    ``Fish and Wildlife and Sensitive Environments'' in the final rule.
        Several comments addressed the identification of fish and wildlife 
    and sensitive environments, particularly the requirement that these 
    areas be consistent with those identified in the ACPs. These comments 
    have been addressed in the preamble discussion on Sec. 154.1030.
        Many comments indicated that the requirement in the IFR to identify 
    areas of economic importance results in the identification of certain 
    areas that have no significant environmental sensitivity. As an 
    example, one comment indicated that certain areas such as 
    transportation routes are economically important, but not 
    environmentally sensitive. As this comment illustrates, this 
    requirement is not intended to result in the identification of every 
    area of economic importance. It is, however, intended to protect those 
    areas that are not otherwise identified as environmentally sensitive, 
    such as recreational beaches, parks, and aquaculture sites, industrial 
    water intakes and other areas important to the economic well-being of 
    the surrounding community. These areas of economic importance will be 
    identified by the ACPs.
        One comment suggested that the Coast Guard include water intakes 
    within fish and wildlife and sensitive environments. The Coast Guard 
    defers to the ACPs for such identifications.
        Two comments indicated that this section of the regulation does not 
    provide enough guidance on determining the adequacy of the planning 
    distances and the response equipment identified for the protection of 
    fish and wildlife and sensitive environments. The comments recognized 
    the utility of spill trajectory models, but indicated that they all are 
    not equally reliable. Under the regulation, facility owners or 
    operators are not limited to using spill trajectory models to determine 
    the location of fish and wildlife and sensitive environments that may 
    be affected by a discharge of oil from their facility.
        Section 154.1035(b)(4)(iii)(B)(1) of the final rule provides 
    facility owners or operators with a basic formula for calculating the 
    distances that discharged oil will flow from the facility under certain 
    conditions at specified times. The Coast Guard recognizes that this 
    formula may not take into account certain geographic and weather-
    related conditions that normally exist in some ports which may affect 
    the distances that discharged oil may travel from the facility; 
    therefore, the COTP will determine whether the appropriate factors have 
    been accounted for in the identification of fish and wildlife and 
    sensitive environments. The adequacy of the identified resources also 
    will be assessed by the COTP.
        The final rule also provides facility owners or operators with a 
    third means of complying with the requirements of this section. In 
    addition to using the formula in Sec. 154.1035(b)(4)(iii)(B)(1) or 
    developing a spill trajectory model, facility owners or operators are 
    permitted to use the formula in appendix C of Attachment C-III of EPA's 
    FRP final rule that is most appropriate for the facility (59 FR 34070; 
    July 1, 1994).
        Three comments addressed the planning distances required under the 
    IFR. Two comments suggested that the Coast Guard expand the provision 
    in Sec. 154.1035(b)(4)(iii)(B)(1) of the IFR, which requires the 
    identification of response resources for areas that will be impacted in 
    48 hours in non-tidal waters, to non-persistent oils. Because of the 
    rapid rate at which non-persistent oils evaporate, the Coast Guard is 
    only requiring facility owners or operators to plan to respond to areas 
    reached by non-persistent oil in 24 hours in non-tidal waters at 
    maximum current.
        Conversely, one comment stated that the planning distances required 
    by this section are significantly greater than is warranted by the 
    potential impact of the facility's worst case discharge. The Coast 
    Guard disagrees and contends that the effects of tides and currents on 
    discharged oil warrant these planning distances.
    
    [[Page 7903]]
    
        Two comments addressed response activities for wildlife protection. 
    One comment suggested that response plans be required to address issues 
    such as wildlife dispersal, collection, cleaning, rehabilitation, and 
    recovery. Another comment suggested that response personnel be required 
    to undergo special training for wildlife response. Although the Coast 
    Guard encourages facility owners or operators to identify resources for 
    wildlife response, it will not require these resources to be identified 
    by contract or other approved means. The applicable ACP identifies 
    these private and public sector resources.
        One comment states that the facility owner or operator should be 
    permitted to estimate the amount of shoreline requiring protection and 
    suggested that the estimate be reviewed and approved by the COTP. The 
    regulation requires the owner or operator to identify required 
    quantities of boom for the protection of fish and wildlife and 
    sensitive environments. Facility owners or operators will be expected 
    to identify enough boom to adequately protect each of the fish and 
    wildlife and sensitive environments identified in their plan.
        Another comment indicated that 1 day should be reduced from the 
    planning requirement if the response equipment is determined to be 
    capable of arriving in less than half of the maximum required arrival 
    time. The Coast Guard encourages the early arrival of response 
    resources; however, it does not plan to reduce the requirements of this 
    section.
        Hazard Evaluation and Spill Scenarios. The Coast Guard received a 
    total of four comments on these two topics. The comments indicated that 
    the final rule should include information on hazard evaluations and 
    spill scenarios. Sections 154.1035(c) and (d) has been reserved for 
    these topics to ensure consistent formatting of Coast Guard and EPA 
    response plan regulations and to prevent plans which contained 
    information required by the EPA regulations from being rejected by the 
    Coast Guard. However, because the Coast Guard does not intend to 
    provide guidance on hazard evaluation or spill scenarios at this time, 
    it has removed these reserved paragraphs from the final rule and has 
    redesignated the remaining paragraphs of this section accordingly. It 
    will continue to accept plans prepared to comply with both EPA and 
    Coast Guard response plan regulations.
        Training and Exercises. The Coast Guard received one comment on 
    Sec. 154.1035(c) of the regulation. It is addressed in the preamble 
    discussion on Sec. 154.1055.
        Appendices. The Coast Guard received one comment on 
    Sec. 154.1035(e) which contended that the information in the appendices 
    is redundant with information found elsewhere in the plan and suggested 
    that the appendices should not be required. The Coast Guard disagrees. 
    However, it recognizes that some of the information in the appendices 
    may be found in other sections of the plan; telephone numbers need not 
    be listed elsewhere in the response plan if provided in the appendices.
        Facility specific information. The Coast Guard received three 
    comments on Sec. 154.1035(e)(1). Two comments suggested that the Coast 
    Guard should not require material safety data sheets for materials 
    which are not handled by the MTR portion of the facility. The Coast 
    Guard agrees and does not require this information for substances that 
    are not handled by the MTR portion of the facility. The third comment 
    addressed firefighting capabilities and is discussed in the appropriate 
    section of Sec. 154.1045.
        Equipment lists and records. The Coast Guard received one comment 
    on the Sec. 154.1035(e)(3) requirement to include equipment lists and 
    records in the response plan. The comment stated that the Coast Guard 
    should require the identification of equipment that would be used to 
    respond to the maximum most probable discharge in addition to the 
    equipment used to respond to the average most probable discharge, as 
    currently required by the regulation. The Coast Guard agrees and, under 
    the final rule, requires facility owners or operators to list all the 
    major equipment belonging to the oil spill removal organization for 
    response to a maximum most probable discharge.
        Four comments were received addressing the issue of contractor 
    classification and one of these comments also addressed classification 
    as outlined in NVIC 12-92. One comment urged the Coast Guard not to 
    require plans to list specific quantities of equipment when listing a 
    Coast Guard classified oil spill response organization (OSRO) for 
    recovering volumes above the caps. This same comment urged that the 
    Coast Guard and the EPA extend the classification program to include 
    both coastal and inland contractors, arguing that this extension would 
    enhance uniformity and improve response capabilities for large oil 
    spills.
        Section 154.1035(g)(3)(iii) of the final rule states that it is not 
    necessary to list response equipment from an OSRO when the OSRO has 
    been classified by the Coast Guard and its capacity has been determined 
    to equal or exceed the response capability needed by the facility. The 
    Coast Guard will accept the listing of an appropriate OSRO for response 
    resources up to and beyond the listed caps. The EPA has determined that 
    it will utilize the OSRO classification system established by the Coast 
    Guard. An OSRO may be classified for certain size discharges and 
    operations in certain specified geographic areas. Both coastal and 
    inland contractors may apply for classification by the Coast Guard.
        One comment argued that industry rather than the Coast Guard should 
    certify contractors. The Coast Guard finds that this is impractical. 
    The Coast Guard is concerned that inconsistencies may occur in the 
    classification of OSROs unless it is conducted by one organization. At 
    the present time, the Coast Guard is the appropriate agency to conduct 
    on OSRO classification program. The Coast Guard plans to explore using 
    third parties to inspect or approve OSROs.
    
    Section 154.1040  Specific Requirements for Facilities That Could 
    Reasonably be Expected to Cause Substantial Harm to the Environment
    
        The Coast Guard received 2 comments on this section of the IFR. One 
    comment indicated that the requirement for significant and substantial 
    harm facilities to identify a corporate organizational structure that 
    would be used to manage the oil spill response under 
    Sec. 154.1035(b)(3)(iii) should be applied to substantial harm 
    facilities. Additionally, the comment suggested that the Coast Guard 
    require contacts for wildlife response resources; however, another 
    comment stated that these facilities should be required to use legally 
    binding contracts for the identification of all responses resources. 
    The Coast Guard disagrees. The requirements of this section were 
    developed to lessen the regulatory burden and economic impact on 
    substantial harm facilities. The Coast Guard has determined that the 
    costs of identifying a corporate organizational structure and 
    contracting for response resources outweigh the benefits for 
    substantial harm facilities.
        The IFR required the owners or operators of substantial harm 
    facilities to have at least 200 feet of containment boom immediately 
    available to respond to the average most probable discharge. The IFR 
    was unintentionally more stringent for substantial harm facilities than 
    for significant and substantial harm facilities. However, under the 
    final rule, the requirement has been reduced to permit facility owner 
    or operators to identify 200 feet of boom and the means 
    
    [[Page 7904]]
    of deploying it that is capable of arriving at the spill site within 1 
    hour of the detection of the spill.
    
    Section 155.1041  Specific Response Information to be Maintained on 
    Mobile MTR Facilities
    
        The Coast Guard received one comment on this section of the IFR 
    which addresses contracts or training permits for wildlife response. 
    This issue is addressed in the discussion of fish and wildlife and 
    sensitive environment requirements in Sec. 154.1035.
    
    Section 154.1045  Response Plan Development and Evaluation Criteria for 
    Facilities That Handle, Store, or Transport Group I Through Group IV 
    Petroleum Oils
    
        The Coast Guard received several comments addressing this section 
    which concerns the inclusion of certain information in the response 
    plans for facilities handling, storing, or transporting Group I through 
    Group IV petroleum oils. Two of these comments addressed this section 
    generally. One comment argued that the Coast Guard should require 
    contracts or training and permits, for wildlife response. As indicated 
    in the discussion on fish and wildlife and sensitive environments in 
    Sec. 154.1035, the Coast Guard will not require these resources to be 
    contracted for in the final rule.
        Another comment contended that the regulations should provide 
    further guidance on matching response equipment with the grade of 
    petroleum oil spilled, arguing that the groups of petroleum oil do not 
    necessarily correspond to the grades of petroleum oil and that the 
    grade spilled is not necessarily the grade recovered. Response 
    equipment must be certified for the grade of oil handled, stored or 
    transported by any facility for which the equipment is identified as a 
    response resource. The Coast Guard expects that discharged petroleum 
    oil will weather and that the grade of petroleum oil discharged will 
    weather sufficiently to be recovered by response equipment.
        Reclassification of bodies of water. Six comments were received 
    specifically addressing the COTP's reclassification of specific bodies 
    of water as being operating environments needing more or less stringent 
    response resource planning in Sec. 154.1045(a)(3). Four comments argued 
    that significant wave height may be such that it is unsafe to conduct 
    recovery operations, making more response equipment moot. These 
    comments suggested that the regulation allow less response equipment if 
    operation would be unsafe in wave conditions exceeding the significant 
    wave height criteria during more than 35 percent of the year. The Coast 
    Guard requires the facility owner or operator to plan to recover the 
    oil in the operating environment in which the facility is located. As 
    stated in Sec. 154.1010, the regulation establishes a planning standard 
    and not a performance standard. Decisions on whether to deploy 
    equipment at the time of a discharge will remain with the COTP in 
    consultation with the responsible party and OSRO.
        Two comments argued that significant wave height is only one 
    criterion which should be considered during the reclassification 
    determination. These comments stated that the presence of debris, ice, 
    currents, wind, and darkness should also be determining factors. These 
    comments further argued that the standard for reducing classification 
    should be the presence of prevailing wave conditions not exceeding the 
    significant wave height criteria for the less stringent operating 
    environment during 85 percent of the year while the standard for 
    increasing classification should remain the presence of prevailing wave 
    conditions exceeding the significant wave height criteria for more than 
    35 percent of the year.
        The Coast Guard has retained the percentages from the IFR. The 35 
    percent threshold provides balance between anticipated area 
    environmental conditions and equipment available to operate in those 
    conditions. Setting a lower threshold would require new areas to 
    stockpile equipment with the capability of operating in unlikely 
    conditions. The rule requires that ice conditions, debris, and other 
    conditions as determined by the COTP must also be considered in the 
    area where the facility operates.
        Requirements pertaining to average most probable discharges. The 
    Coast Guard received one comment which responded to the requirements of 
    Sec. 154.1045(c). It argued that the Coast Guard should clarify that 
    facilities are not responsible or obligated to respond to spills from 
    vessels they do not own or operate. While the Coast Guard requires the 
    facility to plan for responding to an average most probable discharge 
    at the facility, it remains the responsibility of the owner or operator 
    of the source of the discharge to initiate effective response at the 
    time of the discharge. The regulation does not require the facility to 
    respond to a discharge from a vessel and the regulation has not been 
    changed to state otherwise.
        Under Sec. 154.1045(c) (1) and (2) of the IFR, facility owners or 
    operators are required to identify certain equipment such as 
    containment boom and means of deploying and anchoring the boom, oil 
    recovery devices, and recovered oil storage capacity that are capable 
    of arriving at the facility within specified times to respond to the 
    average most probable discharge. Upon review of the IFR, the Coast 
    Guard determined that the phrase ``at the facility'' does not indicate 
    that this response equipment must be available at the scene of the oil 
    discharge in the specified times. Accordingly, the Coast Guard has 
    revised these provisions of the final rule to require the 
    identification of response equipment that is capable of arriving at the 
    spill site within the times specified by this section. This change also 
    applies to comparable sections in Sec. 154.1047 of subpart F, 
    Sec. 154.1225 of subpart H, and Sec. 154.1325 of subpart I.
        Requirements pertaining to response to maximum most probable 
    discharges. The Coast Guard received three comments in response to the 
    requirements of Sec. 154.1045(d). One comment argued that the planned 
    response time for possible spills in the Great Lakes should not be 
    lower than it is for other bodies of water. The Coast Guard disagrees 
    and has retained the 6-hour requirement for response to a maximum most 
    probable discharge. The Great Lakes are unique, self-contained, bodies 
    of fresh water especially vulnerable to spills. Because of this, it is 
    especially important that the response capability be available to 
    respond rapidly. The maximum most probable discharge response 
    capability provides a base capability that can be deployed rapidly to 
    the scene of a discharge to mitigate its effects.
        Several comments argued that the Coast Guard should allow resources 
    located in one or more COTP zones to be moved to another zone as part 
    of a response effort. The Coast Guard expects that response resources 
    may be shifted in response to large pollution incidents. The rule does 
    not prohibit this shifting of resources. It may be necessary for the 
    facility owner or operator to confirm the availability of other 
    response resources or those response resources identified in the 
    response plan above the caps. The Coast Guard reserves the right to 
    invalidate a plan due to the absence of available response resources to 
    respond to a maximum most probable discharge or the worst case 
    discharge. However, under the final rule, the COTP may impose 
    operational restrictions on a case-by-case basis, such as limitations 
    on the number of transfers at the facility, or, where appropriate, may 
    permit the facility to operate with temporarily modified response plan 
    
    [[Page 7905]]
    development and evaluation criteria (e.g., modified response times, 
    alternate response resources, etc.).
        The Coast Guard has made minor organizational changes to this 
    section of the final rule to clarify the planning requirements for the 
    maximum most probable discharge. These changes more clearly indicate 
    that resources identified to respond to the maximum most probable 
    discharge include all equipment and personnel identified to respond to 
    the average most probable discharge.
        Requirements pertaining to response to a worst case discharge to 
    the maximum extent practicable. The Coast Guard received 3 comments 
    responding to the requirements of Sec. 154.1045(e). One comment argued 
    that owners and operators should be required to plan only for a worst 
    case discharge.
        The Coast Guard's authority to regulate is broader than OPA 90. 
    Section 311(j)(1)(C) of the FWPCA authorizes the Coast Guard to require 
    planning for discharges other than the worst case. Based on the 
    recommendations of the Oil Spill Response Plan Negotiated Rulemaking 
    Committee, the Coast Guard determined that the rule also should address 
    operational discharges. The Coast Guard is using its FWPCA authority to 
    require planning for spills other than a worst case discharge.
        Response times and tiers. The Coast Guard received 12 comments 
    addressing the response time and tier requirements for worst case 
    discharges (Sec. 154.1045(f)). Two of these comments dealt with the 
    issue of giving credit for early arrival of response resources. One 
    comment argued in favor of this proposal and suggested that such credit 
    take the form of a reduction of monetary liability for a spill, a 
    reduction in liability for natural resource damage assessments, or a 
    reduction in drill requirements. One comment argued against issuing 
    credit for early arrival. This comment specifically argued that credit 
    should not be given for dispersants if such credit would result in 
    planning to use a lesser amount of mechanical recovery equipment during 
    a spill. The other comment argued that the Coast Guard should encourage 
    early arrival of response equipment but that it should not issue credit 
    for meeting an early or minimum arrival time.
        The rule is written to require the arrival of resources in a timely 
    manner to contain and remove discharged oil before it has the 
    opportunity for greater dispersal. The Coast Guard cannot lessen the 
    monetary liability or the liability for damage to natural resources 
    based on the arrival times of response resources. The early arrival of 
    these resources will lessen the likelihood of damage to natural 
    resources.
        The use of dispersants is a valid response technique in certain 
    circumstances. A facility that handles, stores, or transports Group II 
    or III petroleum oils can receive up to 25 percent credit against on-
    water recovery capability in any environment with year-round 
    preapproval for use of dispersants. The response plan must address the 
    arrival of these dispersants within 12 hours. The Coast Guard's 
    position is that the rule strikes a proper balance in planning for the 
    use of dispersants and mechanical recovery.
        One comment addressed the tiering of response resources. The 
    comment indicated that this approach is not useful because it does not 
    allow for an initial response with all available resources. The tiering 
    requirements provide a maximum time in which certain response resources 
    are capable of arriving at the scene of a petroleum oil spill; they do 
    not preclude the early arrival of response resources and, therefore, do 
    not preclude an initial spill response with all available resources.
        The same comment also indicated that the evaluation of the 
    equipment's recovery capacity should not be based on the equipment's 
    operability in the different operating environments because those 
    conditions may not exist during an actual spill response. The Coast 
    Guard recognizes that the conditions and assumptions on which a 
    response plan is based may not exist during an actual spill response. 
    However, to develop an effective response plan, a facility owner or 
    operator must identify and plan to respond in the conditions which 
    normally exist in the port or at the facility. As Sec. 154.1010 
    indicates, the regulation establishes a planning standard and not a 
    performance standard. During an actual spill response, a final 
    assessment as to the type of equipment to be deployed for response to a 
    discharge will be made by the COTP in the consultation with the 
    responsible party and OSRO.
        Eight comments addressed various issues concerning the amounts of 
    time allotted for responding to an oil spill. Two comments argued that 
    facilities in higher volume port areas and the Great Lakes should plan 
    using 48-hour response times for Tier 3 response resources. Two 
    comments urged the Coast Guard to increase the Tier 1 response time to 
    12 hours as opposed to 6 hours for higher volume port areas. Four 
    comments argued that the response times should be the same regardless 
    of the location of the spill. These comments further contended that the 
    major reason for requiring shorter times should be for fish and 
    wildlife and sensitive environment purposes, which varies for vessels 
    but seems irrelevant for stationary facilities. Two comments argued 
    that the response times were too low in light of the levels agreed upon 
    at the Negotiated Rulemaking meetings. One of these comments urged the 
    Coast Guard to reconsider these response times because current response 
    times are difficult and expensive to achieve. One comment urged the 
    Coast Guard to review and revise the response times in light of 
    response capability. This comment also urged the Coast Guard to clarify 
    that response times apply to arrival on-scene rather than deployment of 
    response resources and argued that the Coast Guard should only require 
    first tier dispersants to be on-scene within 12 hours, with more 
    dispersants being available as needed.
        The Coast Guard contends that the tiering concept is valid and 
    adequately approximates the availability of response resources. The 
    tiering process reflects the arrival of available response resources 
    from nearby and more distant locations. The response times in this rule 
    are different than those applicable to vessels. The response times for 
    vessels are predicated on responding to an incident at the outermost 
    boundaries of the applicable areas, including up to 6 hours on-water 
    transit of response equipment. Since MTR facilities are located on or 
    along the shoreline, it will not be necessary to account for extensive 
    over-water transit times. The response times provided in the final rule 
    are for the planned arrival of response resources at the MTR facility 
    which is the likely site of the initial cleanup activity and does not 
    account for on-water deployment time. Therefore, the transit times in 
    this final rule are less than those provided for vessel response plans.
        One comment addressed the definition of tiers and urged the Coast 
    Guard to adopt the EPA terminology and definitions of tiers to avoid 
    confusion and duplication. The EPA and the Coast Guard have used the 
    same approach to the concept of tiering response resources. Tier has 
    been defined under Sec. 154.1020 of the final rule.
        Identification of firefighting capability. The Coast Guard received 
    several comments on firefighting capability requirements 
    (Sec. 154.1045(j)). Because many of the requirements for firefighting 
    capability in this section also are contained in Secs. 154.1047 and 
    154.1049, comments addressing those sections also will be discussed.
    
    [[Page 7906]]
    
        Two comments suggested that the coordinator of firefighting 
    activities for a facility should be extremely familiar with the 
    facility and its operations. Additionally, one comment argued that 
    ``sufficient firefighting capacity'' would be difficult to define and 
    should not be included in the rule. Another comment urged the Coast 
    Guard to develop more specific firefighting requirements.
        The many variables involved in the design and construction of MTR 
    facilities, the products handled, and the conditions encountered in an 
    actual fire, preclude the development of a fixed definition or formula 
    for calculating ``sufficient firefighting capacity.'' The IRF and the 
    final rule require a facility owner or operator to provide an in-house 
    expert to work with the local and facility firefighting resources. This 
    in-house expert is responsible for verifying that the firefighting 
    resources are sufficient to respond to a worst case scenario. The Coast 
    Guard believes that this approach is flexible enough to be adapted to 
    the peculiarities of different facilities, and at the same time, 
    provides the best practical assurance that the firefighting resources 
    identified in the plan will be able to handle a fire or explosion 
    resulting in a facility's worst case discharge scenario.
        One comment argued that firefighting should be addressed by the 
    facility itself along with its local fire department. As written, the 
    rule requires a facility owner or operator to work with local fire 
    departments through an in-house expert when developing and implementing 
    response planning requirements. The rule requires additional 
    firefighting capability, ensured by contract or other approved means, 
    only when both the facility's firefighting resources and the local 
    firefighting resources are inadequate.
        One comment argued that petroleum oil fires are so rare that 
    firefighting contracts should not be required. The Coast Guard 
    disagrees. A facility owner or operator must be prepared to respond to 
    any situation which may cause or arise from a petroleum oil discharge 
    into the marine environment. Section 311(j)(5)(C)(iii) of the FWPCA 
    requires resources to remove, mitigate or prevent a discharge including 
    one caused by fire. The Coast Guard has consistently interpreted this 
    provision to authorize the requirement that response plans ensure the 
    availability of firefighting resources by contract or other approved 
    means.
        One comment suggested that the Coast Guard cross-reference other 
    applicable firefighting sections of the regulation (Secs. 154.1047 and 
    154.1049). The Coast Guard has determined that these requirements 
    should be set out in each section for ease of reference.
        Consistency with ACP(s). The Coast Guard received one comment on 
    Sec. 154.1045(k). This comment argued that according to the IFR, a 
    response method not mentioned in the ACP would be considered 
    appropriate to protect fish and wildlife and sensitive environments. 
    This comment suggested that the Coast Guard change the language of the 
    IFR to indicate that the response plan must be consistent with the 
    appropriate ACP.
        The Coast Guard has revised this section of the final rule to state 
    that any plan submitted 6 months or more after the appropriate ACP is 
    published must be consistent with that ACP. A plan that is consistent 
    with that ACP must at least identify the fish and wildlife and 
    sensitive environments covered by the ACP; however, a facility owner or 
    operator who has identified additional fish and wildlife and sensitive 
    environments also may identify these areas in the plan. The IFR 
    provision was developed so that the facility owner or operator who 
    submitted a response plan prior to the publication of the ACP would not 
    be required to resubmit or amend the plan once the ACP was published or 
    at the time of each annual revision of the ACP. However, since the 
    publication of the IFR, all of the ACPs have been published; therefore, 
    all facility owners or operators making initial plan submissions under 
    the final rule, the required annual update, or resubmitting plans at 
    the plan's 5-year resubmission date will be required to submit plans 
    which are consistent with the appropriate ACP.
        Future caps review process. The Coast Guard received seven comments 
    which addressed the provisions of Sec. 154.1045(m) regarding the review 
    of caps in the years 1998 and 2003. One comment argued that the Coast 
    Guard should delete the 1998 cap increases until the need for such 
    increases is assessed. This comment contended that the percentage 
    increase as noted currently in the regulations is arbitrary and instead 
    should be based on valid data.
        One important goal of OPA 90 is to increase the overall oil spill 
    response capability in the United States. The Coast Guard believes that 
    setting the 1998 cap now provides a clear upper target for which 
    facility owners or operators and the oil spill response industry must 
    plan. The Coast Guard, however, will conduct an evaluation of the 1998 
    cap increase to determine if it remains practicable before it becomes 
    effective.
        Four comments suggested that if the spill history of a facility 
    between 1993 and 1998 is consistently better than required, then the 25 
    percent increase in caps should not be required. These comments argued 
    that such an exemption would encourage a quick response to an oil 
    spill. Although the Coast Guard encourages rapid response to an oil 
    spill, it does not believe that exempting certain facilities from the 
    cap increases will expedite a facility's spill response. Additionally, 
    this option does not move toward Congress's goal to increase the 
    overall spill response capacity in the United States.
        One comment suggested that planning caps be increased when the plan 
    is due for resubmission rather than in 1998. The Coast Guard has 
    determined that the planning caps will be increased in 1998 provided 
    that the required review confirms the practicability of the increases. 
    A facility owner or operator will not be required to incorporate these 
    caps into their plans until the Coast Guard completes the review.
        One comment suggested that the caps be rejected because the Coast 
    Guard offers no rationale for the levels prescribed. This comment 
    further suggested that the Coast Guard reevaluate its approach to caps 
    and instead base it on an analysis of what would be a response to the 
    maximum extent practicable. Alternatively, this comment suggested that 
    the cap increases in Table 5 of the regulations would be acceptable if 
    the amounts were doubled initially.
        As discussed in the VRP NPRM (57 FR 27514, June 19, 1992), the caps 
    set out in the IFR were established by the Coast Guard upon 
    recommendation by the Negotiated Rulemaking Committee. The Committee 
    recognized that the current limits on response technologies would 
    require a cap to be placed on the amount of response resources required 
    to be identified for responding to a petroleum oil discharge to the 
    maximum extent practicable. The caps established in the IFR reflect the 
    Coast Guard's assessment of the overall response capability that can be 
    achieved in the United States by 1998 taking into account factors such 
    as anticipated advances in skimming efficiencies and technology, the 
    development of high rate response techniques, and other applicable 
    response technologies.
        Identification of equipment above Tier 3 cap. One comment was 
    received addressing this provision. It argued that the capability may 
    not exist to meet this requirement. Through its discussions with 
    representatives of the spill response industry, the Coast Guard has 
    determined that adequate response 
    
    [[Page 7907]]
    resources are currently available to enable facility owners or 
    operators to meet this requirement. The final rule requires the 
    identification of response equipment above the Tier 1 and 2 caps, as 
    well as the Tier 3 cap. Since there is no requirement to contract for 
    these resources, this is not a significant change. Response plans 
    submitted prior to the IFR, following the guidance in NVIC 7-92, 
    readily met this requirement.
    
    Section 154.1047  Response Plan Development and Evaluation Criteria for 
    Facilities That Handle, Store, or Transport Group V Petroleum Oils
    
        The Coast Guard received three comments on this section which 
    requires the inclusion of certain information in response plans for 
    facilities involving Group V petroleum oils. One comment addressed this 
    section generally, asking for clarification of the term ``the impact of 
    such discharges'' in paragraph (c)(4) of this section which requires 
    the identification of equipment necessary to assess the impact of a 
    worst case discharge of Group V petroleum oils to the maximum extent 
    practicable. The physical characteristics of Group V petroleum oils 
    make them likely to sink when spilled. As a result, traditional 
    response techniques such as containing the spread of the oil on the 
    surface of the water are often ineffective against these petroleum 
    oils. The Coast Guard has required equipment to assess the impact of 
    Group V petroleum oil discharges because that impact cannot be 
    ascertained by the usual methods such as visual examination. The impact 
    of discharges of Group V petroleum oil will only be detectable through 
    the use of such methods as sonar or sampling equipment which can, for 
    example, ascertain what petroleum oil has sunk to the bottom or remains 
    suspended in the water column.
        Response time for deployment of response equipment. One comment was 
    received which concerned the provisions in Sec. 154.1047(d) regarding 
    the required response time for deployment of equipment. This comment 
    argued that the 24-hour response time would not necessarily be the best 
    for heavy petroleum oils since they are best recovered after hardening. 
    This comment further argued that the Coast Guard should design more 
    appropriate response times for Group V petroleum oils in general and 
    asphalt in particular. The Coast Guard has designed the response times 
    to ensure that an effective response is made while taking into account 
    the different properties of the various petroleum oils, as well as the 
    different natures of the MTR facilities and their operating 
    environments. The Coast Guard recognizes that Group V petroleum oils 
    react differently from other petroleum oils and this is why the Coast 
    Guard separated these oils into a different category. The Coast Guard 
    believes that the 24-hour response time is appropriate given the varied 
    nature of Group V petroleum oils themselves, as well as the varied 
    environments and conditions in which a discharge might occur.
        Firefighting capability. The Coast Guard received one comment 
    addressing the requirements for firefighting capability contained 
    within Sec. 154.1047(e). This comment argued that ``sufficient 
    firefighting capacity'' would be difficult to define and should not be 
    included in the rule. This comment further argued that firefighting 
    should be addressed by the facility itself along with its local fire 
    department. Identical comments were also made to Secs. 154.1045 and 
    154.1049. See Sec. 154.1045 of this preamble for the Coast Guard 
    response.
    
    Section 154.1049  Response Plan Development and Evaluation Criteria for 
    Facilities That Handle, Store, or Transport Non-Petroleum Oil
    
        Firefighting capability. The Coast Guard received one comment 
    addressing the requirements for firefighting capability contained 
    within Sec. 154.1049(e) of the IFR. This comment argued that 
    ``sufficient firefighting capacity'' would be difficult to define and 
    should not be included in the rule. This comment further argued that 
    firefighting should be addressed by the facility itself along with its 
    local fire department. Identical comments also were made to 
    Secs. 154.1045 and 154.1047. See Sec. 154.1045 of this preamble for the 
    Coast Guard response.
        Non-Petroleum Oils. The Coast Guard received comments addressing 
    the issue of whether the requirements set forth in the IFR for 
    petroleum oils should apply to animal fats and vegetable oils and other 
    non-petroleum oils. The comments proposed that animal fats and 
    vegetable oils should be more clearly differentiated from petroleum 
    based oils. The comments also suggested allowing unique response 
    procedures for non-petroleum oil spills.
        In support of their proposals, the comments provided an industry 
    sponsored study entitled ``Environmental Effects of Releases of Animal 
    Fats and Vegetable Oils to Waterways'' and an associated study. The 
    study claimed that the presence of these oils in the environment does 
    not cause significant harm. The study reached its conclusion based upon 
    its assertions that animal fats and vegetable oils are not toxic to the 
    environment; are essential components of human and wildlife diets; 
    readily biodegrade; and are not persistent in the environment like 
    petroleum oils. The industry study also found that these oils can coat 
    aquatic biota and foul wildlife, causing matting of fur or feathers 
    which may lead to hypothermia; and that animal fats and vegetable oils 
    in the environment have a high Biological Oxygen Demand which could 
    result in oxygen deprivation where there is a large spill in a confined 
    body of water that has a low flow and a low dilution rate.
        The comments acknowledged that the International Maritime 
    Organization (IMO) Subcommittee on Bulk Chemicals recently recognized 
    the potentially harmful effect on birds from contact with floating 
    animal fats and vegetable oils discharged from vessels. The comments 
    also conclude, based upon Coast Guard data, that the likelihood of a 
    non-petroleum oil spill of a magnitude to cause environmental harm is 
    extremely small. Additionally, the comments noted the differences in 
    the average size of the vessels which carry petroleum and non-petroleum 
    oils.
        In the preamble to the VRP IFR, the Coast Guard disagreed with 
    comments on the VRP NPRM which claimed that edible oils pose less 
    relative risk to the environment. The environmental effects of 
    discharges of non-petroleum oils are clearly documented and in many 
    respects are similar to the environmental effects of discharges of 
    petroleum oils.
        In letters to the docket, the Department of the Interior (DOI), the 
    National Oceanic and Atmospheric Administration (NOAA), and the U.S. 
    Fish and Wildlife Service (FWS) discussed the environmental effects of 
    discharges of animal fats and vegetable oils and other non-petroleum 
    oils. DOI, NOAA and FWS all concluded that these oils pose risks to the 
    marine environment when spilled.
        The agencies attributed the detrimental effects of non-petroleum 
    oils to the similarity in physical properties between petroleum and 
    non-petroleum oils. The effects outlined by DOI and NOAA include 
    physical coating of bird feathers and mammal fur leading to 
    hypothermia, a loss of buoyancy, and subsequent morality. All three 
    agencies also confirmed the industry report's conclusion that 
    discharges of non-petroleum oils can result in increased Biological 
    Oxygen Demand in receiving waters, thereby decreasing available oxygen 
    in the 
    
    [[Page 7908]]
    affected waterbody and often resulting in fishkills. NOAA also stated 
    that coconut and palm oils are very viscous and when spilled in most 
    coastal waters would behave like Crisco (a hydrogenated animal fat) 
    probably persisting for over a decade.
        The Fish and Wildlife Service letter specifically responded to the 
    industry sponsored study. The FWS expressed great concern over the 
    veracity of many of the study's conclusions. The FWS characterized the 
    industry study as ``misleading, weak and erroneous'' and stated that 
    ``key facts have been misrepresented, are incomplete or are omitted,'' 
    and that ``[t]he biggest oversight of the (industry study) is the 
    insignificance given to the fouling potential of the edible oils.''
        The FWS acknowledged that there are differences between petroleum 
    and non-petroleum oils including different toxicity levels. It pointed 
    out that physical fouling is similar for both petroleum and non-
    petroleum oils, and additionally, that the removal of non-petroleum 
    oils can be more difficult and strenuous for the wildlife because, in 
    many instances, complete removal can only be accomplished with scalding 
    hot water and excessive washing. The FWS also stated that wildlife 
    rehabilitators consider edible oils and fats to be some of the most 
    difficult substances to remove from wildlife because the low viscosity 
    of these oils allows deeper penetration into the plumage of fur, 
    creating a more thoroughly contaminated animal.
        The FWS was extremely critical of the industry study for suggesting 
    that ingestion of edible oils is harmless to wildlife. The FWS stated 
    that the study misleads uninformed readers by not clarifying that these 
    oils, if consumed in large quantities, will cause harm to organisms 
    through means other than toxicity. For example, according to the FWS, 
    the ingestion of large quantities of non-petroleum oils can cause lipid 
    pneumonia, diarrhea, and dehydration in birds or other wildlife which 
    try to clean these oils from their feathers or coats by preening. This 
    problem is magnified, also according to the FWS, by the fact that these 
    oils do not have a repugnant smell or iridescent appearance to frighten 
    wildlife away, therefore making it more likely that wildlife will come 
    in contact with them during a spill.
        In addition to the agency letters, the Coast Guard has placed in 
    the docket several studies attesting to the harmful effects of non-
    petroleum oils in the environment. One such study, conducted by the 
    International Maritime Organization (IMO) is titled ``Harmful Effects 
    on Birds of Floating Lipophilic Substances Discharged from Ships.'' 
    This study examined the literature concerning non-petroleum oils 
    spilled into the environment and concluded that a number of lipophilic 
    substances, including vegetable oils, cause lethal harm to birds as a 
    specific group of marine life. The study found that lipophilic 
    substances adhere to the feathers of seabirds due to the lipophilic 
    character of the feathers' wax layer. This causes the grid structure of 
    the plumage to be disrupted thereby destroying its insulating 
    properties.
        The IMO study gives numerous examples of lethal contamination of 
    seabirds by lipophilic substances spilled from ships. These examples 
    include the death of thousands of seabirds because of a discharge of 
    palm oil off the Netherlands coast; over 300 dead birds as a result of 
    a 1,000-liter spill of rapeseed oil into the harbor of Vancouver, 
    Canada; diseased gannets found along the Dutch coastline whose plumage 
    was found to be coated with paraffin and consequently was no longer 
    water repellent; and surveys of Dutch beaches in 1990 which found that 
    25 percent of the dead birds washed ashore were at least partly 
    contaminated with vegetable oils. The IMO study also warns that a 
    serious discharge of lipophilic substances in the open sea would cause 
    more harm to seabirds than a nearshore discharge because the birds in 
    the open sea would be unable to rest on shore to clean their plumage.
        For these reasons, the Coast Guard has determined that a worst case 
    discharge of animal fats or vegetable oils or other non-petroleum oils 
    from an MTR facility could reasonably be expected to cause harm to the 
    environment. Therefore, facilities that handle, store, or transport 
    these oils, and meet the requirements of Sec. 154.1015(b), are required 
    to prepare and submit response plans. If the facility meets the 
    criteria in Sec. 154.1015(c) for a facility that could cause 
    significant and substantial harm, the response plan must be approved by 
    the Coast Guard.
        Because there is insufficient data to support a finding that a 
    spill of a large quantity of animal fats or vegetable oils or other 
    non-petroleum oils will have less adverse impact on the environment 
    than a spill of other kinds of oil, the Coast Guard does not believe 
    that a facility that handles, stores, or transports these oils should 
    have reduced response requirements from those provided in the IFR. 
    However, the Coast Guard does acknowledge that animal fats and 
    vegetable oils or other non-petroleum oils may behave differently from 
    petroleum or petroleum-based oils and has created new subparts H and I 
    to address response plan requirements for these oils. For further 
    information see the discussions of subparts H and I in this preamble.
        The Coast Guard received one comment which requested the suspension 
    of the IFR's implementation until hearings can be held on amending the 
    rule to exclude animal and vegetable fats from these regulations. The 
    Coast Guard disagrees. Animal fats and vegetable oils are considered to 
    be oils under the FWPCA. They are specifically defined as non-petroleum 
    oils in the final rule and may result in serious harm to the 
    environment in the event of a discharge to navigable waters. For 
    additional information on this issue, see response to similar comments 
    in Sec. 154.1015.
    
    Section 154.1050  Training
    
        The Coast Guard received 15 comments on this section. The comments 
    were not in agreement about whether the Coast Guard should include more 
    specific training requirements in the final rule. Three comments stated 
    they wanted more detailed standards to define the frequency of 
    refresher courses and the minimum level of Occupational Safety and 
    Health Administration (OSHA) training required. One comment suggested 
    making training requirements compatible with EPA standards. Five 
    comments were against developing any additional training requirements.
        The Coast Guard has not modified the training requirement of this 
    section in the final rule; however, a new appendix D entitled 
    ``Training Elements for Oil Spill Response Plans'' has been added to 
    subpart 154 to provide guidelines to facility owners or operators for 
    the development of the training portions of their response plans. 
    Additionally, training guidelines for facility response plans, 
    including refresher training, are defined in OSHA standards for 
    emergency response operations in 29 CFR part 1910, appendix D. As 
    indicated in appendix D to part 154, the specifics of the training 
    program should be determined by the facility owner or operator. On the 
    job training and experience may cover parts or all of the training 
    requirements, as appropriate.
        Many comments remarked that the responsibility of a facility owner 
    or operator to ensure adequate training of all private response 
    personnel in Sec. 154.1050(d) is inappropriate, costly, and possibly 
    duplicative when an OSRO also is required to demonstrate training. One 
    comment argued that the Coast Guard should require OSROs rather than 
    the owners or operators to be 
    
    [[Page 7909]]
    responsible for training employees and maintaining proper records. The 
    Coast Guard disagrees. While the owner or operator of the facility may 
    shift training requirements to an OSRO through contract or agreement, 
    the owner or operator of the facility remains responsible to ensure 
    that adequate trained response resources are available.
        One comment suggested specifying that OSHA retains enforcement 
    authority for working conditions not addressed by Coast Guard 
    standards. The Coast Guard agrees, but does not find it necessary to 
    state that enforcement of the OSHA standards remains with that agency.
        One comment mentioned that facilities handling only edible oils 
    should be exempt from the training requirements. The Coast Guard 
    believes training standards are necessary for MTR facilities regardless 
    of the specific type of oil handled, stored, or transported. Therefore, 
    the Coast Guard will not change the requirements.
        One comment remarked that it was not practical to ensure that 
    volunteers and casual laborers have OSHA training. In Sec. 154.1050 
    (a), the Coast Guard requires only that a ``method of training'' be 
    identified to comply with the requirements of 29 CFR 1910.120. 
    Volunteers and casual laborers who are not trained or familiar with 
    hazards associated from contact with oil must be trained to meet OSHA 
    requirements.
    
    Section 154.1055  Exercises
    
        The Coast Guard has extensively revised Sec. 154.1055 which was 
    previously entitled ``Drills'' and is now entitled ``Exercises.'' The 
    changes make the terminology in the final rule consistent with the 
    National Preparedness for Response Exercise Program (PREP). In response 
    to the need to provide facility owners or operators with additional 
    direction on conducting exercises, the Coast Guard has revised this 
    section to specify that compliance with PREP fulfills all exercise 
    requirements. However, participation in the PREP itself remains 
    voluntary. If an owner or operator does not choose to participate in 
    the PREP, they may develop their own program for compliance with the 
    exercise requirements in this regulation.
        The National Preparedness for Response Exercise Program (PREP) was 
    developed through a joint effort of the Federal agencies implementing 
    OPA 90 response plan regulations and other Federal representatives 
    (e.g., natural resource trustees), state agencies, members of the 
    regulated community, and OSROs. Four public workshops were announced in 
    the Federal Register and were conducted in Washington, DC, and Tampa, 
    FL. These efforts resulted in the creation of unified requirements that 
    reduce the possibility of owners and operators having to participate in 
    numerous duplicative exercises. Following the PREP guidelines has been 
    determined to be an acceptable means to satisfy the OPA 90 
    requirements.
        Equipment. The Coast Guard received 16 comments on 
    Sec. 154.1055(a)(3), equipment deployment drills. One comment argued 
    that facility owners and operators should not be penalized when 
    response resources are not available due to a real emergency. The Coast 
    Guard recognizes that actual availability of response resources may be 
    limited by unforeseeable events such as multiple simultaneous oil 
    spills.
        Three comments requested additional information on equipment 
    deployment. Another wanted specific information on equipment deployment 
    drills for facilities that have no equipment of their own. One comment 
    stated that the Coast Guard should remove mandatory equipment 
    deployment for the entire plan drill. Two comments remarked that it 
    would be better to require one major equipment deployment exercise in 
    each COTP zone every 3 years. Another comment suggested that full scale 
    drills should determine only the response time of contractors and test 
    only strategic personnel, and not require equipment deployment. The 
    Coast Guard's position is that equipment deployment exercises are vital 
    for maintaining readiness and for testing the effectiveness of a 
    facility's response plan. The revised Sec. 154.1055 continues to 
    require semiannual equipment deployment exercises for facility owned or 
    operated equipment and annual equipment deployment exercises for OSRO 
    equipment. These standards are in accord with the requirements of the 
    PREP program.
        Frequency. Several comments remarked that the costs of drills were 
    excessive. Many suggested that the frequency of various drills should 
    be decreased. Two comments requested additional details on frequency of 
    drills and credit provisions for separate drill elements. Two comments 
    also suggested that the number of drills required should be decreased 
    over time because they lose effectiveness. As indicated earlier, the 
    Coast Guard has revised the exercises section of the final rule to be 
    in accordance with PREP. It has adjusted the frequency of some 
    exercises. Qualified individual notification exercises are required 
    quarterly instead of monthly and whole plan exercises may now be 
    carried out in parts rather than all at once. The Coast Guard believes 
    exercises continue to be effective over time as equipment and personnel 
    change.
        A significant number of comments suggested that credit be given for 
    equipment and personnel drill requirements when other drills provide 
    adequate practice. The different kinds of required exercises test 
    different aspects of a response plan. However, if an exercise includes 
    components which fulfill the requirements for some other type of 
    required exercise (e.g., an equipment deployment exercise that includes 
    a qualified individual notification) then both requirements may be 
    fulfilled by the single exercise.
        Two comments suggested that an actual response situation should 
    credit some drills. In this final rule, the Coast Guard has made 
    participation in the PREP program satisfy all exercise requirements. 
    Under PREP, facilities which have an actual response situation may get 
    exercise credit. For more detailed guidance the PREP guidelines should 
    be consulted.
        Six comments remarked that participation in one drill by a spill 
    management team (SMT) should meet the requirements for all facilities 
    using that team. The PREP guidelines address this concern in detail; 
    PREP allows multiple facilities using the same SMT to receive credit 
    for a single exercise of that SMT as long as the specified criteria are 
    met.
        Seven comments wanted other Federal, state, or local drills to 
    credit Coast Guard drills where appropriate. The Coast Guard has no 
    control over whether other agencies give credit for Coast Guard 
    exercises.
        One comment suggested that the Coast Guard coordinate nationally to 
    determine that credit be given only for personnel and equipment which 
    actually participated in drills. The Coast Guard requires that the 
    facility maintain records of exercises; and that these records be made 
    available to the COTP upon request. A facility that lists an OSRO 
    located outside the facility's COTP zone must still satisfy the 
    facility's own COTP that the listed OSRO has fulfilled the applicable 
    exercise requirements. Any facility which does not satisfy the 
    applicable COTP that it has fulfilled its exercise requirements is 
    subject to enforcement action by the COTP under this regulation. The 
    Coast Guard believes that the existing requirements are sufficient to 
    ensure that all personnel and equipment listed in facility response 
    plans are exercised at the appropriate intervals.
        Details of plan. The Coast Guard received 6 comments suggesting 
    
    [[Page 7910]]
        wording changes. One general comment was received discussing the need 
    for more detailed guidance. Due to extensive revisions of this section, 
    these changes would not be applicable and, therefore, will not be 
    incorporated into the text.
        Unannounced drills. Some comments requested that the Coast Guard 
    decrease the number of unannounced drills required by Sec. 154.1055(b) 
    to one drill every 1, 2, or 5 years. Many argued that unannounced 
    drills were too costly and should either be limited due to economic 
    concerns or not required at all. Some also remarked that such drills 
    were unnecessary due to the need for other drills. Some comments 
    asserted that operations should not be disrupted by unannounced drills. 
    Others wanted facility owners and operators to be compensated for the 
    cost associated with unannounced drills. Two comments suggested that 
    OSROs and SMTs should only be activated if experience and available 
    resources were believed to be inadequate, two others remarked that only 
    the SMT should be activated. One comment suggested focusing on the 
    initial callout only. A few comments asked that the unannounced drills 
    be limited in scope, kept short and only required after 24-hour 
    notification. One comment suggested requiring notification of the Coast 
    Guard during an unannounced drill and having the Coast Guard observe 
    the drill rather than requesting their own drills separately. Finally, 
    one comment questioned whether customers would be expected to 
    participate in unannounced drills and wondered who would be liable for 
    the costs incurred. The Coast Guard finds that unannounced exercises 
    serve an important purpose in maintaining response resource readiness. 
    The final rule states that annually one of the required exercises 
    (spill management team tabletop, equipment deployment, or emergency 
    procedures) must be conducted unannounced. Unannounced means that the 
    personnel participating in the exercise must not be advised in advance 
    of the exact date, time and scenario of the exercise. Additionally, the 
    facility owner or operator may be required by the COTP to conduct an 
    unannounced exercise at the facility. These COTP initiated exercises 
    will be limited to average most probable discharge exercises as 
    outlined in the facility's response plan. Such exercises involve 
    notifications and equipment deployment. Each COTP will limit the number 
    of COTP initiated unannounced exercises to no more than 4 per year. If 
    a facility owner or operator participates in an unannounced exercise 
    initiated by the COTP, the facility will be exempt from participating 
    in a COTP initiated unannounced exercise for at least 3 years.
        Records. The Coast Guard received 5 comments on Sec. 154.1055(d), 
    stating that the facility owner or operator should bear the 
    responsibility for keeping and maintaining the records at the facility 
    along with the plan. The comments asserted that it would suffice to 
    have the records signed by an authorized federal representative at the 
    drill site, rather than having the records sent to the Coast Guard. The 
    Coast Guard has changed Sec. 154.1055 to reflect this comment. The 
    section now requires records to be maintained at the facility for 3 
    years and be made available to the Coast Guard upon request.
    
    Section 154.1060  Submission and Approval Procedures
    
        The Coast Guard received 9 comments addressing the proposed 
    requirement for a maximum validation period of up to 5 years. Three 
    comments did not support having a plan expiration date at all, 
    suggesting that the Coast Guard would not have sufficient time to 
    approve the new plans. Four comments suggested that substantive changes 
    as a result of major NCP or ACP revisions should not require plans to 
    be resubmitted until the 5-year term is complete. Several comments did 
    not want facility owners or operators to be required to resubmit plans 
    when no substantive changes were made. One comment asked for 
    clarification as to whether plans must be resubmitted to the Coast 
    Guard 5 years from the date of COTP approval or every 5 years, 
    regardless of whether there have been revisions.
        OPA 90 requires a facility owner or operator to resubmit response 
    plans to the Coast Guard for information or approval, as appropriate. 
    In the IFR, the Coast Guard required that response plans must be 
    resubmitted every 5 years regardless of whether any revisions have been 
    made. In his memorandum of April 21, 1995, President Clinton directed 
    agencies to reduce by one-half the frequency of regularly scheduled 
    reports that the public is required to provide to the Government. An 
    exception to this requirement is provided when the agency head 
    determines that such action would not adequately protect the 
    environment or would impede the effective administration of the 
    agency's program. The Coast Guard has reviewed the need for 
    resubmission of response plans at 5-year intervals, and has concluded 
    that extending this to 10 years would not ensure that plans were still 
    viable and would not meet the goal of OPA 90, to improve the response 
    to spills of oil. Changes in technology and in available response 
    resources over a 5-year period may make a response plan fall below 
    acceptable standards. To effectively administer an oversight program 
    and ensure that the maximum practicable response capability is being 
    utilized, review of response plans at 5-year intervals is considered to 
    be an appropriate balance between program needs and reporting burden. 
    The Secretary of Transportation has approved retaining the requirement 
    to submit response plans at a maximum interval of 5 years.
        Although the plans need not be resubmitted until the end of the 5-
    year term, major revisions to a response plan as set out in 
    Sec. 154.1065(b) must be sent to the COTP within 30 days; and 
    deficiencies in an originally submitted plan or a 5-year resubmission 
    of a plan, must be corrected within the time specified by the COTP. NCP 
    or ACP changes will not require resubmission of the plan until the 5-
    year term is complete. The requirements for plan resubmission after the 
    5-year term are set out in Sec. 154.1060 of the final rule. The COTP 
    will notify the facility owner or operator in writing of the status of 
    the plan.
        Another two comments requested 60 days rather than 30 days to 
    forward major plan corrections to the COTP in response to COTP noted 
    deficiencies in the originally submitted plan, or a 5-year plan 
    resubmission. Several comments proposed that the COTP determine the 
    time period for sending such plan corrections, but that the period be 
    not less than 30 days. As a result of the comments on the 30-day time 
    limit for sending plan corrections to the COTP in response to COTP 
    noted deficiencies, the Coast Guard has changed this provision and now 
    requires that a facility owner or operator correct noted deficiencies 
    within the time period provided by the COTP. This adjustment allows for 
    greater flexibility in determining an appropriate time period based on 
    the corrections needed.
        Two comments expressed concern over the number of copies needed to 
    review the facility response plan, and asserted that only one copy was 
    needed by the COTP. The comment also argued that the COTP need not 
    return the approved plan, but instead, that an approval notice would be 
    sufficient. The Coast Guard has changed Sec. 154.1060 of the final rule 
    to require only one copy of the plan to be submitted to the COTP. 
    Additionally, one copy of the plan must be maintained at the facility 
    in a 
    
    [[Page 7911]]
    position where the plan is readily available to persons in charge of 
    conducting transfer operations.
        Two comments suggested that a copy of the plan should be forwarded 
    to the state water pollution control agency and the emergency response 
    organization's and be available to the local response organizations 
    upon request. Any state agency which desires a copy of the response 
    plan should request one from the facility owner or operator directly. 
    The Coast Guard cannot involve itself in matters which would be largely 
    governed by state statute. In order to fulfill the requirements for 
    exercises under Sec. 154.1055, OSROs must be familiar with any response 
    plans in which they are listed. The Coast Guard leaves to the owners or 
    operators and their OSROs the specific method by which the OSROs will 
    gain the needed familiarity with the plan.
        One comment stated that there should be an appeals process, 
    allowing the facility owner or operator to contest the COTP decision. 
    Both the IFR and the final rule already contain an appeal process 
    located in Sec. 154.1075 and entitled ``Appeal process.''
    
    Section 154.1065  Plan Review and Revision Procedures
    
        The Coast Guard received 6 comments on the revision of plans. Four 
    comments requested that the facility owner or operator be given at 
    least 6 months to incorporate major revisions into the plan. One 
    comment suggested that the rule needed a better definition of which 
    facilities are required to revise plans. Another comment requested 
    clarification of which revisions to facility plans require notification 
    of the Coast Guard.
        Section 154.1065 requires all facilities to review their plans 
    annually and to send any revisions to the COTP for information or 
    approval; or if no revisions are made during the course that year, the 
    facility owner or operator must certify by letter to the COTP that the 
    plan remains valid with no revisions. Revisions which must be submitted 
    to the COTP for approval or inclusion in the plan are listed in 
    Sec. 154.1065(b). Requirements for 5-year plan resubmission have been 
    removed from Sec. 154.1065(b)(7) and now are specified in 
    Sec. 154.1060(e) of the final rule.
        The Coast Guard received two comments recommending that plan 
    revisions be sent to the COTP before planned actions occur, to ensure 
    COTP approval. A 30-day period for approving a plan was also suggested. 
    In order to meet the statutory requirements of OPA 90, facilities must 
    operate in full compliance with their submitted response plan. the 
    Coast Guard concludes that a 30-day period is appropriate for COTP 
    action on submitted revisions(s); and as an effective date for 
    submitted revision(s). This final rule provides that when revision(s) 
    to a plan are necessary, the facility owner or operator must submit the 
    proposed revision(s) to the COTP. The COTP will review the proposed 
    revision(s) and will provide any necessary feedback to the facility 
    owner or operator within 30 days. The revisions will become effective 
    not later than 30 days from their submission to the COTP, unless the 
    COTP indicates otherwise.
        Another comment argued that requiring annual certification by 
    facility owners and operators was too administratively burdensome to 
    the Coast Guard. Five comments suggested that it should only be 
    necessary to notify the Coast Guard of significant changes to the plan. 
    Two comments requested that facilities be allowed to file a letter at 
    the facility instead of placing it with the plan itself to avoid 
    unnecessary paper buildup. The Coast Guard has reviewed this 
    requirement in light of these comments and the President's directive to 
    reduce reporting requirements and has eliminated the requirement to 
    submit an annual certification that the owner or operator has reviewed 
    the facility response plan. The regulation has been modified to reflect 
    that the owner or operator is still required to annually review the 
    plan and notify the Coast Guard of changes; however, no report is 
    required if changes are not needed.
    
    Section 154.1070  Deficiencies
    
        The Coast Guard received 6 comments addressing this section. One 
    comment stressed that the Coast Guard should allow 30 days, rather than 
    7, to appeal a deficiency notice from the COTP. Another comment argued 
    that 60 days minimum should be allowed to correct deficiencies. Other 
    comments stated that the revised plan should be submitted within a time 
    period provided by the COTP, after a minimum of 30 days. It has been 
    the Coast Guard's experience that the 7 day appeal limit allows 
    adequate time for a facility owner or operator to make an initial 
    appeal of a COTP issued deficiency and it is not expected that a 
    shorter time frame would be imposed unless a significant hazard exists. 
    However, because these time requirements are relatively new, the Coast 
    Guard will continue to monitor this time frame as well as other time 
    limits contained in the FRP appeal process and may modify the time 
    limits in the future.
        One comment urged the Coast Guard to provide more detail on 
    enforcement mechanisms. The Coast Guard has provided guidance directly 
    to the COTPs responsible for enforcing these regulations. This guidance 
    will be updated as the Coast Guard gains more experience in the review 
    and usefulness of response plans.
    
    Section 154.1075  Appeal Process
    
        The Coast Guard received 6 comments concerning the appeal process. 
    Four comments wanted the scope of appealable issues more clearly 
    defined. Another comment stated that the Coast Guard should allow a 
    time period to determine whether a facility is a substantial harm, or 
    significant and substantial harm facility. The comment continued by 
    arguing that notification to a facility owner or operator of 
    reclassification should occur within 60 days. If no response is 
    received within this time frame, then the facility owner or operator 
    can assume that reclassification is accepted. The comment continued by 
    stating that 30 days should be allowed to appeal the COTP's decision to 
    the District Commander. Another comment agreed and stressed that 
    facility owners and operators should be able to appeal the COTP's 
    decision that a plan is not adequate. A facility owner or operator may 
    appeal any initial determination made by a COTP regarding that 
    facility's plan. This includes but is not limited to, classification 
    decisions, reclassification decisions and deficiency decisions. The 
    Coast Guard believes the present procedures give owners or operators 
    sufficient time and opportunity to appeal a decision.
    
    Subpart G--Additional Response Plan Requirements for a Trans-Alaska 
    Pipeline Authorization Act (TAPAA) Facility Operating in Prince William 
    Sound, Alaska
    
    Section 154.1120  Operating Restrictions and Interim Operating 
    Authorization
    
        The Coast Guard received one comment recommending that it establish 
    a 4-day time limit in which a 200,000 barrel spill must be removed. The 
    comment also suggested changing the wording in this section by 
    replacing ``provided, through an oil spill removal organization 
    required by Sec. 154.1125'' with ``ensured, by contract or other 
    approved means.'' The Coast Guard concludes that the required response 
    times are appropriate and will ensure that adequate response is made in 
    
    
    [[Page 7912]]
    Prince William Sound. A set 4-day time limit would be too inflexible 
    and would not take into account varying conditions. Section 154.1110 of 
    subpart G requires a TAPAA facility owner or operator to meet all 
    requirements of subpart F in addition to the requirements of subpart G 
    itself. Because subpart F includes requirements for ensuring by 
    contract or other approved means any OSRO, a restatement of the 
    requirement in subpart G is unnecessarily repetitive.
        The comment also recommended that the Coast Guard include a 
    statement telling facility owners or operators that plan approval for 
    Prince William Sound facilities is valid only as long as the Prince 
    William Sound Regional Citizens Advisory Council is funded in 
    accordance with OPA 90. The Coast Guard agrees with the comment and has 
    added language to Sec. 154.1120 to that effect.
    
    Section 154.1125  Additional Response Plan Requirements
    
        The Coast Guard received one comment on this section stating that 
    additional communities should be included for training. The communities 
    suggested are Seward, Seldovia, Homer, and Kodiak, Alaska. The comment 
    also argued that a minimum of 2,000 trained personnel should be 
    required to remove a 200,000 barrel discharge. The Coast Guard finds 
    that the existing list of communities is currently sufficient and is 
    not adding the communities suggested in the comment. However, should 
    circumstances change, a COTP may recommend adding ports if the spill 
    training requirements are deemed appropriate. This change would be 
    subject to a notice and comment rulemaking project. There were no 
    specific details included in this comment as to the basis for requiring 
    2,000 personnel for a spill of 200,000 barrels. The COTP has a great 
    deal of experience in this type of operation, and he or she is the one 
    who makes the determination as to the number of personnel necessary for 
    the cleanup of a spill.
    
    Section 154.1130  Requirements for Prepositioned Response Equipment
    
        The Coast Guard received one comment on this section of the IFR. 
    The comment agreed that an independent inspection or certification 
    entity was a good idea. The comment also stated that the section should 
    be revised to include the standard for response capabilities which is 
    currently 200,000 barrels per day in the Prince William Sound to 
    reflect the true maximum extent practicable. Maximum extent practicable 
    is based upon the planned capability to respond to a worst case 
    discharge in adverse weather. The standards set forth in the IFR, and 
    continued in the final rule, include a daily recovery rate of 30,000 
    barrels per day on scene within 2 hours, and a daily recovery rate of 
    40,000 barrels on scene within 18 hours. In addition, Sec. 154.1130 
    also requires on-water storage capability of 100,000 barrels to be on 
    scene within 2 hours, and on-water storage capability of 300,000 
    barrels to be on scene within 12 hours. The Coast Guard concludes that 
    the standards set forth are sufficient to protect Prince William Sound 
    and meet OPA 90's requirement of a response to the maximum extent 
    practicable.
    
    Section 154.1140  TAPAA Facility Contracting With a Vessel
    
        The Coast Guard received one comment that the section on TAPAA 
    facility contracting with a vessel was unclear because it referred to 
    subpart G of the VRP IFR, which does not exist. The Coast Guard has 
    corrected the cross reference in this section of the FRP final rule to 
    refer to subpart E of the VRP final rule.
    
    Subpart H--Response Plan Requirements for Facilities That Handle, 
    Store, or Transport Animal Fats and Vegetable Oils
    
        This subpart establishes oil spill response planning requirements 
    for an owner or operator of a facility that handles, stores, or 
    transports animal fats and vegetable oils. It requires such facilities 
    to also meet the applicable requirements set forth in subpart F of this 
    part. This subpart, and subpart I, were created to address concerns 
    that some of the criteria proposed in subpart F of this part were not 
    applicable to animal fats and vegetable oils, and other non-petroleum 
    oils. The specific comments on non-petroleum oils which the Coast Guard 
    received are addressed in this preamble under Sec. 154.1049 which was 
    the non-petroleum oils section of the IFR.
        In the preamble to the VRP IFR, the Coast Guard stated that it had 
    been unable to verify that the evaporation and emulsification factors 
    in appendix B of the VRP IFR were applicable to both petroleum oils and 
    non-petroleum oils. As a result of that determination, non-petroleum 
    oils were divided from petroleum oils in both the Vessel and MTR 
    Facility Response Plan regulations.
        In response to the comments to the IFR on this issue, the Coast 
    Guard is creating two new subparts and further subdividing non-
    petroleum oils into three categories. Subpart H covers animal fats and 
    vegetable oils, and subpart I covers other non-petroleum oils.
        These new subparts and categories are intended to form the 
    foundation of possible future rulemaking efforts in this area. The 
    Coast Guard welcomes information that may be useful in determining the 
    types and quantities of response equipment necessary to respond to a 
    discharge of these oils, and information on new or innovative response 
    techniques that will be appropriate for these oils. This information 
    would be helpful in deciding whether additional rulemaking is 
    appropriate.
        Section 154.1225 requires owners or operators of MTR facilities 
    that handle, store, or transport animal fats and vegetable oils to 
    identify the procedures and equipment necessary to respond to a worst 
    case discharge of these oils to the maximum extent practicable. Animal 
    fats include lard, tallow and other oils of animal origin. Vegetable 
    oils include oils from seeds, nuts, kernels or fruits of plants such as 
    corn oil, safflower oil, jojoba oil, coconut oil or palm oil. Subpart H 
    allows the owner or operator of the facility to propose the amount of 
    equipment needed to respond to a worst case discharge of animal fats or 
    vegetable oils to the maximum extent practicable. It does not include 
    specific requirements for identifying the amount of response resources. 
    The Coast Guard will evaluate the information submitted by the owner or 
    operator of the facility to determine if the resources identified are 
    consistent with the volume of animal fats or vegetable oils that may be 
    spilled as a result of the worst case discharge. This procedure was the 
    same in the IFR.
        As with petroleum oils, the owner or operator must ensure the 
    availability of removal equipment through contract or other approved 
    means. At a minimum, the owner or operator of the facility must obtain 
    a letter from an oil spill removal organization stating that it will 
    respond to a worst case discharge from the facility. It is not intended 
    that this letter imply a formal contractual agreement between the 
    parties but that the owner or operator has identified specific response 
    resources and that those resources will respond to a worst case 
    discharge from the facility.
        Section 154.1225 also requires the owner or operator of an MTR 
    facility that handles, stores, or transports animal fats and vegetable 
    oils to contract for firefighting resources should the facility not 
    have access to sufficient local firefighting resources. For further 
    discussion of firefighting 
    
    [[Page 7913]]
    resources see the preamble discussion of Sec. 154.1045(j).
        The Coast Guard has included in subpart H, for animal fats and 
    vegetable oils, Sec. 154.1225(f) on the use of dispersants, and other 
    similar, new, or unconventional spill mitigation techniques including 
    mechanical dispersal. Response plans for facilities located in 
    environments with year-round preapproval for use of chemical 
    dispersants will be allowed to receive credit up to 25 percent of the 
    plan's required worst case planning volume. In all cases, the 
    identified response measures must comply with the NCP and the 
    applicable ACP.
        The Coast Guard has included in appendix C a new paragraph 2.8 
    covering non-petroleum oils including animal fats and vegetable oils.
    
    Subpart I--Response Plan Requirements for Facilities That Handle, 
    Store, or Transport Other Non-petroleum Oils
    
        This subpart establishes oil spill response planning requirements 
    for an owner or operator of a facility that handles, stores, or 
    transports non-petroleum oils other than animal fats and vegetable 
    oils. It requires such facilities to also meet the applicable 
    requirements set forth in subpart F of this part. This subpart was 
    created to address industry concerns with grouping animal fats and 
    vegetable oils together with other non-petroleum oils. This separation 
    of animal fats and vegetable oils from other non-petroleum oils 
    recognizes that while animal fats and vegetable oils have harmful 
    effects, they are not toxic to the marine environment as maybe other 
    non-petroleum oils. The specific comments on non-petroleum oils which 
    the Coast Guard received are addressed in this preamble under 
    Sec. 154.1049 which was the non-petroleum oils section of the IFR.
        Section 154.1325 requires owners or operators of MTR facilities 
    that handle, store, or transport other non-petroleum oils to identify 
    the procedures and equipment necessary to respond to a worst case 
    discharge of these oils to the maximum extent practicable. Other non-
    petroleum oils include those that are not animal fats or vegetable oils 
    such as essential oils, turpentine and tung oil.
        Section 154.1325 allows the owner or operator of the facility to 
    propose the amount of equipment needed to respond to a worst case 
    discharge of other non-petroleum oils to the maximum extent 
    practicable. It does not include specific requirements for identifying 
    the amount of response resources. The Coast Guard will evaluate the 
    information submitted by the owner or operator of the facility to 
    determine if the resources identified are consistent with the volume of 
    other non-petroleum oils that may be spilled as a result of the worst 
    case discharge. This procedure was the same in the IFR.
        As with petroleum oils, Sec. 154.1325 requires that the owner or 
    operator must ensure the availability of removal equipment through 
    contract or other approved means. At a minimum, the owner or operator 
    of the facility must obtain a letter from an oil spill removal 
    organization stating that it will respond to a worst case discharge 
    from the facility. It is not intended that this letter imply a formal 
    contractual agreement between the parties but that the owner or 
    operator has identified specific response resources and that those 
    resources will respond to a worst case discharge from the facility.
        Subpart I also requires the owner or operator of an MTR facility 
    that handles, stores, or transports other non-petroleum oils to 
    contract for firefighting resources should the facility not have access 
    to sufficient local firefighting resources. For further discussion of 
    firefighting resources see the preamble discussion of Sec. 154.1045(j).
        Under subpart I, a response plan may propose, for other non-
    petroleum oils, the use of other spill mitigation techniques provided 
    that the identified response measures comply with the NCP and the 
    applicable ACP.
        The Coast Guard has included in appendix C a new paragraph 2.8 
    covering the evaluation of response plans for non-petroleum oils 
    including other non-petroleum oils.
    
    Appendix C of Part 154. Guidelines for Determining and Evaluating 
    Required Response Resources for Facility Response Plans
    
        The Coast Guard received one comment recommending that special 
    allowance be made for harbors since they often have conditions similar 
    to rivers and canals. The comment also recommended that such special 
    allowance not be limited only to waterways having depths of 12 feet or 
    less. The Coast Guard disagrees. The term harbor is a broad term and 
    can be applied to a sheltered part of a body of water deep enough to 
    provide anchorage for ships. In reality, a harbor may range from small 
    embayments to large bodies of water. Under the final rule, a harbor 
    could be considered as either being in a rivers and canals operating 
    environment or an inland operating environment. The 12 feet project 
    depth was selected as part of the rivers and canals operating 
    environment to assist in establishing the ability of response resources 
    to operate in specific water depths. The Coast Guard finds that the 
    depth of 12 feet remains relevant in establishing the rivers and canals 
    environment or the inland operating environment.
    
    1. Purpose
    
        The Coast Guard did not receive comments to this section but has 
    revised appendix C to reference the newly created subparts H and I and 
    indicate the portions of appendix C which are applicable.
    
    2. Equipment Operability and Readiness
    
        2.5  The Coast Guard received 2 comments on this paragraph. Both 
    comments asked whether Table 1 adverse weather conditions can be 
    reduced or increased if the Area Committee determines that the 
    conditions listed in the table are not appropriate. Both comments also 
    recommended that the local COTP be allowed to determine the applicable 
    weather conditions until the ACP is finalized. The comments also 
    requested a mechanism for input by the regulated community to the Area 
    Committee before that committee's determinations are completed.
        The COTP may reclassify a specific body of water or location within 
    the COTP zone. Section 154.1045 provides details on COTP 
    reclassification to more or less stringent operating environments. The 
    Coast Guard has issued guidance that strongly encourages Area 
    Committees to solicit advice, guidance, and expertise from all 
    appropriate sources including facility owners or operators, OSROs, 
    environmental groups, members of academia, and concerned citizens.
        2.6  The Coast Guard received one comment on this paragraph. The 
    comment noted that currently the Coast Guard, EPA and RSPA each have a 
    different planning speed and recommended that a single standardized 
    speed be adopted. The Coast Guard agrees and the Coast Guard, EPA, and 
    RSPA will use the same planning speeds.
        2.7  The Coast Guard received one comment on this paragraph. The 
    comment recommended that each type of boom only be required to have 
    compatible connectors with the same type of boom because, for example, 
    there would be no reason to connect high seas boom to harbor or river 
    boom. This statement in the appendix is there only to remind facility 
    owners or operators to ensure that the equipment on which they are 
    going to rely in the event of an oil spill will be capable of 
    
    [[Page 7914]]
    carrying out the function for which it is intended. If boom of varying 
    types will never be used together, the need for compatible connectors 
    is moot.
        2.8  The Coast Guard has added paragraph 2.8 covering the newly 
    created subparts H and I.
    
    3. Determining Response Resources Required for the Average Most 
    Probable Discharge
    
        3.1  The Coast Guard received one comment on this paragraph. The 
    comment expressed concern that under the IFR's current language small 
    facilities would be required to purchase booms and boats rather than 
    contracting for them. It recommended that the language be amended to 
    require only a ``means of initiating deployment.'' The Coast Guard 
    disagrees. Section 154.1045(c) provides for the use of contracted 
    response resources for an average most probable discharge provided that 
    the responders can meet the stated response times.
        3.2.1  The Coast Guard received one comment on this paragraph. The 
    comment proposed that the Coast Guard amend the language on required 
    boom length to read: ``two times the length of the largest vessel * * * 
    or the amount needed to contain a 50 barrel discharge during a transfer 
    operation.'' The Coast Guard disagrees. Requiring an amount of boom to 
    contain only a ``50 barrel discharge'' could result in many variations 
    between facilities. Requiring a minimum of 1,000 feet creates a more 
    uniform standard.
        3.2.2  The Coast Guard received one comment on this paragraph. The 
    comment said that the Coast Guard should require a minimum level of 
    sorbent material to support other recovery equipment. The Coast Guard 
    disagrees. While sorbents are effective in certain circumstances, they 
    are not considered major spill response equipment. They are expendable 
    resources and may be used during routine facility operations. It is the 
    responsibility of the owner or operator of the facility to make sure 
    that adequate amounts of sorbent materials are available.
    
    5. Determining Response Resources Required for the Worst Case Discharge 
    to the Maximum Extent Practicable
    
        5.5  The Coast Guard received one comment on this paragraph. This 
    comment recommended that the paragraph be amended by adding language 
    which restricts the definition of shallow water resources to vessels 
    with a fully loaded draft of not more than six feet. The Coast Guard 
    concludes that the response plan must demonstrate that sufficient 
    resourses are available to operate in shallow water. It may be 
    necessary to operate vessels at less than their fully loaded draft. In 
    that event, it may be necessary for the response plan to identify 
    additional resources due to vessels not being able to operate at their 
    fully loaded draft. However, ideally only those vessels which can be 
    utilized in a full range of loading conditions in waters of 6 feet or 
    less depth should be listed for use in close-to-shore response 
    activities (10% of those to be used in the offshore areas and 20% of 
    those to be used in the nearshore inland, Great Lakes, and rivers and 
    canals).
        5.6  The Coast Guard received one comment on this paragraph. The 
    comment suggested that a more specific planning standard be adopted for 
    determining the required length of boom in order to avoid wide 
    variations in interpretation. The Coast Guard disagrees. Environmental 
    conditions vary at each recovery site and each fish and wildlife and 
    sensitive environment that must be protected. The Coast Guard contends 
    that there is sufficient guidance, ``rules of thumb'', and practical 
    experience to be used in determining the quantities of boom necessary 
    to contain oil or provide protective booming for fish and wildlife and 
    sensitive environments. In addition, ACPs address the strategies to 
    protect these areas.
    
    7. Calculating Worst Case Discharge Planning Volumes
    
        7.2.2  The Coast Guard received one comment on this paragraph. The 
    comment addressed the requirement that facilities which handle, store, 
    or transport oils from different petroleum groups assume, for planning 
    purposes, that the oil groups resulting in the largest on-water 
    recovery volume will be stored in the tank or tanks identified as 
    constituting the worst case discharge. The comment recommended that the 
    oil groups resulting in the largest on-water recovery volume should 
    apply only if the largest tank does, in fact, store the largest oil 
    volume. The comment stated that if the product changed in a way that 
    required more planning then the plan could be amended accordingly at 
    that time. The marine transportation-related (MTR) facility pertains to 
    the piping that conveys the oils between the vessel and the non-
    transportation-related storage tanks. The MTR facility does not 
    generally include the storage tanks and therefore the comment applies 
    to the non-transportation related portion which is regulated by the 
    EPA, not the Coast Guard. The EPA has addressed this comment in their 
    final rule issued on July 1, 1994 (59 FR 34071).
    
    8. Determining the Availability of Alternative Response Methods
    
        8.6  The Coast Guard received one comment on this paragraph. The 
    comment encouraged the Coast Guard to credit a portion of the required 
    on-water recovery capacity for in-situ burning similar to the credit 
    allowed for dispersants. The comment asserted that in-situ burning is 
    most effective early in a spill response and in order to use it as 
    early as possible authority to use in-situ burning must be authorized 
    ahead of time. The Coast Guard will not permit an owner or operator of 
    a facility to use in-situ burning as a planning response strategy in 
    the final rule. The use of in-situ burning is still being studied. As 
    the effectiveness and environmental effects of non-mechanical methods 
    of pollution recovery are studied, they may be included as alternate 
    response strategies. The Coast Guard will evaluate in-situ burning as a 
    permissible response strategy for capability increases in 1998.
    
    9. Additional Equipment Necessary to Sustain Response Operations
    
        9.1  The Coast Guard received 1 comment on this paragraph. The 
    comment expressed concern that the language of the IFR regarding 
    additional equipment and personnel allows for varying interpretations. 
    It recommended adoption of a planning standard using a ``systems'' 
    approach to clarify the final rule. The Coast Guard agrees and 
    concludes that the section reflects a ``systems'' approach to spill 
    response. The equipment must be suitable for use with the primary 
    equipment identified in the response plan. Section 2.4 of appendix C 
    and Sec. 154.1045 require that equipment must be capable of operating 
    in the applicable operating environment.
        9.2  The Coast Guard received 1 comment on this paragraph. The 
    comment recommended using a 10-hour operating day in determining the 
    level of adequate temporary storage capacity. The comment also asked 
    for guidance from the Coast Guard in determining the time needed for 
    transferring recovered oil to a temporary storage facility. The 
    suggested guidance included pumping capacity, number of oil discharge 
    stations, and any other pertinent factors. The Coast Guard disagrees 
    and determines that the storage capacity should be based on the types 
    and quantities of oil recovery identified in the plan. Pump capacities 
    are variable and discharge stations are dependent on local factors. The 
    owner or operator is 
    
    [[Page 7915]]
    best equipped to estimate and certify the availability of these 
    resources.
    
    Appendix C of Part 154. Tables 1-5
    
    Table 1  Response Resource Operating Criteria
    
        The Coast Guard received two comments stating that Tables 1, 2 and 
    3 are oversimplified because they do not take into account variables 
    such as temperature and flow rate, which the comments claim affect 
    dissipation and emulsification rates. Another comment recommended 
    referencing the factors used to calculate the figures in the tables. 
    That comment asked for clarification because it stated that the 3-day 
    quick mobilization mentioned in the explanatory note is incompatible 
    with the 3, 4, or 6-day sustainability requirements in Table 2. The 
    comment also claimed that the 3-day quick mobilization is inconsistent 
    with the tiering of response equipment which is required to be on-scene 
    within 60 hours.
        The Coast Guard disagrees with these comments. Table 1 is based on 
    information for equipment selection in the 1991 World Catalog of Oil 
    Spill Response Products [Schulze, Robert, ed., 1991]. The American 
    Society of Testing and Material (ASTM) used this resource as the 
    starting point for its oil recovery equipment standard. The values in 
    Table 2 were drawn from the deliberations among the Negotiated 
    Rulemaking Committee. They are based on the general behavior of oil 
    that has been observed during actual discharges. The variances in 
    values reflect the amount of oil most likely to be available for 
    recovery.
        The three days referred to by the comment appears in the preamble 
    to the IFR. This reflects a desire for the planned mobilization of 
    response resources within the first 3 days of the response. It should 
    not be confused with the equipment sustainability listed in Table 2.
    
    Table 2  Removal Capacity Planning Table
    
        The Coast Guard received one comment remarking that the values in 
    Table 2 should not total over 100 percent. As was explained in the IFR, 
    the Coast Guard recognizes that the percentages exceed 100 percent in 
    the inland, nearshore, Great Lakes, and offshore areas. This reflects a 
    desire to increase the quantity of response that are planned for 
    mobilization within the first 3 days of a response.
    
    Table 3  Emulsification Factors for Petroleum Oil Groups
    
        The Coast Guard received four comments on Table 3. One comment 
    asserted that the entire amount of oil spilled will not emulsify 
    because emulsification occurs over time, and therefore, the IFR's rapid 
    spill response requirements will not allow the impact to be as 
    extensive as suggested. The comment stated that emulsification factors 
    are only appropriate for open ocean spills from vessels; and that the 
    factors should not apply to the total worst case discharge in river/
    nearshore areas. The comment also recommended that the regulations not 
    use emulsification factors at all. Another comment pointed out that 
    emulsification is already accounted for in the derating of recovery 
    devices in paragraph 6.2 of appendix C. Two comments stated that Table 
    3 is overly simple because it does not take into account other 
    variables which affect emulsification such as flow rate and 
    temperature. One comment recommended that the emulsification factor for 
    Group III oil should be changed to 3.0 to better reflect the level of 
    Alaskan crude oil.
        Emulsification factors vary considerably within an oil group and 
    are dependent on many factors, such as temperature and weather 
    conditions. The proposed Table 3 values were derived from ITOPF data 
    and reflected the maximum amount of emulsification that could occur 
    over a prolonged period of time in environmental conditions that favor 
    the emulsification process. No other factors were proposed. The Coast 
    Guard does not require that the entire amount of oil be emulsified. 
    Rather the oil to be emulsified depends on the percentage of recovered 
    floating oil taken from Table 2.
        The Coast Guard disagrees with the comment that the emulsification 
    is accounted for in the derating of recovery devices. The 
    emulsification factors listed in Table 3 are to account for actual 
    emulsification that occurs to the oils prior to being encountered by 
    the skimming equipment. The derating factor included, among other 
    things, consideration of the actual skimming device to remove oily 
    material from water, the two issues are unrelated.
        The emulsification factors in this final rule are the same as those 
    in the VRP IFR. The factors in the VRP IFR were revised from the 
    factors in the VRP NPRM. The factors were revised down because the 
    Coast Guard was convinced that the original factors were too high.
    
    Table 5  Response Capability Caps by Operating Area
    
        The Coast Guard received one comment on Table 5. The comment 
    suggested that the 1998 caps be changed to ``To Be Determined'' because 
    practical experience may demonstrate that the 1993 values may not need 
    to be increased. The Coast Guard disagrees. The caps provided in Table 
    5 reflect a 25 percent increase in response resources from 1993 to 
    1998. Prior to these caps becoming effective, the Coast Guard will 
    initiate a review of the cap increases. This review will determine if 
    the scheduled increases for 1998 remain practicable and will also 
    establish a specific cap for 2003.
    
    Appendix D of Part 154. Interim Guidelines for Determining Economically 
    Important and Environmentally Sensitive Areas for Facility Response 
    Plans
    
        The Coast Guard received 12 comments to Appendix D--Guidelines for 
    Determining Economically Important and Environmentally Sensitive Areas 
    for Facility Response Plans. The Coast Guard reviewed the comments and 
    provided them to the National Oceanic and Atmospheric Administration 
    (NOAA). NOAA used the comments in drafting its Federal Register notice 
    entitled ``Guidance for Facility and Vessel Response Plans Fish and 
    Wildlife and Sensitive Environments.''
        The Coast Guard has adopted EPA's terminology in this final rule 
    and therefore the term ``Environmentally Sensitive Areas'' has been 
    changed to ``Fish and Wildlife and Sensitive Environments.'' The Coast 
    Guard determined that Appendix D on sensitive areas is unnecessary 
    because fish and wildlife and sensitive environments are identified in 
    the Area Contingency Plans (ACPs) and all coastal ACPs are now 
    complete. Since the ACPs identify fish and wildlife and sensitive 
    environments for each area, there is no longer a need for the Coast 
    Guard to provide the guidance that was contained in appendix D to the 
    IFR. Therefore, the Coast Guard has removed appendix D on sensitive 
    areas from the final rule and has replaced it with a new Appendix D 
    entitled ``Training Elements for Oil Spill Response Plans.''
    
    Appendix D to Part 154--Training Elements for Oil Spill Response Plans
    
        This appendix was added to the final rule to provide guidelines to 
    facility owners and operators for the development of the training 
    portions of their response plans. These guidelines were developed in 
    the same manner as PREP, which is addressed in the preamble discussion 
    on the revisions to Sec. 154.1055.
    
    Assessment
    
        This final rule is a significant regulatory action under section 
    3(f) of 
    
    [[Page 7916]]
    Executive Order 12866 and has been reviewed by the Office of Management 
    and Budget (OMB) under that order. It requires an assessment of 
    potential costs and benefits under section 6(a)(3) of that order. It is 
    significant under the regulatory policies and procedures of the 
    Department of Transportation (44 FR 11040, February 26, 1979). An 
    Assessment has been prepared and is available in the docket for 
    inspection or copying where indicated under ADDRESSES. Seven public 
    comments addressed the Regulatory Evaluation section of the IFR. The 
    comments are discussed in the appropriate section of this discussion.
    
    1. Facility Response Plan Costs and Benefits
    
        In the aggregate, the requirement for facility response plans will 
    result in substantial costs to the facilities affected. If all the 
    costs for MTR facilities affected by this rule are attributed to the 
    Coast Guard's regulations, the present value cost of this regulation 
    for the first 10 years is estimated at $305.9 million. In the first 
    year, most of this cost is attributable to conducting training and 
    exercise evaluations and arranging for or providing adequate response 
    capability. In subsequent years, the majority of the cost is 
    attributable to conducting exercising and retaining the response 
    capability. The incremental cost of the entire regulation was $63 
    million for 1992, but declined to $40 million annually in subsequent 
    years. However, since many of these facilities are complexes which are 
    being jointly regulated by the Coast Guard and the EPA and the total 
    costs are already accounted for under EPA's facility response plan 
    regulation (59 FR 34097, July 1, 1994), these costs could be reduced to 
    reflect this fact. Thus, total present value costs for Coast Guard 
    facility response plans will be $90 million and incremental costs will 
    be $18.7 million for the first full year and $11.9 million for 
    subsequent years.
        Four comments argued that the costs of this regulation are 
    excessive and have not been thoroughly examined in the IFR. The Coast 
    Guard disagrees with these comments. The Coast Guard has reexamined its 
    cost data and concludes that costs are not excessive. Two comments 
    argued that the $25,000 cost estimate for large facilities is much too 
    low and does not take into consideration expenditures such as equipment 
    purchases, costs of training, costs of exercises, and retainer fees. 
    With regard to exercises, two comments argued that the costs would be 
    prohibitive. The Coast Guard disagrees with these comments. The 
    Regulatory Impact Analysis did take into consideration equipment 
    purchases, costs of training, costs of exercises, and retainer fees. 
    Facility owners or operators are already required to comply with 
    existing pollution regulations which require them to prepare operations 
    manuals and Spill Prevention Control and Countermeasures (SPCC) plans 
    that address some elements of the facility response plan regulations. 
    The Coast Guard assumed in its analysis that facility owners or 
    operators would not be redundant when complying with requirements. The 
    Coast Guard's analysis indicated that the requirements set forth are 
    the most practical and least burdensome which give acceptable levels of 
    planning for spill response.
        The benefit analysis indicates an incremental volume of 230,848 
    discounted barrels of spilled oil (using a 7 percent discount rate) 
    that will be recovered due to compliance with this regulation. The cost 
    effectiveness ratio (costs divided by benefits) is $1,325 per barrel of 
    oil recovered.
        A Regulatory Impact Analysis (RIA) is available in the docket for 
    inspection or copying, as indicated under ADDRESSES. The RIA prepared 
    for the IFR was reviewed based upon comments received and no changes 
    made in the final rule caused a great enough impact on costs to require 
    redrafting the RIA. It has also been placed in a separate docket (CGD 
    91-047) established to facilitate review of the programmatic RIA for 
    titles IV and V of OPA 90.
        One comment expressed concern that the RIA for the final rule would 
    be different from the RIA on which the IFR was based and that an 
    opportunity for comment would not be permitted before the rule would be 
    finalized. While the costs and benefits in the RIA have changed from 
    the IFR to the final rule, the change is the result of lowering the 
    discount rate from 10 to 7 percent, reflecting a change in OMB guidance 
    between publication of the IFR and publication of the final rule.
    
    2. Additional Response Plans Requirements for Trans-Alaska Pipeline 
    Authorization Act (TAPAA) Facilities Operating in Prince William Sound, 
    Alaska
    
        At present, there is only one Trans-Alaska Pipeline (TAPAA) 
    facility operating in Prince William Sound. This facility is the Valdez 
    Marine Terminal which is operated by Alyeska Pipeline Service Company. 
    This facility transfers approximately 700 million barrels annually to 
    approximately 900 tank vessels.
        The increase in unit cost of handling, storing, and transporting 
    crude oil to comply with section 5005 of OPA 90 is relatively small. 
    This can easily be absorbed by the Alyeska Pipeline Service Company.
        Overall industry costs for complying with additional response 
    planning requirements were previously discussed in the Draft Regulatory 
    Evaluation for Prince William sound, Alaska referenced in the VRP NPRM 
    published in the Federal Register on June 19, 1992 (57 FR 27514). While 
    this specifically addressed requirements for certain vessels in Prince 
    William Sound, Alaska, it also included the costs and benefits incurred 
    by the sole TAPAA facility located in Prince William Sound. The costs 
    of complying with section 5005 of OPA 90 are estimated to be $232 
    million for the 10-year period, 1993 through 2002. The benefits include 
    the quick recovery of spilled oil from the environment and subsequent 
    reduction in net impact of the spill. The regulations for Prince 
    William Sound are estimated to increase the volume of recovered oil by 
    25 percent for crude oil.
        A copy of the Assessment for Prince William Sound is available in 
    the docket for inspection or copying, as indicated under ``ADDRESSES.''
    
    Small Entities
    
        The Coast Guard has examined the impact of this rule on small 
    entities. Its analysis indicates that the majority of small businesses 
    subject to this regulation should be able to absorb the estimated 
    compliance costs without experiencing significant adverse economic 
    effects. Therefore, the Coast Guard certifies under section 605(b) of 
    the Regulatory Flexibility Act (5 U.S.C. 601 et seq.) that this rule 
    will not have a significant economic impact on a substantial number of 
    small entities.
        The Coast Guard received one comment to the IFR concerning the 
    impact of the Facility Response Plan regulation on small businesses. 
    The comment argued that smaller operators may not have the resources to 
    comply with regulations as the Coast Guard has envisioned. The Coast 
    Guard disagrees. The regulation may have a significant impact on a very 
    few small facility operators. The impact on small entities of the 
    changes in this final rule are not substantial.
    
    Collection of Information
    
        This rule contains collection-of-information requirements. The 
    Coast Guard previously submitted the requirements to the Office of 
    Management and Budget (OMB) for 
    
    [[Page 7917]]
    review under section 3504(h) of the Paperwork Reduction Act (44 U.S.C. 
    3501 et seq.) and OMB approved them. The Coast Guard has submitted 
    revised requirements to OMB for renewed approval under the current OMB 
    Control Number 2115-0595. For subpart F, the section numbers are 
    Secs. 154.1025, 154.1030, 154.1050, 154.1055, 154.1060, and 154.1065, 
    and the corresponding OMB approval number is OMB Control Number 2115-
    0595. For subpart G, the section numbers are Secs. 154.1120 and 
    154.1125, and the corresponding OMB approval number is OMB Control 
    Number 2115-0595. Subparts H and I refer to subpart F for all 
    collection-of-information requirements. Accordingly, additional OMB 
    approval is not needed.
        The Coast Guard received one comment responding to this portion of 
    the IFR, which contended that the estimated recordkeeping burden of 4.5 
    hours annually is much too low. The Coast Guard disagrees. The Coast 
    Guard has reexamined its recordkeeping analysis and has concluded that 
    its estimate is accurate.
    
    Federalism
    
        The Coast Guard has analyzed this rule under the principles and 
    criteria contained in Executive Order 12612 (October 26, 1987) and has 
    determined that this rule does not have sufficient federalism 
    implications to warrant the preparation of a Federalism Assessment.
        Executive Order 12612 and the FWPCA emphasize the President's and 
    Congress' intent to preserve state authority to address matters of 
    pollution prevention and response. Executive Order 12612 directs a 
    Federal executive branch agency (which includes the Coast Guard) to 
    encourage states to develop their own policies to achieve program 
    objectives. Consequently, a Federalism Assessment would be necessary 
    only if the facility response plan rule unduly impinged on a state's 
    authority to establish its own regulatory structure, or imposed undue 
    costs on a state.
        The FWPCA provides convincing evidence of Congress' intent that, 
    within 3 miles of shore, the protection of the marine environment 
    should be a collaborative Federal and state effort. Chevron v. 
    Governor, State of Alaska, 726 F.2d 483 (9th Cir. 1984), cert. denied, 
    471 U.S. 1140 (1985). For example, section 402 of the FWPCA (33 U.S.C. 
    1342) establishes the National Pollutant Discharge Elimination System, 
    a regulatory program for regulating the discharge of pollutants into 
    U.S. navigable waters. Minimum Federal standards apply to the discharge 
    of certain pollutants, but the States have authority to establish and 
    administer their own permit systems and to set standards stricter than 
    the Federal ones (33 U.S.C. 1342(b) and 1370). Further, in the 
    Declaration of Goals and Policy contained in section 101 of the FWPCA 
    (33 U.S.C. 1251), Congress states that it is the policy of the Congress 
    to recognize, preserve, and protect the primary responsibilities and 
    rights of States to prevent, reduce, and eliminate pollution of land 
    and water resources.
        United States courts have long recognized the rights of States to 
    make both U.S.-flag and foreign-flag vessels conform to ``reasonable, 
    nondiscriminatory conservation and environmental protection measures * 
    * * imposed by a State.'' Ray v. Atlantic Richfield, 435 U.S. 151, 164 
    (1973). Also section 311(o)(3) of the FWPCA (33 U.S.C. 1321(o)(3)) 
    contains express nonpreemption language. Therefore, a State standard 
    setting more stringent planning requirements for facilities owners and 
    operators in the regulating State's water is encouraged under the FWPCA 
    and in valid as long as the State requirement does not preclude 
    compliance with the Federal requirements. Similarly, if a State chose 
    to establish performance requirements for response to an oil spill, the 
    Federal facility response plan rules would not preclude that option. 
    The Federal facility response plan rules preempt State rules only to 
    the extent that State rules may make it impossible to comply with 
    Federal requirements. Florida Lime and Avocado Growers v. Paul, 373 
    U.S. 132 (1963).
    
    Environment
    
        The Coast Guard considered the environmental impact of this final 
    rule and prepared an Environmental Assessment (EA) under section 311(j) 
    of the FWPCA (33 U.S.C. 1321(j)), and a separate EA for Prince William 
    Sound under section 5005 of OPA 90. These documents were prepared in 
    accordance with the Council on Environmental Quality regulations (40 
    CFR parts 1500-1508) and Commandant Instruction M16475.1B implementing 
    the provisions of the National Environmental Policy Act (NEPA).
        The EA prepared for section 311(j) requirements was amended when 
    section 5209(b) of the Coast Guard Authorization Act of 1992 (Pub. L. 
    102-587) declared offshore supply vessels and certain fishing vessels 
    not to be ``tank vessels'' for purposes of implementing the VRP rule. 
    The Prince William Sound EA was entirely revised when section 352 of 
    the Department of Transportation Appropriations Act effectively made 
    section 5005 of OPA 90 inapplicable to non-TAPS-trade vessels. The 
    original language of section 5005 created special response plan 
    provisions applicable to all tank vessels operating in Prince Williams 
    Sound, including non-TAPS vessels. The Coast Guard received no comments 
    on the EAs.
        The Coast Guard has identified and studies the relevant 
    environmental issues and alternatives, and based on its assessment, 
    does not expect this final rule to result in a significant impact on 
    the quality of the human environment. Therefore, Findings of No 
    Significant Impact (FONSIs) have been prepared. The revised and amended 
    EAs and the FONSIs are available in the public docket where indicated 
    under ADDRESSES.
    
    List of Subjects
    
    33 CFR Part 150
    
        Harbors, Marine safety, Navigation (water), Occupational safety and 
    health, Oil pollution, Reporting and recordkeeping requirements.
    
    33 CFR 154
    
        Fire prevention, Oil pollution, Hazardous substances, Incorporation 
    by reference, Reporting and recordkeeping requirements.
    
        For the reasons set out in the preamble, the interim rule amending 
    33 CFR parts 150 and 154 which was published at 58 FR 7330 on February 
    5, 1993, is adopted as final except for changes to part 154 which are 
    set forth below:
    
    PART 154--FACILITIES TRANSFERRING OIL OR HAZARDOUS MATERIAL IN BULK
    
        1. The authority citation for part 154 continues to read as 
    follows:
    
        Authority: 33 U.S.C. 1231, 1321 (j)(1)(C), (j)(5), (j)(6) and 
    (m)(2); sec. 2, E.O. 12777, 56 FR 54757; 49 CFR 1.46. Subpart F is 
    also issued under 33 U.S.C. 2735.
    
        2. Subpart F of part 154 is revised to read as follows:
    
    Subpart F--Response Plans for Oil Facilities
    
    Sec.
    154.1010  Purpose.
    154.1015  Applicability.
    154.1016  Facility Classification by COTP.
    154.1017  Response plan submission requirements.
    154.1020  Definitions.
    154.1025  Operating restrictions and interim operating 
    authorization.
    154.1026  Qualified individual and alternate qualified individual.
    154.1028  Methods of ensuring the availability of response resources 
    by contract or other approved means.
    154.1029  Worst case discharge.
    
    [[Page 7918]]
    
    154.1030  General response plan contents.
    154.1035  Specific requirements for facilities that could reasonably 
    be expected to cause significant and substantial harm to the 
    environment.
    154.1040  Specific requirements for facilities that could reasonably 
    be expected to cause substantial harm to the environment.
    154.1041  Specific response information to be maintained on mobile 
    MTR facilities.
    154.1045  Response plan development and evaluation criteria for 
    facilities that handle, store, or transport Group I through Group IV 
    petroleum oils.
    154.1047  Response plan development and evaluation criteria for 
    facilities that handle, store, or transport Group V petroleum oils.
    154.1050  Training.
    154.1055  Exercises.
    154.1057  Inspection and maintenance of response resources.
    154.1060  Submission and approval procedures.
    154.1065  Plan review and revision procedures.
    154.1070  Deficiencies.
    154.1075  Appeal process.
    
    Subpart F--Response Plans for Oil Facilities
    
    
    Sec. 154.1010  Purpose.
    
        This subpart establishes oil spill response plan requirements for 
    all marine transportation-related (MTR) facilities (hereafter also 
    referred to as facilities) that could reasonably be expected to cause 
    substantial harm or significant and substantial harm to the environment 
    by discharing oil into or on the navigable waters, adjoining 
    shorelines, or exclusive economic zone. The development of a response 
    plan prepares the facility owner or operator to respond to an oil 
    spill. These requirements specify criteria to be used during the 
    planning process to determine the appropriate response resources. The 
    specific criteria for response resources and their arrival times are 
    not performance standards. The criteria are based on a set of 
    assumptions that may not exist during an actual oil spill incident.
    
    
    Sec. 154.1015  Applicability.
    
        (a) This subpart applies to all MTR facilities that because of 
    their location could reasonably be expected to cause at least 
    substantial harm to the environment by discharging oil into or on the 
    navigable waters, adjoining shorelines, or exclusive economic zone.
        (b) The following MTR facilities that handle, store, or transport 
    oil, in bulk, could reasonably be expected to cause substantial harm to 
    the environment by discharging oil into or on the navigable waters or 
    adjoining shorelines and are classified as substantial harm MTR 
    facilities:
        (1) Fixed MTR onshore facilities capable of transferring oil to or 
    from a vessel with a capacity of 250 barrels or more and deepwater 
    ports;
        (2) Mobile MTR facilities used or intended to be used to transfer 
    oil to or from a vessel with a capacity of 250 barrels or more; and
        (3) Those MTR facilities specifically designated as substantial 
    harm facilities by the COTP under Sec. 154.1016.
        (c) The following MTR facilities that handle, store, or transport 
    oil in bulk could not only reasonably be expected to cause substantial 
    harm, but also significant and substantial harm, to the environment by 
    discharging oil into or on the navigable waters, adjoining shorelines, 
    or exclusive economic zone and are classified as significant and 
    substantial harm MTR facilities:
        (1) Deepwater ports, and fixed MTR onshore facilities capable of 
    transferring oil to or from a vessel with a capacity of 250 barrels or 
    more except for facilities that are part of a non-transportation-
    related fixed onshore facility with a storage capacity of less than 
    42,000 gallons; and
        (2) Those MTR facilities specifically designated as significant and 
    substantial harm facilities by the COTP under Sec. 154.1016.
        (d) An MTR facility owner or operator who believes the facility is 
    improperly classified may request review and reclassification in 
    accordance with Sec. 154.1075.
    
    
    Sec. 154.1016  Facility classification by COTP.
    
        (a) The COTP may upgrade the classification of:
        (1) An MTR facility not specified in Sec. 154.1015 (b) or (c) to a 
    facility that could reasonably be expected to cause substantial harm to 
    the environment; or
        (2) An MTR facility specified in Sec. 154.1015(b) to a facility 
    that could reasonably be expected to cause significant and substantial 
    harm to the environment.
        (b) The COTP may downgrade, the classification of:
        (1) An MTR facility specified in Sec. 154.1015(c) to a facility 
    that could reasonably be expected to cause substantial harm to the 
    environment; or
        (2) An MTR facility specified in Sec. 154.1015(b) to a facility 
    that could not reasonably be expected to cause substantial, or 
    significant and substantial harm to the environment.
        (3) The COTP will consider downgrading an MTR facility's 
    classification only upon receiving a written request for a downgrade of 
    classification from the facility's owner or operator.
        (c) When changing a facility classification the COTP may, as 
    appropriate, consider all relevant factors including, but not limited 
    to: Type and quantity of oils handled in bulk; facility spill history; 
    age of facility; proximity to public and commercial water supply 
    intakes; proximity to navigable waters based on the definition of 
    navigable waters in 33 CFR 2.05-25; and proximity to fish and wildlife 
    and sensitive environments.
    
    
    154.1017  Response plan submission requirements.
    
        (a) The owner or operator of an MTR facility identified only in 
    Sec. 154.1015(b), or designated by the COTP as a substantial harm 
    facility, shall prepare and submit to the cognizant COTP a response 
    plan that meets the requirements of Secs. 154.1030, 154.1040, 154.1045, 
    or Sec. 154.1047, as appropriate. This applies to:
        (1) A mobile MTR facility used or intended to be used to transfer 
    oil to or from a vessel with a capacity of 250 barrels or more; and
        (2) A fixed MTR facility specifically designated as a substantial 
    harm facility by the COTP under Sec. 154.1016.
        (b) The owner or operator of an MTR facility identified in 
    Sec. 154.1015(c) or designated by the COTP as a significant and 
    substantial harm facility shall prepare and submit for review and 
    approval of the cognizant COTP a response plan that meets the 
    requirements of Secs. 154.1030, 154.1035, 154.1045, or 154.1047, as 
    appropriate. This applies to:
        (1) A fixed MTR facility capable of transferring oil, in bulk, to 
    or from a vessel with a capacity of 250 barrels or more; and
        (2) An MTR facility specifically designated as a significant and 
    substantial harm facility by the COTP under Sec. 154.1016.
        (c) In addition to the requirements in paragraphs (a) and (b) of 
    this section, the response plan for a mobile MTR facility must meet the 
    requirements of Sec. 154.1041 subpart F.
    
    
    Sec. 154.1020  Definition.
    
        Except as otherwise defined in this section, the definition in 33 
    CFR 154.105 apply to this subpart and subparts H and I.
        Adverse weather means the weather conditions that will be 
    considered when identifying response systems and equipment in a 
    response plan for the applicable operating environment. Factors to 
    consider include, but are not limited to, significant wave height as 
    specified in Secs. 154.1045, 154.1047, 154.1225, or 154.1325, as 
    appropriate; 
    
    [[Page 7919]]
    ice conditions, temperatures, weather-related visibility, and currents 
    within the COTP zone in which the systems or equipment are intended to 
    function.
        Animal fat means a non-petroleum oil, fat, or grease derived from 
    animals, and not specifically identified elsewhere in this part.
        Average most probable discharge means a discharge of the lesser of 
    50 barrels or 1 percent of the volume of the worst case discharge.
        Captain of the Port (COTP) Zone means a zone specified in 33 CFR 
    part 3 and, where applicable, the seaward extension of that zone to the 
    outer boundary of the exclusive economic zone (EEZ).
        Complex means a facility possessing a combination of marine-
    transportation related and non-transportation-related components that 
    is subject to the jurisdiction of more than one Federal agency under 
    section 311(j) of the Clean Water Act.
        Exclusive economic zone (EEZ) means the zone contiguous to the 
    territorial sea of the United States extending to a distance up to 200 
    nautical miles from the baseline from which the breadth of the 
    territorial sea is measured.
        Facility that could reasonably be expected to cause significant and 
    substantial harm means any MTR facility (including piping and any 
    structures that are used for the transfer of oil between a vessel and a 
    facility) classified as a ``significant and substantial harm'' facility 
    under Sec. 154.1015(c) including a facility specifically designated by 
    the COTP under Sec. 154.1016(a).
        Facility that could reasonably be expected to cause substantial 
    harm means any MTR facility classified as a ``substantial harm'' 
    facility under Sec. 154.1015(b) including a facility specifically 
    designated by the COTP under Sec. 154.1016(a).
        Fish and Wildlife and Sensitive Environment means areas that may be 
    identified by either their legal designation or by Area Committees in 
    the applicable Area Contingency Plan (ACP) (for planning) or by members 
    of the Federal On-Scene Coordinator's spill response structure (during 
    responses). These areas may include: Wetlands, national and state 
    parks, critical habitats for endangered or threatened species, 
    wilderness and natural resource areas, marine sanctuaries and estuarine 
    reserves, conservation areas, preserves, wildlife areas, wildlife 
    refuges, wild and scenic rivers, areas of economic importance, 
    recreational areas, national forests, Federal and state lands that are 
    research areas, heritage program areas, land trust areas, and 
    historical and archaeological sites and parks. These areas may also 
    include unique habitats such as: aquaculture sites and agricultural 
    surface water intakes, bird nesting areas, critical biological resource 
    areas, designated migratory routes, and designated seasonal habitats.
        Great Lakes means Lakes Superior, Michigan, Huron, Erie, and 
    Ontario, their connecting and tributary waters, the Saint Lawrence 
    River as far as Saint Regis, and adjacent port areas.
        Higher volume port area means the following ports:
        (1) Boston, MA.
        (2) New York, NY.
        (3) Delaware Bay and River to Philadelphia, PA.
        (4) St. Croix, VI.
        (5) Pascagoula, MS.
        (6) Mississippi River from Southwest Pass, LA. to Baton Rouge, LA.
        (7) Louisiana Offshore Oil Port (LOOP), LA.
        (8) Lake Charles, LA.
        (9) Sabine-Neches River, TX.
        (10) Galveston Bay and Houston Ship Channel, TX.
        (11) Corpus Christi, TX.
        (12) Los Angeles/Long Beach harbor, CA.
        (13) San Francisco Bay, San Pablo Bay, Carquinez Strait, and Suisun 
    Bay to Antioch, CA.
        (14) Straits of Juan De Fuca from Port Angeles, WA, to and 
    including Puget Sound, WA.
        (15) Prince William Sound, AK.
        Inland area means the area shoreward of the boundary lines defined 
    in 46 CFR part 7, except in the Gulf of Mexico. In the Gulf of Mexico, 
    it means the area shoreward of the lines of demarcation (COLREG lines) 
    defined in Secs. 80.740 through 80.850 of this chapter. The inland area 
    does not include the Great Lakes.
        Marine transportation-related facility (MTR facility) means any 
    onshore facility or segment of a complex regulated under section 311(j) 
    of the Federal Water Pollution Control Act (FWPCA) by two or more 
    Federal agencies, including piping and any structure used or intended 
    to be used to transfer oil to or from a vessel, subject to regulation 
    under this part and any deepwater port subject to regulation under part 
    150 of this chapter. For a facility or segment of a complex regulated 
    by two or more Federal agencies under section 311(j) of the FWPCA, the 
    MTR portion of the complex extends from the facility oil transfer 
    system's connection with the vessel to the first valve inside the 
    secondary containment surrounding tanks in the non-transportation-
    related portion of the facility or, in the absence of secondary 
    containment, to the valve or manifold adjacent to the tanks comprising 
    the non-transportation-related portion of the facility, unless another 
    location has otherwise been agreed to by the COTP and the appropriate 
    Federal official.
        Maximum extent practicable means the planned capability to respond 
    to a worst case discharge in adverse weather, as contained in a 
    response plan that meets the criteria in this subpart or in a specific 
    plan approved by the cognizant COTP.
        Maximum most probable discharge means a discharge of the lesser of 
    1,200 barrels or 10 percent of the volume of a worst case discharge.
        Nearshore area means the area extending seaward 12 miles from the 
    boundary lines defined in 46 CFR part 7, except in the Gulf of Mexico. 
    In the Gulf of Mexico, it means the area extending seaward 12 miles 
    from the line of demarcation (COLREG lines) defined in Secs. 80.740-
    80.850 of this chapter.
        Non-persistent or Group I oil means a petroleum-based oil that, at 
    the time of shipment, consists of hydrocarbon fractions--
        (1) At least 50 percent of which by volume, distill at a 
    temperature of 340 degrees C (645 degrees F); and
        (2) At least 95 percent of which by volume, distill at a 
    temperature of 370 degrees C (700 degrees F).
        Ocean means the offshore area and nearshore area as defined in this 
    subpart.
        Offshore area means the area beyond 12 nautical miles measured from 
    the boundary lines defined in 46 CFR part 7 extending seaward to 50 
    nautical miles, except in the Gulf of Mexico. In the Gulf of Mexico, it 
    is the area beyond 12 nautical miles of the line of demarcation (COLREG 
    lines) defined in Secs. 80.740-80.850 of this chapter extending seaward 
    to 50 nautical miles.
        Oil means oil of any kind or in any form, including, but not 
    limited to, petroleum, fuel oil, sludge, oil refuse, oil mixed with 
    wastes other than dredge spoil.
        Oil spill removal organization (OSRO) means an entity that provides 
    response resources.
        On-Scene Coordinator (OSC) means the definition in the National Oil 
    and Hazardous Substances Pollution Contingency Plan (40 CFR part 300).
        Operating area means Rivers and Canals, Inland, Nearshore, Great 
    Lakes, or Offshore geographic location(s) in which a facility is 
    handling, storing, or transporting oil.
    
    [[Page 7920]]
    
        Operating environment means Rivers and Canals, Inland, Great Lakes, 
    or Ocean. These terms are used to define the conditions in which 
    response equipment is designed to function.
        Operating in compliance with the plan means operating in compliance 
    with the provisions of this subpart including, ensuring the 
    availability of the response resources by contract or other approved 
    means, and conducting the necessary training and drills.
        Other non-petroleum oil means a non-petroleum oil of any kind that 
    is not generally an animal fat or vegetable oil.
        Persistent oil means a petroleum-based oil that does not meet the 
    distillation criteria for a non-persistent oil. For the purposes of 
    this subpart, persistent oils are further classified based on specific 
    gravity as follows:
        (1) Group II--specific gravity of less than .85.
        (2) Group III--specific gravity equal to or greater than .85 and 
    less than .95.
        (3) Group IV--specific gravity equal to or greater than .95 and 
    less than or equal to 1.0.
        (4) Group V--specific gravity greater than 1.0.
        Qualified individual and alternate qualified individual means a 
    person located in the United States who meets the requirements of 
    Sec. 154.1026.
        Response activities means the containment and removal of oil from 
    the land, water, and shorelines, the temporary storage and disposal of 
    recovered oil, or the taking of other actions as necessary to minimize 
    or mitigate damage to the public health or welfare or the environment.
        Response resources means the personnel, equipment, supplies, and 
    other capability necessary to perform the response activities 
    identified in a response plan.
        Rivers and canals means a body of water confined within the inland 
    area, including the Intracoastal Waterways and other waterways 
    artificially created for navigation, that has a project depth of 12 
    feet or less.
        Specific gravity means the ratio of the mass of a given volume of 
    liquid at 15 deg.C (60 deg.F) to the mass of an equal volume of pure 
    water at the same temperature.
        Spill management team means the personnel identified to staff the 
    organizational structure identified in a response plan to manage 
    response plan implementation.
        Substantial threat of a discharge means any incident or condition 
    involving a facility that may create a risk of discharge of oil. Such 
    incidents include, but are not limited to storage tank or piping 
    failures, above ground or underground leaks, fires, explosions, 
    flooding, spills contained within the facility, or other similar 
    occurrences.
        Tier means the combination of required response resources and the 
    times within which the resources must arrive on scene.
    
        [Note: Tiers are applied in three categories:
        (1) Higher Volume Port Areas,
        (2) Great Lakes, and
        (3) All other operating environments, including rivers and 
    canals, inland, nearshore, and offshore areas.
        Appendix C, Table 4 of this part, provides specific guidance on 
    calculating response resources. Sections 154.1045(f) and 154.1135, 
    set forth the required times within which the response resources 
    must arrive on-scene.]
    
        Vegetable oil means a non-petroleum oil or fat derived from plant 
    seeds, nuts, kernels or fruits, and not specifically identified 
    elsewhere in this part.
        Worst case discharge means in the case of an onshore facility and 
    deepwater port, the largest foreseeable discharge in adverse weather 
    conditions meeting the requirements of Sec. 154.1029.
    
    
    Sec. 154.1025  Operating restrictions and interim operating 
    authorization.
    
        (a) The owner or operator of an MTR facility who submitted a 
    response plan prior to May 29, 1996, may elect to comply with any of 
    the provisions of this final rule by revising the appropriate section 
    of the previously submitted plan in accordance with Sec. 154.1065. An 
    owner or operator of an MTR facility who elects to comply with all 
    sections of this final rule must resubmit the plan in accordance with 
    Sec. 154.1060 of this part.
        (b) No facility subject to this subpart may handle, store, or 
    transport oil unless it is operating in full compliance with a 
    submitted response plan. No facility categorized under Sec. 154.1015(c) 
    as a significant and substantial harm facility may handle, store, or 
    transport oil unless the submitted response plan has been approved by 
    the COTP. The owner or operator of each new facility to which this 
    subpart applies must submit a response plan meeting the requirements 
    listed in Sec. 154.1017 not less than 60 days prior to handling, 
    storing, or transporting oil. Where applicable, the response plan shall 
    be submitted along with the letter of intent required under 
    Sec. 154.110.
        (c) Notwithstanding the requirements of paragraph (b) of this 
    section, a facility categorized under Sec. 154.1015(c) as a significant 
    and substantial harm facility may continue to handle, store, or 
    transport oil for 2 years after the date of submission of a response 
    plan, pending approval of that plan. To continue to handle, store, or 
    transport oil without a plan approved by the COTP, the facility owner 
    or operator shall certify in writing to the COTP that the owner or 
    operator has ensured, by contract or other approved means as described 
    in Sec. 154.1028(a), the availability of the necessary private 
    personnel and equipment to respond, to the maximum extend practicable 
    to a worst case discharge or substantial threat of such a discharge 
    from the facility. Provided that the COTP is satisfied with the 
    certification of response resources provided by the owner or operator 
    of the facility, the COTP will provide written authorization for the 
    facility to handle, store, or transport oil while the submitted 
    response plan is being reviewed. Pending approval of the submitted 
    response plan, deficiencies noted by the COTP must be corrected in 
    accordance with Sec. 154.1070.
        (d) A facility may not continue to handle, store, or transport oil 
    if--
        (1) The COTP determines that the response resources identified in 
    the facility certification statement or reference response plan do not 
    substantially meet the requirements of this subpart;
        (2) The contracts or agreements cited in the facility's 
    certification statement or referenced response plans are no longer 
    valid;
        (3) The facility is not operating in compliance with the submitted 
    plan;
        (4) The response plan has not been resubmitted or approved within 
    the last 5 years; or
        (5) The period of the authorization under paragraph (c) of this 
    section has expired.
    
    
    Sec. 154.1026  Qualified individual and alternate qualified individual.
    
        (a) The response plan must identify a qualified individual and at 
    least one alternate who meet the requirements of this section. The 
    qualified individual or alternate must be available on a 24-hour basis 
    and be able to arrive at the facility in a reasonable time.
        (b) The qualified individual and alternate must:
        (1) Be located in the United States;
        (2) Speak fluent English;
        (3) Be familiar with the implementation of the facility response 
    plan; and
        (4) Be trained in the responsibilities of the qualified individual 
    under the response plan.
        (c) The owner or operator shall provide each qualified individual 
    and alternate qualified individual identified in the plan with a 
    document designating them as a qualified individual and specifying 
    their full authority to:
        (1) Activate and engage in contracting with oil spill removal 
    organization(s);
    
    [[Page 7921]]
    
        (2) Act as a liaison with the predesignated Federal On-Scene 
    Coordinator (OSC); and
        (3) Obligate funds required to carry out response activities.
        (d) The owner or operator of a facility may designate an 
    organization to fulfill the role of the qualified individual and the 
    alternate qualified individual. The organization must then identify a 
    qualified individual and at least one alternate qualified individual 
    who meet the requirements of this section. The facility owner or 
    operator is required to list in the response plan the organization, the 
    person identified as the qualified individual, and the person or 
    person(s) identified as the alternate qualified individual(s).
        (e) The qualified individual is not responsible for--
        (1) The adequacy of response plans prepared by the owner or 
    operator; or
        (2) Contracting or obligating funds for response resources beyond 
    the authority contained in their designation from the owner or operator 
    of the facility.
        (f) The liability of a qualified individual is considered to be in 
    accordance with the provisions of 33 USC 1321(c)(4).
    
    
    Sec. 154.1028  Methods of ensuring the availability of response 
    resources by contract or other approved means.
    
        (a) When required in this subpart, the availability of response 
    resources must be ensured by the following methods:
        (1) A written contractual agreement with an oil spill removal 
    organization. The agreement must identify and ensure the availability 
    of specified personnel and equipment required under this subpart within 
    stipulated response times in the specified geographic areas;
        (2) Certification by the facility owner or operator that specified 
    personnel and equipment required under this subpart are owned, 
    operated, or under the direct control of the facility owner or 
    operator, and are available within stipulated response times in the 
    specified geographic areas;
        (3) Active membership in a local or regional oil spill removal 
    organization that has identified specified personnel and equipment 
    required under this subpart that are available to respond to a 
    discharge within stipulated response times in the specified geographic 
    areas;
        (4) A document which--
        (i) Identifies the personnel, equipment, and services capable of 
    being provided by the oil spill removal organization within stipulated 
    response times in the specified geographic areas;
        (ii) Sets out the parties' acknowledgment that the oil spill 
    removal organization intends to commit the resources in the event of a 
    response;
        (iii) Permits the Coast Guard to verify the availability of the 
    identified response resources through tests, inspections, and drills; 
    and
        (iv) Is referenced in the response plan; or
        (5) The identification of an oil spill removal organization with 
    specified equipment and personnel available within stipulated response 
    times in specified geographic areas. The organization must provide 
    written consent to being identified in the plan.
        (b) The contracts and documents required in paragraph (a) of this 
    section must be retained at the facility and must be produced for 
    review upon request by the COTP.
    
    
    Sec. 154.1029  Worst case discharge.
    
        (a) The response plan must use the appropriate criteria in this 
    section to develop the worst case discharge.
        (b) For the MTR segment of a facility, not less than--
        (1) Where applicable, the loss of the entire capacity of all in-
    line and break out tank(s) needed for the continuous operation of the 
    pipelines used for the purposes of handling or transporting oil, in 
    bulk, to or from a vessel regardless of the presence of secondary 
    containment; plus
        (2) The discharge from all piping carrying oil between the marine 
    transfer manifold and the non-transportation-related portion of the 
    facility. The discharge from each pipe is calculated as follows: The 
    maximum time to discover the release from the pipe in hours, plus the 
    maximum time to shut down flow from the pipe in hours (based on 
    historic discharge data or the best estimate in the absence of historic 
    discharge data for the facility) multiplied by the maximum flow rate 
    expressed in barrels per hour (based on the maximum relief valve 
    setting or maximum system pressure when relief valves are not provided) 
    plus the total line drainage volume expressed in barrels for the pipe 
    between the marine manifold and the non-transportation-related portion 
    of the facility; and
        (c) For a mobile facility it means the loss of the entire contents 
    of the container in which the oil is stored or transported.
    
    
    Sec. 154.1030  General response plan contents.
    
        (a) The plan must be written in English.
        (b) A response plan must be divided into the sections listed in 
    this paragraph and formatted in the order specified herein unless noted 
    otherwise. It must also have some easily found marker identifying each 
    section listed below. The following are the sections and subsections of 
    a facility response plan:
        (1) Introduction and plan contents.
        (2) Emergency response action plan:
        (i) Notification procedures.
        (ii) Facility's spill mitigation procedures.
        (iii) Facility's response activities.
        (iv) Fish and wildlife and sensitive environments.
        (v) Disposal plan.
        (3) Training and Exercises:
        (i) Training procedures.
        (ii) Exercise procedures.
        (4) Plan review and update procedures.
        (5) Appendices.
        (i) Facility-specific information.
        (ii) List of contacts.
        (iii) Equipment lists and records.
        (iv) Communications plan.
        (v) Site-specific safety and health plan.
        (vi) List of acronyms and definitions.
        (vii) A geographic-specific appendix for each zone in which a 
    mobile facility operates.
        (c) The required contents for each section and subsection of the 
    plan are contained in Secs. 154.1035, 154.1040, and 154.1041, as 
    appropriate.
        (d) The sections and subsections of response plans submitted to the 
    COTP must contain at a minimum all the information required in 
    Secs. 154.1035, 154.1040, and 154.1041, as appropriate. It may contain 
    other appropriate sections, subsections, or information that are 
    required by other Federal, State, and local agencies.
        (e) For initial and subsequent submission, a plan that does not 
    follow the format specified in paragraph (b) of this section must be 
    supplemented with a detailed cross-reference section to identify the 
    location of the applicable sections required by this subpart.
        (f) The information contained in a response plan must be consistent 
    with the National Oil and Hazardous Substances Pollution Contingency 
    Plan (NCP) (40 CFR part 300) and the Area Contingency Plan(s) (ACP) 
    covering the area in which the facility operates. Facility owners or 
    operators shall ensure that their response plans are in accordance with 
    the ACP in effect 6 months prior to initial plan submission or the 
    annual plan review required under Sec. 154.1065(a). Facility owners or 
    operators are not required to, but may at their option, conform to an 
    ACP which is less than 6 months old at the time of plan submission.
    
    [[Page 7922]]
    
    
    
    Sec. 154.1035  Specific requirements for facilities that could 
    reasonably be expected to cause significant and substantial harm to the 
    environment.
    
        (a) Introduction and plan content. This section of the plan must 
    include facility and plan information as follows:
        (1) The facility's name, street address, city, county, state, ZIP 
    code, facility telephone number, and telefacsimile number, if so 
    equipped. Include mailing address if different from street address.
        (2) The facility's location described in a manner that could aid 
    both a reviewer and a responder in locating the specific facility 
    covered by the plan, such as, river mile or location from a known 
    landmark that would appear on a map or chart.
        (3) The name, address, and procedures for contacting the facility's 
    owner or operator on a 24-hour basis.
        (4) A table of contents.
        (5) During the period that the submitted plan does not have to 
    conform to the format contained in this subpart, a cross index, if 
    appropriate.
        (6) A record of change(s) to record information on plan updates.
        (b) Emergency Response Action Plan. This section of the plan must 
    be organized in the subsections described in this paragraph:
        (1) Notification procedures. (i) This subsection must contain a 
    prioritized list identifying the person(s), including name, telephone 
    number, and their role in the plan, to be notified of a discharge or 
    substantial threat of a discharge of oil. The telephone number need not 
    be provided if it is listed separately in the list of contacts required 
    in the plan. This Notification Procedures listing must include--
        (A) Facility response personnel, the spill management team, oil 
    spill removal organizations, and the qualified individual(s) and the 
    designated alternate(s); and
        (B) Federal, State, or local agencies, as required.
        (ii) This subsection must include a form, such as that depicted in 
    Figure 1, which contains information to be provided in the initial and 
    follow-up notifications to Federal, State, and local agencies. The form 
    shall include notification of the National Response Center as required 
    in part 153 of this chapter. Copies of the form also must be placed at 
    the location(s) from which notification may be made. The initial 
    notification form must include space for the information contained in 
    Figure 1. The form must contain a prominent statement that initial 
    notification must not be delayed pending collection of all information.
    
                      Figure 1.--Information on discharge *                 
                               [Involved Parties]                           
    ------------------------------------------------------------------------
            (A) Reporting party            (B) Suspected responsible party  
    ------------------------------------------------------------------------
    Name                                 Name                               
    Phones (    )     -                  Phones (    )     -                
    Company                              Company                            
    Position                             Organization Type:                 
    Address                                Private citizen                  
    Address                                Private enterprise               
                                           Public utility                   
                                           Local government                 
                                           State government                 
                                           Federal government               
    City                                 City                               
    State                                State                              
    Zip                                  Zip                                
    ------------------------------------------------------------------------
    * It is not necessary to wait for all information before calling NRC.   
      National Response Center--1-800-424-8802.                             
    
    
    Were materials Discharged (Y/N)?                                        
    Calling for Responsible Party (Y/N)                                     
                                                                            
    ------------------------------------------------------------------------
                              Incident Description                          
                                                                            
    ------------------------------------------------------------------------
    Source and/or Cause of Incident                                         
                                                                            
    ------------------------------------------------------------------------
    Date  -  -   Time:                                                      
    Cause                                                                   
                                                                            
    ------------------------------------------------------------------------
    Incident Address/Location          Nearest City                         
    Distance from City                                                      
    Storage Tank Container Type--Above ground (Y/N)          Below ground (Y/
     N)          Unknown                                                    
    ------------------------------------------------------------------------
                                                                            
                                Facility Capacity                           
                                                                            
    ------------------------------------------------------------------------
    Tank Capacity                                                           
    Latitude Degrees                                                        
    Longitude Degrees                                                       
    Mile Post or River Mile                                                 
                                                                            
    ------------------------------------------------------------------------
                                    Materials                               
                                                                            
    ------------------------------------------------------------------------
    Discharge Unit of Quantity      Measure      Discharged Material        
     Quantity in Water                                                      
                                                                            
    ------------------------------------------------------------------------
    
    [[Page 7923]]
                                                                            
                                 Response Action                            
                                                                            
    ------------------------------------------------------------------------
    Actions Taken to Correct or Mitigate Incident                           
                                                                            
    ------------------------------------------------------------------------
                                     Impact                                 
                                                                            
    ------------------------------------------------------------------------
    Number of Injuries          Number of Fatalities                        
    Were there Evacuations (Y/N/U)?          Number Evacuated               
    Was there any Damage (Y/N/U)?          Damage in Dollars                
                                                                            
    ------------------------------------------------------------------------
                             Additional Information                         
                                                                            
    ------------------------------------------------------------------------
    Any information about the Incident not recorded elsewhere in the report 
                                                                            
    ------------------------------------------------------------------------
                              Caller Notifications                          
                                                                            
    ------------------------------------------------------------------------
    USCG          EPA          State          Other                         
                                                                            
    
    
        (2) Facility's spill mitigation procedures. (i) This subsection 
    must describe the volume(s) and oil groups that would be involved in 
    the--
        (A) Average most probable discharge from the MTR facility;
        (B) Maximum most probable discharge from the MTR facility;
        (C) Worst case discharge from the MTR facility; and
        (D) Where applicable, the worst case discharge from the non-
    transportation-related facility. This must be the same volume provided 
    in the response plan for the non-transportation-related facility.
        (ii) This subsection must contain prioritized procedures for 
    facility personnel to mitigate or prevent any discharge or substantial 
    threat of a discharge of oil resulting from operational activities 
    associated with internal or external facility transfers including 
    specific procedures to shut down affected operations. Facility 
    personnel responsible for performing specified procedures to mitigate 
    or prevent any discharge or potential discharge shall be identified by 
    job title. A copy of these procedures shall be maintained at the 
    facility operations center. These procedures must address actions to be 
    taken by facility personnel in the event of a discharge, potential 
    discharge, or emergency involving the following equipment and 
    scenarios:
        (A) Failure of manifold, mechanical loading arm, other transfer 
    equipment, or hoses, as appropriate;
        (B) Tank overfill;
        (C) Tank failure;
        (D) Piping rupture;
        (E) Piping leak, both under pressure and not under pressure, if 
    applicable;
        (F) Explosion or fire; and
        (G) Equipment failure (e.g. pumping system failure, relief valve 
    failure, or other general equipment relevant to operational activities 
    associated with internal or external facility transfers.)
        (iii) This subsection must contain a listing of equipment and the 
    responsibilities of facility personnel to mitigate an average most 
    probable discharge.
        (3) Facility's response activities. (i) This subsection must 
    contain a description of the facility personnel's responsibilities to 
    initiate a response and supervise response resources pending the 
    arrival of the qualified individual.
        (ii) This subsection must contain a description of the 
    responsibilities and authority of the qualified individual and 
    alternate as required in Sec. 154.1026.
        (iii) This subsection must describe the organizational structure 
    that will be used to manage the response actions. This structure must 
    include the following functional areas.
        (A) Command and control;
        (B) Public information;
        (C) Safety;
        (D) Liaison with government agencies;
        (E) Spill Operations;
        (F) Planning;
        (G) Logistics support; and
        (H) Finance.
        (iv) This subsection must identify the oil spill removal 
    organizations and the spill management team to:
        (A) Be capable of providing the following response resources:
        (1) Equipment and supplies to meet the requirements of 
    Secs. 154.1045, 154.1047 or subparts H or I of this part, as 
    appropriate; and
        (2) Trained personnel necessary to continue operation of the 
    equipment and staff of the oil spill removal organization and spill 
    management team for the first 7 days of the response.
        (B) This section must include job descriptions for each spill 
    management team member within the organizational structure described in 
    paragraph (b)(3)(iii) of this section. These job descriptions should 
    include the responsibilities and duties of each spill management team 
    member in a response action.
        (v) For mobile facilities that operate in more than one COTP zone, 
    the plan must identify the oil spill removal organization and the spill 
    management team in the applicable geographic-specific appendix. The oil 
    spill removal organization(s) and the spill management team discussed 
    in paragraph (b)(3)(iv)(A) of this section must be included for each 
    COTP zone in which the facility will handle, store, or transport oil in 
    bulk.
        (4) Fish and wildlife and sensitive environments. (i) This section 
    of the plan must identify areas of economic importance and 
    environmental sensitivity, as identified in the ACP, which are 
    potentially impacted by a worst case discharge. ACPs are required under 
    section 311(j)(4) of the FWPCA to identify fish and wildlife and 
    sensitive environments. The applicable ACP shall be used to designate 
    fish and wildlife and sensitive environments in the plan. Changes to 
    the ACP regarding fish and wildlife and sensitive environments shall be 
    included in the annual update of the response plan, when available.
        (ii) For a worst case discharge from the facility, this section of 
    the plan must--
        (A) List all fish and wildlife and sensitive environments 
    identified in the ACP which are potentially impacted by a discharge of 
    persistent oils, non-persistent oils, or non-petroleum oils.
        (B) Describe all the response actions that the facility anticipates 
    taking to protest these fish and wildlife and sensitive environments.
        (C) Contain a map or chart showing the location of those fish and 
    wildlife and sensitive environments which are potentially impacted. The 
    map or chart shall also depict each response action that the facility 
    anticipates taking to protect these areas. A legend of 
    
    [[Page 7924]]
    activities must be included on the map page.
        (iii) For a worst case discharge, this section must identify 
    appropriate equipment and required personnel, available by contract or 
    other approved means as described in Sec. 154.1028, to protect fish and 
    wildlife and sensitive environments which fall within the distances 
    calculated using the methods outlined in this paragraph as follows:
        (A) Identify the appropriate equipment and required personnel to 
    protect all fish and wildlife and sensitive environments in the ACP for 
    the distances, as calculated in paragraph (b)(4)(iii)(B) of this 
    section, that the persistent oils, non-persistent oils, or non-
    petroleum oils are likely to travel in the noted geographic area(s) and 
    number of days listed in Table 2 of appendix C of this part;
        (B) Calculate the distances required by paragraph (b)(4)(iii)(A) of 
    this section by selecting one of the methods described in this 
    paragraph;
        (1) Distances may be calculated as follows:
        (i) For persistent oils and non-petroleum oils discharged into non-
    tidal waters, the distance from the facility reached in 48 hours at 
    maximum current.
        (ii) For persistent and non-petroleum oils discharged into tidal 
    waters, 15 miles from the facility down current during ebb tide and to 
    the point of maximum tidal influence or 15 miles, whichever is less, 
    during flood tide.
        (iii) For non-persistent oils discharged into non-tidal waters, the 
    distance from the facility reached in 24 hours at maximum current.
        (iv) For non-persistent oils discharged into tidal waters, 5 miles 
    from the facility down current during ebb tide and to the point of 
    maximum tidal influence or 5 miles, whichever is less, during flood 
    tide.
        (2) A spill trajectory or model may be substituted for the 
    distances calculated under paragraph (b)(4)(iii)(B)(l) of this section. 
    The spill trajectory or model must be acceptable to the COTP.
        (3) The procedures contained in the Environmental Protection's 
    Agency's regulations on oil pollution prevention for non-
    transportation-related onshore facilities at 40 CFR part 112, appendix 
    C, Attachment C-III may be substituted for the distances listed in non-
    tidal and tidal waters; and
        (C) Based on historical information or a spill trajectory or model, 
    the COTP may require the additional fish and wildlife and sensitive 
    environments also be protected.
        (5) Disposal Plan. This subsection must describe any actions to be 
    taken or procedures to be used to ensure that all recovered oil and oil 
    contaminated debris produced as a result of any discharge are disposed 
    according to Federal, state, or local requirements.
        (c) Training and exercises. This section must be divided into the 
    following two subsections:
        (1) Training procedures. This subsection must describe the training 
    procedures and programs of the facility owner or operator to meet the 
    requirements in Sec. 154.1050.
        (2) Exercise procedures. This subsection must describe the exercise 
    program to be carried out by the facility owner or operator to meet the 
    requirements in Sec. 154.1055.
        (d) Plan review and update procedures. This section must address 
    the procedures to be followed by the facility owner or operator to meet 
    the requirements of Sec. 154.1065 and the procedures to be followed for 
    any post-discharge review of the plan to evaluate and validate its 
    effectiveness.
        (e) Appendices. This section of the response plan must include the 
    appendices described in this paragraph.
        (1) Facility-specific information. This appendix must contain a 
    description of the facility's principal characteristics.
        (i) There must be a physical description of the facility including 
    a plan of the facility showing the mooring areas, transfer locations, 
    control stations, locations of safety equipment, and the location and 
    capacities of all piping and storage tanks.
        (ii) The appendix must identify the sizes, types, and number of 
    vessels that the facility can transfer oil to or from simultaneously.
        (iii) The appendix must identify the first valve(s) on facility 
    piping separating the transportation-related portion of the facility 
    from the non-transportation-related portion of the facility, if any. 
    For piping leading to a manifold located on a dock serving tank 
    vessels, this valve is the first valve inside the secondary containment 
    required by 40 CFR part 112.
        (iv) The appendix must contain information on the oil(s) and 
    hazardous material handled, stored, or transported at the facility in 
    bulk. A material safety data sheet meeting the requirements of 29 CFR 
    1910.1200, 33 CFR 154.310(a)(5) or an equivalent will meet this 
    requirement. This information can be maintained separately providing it 
    is readily available and the appendix identifies its location. This 
    information must include--
        (A) The generic or chemical name;
        (B) A description of the appearance and odor;
        (C) The physical and chemical characteristics;
        (D) The hazards involved in handling the oil(s) and hazardous 
    materials. This shall include hazards likely to be encountered if the 
    oil(s) and hazardous materials come in contact as a result of a 
    discharge; and
        (E) A list of firefighting procedures and extinguishing agents 
    effective with fires involving the oil(s) and hazardous materials.
        (v) The appendix may contain any other information which the 
    facility owner or operator determines to be pertinent to an oil spill 
    response.
        (2) List of contacts. This appendix must include information on 24-
    hour contact of key individuals and organizations. If more appropriate, 
    this information may be specified in a geographic-specific appendix. 
    The list must include--
        (i) The primary and alternate qualified individual(s) for the 
    facility;
        (ii) The contact(s) identified under paragraph (b)(3)(iv) of this 
    section for activation of the response resources; and
        (iii) Appropriate Federal, State, and local officials.
        (3) Equipment list and records. This appendix must include the 
    information specified in this paragraph.
        (i) The appendix must contain a list of equipment and facility 
    personnel required to respond to an average most probable discharge, as 
    defined in Sec. 154.1020. The appendix must also list the location of 
    the equipment.
        (ii) The appendix must contain a detailed listing of all the major 
    equipment identified in the plan as belonging to an oil spill removal 
    organization(s) that is available, by contract or other approved means 
    as described in Sec. 154.1028(a), to respond to a maximum most probable 
    or worst case discharge, as defined in Sec. 154.1020. The detailed 
    listing of all major equipment may be located in a separate document 
    referenced by the plan. Either the appendix or the separate document 
    referenced in the plan must provide the location of the major response 
    equipment.
        (iii) It is not necessary to list response equipment from oil spill 
    removal organization(s) when the organization has been classified by 
    the Coast Guard and their capacity has been determined to equal or 
    exceed the response capability needed by the facility. For oil spill 
    removal organization(s) classification by the Coast Guard, the 
    classified must be noted in this section of the plan. When it is 
    necessary for the appendix to contain a listing of response equipment, 
    it shall include all of the following items that are identified in the 
    
    [[Page 7925]]
    response plan: Skimmers; booms; dispersant application, in-situ 
    burning, bioremediation equipment and supplies, and other equipment 
    used to apply other chemical agents on the NCP Product Schedule (if 
    applicable); communications, firefighting, and beach cleaning 
    equipment; boats and motors; disposal and storage equipment; and heavy 
    equipment. The list must include for each piece of equipment--
        (A) The type, make, model, and year of manufacture listed on the 
    nameplate of the equipment;
        (B) For oil recovery devices, the effective daily recovery rate, as 
    determined using section 6 of Appendix C of this part;
        (C) For containment boom, the overall boom height (draft and 
    freeboard) and type of end connectors;
        (D) The spill scenario in which the equipment will be used for or 
    which it is contracted;
        (E) The total daily capacity for storage and disposal of recovered 
    oil;
        (F) For communication equipment, the type and amount of equipment 
    intended for use during response activities. Where applicable, the 
    primary and secondary radio frequencies must be specified.
        (G) Location of the equipment; and
        (H) The date of the last inspection by the oil spill removal 
    organization(s).
        (4) Communications plan. This appendix must describe the primary 
    and alternate method of communication during discharges, including 
    communications at the facility and at remote locations within the areas 
    covered by the response plan. The appendix may refer to additional 
    communications packages provided by the oil spill removal organization. 
    This may reference another existing plan or document.
        (5) Site-specific safety and health plan. This appendix must 
    describe the safety and health plan to be implemented for any response 
    location(s). It must provide as much detailed information as is 
    practicable in advance of an actual discharge. This appendix may 
    reference another existing plan requiring under 29 CFR 1910.120.
        (6) List of acronyms and definitions. This appendix must list all 
    acronyms used in the response plan including any terms or acronyms used 
    by Federal, State, or local governments and any operational terms 
    commonly used at the facility. This appendix must include all 
    definitions that are critical to understanding the response plan.
    
    
    Sec. 154.1040  Specific requirements for facilities that could 
    reasonably be expected to cause substantial harm to the environment.
    
        (a) The owner or operator of a facility that, under Sec. 154.1015, 
    could reasonably be expected to cause substantial harm to the 
    environment, shall submit a response plan that meets the requirements 
    of Sec. 154.1035, except as modified by this section.
        (b) The facility's response activities section of the response plan 
    need not list the facility or corporate organizational structure that 
    will be used to manage the response, as required by 
    Sec. 154.1035(b)(3)(iii).
        (c) The owner or operator of a facility must ensure the 
    availability of response resources required to be identified in 
    Sec. 154.1035(b)(3)(iv) by contract or other approved means described 
    in Sec. 154.1028.
        (d) A facility owner or operator must have at least 200 feet of 
    containment boom and the means of deploying and anchoring the boom 
    available at the spill site within 1 hour of the detection of a spill 
    to respond to the average most probable discharge in lieu of the 
    quantity of containment boom specified in Sec. 154.1045(c)(1). Based on 
    site-specific or facility-specific information, the COTP may specify 
    that additional quantities of containment boom are available within one 
    hour. In addition, there must be adequate sorbent material for initial 
    response to an average most probable discharge. If the facility is a 
    fixed facility, the containment boom and sorbent material must be 
    located at the facility. If the facility is a mobile facility, the 
    containment boom and sorbent must be available locally and be at the 
    site of the discharge within 1 hour of its discovery.
    
    
    Sec. 154.1041  Specific response information to be maintained on mobile 
    MTR facilities.
    
        (a) Each mobile MTR facility must carry the following information 
    as contained in the response plan when performing transfer operations:
        (1) A description of response activities for a discharge which may 
    occur during transfer operations. This may be a narrative description 
    or a list of procedures to be followed in the event of a discharge.
        (2) Identity of response resources to respond to a discharge from 
    the mobile MTR facility.
        (3) List of the appropriate persons and agencies (including the 
    telephone numbers) to be contacted in regard to a discharge and its 
    handling, including the National Response Center.
        (b) The owner or operator of the mobile facility must also retain 
    the information in this paragraph at the principal place of business.
    
    
    Sec. 154.1045  Response plan development and evaluation criteria for 
    facilities that handle, store, or transport Group I through Group IV 
    petroleum oils.
    
        (a) The owner or operator of a facility that handles, stores, or 
    transports Group I through Group IV petroleum oils shall use the 
    criteria in this section to evaluate response resources identified in 
    the response plan for the specified operating environment.
        (1) The criteria in Table 1 of appendix C of this part are to be 
    used solely for identification of appropriate equipment in a response 
    plan. These criteria reflect conditions used for planning purposes to 
    select mechanical response equipment and are not conditions that would 
    limit response actions or affect normal facility operations.
        (2) The response resources must be evaluated considering 
    limitations for the COTP zones in which the facility operates, 
    including but not limited to--
        (i) Ice conditions;
        (ii) Debris;
        (iii) Temperature ranges;
        (iv) Weather-related visibility; and
        (v) Other appropriate environmental conditions as determined by the 
    COTP.
        (3) The COTP may reclassify a specific body of water or location 
    within the COTP zone. Any reclassifications will be identified by the 
    COTP in the applicable ACP. Reclassifications may be to--
        (i) A more stringent operating environment if the prevailing wave 
    conditions exceed the significant wave height criteria during more than 
    35 percent of the year; or
        (ii) A less stringent operating environment if the prevailing wave 
    conditions do not exceed the significant wave height criteria for the 
    less stringent operating environment during more than 35 percent of the 
    year.
        (b) Response equipment must--
        (1) Meet or exceed the operating criteria listed in Table 1 of 
    appendix C of this part;
        (2) Function in the applicable operating environment; and
        (3) Be appropriate for the petroleum oil carried.
        (c) The response plan for a facility that handles, stores, or 
    transports Group I through Group IV petroleum oils must identify 
    response resources that are available, by contract or other approved 
    means as described in Sec. 154.1028(a)(1)(4), to respond to the 
    facility's average most probable discharge. The response resources must 
    include, at a minimum--
        (1) 1,000 feet of containment boom or two times the length of the 
    largest vessel 
    
    [[Page 7926]]
    that regularly conducts petroleum oil transfers to or from the 
    facility, whichever is greater, and the means of deploying and 
    anchoring the boom available at the spill site within 1 hour of the 
    detection of a spill; and
        (2) Oil recovery devices and recovered oil storage capacity capable 
    of being at the spill site within 2 hours of the discovery of a 
    petroleum oil discharge from a facility.
        (d) The response plan for a facility that handles, stores, or 
    transports Group I through Group IV petroleum oils must identify 
    response resources that are available, by contract or other approved 
    means as described in Sec. 154.1028(a)(1)(4), to respond to a discharge 
    up to the facility's maximum most probable discharge volume.
        (1) The response resources must include sufficient containment 
    boom, oil recovery devices, and storage capacity for any recovery of up 
    to the maximum most probable discharge planning volume, as contained in 
    appendix C.
        (2) The response resources must be appropriate for each group of 
    petroleum oil identified in Sec. 154.1020 that is handled, stored, or 
    transported by the facility.
        (3) These response resources must be positioned such that they can 
    arrive at the scene of a discharge within the following specified 
    times:
        (i) The equipment identified in paragraphs (c)(1) and (c)(2) of 
    this section or in Sec. 154.1040(d) must arrive within the times 
    specified in those paragraphs or that section, as appropriate.
        (ii) In higher volume port areas and the Great Lakes, response 
    resources must be capable of arriving on scene within 6 hours of the 
    discovery of an petroleum oil discharge from a facility.
        (iii) In all other locations, response resources must be capable of 
    arriving on scene within 12 hours of the discovery of a petroleum oil 
    discharge from a facility.
        (4) The COTP may determine that mobilizing response resources to an 
    area beyond the response times indicated in this paragraph invalidates 
    the response plan. In this event, the COTP may impose additional 
    operational restrictions (e.g., limitations on the number of transfers 
    at a facility), or, at the COTP's discretion, the facility may operate 
    with temporarily modified response plan development and evaluation 
    criteria (e.g., modified response times, alternate response resources, 
    etc.).
        (e) The response plan for a facility that handles, stores, or 
    transports Group I through Group IV petroleum oils must identify the 
    response resources that are available, by contract or other approved 
    means as described in Sec. 154.1028(a)(1)(4), to respond to the worst 
    case discharge volume of petroleum oil to the maximum extent 
    practicable.
        (1) The location of these response resources must be suitable to 
    meet the response times identified in paragraph (f) of this section for 
    the applicable geographic area(s) of operation and response tier.
        (2) The response resources must be appropriate for--
        (i) The volume of the facility's worst case discharge;
        (ii) Group(s) of petroleum oil as identified in Sec. 154.1020 that 
    are handled, stored, or transported by the facility; and
        (iii) The geographic area(s) in which the facility operates.
        (3) The response resources must include sufficient boom, oil 
    recovery devices, and storage capacity to recover the worst case 
    discharge planning volumes.
        (4) The guidelines in appendix C of this part must be used for 
    calculating the quantity of response resources required to respond at 
    each tier to the worst case discharge to the maximum extent 
    practicable.
        (5) When determining response resources necessary to meet the 
    requirements of this section, a portion of those resources must be 
    capable of use in close-to-shore response activities in shallow water. 
    The following percentages of the response equipment identified for the 
    applicable geographic area must be capable of operating in waters of 6 
    feet or less depth.
        (i) Offshore--10 percent.
        (ii) Nearshore/inland/Great Lakes/rivers and canals--20 percent.
        (6) The COTP may determine that mobilizing response resources to an 
    area beyond the response times indicated in this paragraph invalidates 
    the response plan. In this event, the COTP may impose additional 
    operational restrictions (e.g., limitations on the number of transfers 
    at a facility), or, at the COTP's discretion, the facility may be 
    permitted to operate with temporarily modified response plan 
    development and evaluation criteria (e.g., modified response times, 
    alternate response resources, etc.).
        (f) Response equipment identified in a response plan for a facility 
    that handles, stores, or transports Group I through Group IV petroleum 
    oils must be capable of arriving on scene within the times specified in 
    this paragraph for the applicable response tier in a higher volume port 
    area, Great Lakes, and in other areas. Response times for these tiers 
    from the time of discovery of a discharge are--
    
    ------------------------------------------------------------------------
                                                    Tier 1   Tier 2   Tier 3
                                                    (hrs.)   (hrs.)   (hrs.)
    ------------------------------------------------------------------------
    Higher volume port area (except for a TAPAA                             
     facility located in Prince William Sound,                              
     see Sec.  154.1135).........................        6       30       54
    Great Lakes..................................       12       36       60
    All other river and canal, inland, nearshore,                           
     and offshore areas..........................       12       36       60
    ------------------------------------------------------------------------
    
        (g) For the purposes of arranging for response resources for a 
    facility that handles, stores, or transports Group I through Group IV 
    petroleum oils, by contract or other approved means as described in 
    Sec. 154.1028(a)(1)-(4), response equipment identified for Tier 1 plan 
    credit must be capable of being mobilized and en route to the scene of 
    a discharge within 2 hours of notification. The notification procedures 
    identified in the plan must provide for notification and authorization 
    of mobilization of identified Tier 1 response resources--
        (1) Either directly or through the qualified individual; and
        (2) Within 30 minutes of a discovery of a discharge or substantial 
    threat of discharge.
        (h) Response resources identified for Tier 2 and Tier 3 plan credit 
    must be capable of arriving on scene within the time specified for the 
    applicable tier.
        (i) The response plan for a facility that is located in any 
    environment with year-round preapproval for use of dispersants and that 
    handles, stores, or transports Group II or III persistent petroleum 
    oils may request a credit for up to 25 percent of the on-water recovery 
    capability set forth by this part. To receive this credit, the facility 
    owner or operator must identify in the plan and ensure, by contract or 
    other approved means as described in Sec. 154.1028(a)(1)-(4), the 
    availability of specified resources to apply the dispersants and to 
    monitor their effectiveness. The extent of the credit will be based on 
    the volumes of the dispersant available to sustain operations at the 
    manufacturers' recommend dosage rates. Resources identified for plan 
    credit should be capable of being on scene within 12 hours of a 
    discovery of a discharge. Identification of these resources does not 
    imply that they will be authorized for use. Actual authorization for 
    use 
    
    [[Page 7927]]
    during a spill response will be governed by the provisions of the NCP 
    and the applicable ACP.
        (j) A response plan for a facility that handles, stores, or 
    transports Group I through Group IV petroleum oils must identify 
    response resources with firefighting capability. The owner or operator 
    of a facility that does not have adequate firefighting resources 
    located at the facility or that can not rely on sufficient local 
    firefighting resources must identify and ensure, by contract or other 
    approved means as described in Sec. 154.1028(a)(1)-(4), the 
    availability of adequate firefighting resources. The response plan must 
    also identify an individual located at the facility to work with the 
    fire department for petroleum oil fires. This individual shall also 
    verify that sufficient well-trained firefighting resources are 
    available within a reasonable time to respond to a worst case 
    discharge. The individual may be the qualified individual as defined in 
    Sec. 154.1020 and identified in the response plan or another 
    appropriate individual located at the facility.
        (k) The response plan for a facility that handles, stores, or 
    transports Groups I through IV petroleum oils must identify equipment 
    and required personnel available, by contract or other approved means 
    as described in Sec. 154.1028(a) (1)-(4), to protect fish and wildlife 
    and sensitive environments.
        (1) Except as set out in paragraph (k)(2) of this section, the 
    identified response resources must include the quantities of boom 
    sufficient to protect fish and wildlife and sensitive environments as 
    required by Sec. 154.1035(b)(4).
        (2) The resources and response methods identified in a facility 
    response plan must be consistent with the required resources and 
    response methods to be used in fish and wildlife and sensitive 
    environments, contained in the appropriate ACP. Facility owners or 
    operators shall ensure that their response plans are in accordance with 
    the ACP in effect 6 months prior to initial plan submission or the 
    annual plan review required under Sec. 154.1065(a). Facility owners or 
    operators are not required to, but may at their option, conform to an 
    ACP which is less than 6 months old at the time of plan submission.
        (l) The response plan for a facility that handles, stores, or 
    transports Groups I through IV petroleum oils must identify an oil 
    spill removal organization(s) with response resources that are 
    available, by contract or other approved means as described in 
    Sec. 154.1028(a) (1)-(4), to effect a shoreline cleanup operation 
    commensurate with the quantity of emulsified petroleum oil to be 
    planned for in shoreline cleanup operations.
        (1) Except as required in paragraph (l)(2) of this section, the 
    shoreline cleanup response resources required must be determined as 
    described in appendix C of this part.
        (2) The resources and response methods identified in a facility 
    response plan must be consistent with the required shoreline cleanup 
    resources and methods contained in the appropriate ACP. Facility owners 
    or operators shall ensure that their response plans are in accordance 
    with the ACP in effect 6 months prior to initial plan submission or the 
    annual plan review required under Sec. 154.1065(a). Facility owners or 
    operators are not required to, but may at their option, conform to an 
    ACP which is less than 6 months old at the time of plan submission.
        (m) Appendix C of this part describes the procedures to determine 
    the maximum extent practicable quantity of response resources that must 
    be identified and available, by contract or other approved means as 
    described in Sec. 154.1028(a) (1)-(4), for the maximum most probable 
    discharge volume, and for each worst case discharge response tier.
        (1) Included in appendix C of this part is a cap that recognizes 
    the practical and technical limits of response capabilities that an 
    individual facility owner or operator can be expected to contract for 
    in advance.
        (2) Table 5 in appendix C of this part lists the caps that apply in 
    February 18, 1993, and February 18, 1998. Depending on the quantity and 
    type of petroleum oil handled by the facility and the facility's 
    geographic area of operations, the resource capability caps in this 
    table may be reached. The owner or operator of a facility whose 
    estimated recovery capacity exceeds the applicable contracting caps in 
    Table 5 shall identify sources of additional equipment equal to twice 
    the cap listed in Tiers 1, 2, and 3 or the amount necessary to reach 
    the calculated planning volume, whichever is lower. The identified 
    resources must be capable of arriving on scene not later than the Tier 
    1, 2, and 3 response times in this section. No contract is required. 
    While general listings of available response equipment may be used to 
    identify additional sources, a response plan must identify the specific 
    sources, locations, and quantities of equipment that a facility owner 
    or operator has considered in his or her planning. When listing Coast 
    Guard classified oil spill removal organization(s) which have 
    sufficient removal capacity to recover the volume above the response 
    capability cap for the specific facility, as specified in Table 5 in 
    appendix C of this part, it is not necessary to list specific 
    quantities of equipment.
        (n) The Coast Guard will initiate a review of cap increases and 
    other requirements contained within this subpart that are scheduled to 
    be phased in over time. Any changes in the requirements of this section 
    will occur through a public notice and comment process.
        (1) During this review, the Coast Guard will determine if the 
    scheduled increase for February 1998 remains practicable, and will also 
    establish a specific cap for 2003. The review will include but is not 
    limited to--
        (i) Increase in skimming efficiencies and design technology;
        (ii) Oil tracking technology;
        (iii) High rate response techniques;
        (iv) Other applicable response technologies; and
        (v) Increases in the availability of private response resources.
        (2) All scheduled future requirements will take effect unless the 
    Coast Guard determines that they are not practicable. Scheduled changes 
    will be effective in February 1998 and 2003 unless the review of the 
    additional requirements has not been completed by the Coast Guard. If 
    this occurs, the additional requirements will not be effective until 90 
    days after publication of a Federal Register notice with the results of 
    the review.
    
    
    Sec. 154.1047  Response plan development and evaluation criteria for 
    facilities that handle, store, or transport Group V petroleum oils.
    
        (a) An owner or operator of a facility that handles, stores, or 
    transports Group V petroleum oils must provide information in his or 
    her response plan that identifies--
        (1) Procedures and strategies for responding to a worst case 
    discharge of Group V petroleum oils to the maximum extent practicable; 
    and
        (2) Sources of the equipment and supplies necessary to locate, 
    recover, and mitigate such a discharge.
        (b) An owner or operator of a facility that handles, stores, or 
    transports Group V petroleum oil must ensure that any equipment 
    identified in a response plan is capable of operating in the conditions 
    expected in the geographic area(s) in which the facility operates using 
    the criteria in Table 1 of appendix C of this part. When evaluating the 
    operability of equipment, the facility owner or operator must consider 
    limitations that are identified in the ACPs for the COTP 
    
    [[Page 7928]]
    zones in which the facility operates, including--
        (1) Ice conditions;
        (2) Debris;
        (3) Temperature ranges; and
        (4) Weather-related visibility.
        (c) The owner or operator of a facility that handles, stores, or 
    transports Group V petroleum oil must identify the response resources 
    that are available by contract or other approved means as described in 
    Sec. 154.1028. The equipment identified in a response plan must 
    include--
        (1) Sonar, sampling equipment, or other methods for locating the 
    petroleum oil on the bottom or suspended in the water column;
        (2) Containment boom, sorbent boom, silt curtains, or other methods 
    for containing the petroleum oil that may remain floating on the 
    surface or to reduce spreading on the bottom;
        (3) Dredges, pumps, or other equipment necessary to recover 
    petroleum oil from the bottom and shoreline;
        (4) Equipment necessary to assess the impact of such discharges; 
    and
        (5) Other appropriate equipment necessary to respond to a discharge 
    involving the type of petroleum oil handled, stored, or transported.
        (d) Response resources identified in a response plan for a facility 
    that handles, stores, or transports Group V petroleum oils under 
    paragraph (c) of this section must be capable of being at the spill 
    site within 24 hours of discovery of a discharge.
        (e) A response plan for a facility that handles, stores, or 
    transports Group V petroleum oils must identify response resources with 
    firefighting capability. The owner or operator of a facility that does 
    not have adequate firefighting resources located at the facility or 
    that can not rely on sufficient local firefighting resources must 
    identity and ensure, by contract or other approved means as described 
    in Sec. 154.1028, the availability of adequate firefighting resources. 
    The response plan must also identify an individual located at the 
    facility to work with the fire department for petroleum oil fires. This 
    individual shall also verify that sufficient well-trained firefighting 
    resources are available within a reasonable response time to a worst 
    case scenario. The individual may be the qualified individual as 
    defined in Sec. 154.1020 and identified in the response plan or another 
    appropriate individual located at the facility.
    
    
    Sec. 154.1050  Training.
    
        (a) A response plan submitted to meet the requirements of 
    Secs. 154.1035 or 154.1040, as appropriate, must identify the training 
    to be provided to each individual with responsibilities under the plan. 
    A facility owner or operator must identify the method to be used for 
    training any volunteers or casual laborers used during a response to 
    comply with the requirements of 29 CFR 1910.120.
        (b) A facility owner or operator shall ensure the maintenance of 
    records sufficient to document training of facility personnel; and 
    shall make them available for inspection upon request by the U.S. Coast 
    Guard. Records for facility personnel must be maintained at the 
    facility for 3 years.
        (c) Where applicable, a facility owner or operator shall ensure 
    that an oil spill removal organization identified in a response plan to 
    meet the requirements of this subpart maintains records sufficient to 
    document training for the organization's personnel and shall make them 
    available for inspection upon request by the facility's management 
    personnel, the qualified individual, and U.S. Coast Guard. Records must 
    be maintained for 3 years following completion of training.
        (d) The facility owner or operator remains responsible for ensuring 
    that all private response personnel are trained to meet the 
    Occupational Safety and Health Administration (OSHA) standards for 
    emergency response operations in 29 CFR 1910.120.
    
    
    Sec. 154.1055  Exercises.
    
        (a) A response plan submitted by an owner or operator of an MTR 
    facility must include an exercise program containing both announced and 
    unannounced exercises. The following are the minimum exercise 
    requirements for facilities covered by this subpart:
        (1) Qualified individual notification exercises (quarterly).
        (2) Spill management team tabletop exercises (annually). In a 3-
    year period, at least one of these exercises must include a worst case 
    discharge scenario.
        (3) Equipment deployment exercises:
        (i) Semiannually for facility owned and operated equipment.
        (ii) Annually for oil spill removal organization equipment.
        (4) Emergency procedures exercises (optional).
        (5) Annually, at least one of the exercises listed in 
    Sec. 154.1055(a)(2) through (4) must be unannounced. Unannounced means 
    the personnel participating in the exercise must not be advised in 
    advance, of the exact date, time and scenario of the exercise.
        (6) The facility owner or operator shall design the exercise 
    program so that all components of the response plan are exercised at 
    least once every 3 years. All of the components do not have to be 
    exercised at one time; they may be exercised over the 3-year period 
    through the required exercises or through an Area exercise.
        (b) A facility owner or operator shall participate in unannounced 
    exercises, as directed by the COTP. The objectives of the unannounced 
    exercises will be to test notifications and equipment deployment for 
    response to the average most probable discharge. After participating in 
    an unannounced exercise directed by a COTP, the owner or operator will 
    not be required to participate in another COTP initiated unannounced 
    exercise for at least 3 years from the date of the exercise.
        (c) A facility owner or operator shall participate in Area 
    exercises as directed by the applicable On-Scene Coordinator. The Area 
    exercises will involve equipment deployment to respond to the spill 
    scenario developed by the Exercise Design Team, of which the facility 
    owner or operator will be a member. After participating in an Area 
    exercise, a facility owner or operator will not be required to 
    participate in another Area exercise for at least 6 years.
        (d) The facility owner or operator shall ensure that adequate 
    records of all required exercises are maintained at the facility for 3 
    years. Records shall be made available to the Coast Guard upon request.
        (e) The response plan submitted to meet the requirements of this 
    subpart must specify the planned exercise program. The plan must detail 
    the exercise program, including the types of exercises, frequency, 
    scope, objectives and the scheme for exercising the entire response 
    plan every 3 years.
        (f) Compliance with the National Preparedness for Response Exercise 
    Program (PREP) Guidelines will satisfy the facility response plan 
    exercise requirements.
    
    
    Sec. 154.1057  Inspection and maintenance of response resources.
    
        (a) A facility owner or operator required to submit a response plan 
    under this part must ensure that--
        (1) Containment booms, skimmers, vessels, and other major equipment 
    listed or referenced in the plan are periodically inspected and 
    maintained in good operating condition, in accordance with 
    manufacturer's recommendations, and best commercial practices; and
        (2) All inspection and maintenance is documented and that these 
    records are maintained for 3 years.
    
    [[Page 7929]]
    
        (b) For equipment which must be inspected and maintained under this 
    section the Coast Guard may--
        (1) Verify that the equipment inventories exist as represented;
        (2) Verify the existences of records required under this section;
        (3) Verify that the records of inspection and maintenance reflect 
    the actual condition of any equipment listed or referenced; and
        (4) Inspect and require operational tests of equipment.
        (c) This section does not apply to containment booms, skimmers, 
    vessels, and other major equipment listed or referenced in the plan and 
    ensured available from an oil spill removal organization through the 
    written consent required under Sec. 154.1028(a)(5).
    
    
    Sec. 154.1060  Submission and approval procedures.
    
        (a) The owner or operator of a facility to which this subpart 
    applies shall submit one copy of a facility response plan meeting the 
    requirements of this subpart to the COTP for initial review and, if 
    appropriate, approval.
        (b) The owner or operator of a facility to which this subpart 
    applies shall include a statement certifying that the plan meets the 
    applicable requirements of subparts F, G, H, and I of this part, as 
    appropriate.
        (c) For an MTR facility that is located in the inland response zone 
    where the EPA Regional Administrator is the predesignated Federal On-
    Scene Coordinator, the COTP may consult with the EPA Federal On-Scene 
    Coordinator prior to any final approval.
        (d) For an MTR facility identified in Sec. 154.1015(c) of this 
    subpart that is also required to prepare a response plan under 40 CFR 
    part 112, if the COTP determines that the plan meets all applicable 
    requirements and the EPA Regional Administrator raises no objection to 
    the response plan contents, the COTP will notify the facility owner or 
    operator in writing that the plan is approved.
        (e) The plan will be valid for a period of up to 5 years. The 
    facility owner or operator must resubmit an updated plan every 5 years 
    as follows:
        (1) For facilities identified in only Sec. 154.1015(b) of this 
    subpart, the 5-year period will commence on the date the plan is 
    submitted to the COTP.
        (2) For facilities identified in Sec. 154.1015(c) of this subpart, 
    the 5-year period will commence on the date the COTP approves the plan.
        (3) All resubmitted response plans shall be accompanied by a cover 
    letter containing a detailed listing of all revisions to the response 
    plan.
        (f) For an MTR facility identified in Sec. 154.1015(c)(2) the COTP 
    will notify the facility owner or operator in writing that the plan is 
    approved.
        (g) If a COTP determines that a plan does not meet the requirements 
    of this subpart either upon initial submission or upon 5-year 
    resubmission, the COTP will return the plan to the facility owner or 
    operator along with an explanation of the response plan's deficiencies. 
    The owner or operator must correct any deficiencies in accordance with 
    Sec. 154.1070 and return the plan to the COTP within the time specified 
    by the COTP in the letter describing the deficiencies.
        (h) The facility owner or operator and the qualified individual and 
    the alternative qualified individual shall each maintain a copy of the 
    most current response plan submitted to the COTP. One copy must be 
    maintained at the facility in a position where the plan is readily 
    available to persons in charge of conducting transfer operations.
    
    
    Sec. 154.1065  Plan review and revision procedures.
    
        (a) A facility owner or operator must review his or her response 
    plan(s) annually. This review shall incorporate any revisions to the 
    plan, including listings of fish and wildlife and sensitive 
    environments identified in the ACP in effect 6 months prior to plan 
    review.
        (1) For an MTR facility identified in Sec. 154.1015(c) of this 
    subpart as a ``significant and substantial harm facility,'' this review 
    must occur within 1 month of the anniversary date of COTP approval of 
    the plan. For an MTR facility identified in Sec. 154.1015(b) of this 
    subpart, as a ``substantial harm facility'' this review must occur 
    within 1 month of the anniversary date of submission of the plan to the 
    COTP.
        (2) The facility owner or operator shall submit any revision(s) to 
    the response plan to the COTP and all other holders of the response 
    plan for information or approval, as appropriate.
        (i) Along with the revisions, the facility owner or operator shall 
    submit a cover letter containing a detailed listing of all revisions to 
    the response plan.
        (ii) If no revisions are required, the facility owner or operator 
    shall indicate the completion of the annual review on the record of 
    changes page.
        (iii) The COTP will review the revision(s) submitted by the owner 
    or operator and will give written notice to the owner or operator of 
    any COTP objection(s) to the proposed revisions within 30 days of the 
    date the revision(s) were submitted to the COTP. The revisions shall 
    become effective not later than 30 days from their submission to the 
    COTP unless the COTP indicates otherwise in writing as provided in this 
    paragraph. If the COTP indicates that the revision(s) need to be 
    modified before implementation, the owner or operator will modify the 
    revision(s) within the time period set by the COTP.
        (3) Any required revisions must be entered in the plan and noted on 
    the record of changes page.
        (b) The facility owner or operator shall submit revisions to a 
    previously submitted or approved plan to the COTP and all other holders 
    of the response plan for information or approval within 30 days, 
    whenever there is--
        (1) A change in the facility's configuration that significantly 
    affects the information included in the response plan;
        (2) A change in the type of oil (petroleum oil group) handled, 
    stored, or transported that affects the required response resources;
        (3) A change in the name(s) or capabilities of the oil spill 
    removal organization required by Sec. 154.1045;
        (4) A change in the facility's emergency response procedures;
        (5) A change in the facility's operating area that includes ports 
    or geographic area(s) not covered by the previously approved plan. A 
    facility may not operate in an area not covered in a plan previously 
    submitted or approved, as appropriate, unless the revised plan is 
    approved or interim operating approval is received under Sec. 154.1025; 
    or
        (6) Any other changes that significantly affect the implementation 
    of the plan.
        (c) Except as required in paragraph (b) of this section, revisions 
    to personnel and telephone number lists included in the response plan 
    do not require COTP approval. The COTP and all other holders of the 
    response plan shall be advised of these revisions and provided a copy 
    of the revisions as they occur.
        (d) The COTP may require a facility owner or operator to revise a 
    response plan at any time as a result of a compliance inspection if the 
    COTP determines that the response plan does not meet the requirements 
    of this subpart or as a result of inadequacies noted in the response 
    plan during an actual pollution incident at the facility.
    
    
    Sec. 154.1070  Deficiencies.
    
        (a) The cognizant COTP will notify the facility owner or operator 
    in writing of any deficiencies noted during review of a response plan, 
    drills observed by the Coast Guard, or inspection of equipment or 
    records maintained in connection with this subpart.
    
    [[Page 7930]]
    
        (b) Deficiencies shall be corrected within the time period 
    specified in the written notice provided by the COTP. The facility 
    owner or operator who disagrees with a deficiency issued by the COTP 
    may appeal the deficiency to the cognizant COTP within 7 days or the 
    time specified by the COTP to correct the deficiency, whichever is 
    less. This time commences from the date of receipt of the COTP notice. 
    The owner or operator may request a stay from the COTP decision pending 
    appeal in accordance with Sec. 154.1075.
        (c) If the facility owner or operator fails to correct any 
    deficiencies or submit a written appeal, the COTP may invoke the 
    provisions of Sec. 154.1025 prohibiting the facility from storing, 
    handling, or transporting oil.
    
    
    Sec. 154.1075  Appeal process.
    
        (a) Any owner or operator of a facility who desires to appeal the 
    classification that a facility could reasonably be expected to cause 
    substantial harm or significant and substantial harm to the 
    environment, shall submit a written request to the cognizant COTP 
    requesting review and reclassification by the COTP. The facility owner 
    or operator shall identify those factors to be considered by the COTP. 
    The factors to be considered by the COTP regarding reclassification of 
    a facility include, but are not limited to, those listed in 
    Sec. 154.1016(b). After considering all relevant material presented by 
    the facility owner or operator and any additional material available to 
    the COTP, the COTP will notify the facility owner or operator of the 
    decision on the reclassification of the facility.
        (b) Any facility owner or operator directly affected by an initial 
    determination or action of the COTP may submit a written request to the 
    cognizant COTP requesting review and reconsideration of the COTP's 
    decision or action. The facility owner or operator shall identify those 
    factors to be considered by the COTP in making his or her decision on 
    reconsideration.
        (c) Within 10 days of the COTP's decision under paragraph (b) of 
    this section, the facility owner or operator may appeal the decision of 
    the COTP to the District Commander. This appeal shall be made in 
    writing via the cognizant COTP to the District Commander of the 
    district in which the office of the COTP is located.
        (d) Within 30 days of the District Commander's decision, the 
    facility owner or operator may formally appeal the decision of the 
    District Commander. This appeal shall be submitted in writing to 
    Commandant (G-MEP) via the District Commander.
        (e) When considering an appeal, the COTP, District Commander, or 
    Commandant may stay the effect of the decision or action being appealed 
    pending the determination of the appeal.
        3. Subpart G is revised to read as follows:
    Subpart G--Additional Response Plan Requirements for a Trans Alaska 
    Pipeline Authorization Act (TAPAA) Facility Operating in Prince William 
    Sound, Alaska
    Sec. 154.1110 Purpose and applicability.
    154.1115 Definitions.
    154.1120 Operating restrictions and interim operating authorization.
    154.1125 Additional response plan requirements.
    154.1130 Requirements for prepositioned response equipment.
    154.1135 Response plan development and evaluation criteria.
    154.1140 TAPAA facility contracting with a vessel.
    
    Subpart G--Additional Response Plan Requirements for a Trans-Alaska 
    Pipeline Authorization Act (TAPAA) Facility Operating in Prince 
    William Sound, Alaska
    
    
    Sec. 154.1110  Purpose and applicability.
    
        (a) This subpart establishes oil spill response planning 
    requirements for a facility permitted under the Tans-Alaska Pipeline 
    Authorization Act (TAPAA), in addition to the requirements of subpart F 
    of this part. The requirements of this subpart are intended for use in 
    developing response plans and identifying response resources during the 
    planning process. They are not performance standards.
        (b) The information required by this subpart must be included in 
    the Prince William Sound facility-specific appendix to the facility 
    response plan required by subpart F of this part.
    
    
    Sec. 154.1115  Definitions.
    
        In addition to the definitions in this section, the definitions in 
    Secs. 154.105 and 154.1020 apply to this subpart. As used in this 
    subpart--
        Crude oil means any liquid hydrocarbon mixture occurring naturally 
    in the earth, whether or not treated to render it suitable for 
    transportation, and includes crude oil from which certain distillate 
    fractions may have been removed, and crude oil to which certain 
    distillate fractions may have been added.
        Non-crude oil means any oil other than crude oil.
        Prince William Sound means all State and Federal waters within 
    Prince William Sound, Alaska, including the approach to Hinchinbrook 
    Entrance out to and encompassing Seal Rocks.
    
    
    Sec. 154.1120  Operating restrictions and interim operating 
    authorization.
    
        (a) The owner or operator of a TAPAA facility may not operate in 
    Prince William Sound, Alaska, unless the requirements of this subpart 
    as well as Sec. 154.1025 have been met. The owner or operator of a 
    TAPAA facility shall certify to the COTP that he or she has provided, 
    through an oil spill removal organization required by Sec. 154.1125, 
    the necessary response resources to remove, to the maximum extend 
    practicable, a worst case discharge or a discharge of 200,000 barrels 
    of oil, whichever is grater, in Prince William Sound.
        (b) Coast Guard approval of a TAPAA facility response plan is 
    effective only so long as the appropriate Regional Citizens Advisory 
    Council(s) is funded pursuant to the requirements of section 5002(k) of 
    the Oil Pollution Act of 1990 (Pub. L. 101-380; 104 Stat. 484, 550).
    
    
    Sec. 154.1125  Additional response plan requirements.
    
        (a) The owner or operator of a TAPAA facility shall include the 
    following information in the Prince William Sound appendix to the 
    response plan required by subpart F of this part:
        (1) Oil spill removal organization. Identification of an oil spill 
    removal organization that shall--
        (i) Perform response activities;
        (ii) Provide oil spill removal and containment training, including 
    training in the operation of prepositioned equipment for personnel, 
    including local residents and fishermen, from the following locations 
    in Prince William Sound:
        (A) Valdez;
        (B) Tatitlek;
        (C) Cordova;
        (D) Whittier;
        (E) Chenega; and
        (F) Fish hatcheries located at Port San Juan, Main Bay, Esther 
    Island, Cannery Creek, and Solomon Gulch.
        (iii) Provide a plan for training, in addition to the personnel 
    listed in paragraph (a)(1)(ii) of this section, sufficient numbers of 
    trained personnel to remove, to the maximum extent practicable, a worst 
    case discharge; and
        (iv) Address the responsibilities required in 
    Sec. 154.1035(b)(3)(iii).
        (2) Exercises. Identification of exercise procedures that must--
        (i) Provide for two exercises of the oil spill removal organization 
    each year that test the ability of the prepositioned equipment and 
    trained personnel required under this subpart to perform effectively;
        (ii) Consist of both announced and unannounced drills; and
        
    [[Page 7931]]
    
        (iii) Include design(s) for exercises that test either the entire 
    appendix or individual components(s).
        (3) Testing, inspection, and certification. Identification of a 
    testing, inspecting, and certification program for the prepositioned 
    response equipment required in Sec. 154.1130 that must provide for--
        (i) Annual testing and equipment inspection in accordance with the 
    manufacturer's recommended procedures, to include--
        (A) Start-up and running under load all electrical motors, pumps, 
    power packs, air compressors, internal combustion engines, and oil 
    recovery devices; and
        (B) Removal for inspection of no less than one-third of required 
    boom from storage annually, such that all boom will have been removed 
    and inspected within a period of 3 years; and
        (ii) Records of equipment tests and inspection.
        (iii) Use of an independent entity to certify that the equipment is 
    on-site and in good operating condition and that required tests and 
    inspection have been preformed. The independent entity must have 
    appropriate training and expertise to provide this certification.
        (4) Prepositioned response equipment. Identification and location 
    of the prepositioned response equipment required in Sec. 154.1130 
    including the make, model, and effective daily recovery rate of each 
    oil recovery resource.
        (b) The owner or operator of a TAPAA facility shall submit to the 
    COTP a schedule for the training and drills required by the geographic-
    specific appendix for Prince William Sound for the following calendar 
    year.
        (c) All records required by this section must be available for 
    inspection by the COTP.
    
    
    Sec. 154.1130  Requirements for prepositioned response equipment.
    
        The owner or operator of a TAPAA facility shall provide the 
    following prepositioned response equipment, located within Prince 
    William Sound, in addition to that required by Secs. 154.1035, 
    154.1045, or 154.1050:
        (a) On-water recovery equipment with a minimum effective daily 
    recovery rate of 30,000 barrels capable of being a scene within 2 hours 
    of notification of a discharge.
        (b) On-water storage capacity of 100,000 barrels for recovered oily 
    material capable of being on scene within 2 hours of notification of a 
    discharge.
        (c) On-water recovery equipment with a minimum effective daily 
    recovery rate of 40,000 barrels capable of being on scene within 18 
    hours of notification of discharge.
        (d) On-water storage capacity of 300,000 barrels for recovered oily 
    material capable of being on scene within 12 hours of notification of a 
    discharge.
        (e) On-water recovery devices and storage equipment located in 
    communities at strategic locations.
        (f) Equipment as identified below, for the locations identified in 
    Sec. 154.1125(a)(1)(ii) sufficient for the protection of the 
    environment in these locations:
        (1) Boom appropriate for the specific locations.
        (2) Sufficient boats to deploy boom and sorbents.
        (3) Sorbent materials.
        (4) Personnel protective clothing and equipment.
        (5) Survival equipment.
        (6) First aid supplies.
        (7) Buckets, shovels, and various other tools.
        (8) Decontamination equipment.
        (9) Shoreline cleanup equipment.
        (10) Mooring equipment.
        (11) Anchored buoys at appropriate locations to facilitate the 
    positioning of defensive boom.
        (12) Other appropriate removal equipment for the protection of the 
    environment as identified by the COTP.
    
    
    Sec. 154.1135  Response plan development and evaluation criteria.
    
        The following response times must be used in determining the on 
    scene arrival time in Prince William Sound for the response resources 
    required by Sec. 154.1045:
    
    ------------------------------------------------------------------------
                                                    Tier 1   Tier 2   tier 3
                                                    (hrs.)   (hrs.)   (hrs.)
    ------------------------------------------------------------------------
    Prince William Sound Area....................       12       24       36
    ------------------------------------------------------------------------
    
    Sec. 154.1140  TAPAA facility contracting with a vessel.
    
        The owner or operator of a TAPAA facility may contract with a 
    vessel owner or operator to meet some of all of the requirements of 
    subpart G of part 155 of this chapter. The extent to which these 
    requirements are met by the contractual arrangement will be determined 
    by the COTP.
        4. Subpart H, consisting of Secs. 154.1210 through 154.1228, is 
    added to read as follows:
    
    Subpart H--Response Plans for Animal Fats and Vegetable Oils Facilities
    
    Sec.
    154.1210  Purpose and applicability.
    154.1220  Response plan submission requirements.
    154.1225  Response plan development and evaluation criteria for 
    facilities that handle, store, or transport animal fats and 
    vegetable oils.
    154.1228  Methods of ensuring the availability of response resources 
    by contract or other approved means.
    Subpart H--Response Plans for Animal Fats and Vegetable Oils 
    Facilities
    Sec. 154.1210  Purpose and applicability.
    
        This subpart establishes oil spill response planning requirements 
    for an owner or operator of a facility that handles, stores, or 
    transports animal fats and vegetable oils. The requirements of this 
    subpart are intended for use in developing response plans and 
    identifying response resources during the planning process. They are 
    not performance standards.
    
    
    Sec. 154.1220  Response plan submission requirements.
    
        An owner or operator of a facility that handles, stores, or 
    transports animal fats and vegetable oils shall submit a response plan 
    in accordance with the requirements of this subpart, and with all 
    sections of subpart F of this part, except Secs. 154.1045 and 154.1047, 
    which apply to petroleum oils.
    
    
    Sec. 154.1225  Response plan development and evaluation criteria for 
    facilities that handle, store, or transport animal fats and vegetable 
    oils.
    
        (a) An owner or operator of a facility that handles, stores, or 
    transports animal fats and vegetable oils must provide information in 
    his or her plan that identifies--
        (1) Procedures and strategies for responding to a worst case 
    discharge of animal fats and vegetable oils to the maximum extent 
    practicable; and
        (2) Sources of the equipment and supplies necessary to locate, 
    recover, and mitigate such a discharge.
        (b) An owner or operator of a facility that handles, stores, or 
    transports animal fats and vegetable oils must ensure that any 
    equipment identified in a response plan is capable of operating in the 
    conditions expected in the geographic area(s) in which the facility 
    operates using the criteria in section 2 and Table 1 of appendix C of 
    this part. When evaluating the operability of equipment, the facility 
    owner or operator must consider limitations that are identified in the 
    ACPs for the COTP zone in which the facility is located, including--
        (1) Ice conditions;
        (2) Debris;
        (3) Temperature ranges; and
        (4) Weather-related visibility.
        
    [[Page 7932]]
    
        (c) The owner or operator of a facility that handles, stores, or 
    transports animal fats and vegetable oils must identify the response 
    resources that are available by contract or other means as described in 
    Sec. 154.1228(a). The equipment identified in a response plan must 
    include--
        (1) Containment boom, sorbent boom, or other methods for containing 
    oil floating on the surface or to protect shorelines from impact;
        (2) Oil recovery devices appropriate for the type of animal fats or 
    vegetable oils handled; and
        (3) Other appropriate equipment necessary to respond to a discharge 
    involving the type of oil handled.
        (d) Response resources identified in a response plan under 
    paragraph (c) of this section must be capable of commencing an 
    effective on-scene response within the times specified in this 
    paragraph for the applicable operating area:
    
    ------------------------------------------------------------------------
                                                  Tier 1                    
                                                  (hrs.)   Tier 2    Tier 3 
    ------------------------------------------------------------------------
    Higher volume port area....................        6      N/A       N/A 
    Great Lakes................................       12      N/A       N/A 
    All other river and canal, inland,                                      
     nearshore, and offshore areas.............       12      N/A       N/A 
    ------------------------------------------------------------------------
    
        (e) A response plan for a facility that handles, stores, or 
    transports animal fats and vegetable oils must identify response 
    resources with firefighting capability. The owner or operator of a 
    facility that does not have adequate firefighting resources located at 
    the facility or that can not rely on sufficient local firefighting 
    resources must identify and ensure, by contract or other approved means 
    as described in Sec. 154.1228(a), the availability of adequate 
    firefighting resources. The response plan must also identify an 
    individual located at the facility to work with the fire department on 
    animal fats and vegetable oil fires. This individual shall also verify 
    that sufficient well-trained firefighting resources are available 
    within a reasonable response time to a worst case scenario. The 
    individual may be the qualified individual as defined in Sec. 154.1020 
    and identified in the response plan or another appropriate individual 
    located at the facility.
        (f) The response plan for a facility that is located in any 
    environment with year-round preapproval for use of dispersants and that 
    handles, stores, or transports animal fats and vegetable oils may 
    request a credit for up to 25 percent of the worst case planning volume 
    set forth by subpart F of this part. To receive this credit, the 
    facility owner or operator must identify in the plan and ensure, by 
    contract or other approved means as described in Sec. 154.1228(a), the 
    availability of specified resources to apply the dispersants and to 
    monitor their effectiveness. The extent of the credit for dispersants 
    will be based on the volumes of the dispersant available to sustain 
    operations at the manufacturers' recommended dosage rates. Other spill 
    mitigation techniques, including mechanical dispersal, may be 
    identified in the response plan provided they are in accordance with 
    the NCP and the applicable ACP. Resources identified for plan credit 
    should be capable of being on scene within 12 hours of a discovery of a 
    discharge. Identification of these resources does not imply that they 
    will be authorized for use. Actual authorization for use during a spill 
    response will be governed by the provisions of the NCP and the 
    applicable ACP.
    
    
    Sec. 154.1228  Methods of ensuring the availability of response 
    resources by contract or other approved means.
    
        (a) When required in this subpart, the availability of response 
    resources must be ensured by the following methods:
        (1) The identification of an oil spill removal organization with 
    specified equipment and personnel available within stipulated response 
    times in specified geographic areas. The organization must provide 
    written consent to being identified in the plan;
        (2) A document which----
        (i) Identifies the personnel, equipment, and services capable of 
    being provided by the oil spill removal organization within stipulated 
    response times in the specified geographic areas;
        (ii) Sets out the parties' acknowledgment that the oil spill 
    removal organization intends to commit the resources in the event of a 
    response;
        (iii) Permits the Coast Guard to verify the availability of the 
    identified response resources through tests, inspections, and drills;
        (iv) Is referenced in the response plan;
        (3) Active membership in a local or regional oil spill removal 
    organization that has identified specified personnel and equipment 
    required under this subpart that are available to response to a 
    discharge within stipulated response times in the specified geographic 
    areas;
        (4) Certification by the facility owner or operator that specified 
    personnel and equipment required under this subpart are owned, 
    operated, or under the direct control of the facility owner or 
    operator, and are available within stipulated response times in the 
    specified geographic areas; or
        (5) A written contractual agreement with an oil spill removal 
    organization. The agreement must identify and ensure the availability 
    of specified personnel and equipment required under this subpart within 
    stipulated response times in the specified geographic areas.
        (b) The contracts and documents required in paragraph (a) of this 
    section must be retained at the facility and must be produced for 
    review upon request by the COTP.
        5. Subpart I, consisting of Secs. 154.1310 through 154.1325, is 
    added to read as follows:
    
    Subpart I--Response Plans for Other Non-Petroleum Oil Facilities
    
    Sec.
    154.1310  Purpose and applicability.
    154.1320  Response plan submission requirements.
    154.1325  Response plan development and evaluation criteria for 
    facilities that handle, store, or transport other non-petroleum 
    oils.
    
    Subpart I--Response Plans for Other Non-Petroleum Oil Facilities
    
    
    Sec. 154.1310  Purpose and applicability.
    
        This subpart establishes oil spill response planning requirements 
    for an owner or operator of a facility that handles, stores, or 
    transports other non-petroleum oils. The requirements of this subpart 
    are intended for use in developing response plans and identifying 
    response resources during the planning process. They are not 
    performance standards.
    
    
    Sec. 154.1320  Response plan submission requirements.
    
        An owner or operator of a facility that handles, stores, or 
    transports other non-petroleum oils shall submit a response plan in 
    accordance with the requirements of this subpart, and with all sections 
    of subpart F of this part, except Secs. 154.1045 and 154.1047, which 
    apply to petroleum oils.
    
    
    Sec. 154.1325  Response plan development and evaluation criteria for 
    facilities that handle, store, or transport other non-petroleum oils.
    
        (a) An owner or operator of a facility that handles, stores, or 
    transports other non-petroleum oils must provide information in his or 
    her plan that identifies--
        (1) Procedures and strategies for responding to a worst case 
    discharge of other non-petroleum oils to the maximum extent 
    practicable; and
        (2) Sources of the equipment and supplies necessary to locate, 
    recover, and mitigate such a discharge.
    
    [[Page 7933]]
    
        (b) An owner or operator of a facility that handles, stores, or 
    transports other non-petroleum oils must ensure that any equipment 
    identified in a response plan is capable of operating in the conditions 
    expected in the geographic area(s) in which the facility operates using 
    the criteria in Table 1 of appendix C of this part. When evaluating the 
    operability of equipment, the facility owner or operator must consider 
    limitations that are identified in the ACPs for the COTP zone in which 
    the facility is located, including--
        (1) Ice conditions;
        (2) Debris;
        (3) Temperature ranges; and
        (4) Weather-related visibility.
        (c) The owner or operator of a facility that handles, stores, or 
    transports other non-petroleum oils must identify the response 
    resources that are available by contract or other approved means as 
    described in Sec. 154.1028(a). The equipment identified in a response 
    plan must include--
        (1) Containment boom, sorbent boom, or other methods for containing 
    oil floating on the surface or to protect shorelines from impact;
        (2) Oil recovery devices appropriate for the type of other non-
    petroleum oils handled; and
        (3) Other appropriate equipment necessary to respond to a discharge 
    involving the type of oil handled.
        (d) Response resources identified in a response plan under 
    paragraph (c) of this section must be capable of commencing an 
    effective on-scene response within the times specified in this 
    paragraph for the applicable operating area:
    
    ------------------------------------------------------------------------
                                                        Tier 1   Tier   Tier
                                                        (hrs.)    2      3  
    ------------------------------------------------------------------------
    Higher volume port area...........................       6    N/A    N/A
    Great Lakes.......................................      12    N/A    N/A
    All other river and canal, inland, nearshore, and                       
     offshore areas...................................      12    N/A    N/A
    ------------------------------------------------------------------------
    
        (e) A response plan for a facility that handles, stores, or 
    transports other non-petroleum oils must identify response resources 
    with firefighting capability. The owner or operator of a facility that 
    does not have adequate firefighting resources located at the facility 
    or that cannot rely on sufficient local firefighting resources must 
    identify and ensure, by contract or other approved means as described 
    in Sec. 154.1028(a), the availability of adequate firefighting 
    resources. The response plan must also identify an individual located 
    at the facility to work with the fire department on other non-petroleum 
    oil fires. This individual shall also verify that sufficient well-
    trained firefighting resources are available within a reasonable 
    response time to a worst case scenario. The individual may be the 
    qualified individual as defined in Sec. 154.1020 and identified in the 
    response plan or another appropriate individual located at the 
    facility.
        (f) The response plan for a facility that is located in any 
    environment with year-round preapproval for use of dispersants and that 
    handles, stores, or transports other non-petroleum oils may request a 
    credit for up to 25 percent of the worst case planning volume set forth 
    by subpart F of this part. To receive this credit, the facility owner 
    or operator must identify in the plan and ensure, by contract or other 
    approved means as described in Sec. 154.1028(a), the availability of 
    specified resources to apply the dispersants and to monitor their 
    effectiveness. The extent of the credit will be based on the volumes of 
    the dispersant available to sustain operations at the manufacturers' 
    recommended dosage rates. Identification of these resources does not 
    imply that they will be authorized for use. Actual authorization for 
    use during a spill response will be governed by the provisions of the 
    NCP and the applicable ACP.
        6. Appendix C is revised to read as follows:
    
    Appendix C--Guidelines for Determining and Evaluating Required Response 
    Resources for Facility Response Plans
    
    1. Purpose
    
        1.1  The purpose of this appendix is to describe the procedures 
    for identifying response resources to meet the requirements of 
    subpart F of this part. These guidelines will be used by the 
    facility owner or operator in preparing the response plan and by the 
    Captain of the Port (COTP) when reviewing them. Response resources 
    identified in subparts H and I of this part should be selected using 
    the guidelines in section 2 and Table 1 of this appendix.
    
    2. Equipment Operability and Readiness
    
        2.1  All equipment identified in a response plan must be 
    designed to operate in the conditions expected in the facility's 
    geographic area. These conditions vary widely based on location and 
    season. Therefore, it is difficult to identify a single stockpile of 
    response equipment that will function effectively in each geographic 
    location.
        2.2  Facilities handling, storing, or transporting oil in more 
    than one operating environment as indicated in Table 1 of this 
    appendix must identify equipment capable of successfully functioning 
    in each operating environment.
        2.3  When identifying equipment for response plan credit, a 
    facility owner or operator must consider the inherent limitations in 
    the operability of equipment components and response systems. The 
    criteria in Table 1 of this appendix should be used for evaluating 
    the operability in a given environment. These criteria reflect the 
    general conditions in certain operating areas.
        2.3.1  The Coast Guard may require documentation that the boom 
    identified in a response plan meets the criteria in Table 1. Absent 
    acceptable documentation, the Coast Guard may require that the boom 
    be tested to demonstrate that it meets the criteria in Table 1. 
    Testing must be in accordance with ASTM F 715, ASTM F 989, or other 
    tests approved by the Coast Guard.
        2.4  Table 1 of this appendix lists criteria for oil recovery 
    devices and boom. All other equipment necessary to sustain or 
    support response operations in the specified operating environment 
    must be designed to function in the same conditions. For example, 
    boats which deploy or support skimmers or boom must be capable of 
    being safely operated in the significant wave heights listed for the 
    applicable operating environment.
        2.5  A facility owner or operator must refer to the applicable 
    local contingency plan or ACP, as appropriate, to determine if ice, 
    debris, and weather-related visibility are significant factors in 
    evaluating the operability of equipment. The local contingency plan 
    or ACP will also identify the average temperature ranges expected in 
    the facility's operating area. All equipment identified in a 
    response plan must be designed to operate within those conditions or 
    ranges.
        2.6  The requirements of subparts F, G, H and I of this part 
    establish response resource mobilization and response times. The 
    distance of the facility from the storage location of the response 
    resources must be used to determine whether the resources can arrive 
    on scene within the stated time. A facility owner or operator shall 
    include the time for notification, mobilization, and travel time of 
    response resources identified to meet the maximum most probable 
    discharge and Tier 1 worst case discharge response time 
    requirements. For subparts F and G, tier 2 and 3 response resources 
    must be notified and mobilized as necessary to meet the requirements 
    for arrival on scene in accordance with Secs. 154.1045 or 154.1047 
    of subpart F, or Sec. 154.1135 of subpart G, as appropriate. An on 
    water speed of 5 knots and a land speed of 35 miles per hour is 
    assumed unless the facility owner or operator can demonstrate 
    otherwise.
        2.7  For subparts F and G, in identifying equipment, the 
    facility owner or operator shall list the storage location, 
    quantity, and manufacturer's make and model. For oil recovery 
    devices, the effective daily recovery capacity, as determined using 
    section 6 of this appendix must be included. For boom, the overall 
    boom height (draft plus freeboard) should be included. A facility 
    owner or operator is responsible for ensuring that identified boom 
    has compatible connectors.
        2.8  For subparts H and I, in identifying equipment, the 
    facility owner or operator shall list the storage location, 
    quantity, and manufacturer's make and model. For boom, 
    
    [[Page 7934]]
    the overall boom height (draft plus freeboard) should be included. A 
    facility owner or operator is responsible for ensuring that 
    identified boom has compatible connectors.
    
    3. Determining Response Resources Required for the Average Most 
    Probable Discharge
    
        3.1  A facility owner or operator shall identify sufficient 
    response resources available, through contract or other approved 
    means as described in Sec. 154.1028(a), to respond to the average 
    most probable discharge. The equipment must be designed to function 
    in the operating environment at the point of expected use.
        3.2  The response resources must include:
        3.2.1  1,000 feet of containment boom or two times the length of 
    the largest vessel that regularly conducts oil transfers to or from 
    the facility, whichever is greater, and a means deploying it 
    available at the spill site within 1 hour of the discovery of a 
    spill.
        3.2.2  Oil recovery devices with an effective daily recovery 
    capacity equal to the amount of oil discharged in an average most 
    probable discharge or greater available at the facility within 2 
    hours of the detection of an oil discharge.
        3.2.3  Oil storage capacity for recovered oily material 
    indicated in section 9.2 of this appendix.
    
    4. Determining Response Resources Required for the Maximum Most 
    Probable Discharge
    
        4.1  A facility owner or operator shall identify sufficient 
    response resources available, by contract or other approved means as 
    described in Sec. 154.1028(a), to respond to discharges up to the 
    maximum most probable discharge volume for that facility. This will 
    require response resources capable of containing and collecting up 
    to 1,200 barrels of oil or 10 percent of the worst case discharge, 
    whichever is less. All equipment identified must be designed to 
    operate in the applicable operating environment specified in Table 1 
    of this appendix.
        4.2  Oil recovery devices identified to meet the applicable 
    maximum most probable discharge volume planning criteria must be 
    located such that they arrive on scene within 6 hours in higher 
    volume port areas (as defined in 154.1020) and the Great Lakes and 
    within 12 hours in all other areas.
        4.3  Because rapid control, containment, and removal of oil is 
    critical to reduce spill impact, the effective daily recovery 
    capacity for oil recovery devices must equal 50 percent of the 
    planning volume applicable for the facility as determined in section 
    4.1 of this appendix. The effective daily recovery capacity for oil 
    recovery devices identified in the plan must be determined using the 
    criteria in section 6 of this appendix.
        4.4  In addition to oil recovery capacity, the plan must 
    identify sufficient quantities of containment boom available, by 
    contract or other approved means as described in Sec. 154.1028(a), 
    to arrive within the required response times for oil collection and 
    containment and for protection of fish and wildlife and sensitive 
    environments. While the regulation does not set required quantities 
    of boom for oil collection and containment, the response plan must 
    identify and ensure, by contract or other approved means as 
    described in Sec. 154.1028(a), the availability of the boom 
    identified in the plan for this purpose.
        4.5  The plan must indicate the availability of temporary 
    storage capacity to meet the guidelines of section 9.2 of this 
    appendix. If available storage capacity is insufficient to meet this 
    level, then the effective daily recovery capacity must be derated to 
    the limits of the available storage capacity.
        4.6  The following is an example of a maximum most probable 
    discharge volume planning calculation for equipment identification 
    in a higher volume port area: The facility's worst case discharge 
    volume is 20,000 barrels. Ten percent of this is 2,000 barrels. 
    Since this is greater than 1,200 barrels, 1,200 barrels is used as 
    the planning volume. The effective daily recovery capacity must be 
    50 percent of this, or 600 barrels per day. The ability of oil 
    recovery devices to meet this capacity will be calculated using the 
    procedures in section 6 of this appendix. Temporary storage capacity 
    available on scene must equal twice the daily recovery rate as 
    indicated in section 9 of this appendix, or 1,200 barrels per day. 
    This is the information the facility owner or operator will use to 
    identify and ensure the availability of, through contract or other 
    approved means as described in Sec. 154.1028(a), the required 
    response resources. The facility owner will also need to identify 
    how much boom is available for use.
    
    5. Determining Response Resources Required for the Worst Case 
    Discharge to the Maximum Extent Practicable
    
        5.1  A facility owner or operator shall identify and ensure 
    availability of, by contract or other approved means, as described 
    in Sec. 154.1028(a), sufficient response resources to respond to the 
    worst case discharge of oil to the maximum extent practicable. 
    Section 7 of this appendix describes the method to determine the 
    required response resources.
        5.2  Oil spill response resources identified in the response 
    plan and available through contract or other approved means, as 
    described in Sec. 154.1028(a), to meet the applicable worst case 
    discharge planning volume must be located such that they can arrive 
    at the scene of a discharge within the times specified for the 
    applicable response tiers listed in Sec. 154.1045.
        5.3  The effective daily recovery capacity for oil recovery 
    devices identified in a response plan must be determined using the 
    criteria in section 6 of this appendix. A facility owner or operator 
    shall identify the storage locations of all response resources that 
    must be used to fulfill the requirements for each tier. The owner or 
    operator of a facility whose required daily recovery capacity 
    exceeds the applicable response capability caps in Table 5 of this 
    appendix shall identify sources of additional equipment, their 
    locations, and the arrangements made to obtain this equipment during 
    a response. The owner or operator of a facility whose calculated 
    planning volume exceeds the applicable contracting caps in Table 5 
    shall identify sources of additional equipment equal to twice the 
    cap listed in Tiers 1, 2, and 3 or the amount necessary to reach the 
    calculated planning volume, whichever is lower. The resources 
    identified above the cap must be capable of arriving on scene not 
    later than the Tiers 1, 2, and 3 response times in Sec. 154.1045. No 
    contract is required. While general listings of available response 
    equipment may be used to identify additional sources, a response 
    plan must identify the specific sources, locations, and quantities 
    of equipment that a facility owner or operator has considered in his 
    or her planning. When listing Coast Guard classified oil spill 
    removal organization(s) which have sufficient removal capacity to 
    recover the volume above the response capability cap for the 
    specific facility, as specified in Table 5 of this appendix, it is 
    not necessary to list specific quantities of equipment.
        5.4  A facility owner or operator shall identify the 
    availability of temporary storage capacity to meet the requirements 
    of section 9.2 of this appendix. If available storage capacity is 
    insufficient to meet this requirement, then the effective daily 
    recovery capacity must be derated to the limits of the availabile 
    storage capacity.
        5.5  When selecting response resources necessary to meet the 
    response plan requirements, the facility owner or operator must 
    ensure that a portion of those resources are capable of being used 
    in close-to-shore response activities in shallow water. The 
    following percentages of the on-water response equipment identified 
    for the applicable geographic area must be capable of operating in 
    waters of 6 feet or less depth:
        (i) Offshore--10 percent
        (ii) Nearshore/inland/Great Lakes/rivers and canals--20 percent.
        5.6  In addition to oil spill recovery devices, a facility owner 
    or operator shall identify sufficient quantities of boom that are 
    available, by contract or other approved means as described in 
    Sec. 154.1028(a), to arrive on scene within the required response 
    times for oil containment and collection. The specific quantity of 
    boom required for collection and containment will depend on the 
    specific recovery equipment and strategies employed. A facility 
    owner or operator shall also identify sufficient quantities of oil 
    containment boom to protect fish and wildlife and sensitive 
    environments for the number of days and geographic areas specified 
    in Table 2. Sections 154.1035(b)(4)(iii) and 154.1040(a), as 
    appropriate, shall be used to determine the amount of containment 
    boom required, through contract or other approved means as described 
    in Sec. 154.1028(a), to protect fish and wildlife and sensitive 
    environments.
        5.7  A facility owner or operator must also identify, through 
    contract or other approved means as described in Sec. 154.1028(a), 
    the availability of an oil spill removal organization capable of 
    responding to a shoreline cleanup operation involving the calculated 
    volume of oil and emulsified oil that might impact the affected 
    shoreline. The volume of oil that must be planned for is calculated 
    through the application of factors contained in Tables 2 and 3. The 
    volume 
    
    [[Page 7935]]
    calculated from these tables is intended to assist the facility owner 
    or operator in identifying a contractor with sufficient resources 
    and expertise. This planning volume is not used explicitly to 
    determine a required amount of equipment and personnel.
    
    6. Determining Effective Daily Recovery Capacity for Oil Recovery 
    Devices
    
        6.1  Oil recovery devices identified by a facility owner or 
    operator must be identified by manufacturer, model, and effective 
    daily recovery capacity. These rates must be used to determine 
    whether there is sufficient capacity to meet the applicable planning 
    critieria for the average most probable discharge, maximum most 
    probable discharge, and worst case discharge to the maximum extent 
    practicable.
        6.2  For the purpose of determining the effective daily recovery 
    capacity of oil recovery devices, the formula listed in section 
    6.2.1 of this appendix will be used. This method considers potential 
    limitations due to available daylight, weather, sea state, and 
    percentage of emulsified oil in the recovered material. The Coast 
    Guard may assign a lower efficiency factor to equipment listed in a 
    response plan if it determines that such a reduction is warranted.
        6.2.1  The following formula must be used to calculate the 
    effective daily recovery capacity:
    
    R=T x 24 hours x E
    
    R=Effective daily recovery capacity
    T=Throughout rate in barrels per hour (nameplate capacity)
    E=20 percent Efficiency factor (or lower factor as determined by 
    Coast Guard)
    
        6.2.2  For those devices in which the pump limits the throughput 
    of liquid, throughput rate will be calculated using the pump 
    capacity.
        6.2.3  For belt or mop type devices, the throughput rate will be 
    calculated using the speed of the belt or mop through the device, 
    assumed thickness of oil adhering to or collected by the device, and 
    surface area of the belt or mop. For purposes of this calculation, 
    the assumed thickness of oil will be 1/4 inch.
        6.2.4  Facility owners or operators including oil recovery 
    devices whose throughput is not measurable using a pump capacity or 
    belt/mop speed may provide information to support an alternative 
    method of calculation. This information must be submitted following 
    the procedures in paragraph 6.3.2 of this appendix.
        6.3  As an alternative to 6.2, a facility owner or operator may 
    submit adequate evidence that a different effective daily recovery 
    capacity should be applied for a specific oil recovery device. 
    Adequate evidence is actual verified performance data in spill 
    conditions or tests using ASTM F 631, ASTM F 808, or an equivalent 
    test approved by the Coast Guard.
        6.3.1  The following formula must be used to calculate the 
    effective daily recovery capacity under this alternative:
    
    R=D x U
    
    R=Effective daily recovery capacity
    D=Average Oil Recovery Rate in barrels per hour (Item 26 in ASTM F 
    808; Item 13.1.15 in ASTM F 631; or actual performance data)
    U=Hours per day that a facility owner or operator can document 
    capability to operate equipment under spill conditions. Ten hours 
    per day must be used unless a facility owner or operator can 
    demonstrate that the recovery operation can be sustained for longer 
    periods.
    
        6.3.2  A facility owner or operator proposing a different 
    effective daily recovery rate for use in a response plan shall 
    provide data for the oil recovery devices listed. The following is 
    an example of these calculations:
        A weir skimmer identified in a response plan has a 
    manufacturer's rated throughput at the pump of 267 gallons per 
    minute (gpm).
    
    267 gpm=381 barrels per hour
    R=381 x 24 x .2=1829 barrels per day
    
        After testing using ASTM procedures, the skimmer's oil recovery 
    rate is determined to be 220 gpm. The facility owner of operator 
    identifies sufficient response resources available to support 
    operations 12 hours per day.
    
    220 gpm=314 barrels per hour
    R=314 x 12=3768 barrels per day
    
        The facility owner or operator will be able to use the higher 
    rate if sufficient temporary oil storage capacity is available. 
    Determinations of alternative efficiency factors under paragraph 6.2 
    or alternative effective daily recovery capacities under paragraph 
    6.3 of this appendix will be made by Commandant, (G-MEP-6), Coast 
    Guard Headquarters, 2100 Second Street SW., Washington, DC 20593. 
    Response contractors or equipment manufacturers may submit required 
    information on behalf of multiple facility owners or operators 
    directly in lieu of including the request with the response plan 
    submission.
    
    7. Calculating the Worst Case Discharge Planning Volumes
    
        7.1  The facility owner or operator shall plan for a response to 
    a facility's worst case discharge. The planning for on-water 
    recovery must take into account a loss of some oil to the 
    environment due to evaporative and natural dissipation, potential 
    increases in volume due to emulsification, and the potential for 
    deposit of some oil on the shoreline.
        7.2  The following procedures must be used to calculate the 
    planning volume used by a facility owner or operator for determining 
    required on water recovery capacity:
        7.2.1  The following must be determined: The worst case 
    discharge volume of oil in the facility; the appropriate group(s) 
    for the type of oil handled, stored, or transported at the facility 
    (non-persistent (Group I) or persistent (Groups II, III, or IV)); 
    and the facility's specific operating area. Facilities which handle, 
    store, or transport oil from different petroleum oil groups must 
    calculate each group separately. This information is to be used with 
    Table 2 of this appendix to determine the percentages of the total 
    volume to be used for removal capacity planning. This table divides 
    the volume into three categories: Oil lost to the environment; oil 
    deposited on the shoreline; and oil available for on-water recovery.
        7.2.2  The on-water oil recovery volume must be adjusted using 
    the appropriate emulsification factor found in Table 3 of this 
    appendix. Facilities which handle, store, or transport oil from 
    different petroleum groups must assume that the oil group resulting 
    in the largest on-water recovery volume will be stored in the tank 
    or tanks identified as constituting the worst case discharge.
        7.2.3  The adjusted volume is multiplied by the on-water oil 
    recovery resource mobilization favor found in Table 4 of this 
    appendix from the appropriate operating area and response tier to 
    determine the total on-water oil recovery capacity in barrels per 
    day that must be identified or contracted for to arrive on-scene 
    with the applicable time for each response tier. Three tiers are 
    specified. For higher volume port areas, the contracted tiers of 
    resources must be located such that they can arrive on scene within 
    6, 30, and 54 hours of the discovery of an oil discharge. For all 
    other river, inland, nearshore, offshore areas, and the Great Lakes, 
    these tiers are 12, 36, and 60 hours.
        7.2.4  The resulting on-water recovery capacity in barrels per 
    day for each tier must be used to identify response resources 
    necessary to sustain operations in the applicable operating area. 
    The equipment must be capable of sustaining operations for the time 
    period specified in Table 2 of this appendix. The facility owner or 
    operator must identify and ensure the availability, through contract 
    or other approved means as described in Sec. 154.1028(a), of 
    sufficient oil spill recovery devices to provide the effective daily 
    recovery oil recovery capacity required. If the required capacity 
    exceeds the applicable cap specified in Table 5 of this appendix, 
    then a facility owner or operator shall ensure, by contract or other 
    approved means as described in Sec. 154.1028(a), only for the 
    quantity of resources required to meet the cap, but shall identify 
    sources of additional resources as indicated in Sec. 154.1045(m). 
    The owner or operator of a facility whose planning volume exceeds 
    the cap for 1993 must make arrangements to identify and ensure the 
    availability, through contract or other approved means as described 
    in Sec. 154.1028(a), of the additional capacity in 1998 or 2003, as 
    appropriate. For a facility that handles, stores, or transports 
    multiple groups of oil, the required effective daily recovery 
    capacity for each group is calculated before applying the cap.
        7.3  The following procedures must be used to calculate the 
    planning volume for identifying shoreline cleanup capacity:
        7.3.1  The following must be determined: The worst case 
    discharge volume of oil for the facility; the appropriate group(s) 
    for the type of oil handled, stored, or transported at the facility 
    (non-persistent (Group I) or persistent (Groups II, III, or IV)); 
    and the operating area(s) in which the facility operates. For a 
    facility storing oil from different groups, each group must be 
    calculated separately. Using this information, Table 2 of this 
    appendix must be used to determine the percentages of the total 
    
    [[Page 7936]]
    planning volume to be used for shoreline cleanup resource planning.
        7.3.2  The shoreline cleanup planning volume must be adjusted to 
    reflect an emulsification factor using the same procedure as 
    described in section 7.2.2.
        7.3.3  The resulting volume will be used to identify an oil 
    spill removal organization with the appropriate shoreline cleanup 
    capability.
        7.3.4  The following is an example of the procedure described 
    above: A facility receives oil from barges via a dock located on a bay 
    and transported by piping to storage tanks. The facility handles Number 
    6 oil (specific gravity .96) and stores the oil in tanks where it is 
    held prior to being burned in an electric generating plant. The MTR 
    segment of the facility has six 18-inch diameter pipelines running one 
    mile from the dock-side manifold to several storage tanks which are 
    located in the non-transportation-related portion of the facility. 
    Although the facility piping has a normal working pressure of 100 
    pounds per square inch, the piping has a maximum allowable working 
    pressure (MAWP) of 150 pounds per square inch. At MAWP, the pumping 
    system can move 10,000 barrels (bbls) of Number 6 oil every hour 
    through each pipeline. The facility has a roving watchman who is 
    required to drive the length of the piping every 2 hours when the 
    facility is receiving oil from a barge. The facility operator estimates 
    that it will take approximately 10 minutes to secure pumping operations 
    when a discharge is discovered. Using the definition of worst case 
    discharge provided in Sec. 154.1029(b)(ii), the following calculation 
    is provided:
    
                                                                            
                                                                       bbls.
                                                                            
    2 hrs + 0.17 hour  x  10,000 bbls per hour....................    21,700
    Piping volume = 37,322 ft \3\  5.6 ft \3\/bbl.........    +6,664
                                                                   ---------
    Discharge volume per pipe.....................................    28,364
    Number of pipelines...........................................       x 6
                                                                   ---------
    Worst case discharge from MTR facility........................   170,184
                                                                            
    
        To calculate the planning volumes for onshore recovery:
    
    Worst case discharge: 170,184 bbls. Group IV oil
    Emulsification factor (from Table 3): 1.4
    Operating Area impacted: Inland
    Planned percent oil onshore recovery (from Table 2): Inland 70%
    Planning volumes for onshore recovery: Inland 170,184  x .7  x  1.4 
    = 166,780 bbls.
    
        Conclusion: The facility owner or operator must contract with a 
    response resource capable of managing a 166,780 barrel shoreline 
    cleanup.
        To calculate the planning volumes for on-water recovery:
    
    Worst case discharge: 170,184 bbls. Group IV oil
    Emulsification factor (from Table 3): 1.4
    Operating Area impacted: Inland
    Planned percent oil on-water recovery (from Table 2): Inland 50%
    Planning volumes for on-water recovery: Inland 170,184  x  .5  x  
    1.4 = 119,128 bbls.
    
        To determine the required resources for on-water recovery for 
    each tier, use the mobilization factors from Table 4:
    
    ------------------------------------------------------------------------
                                                    Tier 1   Tier 2   Tier 3
    ------------------------------------------------------------------------
    Inland = 119,128 bbls........................    x  .1                  
                                                         5    x  .2         
                                                                  5    x  .4
                                                                           0
                                                  --------------------------
    Barrels per day (pbd)........................   17,869   29,782   47,652
    ------------------------------------------------------------------------
    
        Conclusion: Since the requirements for all tiers for inland 
    exceed the caps, the facility owner will only need to contract for 
    10,000 bpd for Tier 1, 20,000 bpd for Tier 2, and 40,000 bpd for 
    Tier 3. Sources for the bpd on-water recovery resources above the 
    caps for all three Tiers need only be identified in the response 
    plan.
        Twenty percent of the capability for Inland, for all tiers, must 
    be capable of operating in water with a depth of 6 feet or less.
        The facility owner or operator will also be required to identify 
    or ensure, by contract or other approved means as described in 
    Sec. 154.1028(a), sufficient response resources required under 
    Secs. 154.1035(b)(4) and 154.1045(k) to protect fish and wildlife 
    and sensitive environments identified in the response plan for the 
    worst case discharge from the facility.
        The COTP has the discretion to accept that a facility can 
    operate only a limited number of the total pipelines at a dock at a 
    time. In those circumstances, the worst case discharge must include 
    the drainage volume from the piping normally not in use in addition 
    to the drainage volume and volume of oil discharged during discovery 
    and shut down of the oil discharge from the operating piping.
    
    8. Determining the Availability of Alternative Response Methods
    
        8.1  Response plans for facilities that handle, store, or 
    transport Groups II or III persistent oils that operate in an area 
    with year-round preapproval for dispersant use may receive credit 
    for up to 25 percent of their required on-water recovery capacity 
    for 1993 if the availability of these resources is ensured by 
    contract or other approved means as described in Sec. 154.1028(a). 
    For response plan credit, these resources must be capable of being 
    on-scene within 12 hours of a discharge.
        8.2  To receive credit against any required on-water recover 
    capacity a response plan must identify the locations of dispersant 
    stockpiles, methods of shipping to a staging area, and appropriate 
    aircraft, vessels, or facilities to apply the dispersant and monitor 
    its effectiveness at the scene of an oil discharge.
        8.2.1  Sufficient volumes of dispersants must be available to 
    treat the oil at the dosage rate recommended by the dispersant 
    manufacturer. Dispersants identified in a response plan must be on 
    the NCP Product Schedule that is maintained by the Environmental 
    Protection Agency. (Some states have a list of approved dispersants 
    and within state waters only they can be used.)
        8.2.2  Dispersant application equipment identified in a response 
    plan for credit must be located where it can be mobilized to 
    shoreside staging areas to meet the time requirements in section 8.1 
    of this appendix. Sufficient equipment capacity and sources of 
    appropriate dispersants should be identified to sustain dispersant 
    application operations for at least 3 days.
        8.2.3  Credit against on-water recovery capacity in preapproved 
    areas will be based on the ability to treat oil at a rate equivalent 
    to this credit. For example, a 2,500 barrel credit against the Tier 
    1 10,000 barrel on-water cap would require the facility owner or 
    operator to demonstrate the ability to treat 2,500 barrel/day of oil 
    at the manufacturers recommended dosage rate. Assuming a dosage rate 
    of 10:1, the plan would need to show stockpiles and sources of 250 
    barrels of dispersants at a rate of 250 barrels per day and the 
    ability to apply the dispersant at that daily rate for 3 days in the 
    geographic area in which the facility is located. Similar data would 
    need to be provided for any additional credit against Tier 2 and 3 
    resources.
        8.3  In addition to the equipment and supplies required, a 
    facility owner or operator shall identify a source of support to 
    conduct the monitoring and post-use effectiveness evaluation 
    required by applicable regional plans and ACPs.
        8.4  Identification of the response resources for dispersant 
    application does not imply that the use of this technique will be 
    authorized. Actual authorization for use during a spill response 
    will be governed by the provisions of the NCP and the applicable 
    regional plan or ACP. A facility owner or operator who operates a 
    facility in areas with year-round preapproval of dispersant can 
    reduce the required on-water recovery capacity for 1993 up to 25 
    percent. A facility owner or operator may reduce the required on 
    water recovery cap increase for 1998 and 2003 up to 50 percent by 
    identifying pre-approved alternative response methods.
        8.5  In addition to the credit identified above, a facility 
    owner or operator that operates in a year-round area pre-approved 
    for dispersant use may reduce their required on water recovery cap 
    increase for 1998 and 2003 by up to 50 percent by identifying non-
    mechanical methods.
        8.6  The use of in-situ burning as a non-mechanical response 
    method is still being studied. Because limitations and uncertainties 
    remain for the use of this method, it may not be used to reduce 
    required oil recovery capacity in 1993.
    
    9. Additional Equipment Necessary to Sustain Response Operations
    
        9.1  A facility owner or operator is responsible for ensuring 
    that sufficient numbers of trained personnel and boats, aerial 
    spotting aircraft, containment boom, sorbent materials, boom 
    anchoring materials, and other supplies are available to sustain 
    
    [[Page 7937]]
    response operations to completion. All such equipment must be suitable 
    for use with the primary equipment identified in the response plan. 
    A facility owner or operator is not required to list these response 
    resources, but shall certify their availability.
        9.2  A facility owner or operator shall evaluate the 
    availability of adequate temporary storage capacity to sustain the 
    effective daily recovery capacities from equipment identified in the 
    plan. Because of the inefficiencies of oil spill recovery devices, 
    response plans must identify daily storage capacity equivalent to 
    twice the effective daily recovery rate required on scene. This 
    temporary storage capacity may be reduced if a facility owner or 
    operator can demonstrate by waste stream analysis that the 
    efficiencies of the oil recovery devices, ability to decant waste, 
    or the availability of alternative temporary storage or disposal 
    locations will reduce the overall volume of oily material storage 
    requirement.
        9.3  A facility owner or operator shall ensure that his or her 
    planning includes the capability to arrange for disposal of 
    recovered oil products. Specific disposal procedures will be 
    addressed in the applicable ACP.
    
                           Table 1.--Response Resource Operating Criteria Oil Recovery Devices                      
                                                                                                                    
                Operating environment                           Significant wave height \1\               Sea State 
    Rivers and Canals............................  1 Foot...................................            1
    Inland.......................................  3 feet...................................            2
    Great Lakes..................................  4 feet...................................          2-3
    Ocean........................................  6 feet...................................          3-4
                                                          BOOM                                                      
    
    
    ----------------------------------------------------------------------------------------------------------------
                                                                                        Use                         
                                                             -------------------------------------------------------
                          Boom property                        Rivers and                                           
                                                                 canals        Inland      Great Lakes      Ocean   
    ----------------------------------------------------------------------------------------------------------------
    Significant Wave Height \1\.............................  1  3  4  6
    Sea State...............................................             1             2           2-3           3-4
    Boom height--in. (draft plus freeboard).................          6-18         18-42         18-42  4
                                                                                                                   2
    Reserve Buoyancy to Weight Ratio........................           2:1           2:1           2:1    3:1 to 4:1
    Total Tensile Strength--lbs.............................         4,500     15-20,000     15-20,000  2
                                                                                                               0,000
    Skirt Fabric Tensile Strength--lbs......................           200           300           300           500
    Skirt Fabric Tear Strength--lbs.........................           100           100           100           125
    ----------------------------------------------------------------------------------------------------------------
    \1\ Oil recovery devices and boom must be at least capable of operating in wave heights up to and including the 
      values listed in Table 1 for each operating environment.                                                      
    
    
                                                            Table 2.--Removal Capacity Planning Table                                                       
    --------------------------------------------------------------------------------------------------------------------------------------------------------
                      Spill location                            Rivers and canals           Nearshore/inland Great Lakes                Offshore            
    --------------------------------------------------------------------------------------------------------------------------------------------------------
          Sustainability of on-water oil recovery                    3 Days                            4 Days                            6 Days             
    --------------------------------------------------------------------------------------------------------------------------------------------------------
                                                                         %                                 %                                 %              
                                                         % Natural   Recovered  % Oil on   % Natural   Recovered  % Oil on   % Natural   Recovered  % Oil on
                         Oil group                      dissipation   floating    shore   dissipation   floating    shore   dissipation   floating    shore 
                                                                        oil                               oil                               oil             
    --------------------------------------------------------------------------------------------------------------------------------------------------------
    1  Non-persistent oils............................          80          10        10          80          20        10          95           5         /
    2  Light crudes...................................          40          15        45          50          50        30          75          25         5
    3  Medium crudes and fuels........................          20          15        65          30          50        50          60          40        20
    4  Heavy crudes and fuels.........................           5          20        75          10          50        70          50          40        30
    --------------------------------------------------------------------------------------------------------------------------------------------------------
    
    
            Table 3.--Emulsification Factors for Petroleum Oil Groups       
    ------------------------------------------------------------------------
                                                                            
    ------------------------------------------------------------------------
    Non-Persistent Oil:                                                     
      Group I........................................................    1.0
    Persistent Oil:                                                         
      Group II.......................................................    1.8
      Group III......................................................    2.0
      Group IV.......................................................    1.4
    ------------------------------------------------------------------------
    
    
          Table 4.--On Water Oil Recovery Resource Mobilization Factors     
    ------------------------------------------------------------------------
                                                          Tier   Tier   Tier
                       Operating Area                      1      2      3  
    ------------------------------------------------------------------------
    Rivers & Canals....................................    .30    .40    .60
    Inland/Nearshore/Great Lakes.......................    .15    .25    .40
    Offshore...........................................    .10   .165    .21
    ------------------------------------------------------------------------
    Note: These mobilization factors are for total response resources       
      mobilized, not incremental response resources.                        
    
    
                                  Table 5.--Response Capability Caps by Operating Area                              
    ----------------------------------------------------------------------------------------------------------------
                                               Tier 1                     Tier 2                     Tier 3         
    ----------------------------------------------------------------------------------------------------------------
    February 18, 1993:                                                                                              
        All except rivers and        10K bbls/day.............  20K bbls/day.............  40K bbls/day/            
         canals, Great Lakes.                                                                                       
        Great Lakes................  5K bbls/day..............  10K bbls/day.............  20K bbls/day.            
        Rivers and canals..........  1,500 bbls/day...........  3,000 bbls/day...........  6,000 bbls/day.          
    February 18, 1998:                                                                                              
        All except rivers and        12.5K bbls/day...........  25K bbls/day.............  50K bbls/day.            
         canals, Great Lakes.                                                                                       
    
    [[Page 7938]]
                                                                                                                    
        Great Lakes................  6.35K bbls/day...........  12.3K bbls/day...........  25K bbls/day.            
        Rivers and canals..........  1,875 bbls/day...........  3,750 bbls/day...........  7,500 bbls/day.          
    February 18, 2003:                                                                                              
        All except rivers and        TBD......................  TBD......................  TBD.                     
         canals, Great Lakes.                                                                                       
        Great Lakes................  TBD......................  TBD......................  TBD.                     
        Rivers and canals..........  TBD......................  TBD......................  TBD.                     
    ----------------------------------------------------------------------------------------------------------------
    Note: The caps show cumulative overall effective daily recovery capacity, not incremental increases.            
    TBD = To be determined.                                                                                         
    
    
        7. Appendix D is revised to read as follows:
    
    Appendix D--Training Elements for Oil Spill Response Plans
    
    1. General
    
        1.1  The portion of the plan dealing with training is one of the 
    key elements of a response plan. This concept is clearly expressed 
    by the fact that Congress, in writing OPA 90, specifically included 
    training as one of the sections required in a vessel or facility 
    response plan. In reviewing submitted response plans, it has been 
    noted that the plans often do not provide sufficient information in 
    the training section of the plan for either the user or the reviewer 
    of the plan. In some cases, plans simply state that the crew and 
    others will be trained in their duties and responsibilities, with no 
    other information being provided. In other plans, information is 
    simply given that required parties will receive the necessary worker 
    safety training (HAZWOPER).
        1.2  The training section of the plan need not be a detailed 
    course syllabus, but it must contain sufficient information to allow 
    the user and reviewer (or evaluator) to have an understanding of 
    those areas that are believed to be critical. Plans should identify 
    key skill areas and the training that is required to ensure that the 
    individual identified will be capable of performing the duties 
    prescribed to them. It should also describe how the training will be 
    delivered to the various personnel. Further, this section of the 
    plan must work in harmony with those sections of the plan dealing 
    with exercises, the spill management team, and the qualified 
    individual.
        1.3  The material in this appendix D is not all-inclusive and is 
    provided for guidance only.
    
    2. Elements To Be Addressed
    
        2.1  To assist in the preparation of the training section of a 
    facility response plan, some of the key elements that should be 
    addressed are indicated in the following sections. Again, while it 
    is not necessary that the comprehensive training program for the 
    company be included in the response plan, it is necessary for the 
    plan to convey the elements that define the program as appropriate.
        2.2  An effective spill response training program should 
    consider and address the following:
        2.2.1  Notification requirements and procedures.
        2.2.2  Communication system(s) used for the notifications.
        2.2.3  Procedures to mitigate or prevent any discharge or a 
    substantial threat of a discharge of oil resulting from failure of 
    manifold, mechanical loading arm, or other transfer equipment or 
    hoses, as appropriate;
        2.2.3.1  Tank overfill;
        2.2.3.2  Tank rupture;
        2.2.3.3  Piping rupture;
        2.2.3.4  Piping leak, both under pressure and not under 
    pressure, if applicable;
        2.2.3.5  Explosion or fire;
        2.2.3.6  Equipment failure (e.g., pumping system failure, relief 
    valve failure, or other general equipment relevant to operational 
    activities associated with internal or external facility transfers).
        2.2.4  Procedures for transferring responsibility for direction 
    of response activities from facility personnel to the spill 
    management team.
        2.2.5  Familiarity with the operational capabilities of the 
    contracted oil spill removal organizations and the procedures to 
    notify the activate such organizations.
        2.2.6  Familiarity with the contracting and ordering procedures 
    to acquire oil spill removal organization resources.
        2.2.7  Familiarity with the ACP(s).
        2.2.8  Familiarity with the organizational structures that will 
    be used to manage the response actions.
        2.2.9  Responsibilities and duties of the spill management team 
    members in accordance with designated job responsibilities.
        2.2.10  Responsibilities and authority of the qualified 
    individual as described in the facility response plan and company 
    response organization.
        2.2.11  Responsibilities of designated individuals to initiate a 
    response and supervise response resources.
        2.2.12  Actions to take, in accordance with designated job 
    responsibilities, in the event of a transfer system leak, tank 
    overflow, or suspected cargo tank or hull leak.
        2.2.13  Information on the cargoes handled by the vessel or 
    facility, including familiarity with--
        2.2.13.1  Cargo material safety data sheets;
        2.2.13.2  Chemical characteristic of the cargo;
        2.2.13.3  Special handling procedures for the cargo;
        2.2.13.4  Health and safety hazards associated with the cargo; 
    and
        2.2.13.5  Spill and firefighting procedures for cargo.
        2.2.14  Occupational Safety and Health Administration 
    requirements for worker health and safety (29 CFR 1910.120).
    
    3. Further Considerations
    
        In drafting the training section of the facility response plan, 
    some further considerations are noted below (these points are raised 
    simply as a reminder):
        3.1  The training program should focus on training provided to 
    facility personnel.
        3.2  An organization is comprised of individuals, and a training 
    program should be structured to recognize this fact by ensuring that 
    training is tailored to the needs of the individuals involved in the 
    program.
        3.3  An owner or operator may identify equivalent work 
    experience which fulfills specific training requirements.
        3.4  The training program should include participation in 
    periodic announced and unannounced exercises. This participation 
    should approximate the actual roles and responsibilities of 
    individual specified in the plan.
        3.5  Training should be conducted periodically to reinforce the 
    required knowledge and to ensure an adequate degree of preparedness 
    by individuals with responsibilities under the facility response 
    plan.
        3.6  Training may be delivered via a number of different means; 
    including classroom sessions, group discussions, video tapes, self-
    study workbooks, resident training courses, on-the-job training, or 
    other means as deemed appropriate to ensure proper instruction.
        3.7  New employees should complete the training program prior to 
    being assigned job responsibilities which require participation in 
    emergency response situations.
    
    4. Conclusion
    
        The information in this appendix is only intended to assist 
    response plan preparers in reviewing the content of and in modifying 
    the training section of their response plans. It may be more 
    comprehensive than is needed for some facilities and not 
    comprehensive enough for others. The Coast Guard expects that plan 
    preparers have determined the training needs of their organizations 
    created by the development of the response plans and the actions 
    identified as necessary to increase the preparedness of the company 
    and its personnel to respond to actual or threatened discharges of 
    oil from their facilities.
    
    
    [[Page 7939]]
    
        Dated: February 15, 1996.
    A.E. Henn,
    Vice Admiral, U.S. Coast Guard, Acting Commandant.
    [FR Doc. 96-4274 Filed 2-28-96; 8:45 am]
    BILLING CODE 4910-14-M
    
    

Document Information

Effective Date:
5/29/1996
Published:
02/29/1996
Department:
Coast Guard
Entry Type:
Rule
Action:
Final rule.
Document Number:
96-4274
Dates:
May 29, 1996.
Pages:
7890-7939 (50 pages)
Docket Numbers:
CGD 91-036
RINs:
2115-AD82: Facility Response Plans (CGD 91-036)
RIN Links:
https://www.federalregister.gov/regulations/2115-AD82/facility-response-plans-cgd-91-036-
PDF File:
96-4274.pdf
CFR: (175)
33 CFR 154.100(a)
33 CFR 154.1029(a)(2)
33 CFR 154.1065(a)
33 CFR 154.1035(a)
33 CFR 154.1055(a)(3)
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