[Federal Register Volume 63, Number 241 (Wednesday, December 16, 1998)]
[Rules and Regulations]
[Pages 69390-69476]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 98-32887]
[[Page 69389]]
_______________________________________________________________________
Part IV
Environmental Protection Agency
_______________________________________________________________________
40 CFR Parts 9, 141, and 142
National Primary Drinking Water Regulations: Disinfectants and
Disinfection Byproducts; Final Rule
Federal Register / Vol. 63, No. 241 / Wednesday, December 16, 1998 /
Rules and Regulations
[[Page 69390]]
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 9, 141, and 142
[WH-FRL-6199-8]
RIN 2040-AB82
National Primary Drinking Water Regulations: Disinfectants and
Disinfection Byproducts
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
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SUMMARY: In this document, EPA is finalizing maximum residual
disinfectant level goals (MRDLGs) for chlorine, chloramines, and
chlorine dioxide; maximum contaminant level goals (MCLGs) for four
trihalomethanes (chloroform, bromodichloromethane,
dibromochloromethane, and bromoform), two haloacetic acids
(dichloroacetic acid and trichloroacetic acid), bromate, and chlorite;
and National Primary Drinking Water Regulations (NPDWRs) for three
disinfectants (chlorine, chloramines, and chlorine dioxide), two groups
of organic disinfection byproducts (total trihalomethanes (TTHMs)--a
sum of the four listed above, and haloacetic acids (HAA5)--a sum of the
two listed above plus monochloroacetic acid and mono-and dibromoacetic
acids), and two inorganic disinfection byproducts (chlorite and
bromate). The NPDWRs consist of maximum residual disinfectant levels
(MRDLs) or maximum contaminant levels (MCLs) or treatment techniques
for these disinfectants and their byproducts. The NPDWRs also include
monitoring, reporting, and public notification requirements for these
compounds. This document includes the best available technologies
(BATs) upon which the MRDLs and MCLs are based. The set of regulations
promulgated today is also know as the Stage 1 Disinfection Byproducts
Rule (DBPR). EPA believes the implementation of the Stage 1 DBPR will
reduce the levels of disinfectants and disinfection byproducts in
drinking water supplies. The Agency believes the rule will provide
public health protection for an additional 20 million households that
were not previously covered by drinking water rules for disinfection
byproducts. In addition, the rule will for the first time provide
public health protection from exposure to haloacetic acids, chlorite (a
major chlorine dioxide byproduct) and bromate (a major ozone
byproduct).
The Stage 1 DBPR applies to public water systems that are community
water systems (CWSs) and nontransient noncommunity water systems
(NTNCWs) that treat their water with a chemical disinfectant for either
primary or residual treatment. In addition, certain requirements for
chlorine dioxide apply to transient noncommunity water systems
(TNCWSs).
EFFECTIVE DATE: This regulation is effective February 16, 1999.
Compliance dates for specific components of the rule are discussed in
the Supplementary Information Section. The incorporation by reference
of certain publications listed in today's rule is approved by the
Director of the Federal Register as of February 16, 1999.
ADDRESSES: Public comments, the comment/response document, applicable
Federal Register documents, other major supporting documents, and a
copy of the index to the public docket for this rulemaking are
available for review at EPA's Drinking Water Docket: 401 M Street, SW.,
Washington, DC 20460 from 9 a.m. to 4 p.m., Eastern Standard Time,
Monday through Friday, excluding legal holidays. For access to docket
materials, please call 202/260-3027 to schedule an appointment and
obtain the room number.
FOR FURTHER INFORMATION CONTACT: For general information contact, the
Safe Drinking Water Hotline, Telephone (800) 426-4791. The Safe
Drinking Water Hotline is open Monday through Friday, excluding Federal
holidays, from 9:00 am to 5:30 pm Eastern Time. For technical
inquiries, contact Tom Grubbs, Office of Ground Water and Drinking
Water (MC 4607), U.S. Environmental Protection Agency, 401 M Street SW,
Washington, DC 20460; telephone (202) 260-7270. For Regional contacts
see Supplementary Information.
SUPPLEMENTARY INFORMATION: This regulation is effective 60 days after
publication of Federal Register document for purposes of the
Administrative Procedures Act and the Congressional Review Act.
Compliance dates for specific components of the rule are discussed
below. Solely for judicial review purposes, this final rule is
promulgated as of 1 p.m. Eastern Time December 30, 1998, as provided in
40 CFR 23.7.
Regulated entities. Entities regulated by the Stage 1 DBPR are
community and nontransient noncommunity water systems that add a
disinfectant during any part of the treatment process including a
residual disinfectant. In addition, certain provisions apply to
transient noncommunity systems that use chlorine dioxide. Regulated
categories and entities include:
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Category Examples of regulated entities
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Industry............................... Community and nontransient noncommunity water systems that treat their
water with a chemical disinfectant for either primary of residual
treatment. In addition, certain requirements for chlorine dioxide
apply to transient noncommunity water systems.
State, Local, Tribal, or Federal Same as above.
Governments.
----------------------------------------------------------------------------------------------------------------
This table is not intended to be exhaustive, but rather provides a
guide for readers regarding entities likely to be regulated by this
action. This table lists the types of entities that EPA is now aware
could potentially be regulated by this action. Other types of entities
not listed in this table could also be regulated. To determine whether
your facility is regulated by this action, you should carefully examine
the applicability criteria in Sec. 141.130 of this rule. If you have
questions regarding the applicability of this action to a particular
entity, contact one of the persons listed in the preceding FOR FURTHER
INFORMATION CONTACT section or the Regional contacts below.
Regional Contacts
I. Kevin Reilly, Water Supply Section, JFK Federal Bldg., Room 203,
Boston, MA 02203, (617) 565-3616
II. Michael Lowy, Water Supply Section, 290 Broadway 24th Floor, New
York, NY 10007-1866, (212) 637-3830
III. Jason Gambatese, Drinking Water Section (3WM41), 1650 Arch Street,
Philadelphia, PA 19103-2029, (215) 814-5759
[[Page 69391]]
IV. David Parker, Water Supply Section, 345 Courtland Street, Atlanta,
GA 30365, (404) 562-9460
V. Miguel Del Toral, Water Supply Section, 77 W. Jackson Blvd.,
Chicago, IL 60604, (312) 886-5253
VI. Blake L. Atkins, Drinking Water Section, 1445 Ross Avenue, Dallas,
TX 75202, (214) 665-2297
VII. Ralph Flournoy, Drinking Water/Ground Water Management Branch, 726
Minnesota Ave., Kansas City, KS 66101, (913) 551-7374
VIII. Bob Clement, Public Water Supply Section (8P2-W-MS), 999 18th
Street, Suite 500, Denver, CO 80202-2466, (303) 312-6653
IX. Bruce Macler, Water Supply Section, 75 Hawthorne Street, San
Francisco, CA 94105, (415) 744-1884
X. Wendy Marshall, Drinking Water Unit, 1200 Sixth Avenue (OW-136),
Seattle, WA 98101, (206) 553-1890
Abbreviations Used in This Document
AWWA: American Water Works Association
AWWSCo: American Water Works Service Company
BAT: Best available technology
BDCM: Bromodichloromethane
CDC: Centers for Disease Control and Prevention
C.I.: Confidence Intervals
CMA: Chemicals Manufacturers Association
CPE: Comprehensive performance evaluation
CWS: Community water system
DBCM: Dibromochloromethane
DBP: Disinfection byproducts
D/DBP: Disinfectants and disinfection byproducts
DBPR: Disinfection Byproducts Rule
DBPRAM: Disinfection byproducts regulatory analysis model
DCA: Dichloroacetic acid
DOC: Dissolved organic carbon
DWSRF: Drinking Water State Revolving Fund
EC: Enhanced coagulation
EJ: Environmental justice
EPA: United States Environmental Protection Agency
ESWTR: Enhanced Surface Water Treatment Rule
FACA: Federal Advisory Committee Act
GAC10: Granular activated carbon with ten minute empty bed contact time
and 180 day reactivation frequency
GAC20: Granular activated carbon with twenty minute empty bed contact
time and 180 day reactivation frequency
GDP: Gross Domestic Product
GWR: Groundwater rule
HAA5: Haloacetic acids (five)(chloroacetic acid, dichloroacetic acid,
trichloroacetic acid, bromoacetic acid, and dibromoacetic acid)
HAN: Haloacetonitriles
ICR: Information collection rule (issued under section 1412(b) of the
SDWA)
ILSI: International Life Sciences Institute
IESTWR: Interim Enhanced Surface Water Treatment Rule
LOAEL: Lowest Observed Adverse Effect Level
LT1ESTWR: Long-Term 1Enhanced Surface Water Treatment Rule
MCL: Maximum contaminant level
MCLG: Maximum contaminant level goal
M-DBP: Microbial and Disinfectants/Disinfection Byproducts
mg/L: Milligrams per liter
MRDL: Maximum residual disinfectant level
MRDLG: Maximum residual disinfectant level goal
NDWAC: National Drinking Water Advisory Council
NIST: National Institute of Science and Technology
NOAEL: No Observed Adverse Effect Level
NODA: Notice of Data Availability
NOM: Natural organic matter
NPDWR: National Primary Drinking Water Regulation
NTNCWS: Nontransient noncommunity water system
NTP: National Toxicology Program
NTTAA: National Technology Transfer and Advancement Act
NTU: Nephelometric turbidity unit
OMB: Office of Management and Budget
PAR: Population attributable risk
PBMS: Performance based measurement system
PE: Performance evaluation
PODR: Point of diminishing return
PQL: Practical quantitation limit
PWS: Public water system
QC: Quality control
Reg. Neg.: Regulatory Negotiation
RFA: Regulatory Flexibility Act
RfD: Reference dose
RIA: Regulatory impact analysis
RSC: Relative source contribution
SAB: Science Advisory Board
SBREFA: Small Business Regulatory Enforcement Fairness Act
SDWIS: Safe Drinking Water Information System
SUVA: Specific ultraviolet absorbance
SDWA: Safe Drinking Water Act, or the ``Act,'' as amended 1996
SWTR: Surface Water Treatment Rule
TC: Total coliforms
TCA: Trichloroacetic acid
TCR: Total Coliform Rule
TOC: Total organic carbon
TOX: Total organic halides
TTHM: Total trihalomethanes (chloroform, bromdichloromethane,
dibromochloromethane, and bromoform)
TNCWS: Transient noncommunity water systems
TWG: Technical work group
UMRA: Unfunded mandates reform act
URTH: Unreasonable risk to health
WIDB: Water Industry Data Base
Table of Contents
I. Background
A. Statutory Requirements and Legal Authority
B. Regulatory History
1. Existing Regulations
2. Public Health Concerns To Be Addressed
3. Regulatory Negotiation Process
4. Federal Advisory Committee Process
5. 1997 and 1998 Notices of Data Availability (NODA)
II. Summary of Final Stage 1 Disinfection Byproduct Rule
A. Applicability
B. MRDLGs and MRDLs for Disinfectants
C. MCLGs and MCLs for TTHMs, HAA5, Chlorite, and Bromate
D. Treatment Technique for Disinfection Byproducts Precursors
E. BAT for Disinfectants, TTHMs, HAA5, Chlorite, and Bromate
F. Compliance Monitoring Requirements
G. Analytical Methods
H. Laboratory Certification Criteria
I. Variances and Exemptions
J. State Recordkeeping, Primacy, Reporting Requirements
K. System Reporting Requirements
L. Guidance Manuals
M. Regulation Review
III. Explanation of Final Rule
A. MCLGs/MRDLGs
1. MCLG for Chloroform
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
2. MCLG for Bromodichloromethane (BDCM)
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
3. MCLG for Dibromochloromethane (DBCM)
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
4. MCLG for Bromoform
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
5. MCLG for Dichloroacetic Acid (DCA)
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
6. MCLG for Trichloroacetic Acid (TCA)
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
7. MCLG for Chlorite and MRDLG for Chlorine Dioxide
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
8. MCLG for Bromate
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
[[Page 69392]]
9. MCLG for Chloral Hydrate
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
10. MRDLG for Chlorine
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
11. MRDLG for Chloramine
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
B. Epidemiology
1. Cancer Epidemiology
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
2. Reproductive and Developmental Epidemiology
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
C. MCLs and BAT for TTHM, HAA5, Chlorite, and Bromate; MRDLs and
BAT for Chlorine, Chloramines, and Chlorine Dioxide
1. MCLs for TTHMs and HAA5
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
2. MCL for Bromate
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
3. MCL for Chlorite
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
4. MRDL for Chlorine
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
5. MRDL for Chloramines
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
6. MRDL for Chlorine Dioxide
a. Today's Rule
b. Background Analysis
c. Summary of Comments
D. Treatment Technique Requirement
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
E. Predisinfection Disinfection Credit
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
F. Requirements for Systems to Use Qualified Operators
G. Analytical Methods
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
4. Performance Based Measurement Systems
H. Monitoring Requirements
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
I. Compliance Schedules
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
J. Public Notice Requirements
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
K. System Reporting and Record Keeping Requirements
1. Today's Rule
2. Summary of Comments
L. State Recordkeeping, Primacy, and Reporting Requirements
1. State Recordkeeping Requirements
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
2. Special Primacy Requirements
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
3. State Reporting Requirements
a. Today's Rule
b. Background and Analysis
c. Summary of Comments
M. Variances and Exemptions
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
N. Laboratory Certification and Approval
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
IV. Economic Analysis
A. Today's Rule
B. Background
1. Overview of RIA for the Proposed Rule
2. Factors Affecting Changes to the 1994 RIA
a. Changes in Rule Criteria
b. New Information Affecting DBP Occurrence and Compliance
Forecast
c. New Epidemiology Information
C. Cost Analysis
1. Revised Compliance Forecast
2. System Level Unit Costs
3. National Costs
D. Benefits Analysis
1. Exposure Assessment
2. Baseline Risk Assessment Based on TTHM Toxicological Data
3. Baseline Analysis Based on Epidemiology Data
4. Exposure Reduction Analysis
5. Monetization of Health Endpoints
E. Net Benefits Analysis
F. Summary of Comments
V. Other Requirements
A. Regulatory Flexibility Analysis
1. Today's Rule
2. Background and Analysis
3. Summary of Comments
B. Paperwork Reduction Act
C. Unfunded Mandates Reform Act
1. Summary of UMRA Requirements
2. Written Statement for Rules with Federal Mandates of $100
million or More
a. Authorizing Legislation
b. Cost Benefit Analysis
c. Estimates of Future Compliance Costs and Disproportionate
Budgetary Effects
d. Macro-economic Effects
e. Summary of State, Local, and Tribal Government and
TheirConcerns
f. Regulatory Alternative Considered
3. Impacts on Small Governments
D. National Technology Transfer and Advancement Act
E. Executive Order 12866: Regulatory Planning and Review
F. Executive Order 12898: Environmental Justice
G. Executive Order 13045: Protection of Children from
Environmental Health Risks and Safety Risks
H. Consultation with the Science Advisory Board, National
Drinking Water Advisory Council, and the Secretary of Health and
Human Services
I. Executive Order 12875: Enhancing the Intergovernmental
Partnership
J. Executive Order 13084: Consultation and Coordination with
Indian Tribal Governments
K. Submission to Congress and the General Accounting Office
L. Likely Effect of Compliance with the Stage 1 DBPR on the
Technical, Financial, and Managerial Capacity of Public Water
Systems
VI. References
I. Background
A. Statutory Requirements and Legal Authority
The Safe Drinking Water Act (SDWA or the Act), as amended in 1986,
requires USEPA to publish a ``maximum contaminant level goal'' (MCLG)
for each contaminant which, in the judgement of the USEPA
Administrator, ``may have any adverse effect on the health of persons
and which is known or anticipated to occur in public water systems''
(Section 1412(b)(3)(A)). MCLGs are to be set at a level at which ``no
known or anticipated adverse effect on the health of persons occur and
which allows an adequate margin of safety'' (Section 1412(b)(4)).
The Act was amended in August 1996. As a result of these
Amendments, several of these provisions were renumbered and augmented
with additional language. Other sections were added establishing new
drinking water requirements. These modifications are outlined below.
The Act also requires that at the same time USEPA publishes an
MCLG, which is a non-enforceable health goal, it also must publish a
National Primary Drinking Water Regulation (NPDWR) that specifies
either a maximum contaminant level (MCL) or treatment technique
(Sections 1401(1) and 1412(a)(3)). USEPA is authorized to promulgate a
NPDWR ``that requires the use of a treatment technique in lieu of
establishing a MCL,'' if the Agency finds that ``it is not economically
or technologically feasible to ascertain the level of the
contaminant''.
As amended, EPA's general authority to set a maximum contaminant
level goal (MCLG) and National Primary Drinking Water Regulation
(NPDWR) applies to contaminants that may ``have an adverse effect on
the health of persons,'' that are ``known to occur or there is a
substantial likelihood that the contaminant will occur in public water
[[Page 69393]]
systems with a frequency and at levels of public health concern,'' and
for which ``in the sole judgement of the Administrator, regulation of
such contaminant presents a meaningful opportunity for health risk
reduction for persons served by public water systems'' (SDWA Section
1412(b)(1)(A)).
The amendments, also require EPA, when proposing a NPDWR that
includes an MCL or treatment technique, to publish and seek public
comment on an analysis of health risk reduction and cost impacts. In
addition, EPA is required to take into consideration the effects of
contaminants upon sensitive subpopulations (i.e. infants, children,
pregnant women, the elderly, and individuals with a history of serious
illness), and other relevant factors. (Section 1412 (b)(3)(C)).
The amendments established a number of regulatory deadlines,
including schedules for a Stage 1 Disinfection Byproduct Rule (DBPR),
an Interim Enhanced Surface Water Treatment Rule (IESWTR), a Long-Term
Final Enhanced Surface Water Treatment Rule (LTESWTR) affecting Public
Water Systems (PWSs) that serve under 10,000 people, and a Stage 2 DBPR
(Section 1412(b)(2)(C)). The Act as amended also requires EPA to
promulgate regulations to address filter backwash (Section
1412(b)(14)). Finally, the Act requires EPA to promulgate regulations
specifying criteria for requiring disinfection ``as necessary'' for
ground water systems (Section 1412 (b)(8)).
Finally, as part of the 1996 SDWA Amendments, recordkeeping
requirements were modified to apply to ``every person who is subject to
a requirement of this title or who is a grantee'' (Section 1445
(a)(1)(A)). Such persons are required to ``establish and maintain such
records, make such reports, conduct such monitoring, and provide such
information as the Administrator may reasonably require by regulation *
* * ''.
B. Regulatory History
1. Existing Regulations
Surface Water Treatment Rule. Under the Surface Water Treatment
Rule (SWTR) (54 FR 27486, June 29, 1989) (EPA,1989a), EPA set maximum
contaminant level goals of zero for Giardia lamblia, viruses, and
Legionella; and promulgated NPDWR for all PWSs using surface water
sources or ground water sources under the direct influence of surface
water. The SWTR includes treatment technique requirements for filtered
and unfiltered systems that are intended to protect against the adverse
health effects of exposure to Giardia lamblia, viruses, and Legionella,
as well as many other pathogenic organisms. Briefly, those requirements
include: (1) requirements for a maintenance of a disinfectant residual
in the distribution system; (2) removal and/or inactivation of 3 logs
(99.9%) for Giardia and 4 logs (99.99%) for viruses; (3) combined
filter effluent performance of 5 nephelometric turbidity unit (NTU) as
a maximum and 0.5 NTU at 95th percentile monthly, based on 4-hour
monitoring for treatment plants using conventional treatment or direct
filtration (with separate standards for other filtration technologies);
and (4) watershed protection and other requirements for unfiltered
systems.
Total Coliform Rule. The Total Coliform Rule (TCR) (54 FR 27544;
June 29, 1989) applies to all public water systems (EPA, 1989b). This
regulation sets compliance with the MCL for total coliforms (TC) as
follows. For systems that collect 40 or more samples per month, no more
than 5.0% of the samples may be TC-positive; for those that collect
fewer than 40 samples, no more than one sample may be TC-positive. In
addition, if two consecutive samples in the system are TC-positive, and
one is also fecal coliform or E. coli-positive, then this is defined as
an acute violation of the MCL. If a system exceeds the MCL, it must
notify the public using mandatory language developed by the EPA. The
required monitoring frequency for a system depends on the number of
people served and, ranges from 480 samples per month for the largest
systems to once annually for certain of the smallest systems. All
systems must have a written plan identifying where samples are to be
collected.
If a system has a TC-positive sample, it must test that sample for
the presence of fecal coliforms or E. coli. The system must also
collect a set of repeat samples, and analyze for TC (and fecal coliform
or E. coli) within 24 hours of the first TC-positive sample.
The TCR also requires an on-site inspection every 5 years (10 years
for non-community systems using only protected and disinfected ground
water) for each system that collects fewer than five samples per month.
This on-site inspection (referred to as a sanitary survey) must be
performed by the State or by an agent approved by the State.
Total Trihalomethane Rule. In November 1979 (44 FR 68624) (EPA,
1979) EPA set an interim MCL for total trihalomethanes (TTHM) of 0.10
milligrams per liter (mg/L) as an annual average. Compliance is defined
on the basis of a running annual average of quarterly averages of all
samples. The value for each sample is the sum of the measured
concentrations of chloroform, bromodichloromethane (BDCM),
dibromochloromethane (DBCM) and bromoform.
The interim TTHM standard only applies to community water systems
using surface water and/or ground water serving at least 10,000 people
that add a disinfectant to the drinking water during any part of the
treatment process. At their discretion, States may extend coverage to
smaller PWSs; however, most States have not exercised this option.
Information Collection Rule. The Information Collection Rule (ICR)
is a monitoring and data reporting rule that was promulgated on May 14,
1996 (61 FR 24354) (EPA, 1996a). The purpose of the ICR is to collect
occurrence and treatment information to help evaluate the need for
possible changes to the current SWTR and existing microbial treatment
practices, and to help evaluate the need for future regulation for
disinfectants and disinfection byproducts (D/DBPs). The ICR will
provide EPA with additional information on the national occurrence in
drinking water of (1) chemical byproducts that form when disinfectants
used for microbial control react with naturally occurring compounds
already present in source water and (2) disease-causing microorganisms,
including Cryptosporidium, Giardia, and viruses. The ICR will also
provide engineering data on how PWSs currently control for such
contaminants. This information is being collected because the 1992
Regulatory Negotiating Committee (henceforth referred to as the Reg.
Neg. Committee) on microbial pathogens and disinfectants and DBPs
concluded that additional information was needed to assess the
potential health problem created by the presence of DBPs and pathogens
in drinking water and to assess the extent and severity of risk in
order to make sound regulatory and public health decisions. The ICR
will also provide information to support regulatory impact analyses for
various regulatory options, and to help develop monitoring strategies
for cost-effectively implementing regulations.
The ICR pertains to large public water systems serving populations
at least 100,000; a more limited set of ICR requirements pertain to
ground water systems serving between 50,000 and 100,000 people. About
300 PWSs operating 500 treatment plants are involved with the extensive
ICR data collection. Under the ICR, these PWSs monitor for water
quality factors affecting DBP formation and DBPs
[[Page 69394]]
within the treatment plant and in the distribution system monthly for
18 months. In addition, PWSs must provide operating data and a
description of their treatment plan design and surface water systems
must monitor for bacteria, viruses, and protozoa. Finally, a subset of
PWSs must perform treatment studies, using either granular activated
carbon (GAC) or membrane processes, to evaluate DBP precursor removal
and control of DBPs. Monitoring for treatment study applicability began
in September 1996. The remaining occurrence monitoring began in July
1997.
One initial intent of the ICR was to collect pathogen occurrence
data and other information for use in developing the IESWTR and to
estimate national costs for various treatment options. However, because
of delays in promulgating the ICR and technical difficulties associated
with laboratory approval and review of facility sampling plans, ICR
monitoring did not begin until July 1, 1997, which was later than
originally anticipated. As a result of this delay and the new statutory
deadlines for promulgating the Stage 1 DBPR and IESWTR in November of
1998 (resulting from the 1996 SDWA amendments), ICR data were not
available in time to support these rules. In place of the ICR data, the
Agency worked with stakeholders to identify other sources of data
developed since 1994 that could be used to support the development of
the Stage 1 DBPR and IESWTR. EPA will continue to work with
stakeholders in analyzing and using the comprehensive ICR data and
research for developing future Enhanced Surface Water Treatment
requirements and the Stage 2 DBPR.
2. Public Health Concerns to be Addressed
EPA's main mission is the protection of human health and the
environment. When carrying out this mission, EPA must often make
regulatory decisions with less than complete information and with
uncertainties in the available information. EPA believes it is
appropriate and prudent to err on the side of public health protection
when there are indications that exposure to a contaminant may present
risks to public health, rather than take no action until risks are
unequivocally proven.
In regard to the Stage 1 DBPR, EPA recognizes that the assessment
of public health risks from disinfection of drinking water currently
relies on inherently difficult and preliminary empirical analysis. On
one hand, epidemiologic studies of the populations in various
geographic areas are hampered by difficulties of study design, scope,
and sensitivity. On the other hand, uncertainty is involved in the
interpretation of results using high dose animal toxicological studies
of a few of the numerous byproducts that occur in disinfected drinking
water to estimate the risk to humans from chronic exposure to low doses
of these and other byproducts. Such studies of individual DBPs is
insufficient to characterize risks from exposure to the entire mixture
of DBPs in disinfected drinking water. While recognizing these
uncertainties, EPA continues to believe that the Stage 1 DBPR is
necessary for the protection of public health from exposure to
potentially harmful DBPs.
A fundamental component in assessing the risk for a contaminant is
the number of people that may be exposed to the parameter of concern.
In this case, there is a very large population potentially exposed to
DBPs through drinking water in the U.S. Over 200 million people are
served by PWSs that apply a disinfectant (e.g., chlorine) to water in
order to provide protection against microbial contaminants. While these
disinfectants are effective in controlling many microorganisms, they
react with natural organic and inorganic matter in the water to form
DBPs, some of which may pose health risks. One of the most complex
questions facing water supply professionals is how to minimize the
risks from DBPs and still maintain adequate control over microbial
contaminants. Because of the large number of people exposed to DBPs,
there is a substantial concern for any risks associated with DBPs that
may impact public health.
Since the discovery of chlorination byproducts in drinking water in
1974, numerous toxicological studies have been conducted. Results from
these studies have shown several DBPs (e.g., bromodichloromethane,
bromoform, chloroform, dichloroacetic acid, and bromate) to be
carcinogenic in laboratory animals . Some DBPs (e.g., chlorite, BDCM,
and certain haloacetic acids) have also been shown to cause adverse
reproductive or developmental effects in laboratory animals. Although
many of these studies have been conducted at high doses, EPA believes
the studies provide evidence that DBPs present a potential public
health risk that needs to be addressed.
In the area of epidemiology, a number of epidemiology studies have
been conducted to investigate the relationship between exposure to
chlorinated surface water and cancer. While EPA cannot conclude there
is a causal link between exposure to chlorinated surface water and
cancer, these studies have suggested an association, albeit small,
between bladder, rectal, and colon cancer and exposure to chlorinated
surface water. While there are fewer published epidemiology studies
that have been conducted to evaluate the possible relationship between
exposure to chlorinated surface water and reproductive and
developmental effects, a recent study has suggested an association
between early term miscarriage and exposure to drinking water with
elevated trihalomethane levels. In addition to this study, another new
study reported a small increased risk of neural tube defects associated
with consumption of drinking water containing high levels of TTHMs.
However, no significant associations were observed with individual
THMs, HAAs, and haloacetonitriles (HANs) and adverse outcomes in this
study. As with cancer, EPA cannot conclude at this time there is a
causal link between exposure to DBPs and reproductive and developmental
effects.
While EPA recognizes there are data deficiencies in the information
on the health effects from the DBPs and the levels at which they occur,
the Agency believes the weight-of-evidence presented by the available
epidemiological studies on chlorinated drinking water and toxicological
studies on individual DBPs support a potential hazard concern and
warrant regulatory action at this time to reduce DBP levels in drinking
water. Recognizing the deficiencies in the existing data, EPA believes
the incremental two-stage approach for regulating DBPs, agreed upon by
the regulatory negotiation process, is prudent and necessary to protect
public health and meet the requirements of the SDWA.
In conclusion, because of the large number of people exposed to
DBPs and the different potential health risks (e.g., cancer and adverse
reproductive and developmental effects) that may result from exposure
to DBPs, EPA believes the Stage 1 DBPR is needed to further prevent
potential health effects from DBPs, beyond that controlled for by the
1979 total trihalomethane rule. Both the Reg. Neg. Committee for the
1994 proposed rule and the Microbial and Disinfectants/Disinfection
Byproducts Advisory Committee (henceforth cited as the M-DBP Advisory
Committee) formed in March 1997 under the Federal Advisory Committee
Act (FACA), agreed with the need for the Stage 1 DBPR to reduce
potential risks from DBPs in the near term, while acknowledging
additional information is still needed for the Stage 2 DBPR (especially
on health effects),
[[Page 69395]]
3. Regulatory Negotiation Process
In 1992 EPA initiated a negotiated rulemaking to address public
health concerns associated with disinfectants, DBPs, and microbial
pathogens. The negotiators included representatives of State and local
health and regulatory agencies, public water systems, elected
officials, consumer groups and environmental groups. The Reg. Neg.
Committee met from November 1992 through June 1993.
Early in the process, the negotiators agreed that large amounts of
information necessary to understand how to optimize the use of
disinfectants to concurrently minimize microbial and DBP risk on a
plant-specific basis were unavailable. Nevertheless, the Reg. Neg.
Committee agreed that EPA propose a Stage 1 DBPR to extend coverage to
all community and nontransient noncommunity water systems that use
disinfectants, reduce the current TTHM MCL, regulate additional DBPs,
set limits for the use of disinfectants, and reduce the level of
organic precursor compounds in the source water that may react with
disinfectants to form DBPs.
EPA's most significant concern in developing regulations for
disinfectants and DBPs was the need to ensure that adequate treatment
be maintained for controlling risks from microbial pathogens. One of
the major goals addressed by the Reg. Neg. Committee was to develop an
approach that would reduce the level of exposure from disinfectants and
DBPs without undermining the control of microbial pathogens. The
intention was to ensure that drinking water is microbiologically safe
at the limits set for disinfectants and DBPs and that these chemicals
do not pose an unacceptable health risk at these limits. Thus, the Reg.
Neg. Committee also considered a range of microbial issues and agreed
that EPA should also propose a companion microbial rule (IESWTR).
Following months of intensive discussions and technical analysis,
the Reg. Neg. Committee recommended the development of three sets of
rules: a two-staged approach for the DBPs (proposal: 59 FR 38668, July
29, 1994) (EPA, 1994a), an ``interim'' ESWTR (proposal: 59 FR 38832,
July 29, 1994) (EPA, 1994b), and an information collection rule
(proposal: 59 FR 6332, February 10, 1994) (EPA, 1994c) (promulgation:
61FR24354, May 14, 1996) (EPA, 1996a). The approach used in developing
these proposals considered the constraints of simultaneously treating
water to control for both microbial contaminants and D/DBPs.
The Reg. Neg. Committee agreed that the schedules for IESWTR and
LTESWTR should be ``linked'' to the schedule for the Stage 1 DBPR to
assure simultaneous compliance and a balanced risk-risk based
implementation. The Reg. Neg. Committee agreed that additional
information on health risk, occurrence, treatment technologies, and
analytical methods needed to be developed in order to better understand
the risk-risk tradeoff, and how to accomplish an overall reduction in
health risks to both pathogens and D/DBPs.
Finally the Reg. Neg. Committee agreed that to develop a reasonable
set of rules and to understand more fully the limitations of the
current SWTR, additional field data were critical. Thus, a key
component of the regulation negotiation agreement was the promulgation
of the ICR previously described.
4. Federal Advisory Committee Process
In May 1996, the Agency initiated a series of public informational
meetings to provide an update on the status of the 1994 proposal and to
review new data related to microbial and DBP regulations that had been
developed since July 1994. In August 1996, Congress enacted the 1996
SDWA Amendments which contained a number of new requirements, as
discussed above, as well as specifying deadlines for final promulgation
of the IESWTR and Stage 1 DBPR. To meet these deadlines and to maximize
stakeholder participation, the Agency established the M-DBP Advisory
Committee under FACA in March 1997, to collect, share, and analyze new
information and data, as well as to build consensus on the regulatory
implications of this new information. The Committee consisted of 17
members representing EPA, State and local public health and regulatory
agencies, local elected officials, drinking water suppliers, chemical
and equipment manufacturers, and public interest groups.
The M-DBP Advisory Committee met five times in March through July
1997 to discuss issues related to the IESWTR and Stage 1 DBPR.
Technical support for these discussions was provided by a Technical
Work Group (TWG) established by the Committee at its first meeting in
March 1997. The Committee's activities resulted in the collection,
development, evaluation, and presentation of substantial new data and
information related to key elements of both proposed rules. The
Committee reached agreement on a number of major issues that were
discussed in Notices of Data Availability (NODA) for the IESWTR (62 FR
59486, November 3, 1997) (EPA, 1997a) and the Stage 1 DBPR (62 FR
59388, November 3, 1997) (EPA, 1997b). The major recommendations
addressed by the Committee and in the NODAs were to: (1) Maintain the
proposed MCLs for TTHM, HAA5, and bromate; (2) modify the enhanced
coagulation requirements as part of DBP control; (3) include a
microbial benchmarking/profiling to provide a methodology and process
by which a PWS and the State, working together, assure that there will
be no significant reduction in microbial protection as the result of
modifying disinfection practices in order to meet MCLs for TTHM and
HAA5; (4) continue credit for compliance with applicable disinfection
requirements for disinfection applied at any point prior to the first
customer, consistent with the existing SWTR; (5) modify the turbidity
performance requirements and add requirements for individual filters;
(6) establish an MCLG for Cryptosporidium; (7) add requirements for
removal of Cryptosporidium; (8) provide for mandatory sanitary surveys;
and (9) make a commitment to additional analysis of the role of
Cryptosporidium inactivation as part of a multiple barrier concept in
the context of a subsequent Federal Register microbial proposal. The
new data and analysis supporting the technical areas of agreement were
summarized and explained at length in EPA's 1997 NODAs (EPA, 1997a and
EPA, 1997b).
5. 1997 and 1998 Notices of Data Availability
In November 1997 EPA published a NODA (USEPA, 1997b) that
summarized the 1994 proposal; described new data and information that
the Agency has obtained and analyses that have been developed since the
proposal; provided information concerning the July 1997 recommendations
of the M-DBP Advisory Committee on key issues related to the proposal
(described above); and requested comment on these recommendations, as
well as on other regulatory implications that flow from the new data
and information. The Agency solicited additional data and information
that were relevant to the issues discussed in the DBP NODA. EPA also
requested that any information the Agency should consider as part of
the final rule development process regarding data or views submitted to
the Agency since the close of the comment period on the 1994 proposal,
be formally resubmitted during the 90-day
[[Page 69396]]
comment period unless already in the underlying record in the docket
for the NODA.
In March 1998, EPA issued a second DBP NODA (EPA, 1998a) that
summarized new health effects information received and analyzed since
the November 1997 NODA and requested comments on several issues related
to the simultaneous compliance with the Stage 1 DBPR and the Lead and
Copper Rule. The 1998 NODA indicated EPA was considering increasing the
MCLG for chloroform from zero to 0.3 mg/L and the proposed MCLG for
chlorite from 0.08 mg/L to 0.8 mg/L. EPA also requested comment on
increasing the Maximum Residual Disinfection Level Goal (MRDLG) for
chlorine dioxide from 0.3 mg/L to 0.8 mg/L. Today's final rule was
developed based on the outcome of the 1992 Reg. Neg., the 1994 proposed
rule, the 1997 FACA process, and both the 1997 and 1998 DBP NODAs, as
well as a wide range of technical comments from stakeholders and
members of the public. A summary of today's rule follows.
II. Summary of Final Stage 1 Disinfection Byproduct Rule
A. Applicability
The final Stage 1 DBPR applies to community water systems (CWSs)
and nontransient noncommunity water systems (NTNCWs) that treat their
water with a chemical disinfectant for either primary or residual
treatment. In addition, certain requirements for chlorine dioxide apply
to transient noncommunity water systems (TNCWSs).
B. MRDLGs and MRDLs for Disinfectants
EPA is finalizing the following MRDLGs and maximum residual
disinfectant levels (MRDLs) for chlorine, chloramines, and chlorine
dioxide in Table II-1.
Table II-1.--MRDLGs and MRDLs for Disinfectants
----------------------------------------------------------------------------------------------------------------
Disinfectant residual MRDLG (mg/L) MRDL (mg/L)
----------------------------------------------------------------------------------------------------------------
Chlorine................................ 4 (as Cl2) 4.0 (as Cl2)
Chloramine.............................. 4 (as Cl2) 4.0 (as Cl2)
Chlorine Dioxide........................ 0.8 (as ClO2) 0.8 (as ClO2)
----------------------------------------------------------------------------------------------------------------
C. MCLGs and MCLs for TTHMs, HAA5, Chlorite, and Bromate
EPA is finalizing the MCLGs and MCLs in Table II-2.
Table II-2.--MCLGs and MCLs for Disinfection Byproducts
------------------------------------------------------------------------
Disinfection byproducts MCLG (mg/L) MCL (mg/L)
------------------------------------------------------------------------
Total trihalomethanes (TTHM) \1\............ N/A 0.080
--Chloroform............................ 0 ............
--Bromodichloromethane.................. 0 ............
--Dibromochloromethane.................. 0.06 ............
--Bromoform............................. 0 ............
Haloacetic acids (five) (HAA5) \2\.......... N/A 0.060
--Dichloroacetic acid................... 0 ............
--Trichloroacetic acid.................. 0.3 ............
Chlorite.................................... 0.8 1.0
Bromate..................................... 0 0.010
------------------------------------------------------------------------
N/A--Not applicable because there are no individual MCLGs for TTHMs or
HAAs.
\1\ Total trihalomethanes is the sum of the concentrations of
chloroform, bromodichloromethane, dibromochloromethane, and bromoform.
\2\ Haloacetic acids (five) is the sum of the concentrations of mono-,
di-, and trichloroacetic acids and mono- and dibromoacetic acids.
D. Treatment Technique for Disinfection Byproduct Precursors
Water systems that use surface water or ground water under the
direct influence of surface water and use conventional filtration
treatment are required to remove specified percentages of organic
materials (measured as total organic carbon) that may react with
disinfectants to form DBPs as indicated in Table II-3. Removal will be
achieved through a treatment technique (enhanced coagulation or
enhanced softening) unless a system meets alternative criteria
discussed in Section III.D.
Table II-3.--Required Removal of Total Organic Carbon by Enhanced
Coagulation and Enhanced Softening for Subpart H Systems Using
Conventional Treatment a,\b,\c
------------------------------------------------------------------------
Source Water Alkalinity (mg/L as
CaCO3) (percent)
Source Water TOC (mg/L) --------------------------------------
0-60 >60-120 >120
------------------------------------------------------------------------
>2.0-4.0......................... 35.0 25.0 15.0
>4.0-8.0......................... 45.0 35.0 25.0
[[Page 69397]]
>8.0............................. 50.0 40.0 30.0
------------------------------------------------------------------------
a Systems meeting at least one of the conditions in Section
141.135(a)(2) (i)-(vi) of the rule are not required to operate the
removals in this table.
b Softening systems meeting one of the two alternative compliance
criteria in Section 141.135(a)(3) of the rule are not required to meet
the removals in this table.
c Systems practicing softening must meet the TOC removal requirements in
the last column to the right.
E. BAT for Disinfectants, TTHMs, HAA5, Chlorite, and Bromate
Under the SDWA, EPA must specify the BAT for each MCL (or MRDL)
that is set. PWS that are unable to achieve an MCL or MRDL may be
granted a variance if they use the BAT and meet other requirements (see
section III.M for a discussion of variances and exemptions). Table II.4
includes the BATs for each of the MCLs or MRDLs that EPA is
promulgating in today's Stage 1 DBPR.
Table II-4.--BAT for Disinfectants and Disinfection Byproducts
------------------------------------------------------------------------
Disinfectant/DBP Best available technology
------------------------------------------------------------------------
Disinfectants
------------------------------------------------------------------------
Chlorine residual............ Control of treatment processes to reduce
disinfectant demand and control of
disinfection treatment processes to
reduce disinfectant levels.
Chloramine residual.......... Control of treatment processes to reduce
disinfectant demand and control of
disinfection treatment processes to
reduce disinfectant levels.
Chlorine dioxide residual.... Control of treatment processes to reduce
disinfectant demand and control of
disinfection treatment processes to
reduce disinfectant levels.
------------------------------------------------------------------------
Disinfection Byproducts
------------------------------------------------------------------------
Total trihalomethanes........ Enhanced coagulation or enhanced
softening or GAC10*, with chlorine as
the primary and residual disinfectant.
Total haloacetic acids....... Enhanced coagulation or enhanced
softening or GAC10*, with chlorine as
the primary and residual disinfectant.
Chlorite..................... Control of treatment processes to reduce
disinfectant demand and control of
disinfection treatment processes to
reduce disinfectant levels.
Bromate...................... Control of ozone treatment process to
reduce production of bromate.
------------------------------------------------------------------------
* GAC10 means granular activated carbon with an empty bed contact time
of 10 minutes and reactivation frequency for GAC of no more than six
months.
F. Compliance Monitoring Requirements
Compliance monitoring requirements are explained in Section III.H
of today's rule. EPA has developed routine and reduced compliance
monitoring schemes for disinfectants and DBPs to be protective from
different types of health concerns, including acute and long-term
effects.
G. Analytical Methods
EPA has approved five methods for measurement of free chlorine,
four methods for combined chlorine, and six for total chlorine. EPA has
also approved two methods for the measurement of chlorine dioxide
residuals; three methods for the measurement of HAA5; three methods for
the measurement of TTHMs; three methods for the measurement of TOC/
Dissolved Organic Carbon (DOC); two methods for the monthly measurement
of chlorite and one method for the daily monitoring of chlorite; two
methods for bromide; one method for the measurement of bromate; and one
method for the measurement of UV254. Finally, EPA approved
all methods allowed in Sec. 141.89(a) for measuring alkalinity. These
issues are discussed in more detail in section III.G.
H. Laboratory Certification Criteria
Consistent with other drinking water regulations, determinations of
compliance with the MCLs may only be conducted by certified
laboratories. EPA is requiring that analyses can be conducted by a
party acceptable to EPA or the State in those situations where the
parameter can adequately be measured by someone other than a certified
laboratory and for which there is a good reason to allow analysis at
other locations (e.g., for samples which normally deteriorate before
reaching a certified laboratory, especially when taken at remote
locations). For a detailed discussion of the lab certification
requirements, see section III.N.
I. Variances and Exemptions
Variances and exemptions will be permitted in accordance with
existing statutory and regulatory authority. For a detailed discussion
see section III.M.
J. State Recordkeeping, Primacy, and Reporting Requirements
The Stage 1 DBPR requires States to adopt several regulatory
requirements, including public notification requirements, MCLs for
DBPs, MRDLs for disinfectants, and the requirements in Subpart L. In
addition, States are required to adopt several special primacy
requirements for the Stage 1 DPBR. States are also required to keep
specific records in accordance with existing regulations and additional
records specific to the Stage 1 DBPR. Finally, the rule does not
require any
[[Page 69398]]
State additional reporting requirements beyond those required under
existing regulations. These requirements are discussed in more detail
in Section III.L.
K. System Reporting Requirements
System are required to report monitoring data to the State as
discussed in Section III.K.
L. Guidance Manuals
EPA is developing guidance for both systems and States for the
implementation of the Stage 1 DBPR and the IESWTR. The guidance manuals
include: Guidance Manual for Enhanced Coagulation and Precipitative
Softening; Disinfection Benchmark Guidance Manual; Turbidity Guidance
Manual; Alternative Disinfectants and Oxidants Guidance Manual; M/DBP
Simultaneous Compliance Manual; Sanitary Survey Guidance Manual;
Unfiltered Systems Guidance Manual; and Uncovered Finished Water
Reservoirs. Guidance manuals will be available after the publication of
the Stage 1 DBPR.
M. Regulation Review
Under the provisions of the SDWA (Section 1412(b)(9)), the Agency
is required to review NPDWRs at least once every six years. As
mentioned previously, today's final rule revises, updates, and
supersedes the regulations for total trihalomethanes, initially
published in 1979. Since that time, there have been significant changes
in technology, treatment techniques, and other regulatory controls that
provide for greater protection of human health. As such, for today's
rule, EPA has analyzed innovations and changes in technology and
treatment techniques that have occurred since promulgation of the
interim TTHM regulations. That analysis, contained primarily in the
cost and technology document supporting this rule, supports the changes
in the Stage 1 DBPR from the 1979 TTHM rule. EPA believes that the
innovations and changes in technology and treatment techniques that
result in changes to the 1979 TTHM regulations are feasible within the
meaning of SDWA Section 1412(b).
III. Explanation of Final Rule
A. MCLGs/MRDLGs
MCLGs are set at levels at which no known or anticipated adverse
health effects occur, allowing for an adequate margin of safety.
Establishment of an MCLG for each specific contaminant is based on the
available evidence of carcinogenicity or noncancer adverse health
effects from drinking water exposure using EPA's guidelines for risk
assessment (see the proposed rule at 59 FR 38677 for a detailed
discussion of the process for establishing MCLGs).
The final Stage 1 DBPR contains MCLGs for: four THMs (chloroform,
bromodichloromethane, dibromochloromethane, and bromoform); two
haloacetic acids (dichloroacetic acid and trichloroacetic acid);
bromate; and chlorite (see table II-2 for final MCLG levels). These
MCLGs are the same as those proposed in 1994 with the exception of
chlorite, which increased from 0.08 mg/L to 0.8 mg/L. The MCLG for
chloral hydrate has been dropped since EPA has concluded that it will
be controlled by the MCLs for TTHM and HAA5 and the enhanced
coagulation treatment technique.
The final Stage 1 DBPR contains MRDLGs for chlorine, chloramines
and chlorine dioxide (see table II-1 for final MRDLG levels). The
MRDLGs are as the same as those proposed in 1994, with the exception of
chlorine dioxide, which increased from 0.3 mg/L to 0.8 mg/L.
The MRDLG concept was introduced in the proposed rule for
disinfectants to reflect the fact that these substances have beneficial
disinfection properties. As with MCLGs, MRDLGs are established at the
level at which no known or anticipated adverse effects on the health of
persons occur and which allows an adequate margin of safety. MRDLGs are
nonenforceable health goals based only on health effects and exposure
information and do not reflect the benefit of the addition of the
chemical for control for waterborne microbial contaminants. By using
the term ``residual disinfectant'' in lieu of ``contaminant'', EPA
intends to avoid situations in which treatment plant operators are
reluctant to apply disinfectant dosages above the MRDLG during short
periods of time to control for microbial risk.
EPA received numerous comments on the use of the term MRDLG. The
majority of commenters agreed that the term MRDLG was appropriate to
use in place of MCLG for disinfectants. Other commenters agreed, but
felt that the language should more strongly reflect that disinfectants
are necessary and that short-term exposure to elevated levels of the
disinfectants is not a health concern. Some commenters suggested that
MRDLGs be extended to ozone, potassium permanganate and iodine.
In response, EPA agrees with the majority of commenters that the
use of the term MRDLG is appropriate and therefore the final rule
retains this term. EPA believes the language on the importance of
disinfectants is adequate in the rule and thus has not changed this
language. EPA does not agree that the potential health effects from
short-term exposure to elevated levels of disinfectants can be
dismissed. Ozone does not require an MRDLG because it reacts so
completely that it does not occur in water delivered to consumers.
Finally, EPA believes the use of the MRDLGs for other disinfectants or
oxidants would not be appropriate since MRDLGs are developed for
regulated compounds controlled by MRDLs or treatment techniques and EPA
does not allow these compounds to be used to demonstrate compliance
with disinfection requirements.
The information EPA relied on to establish the MCLGs and MRDLGs was
described in the 1994 proposal (EPA, 1994a), the 1997 DBP NODA (EPA,
1997b), and the 1998 NODA (EPA, 1998a). Criteria and assessment
documents to support the MCLGs and MRDLGs are included in the docket
(EPA, 1993a; EPA, 1994 d-h; EPA, 1997c; EPA, 1998 b-f; and EPA, 1998p).
A summary of the occurrence and exposure information for this rule are
detailed in ``Occurrence Assessment for Disinfectants and Disinfection
Byproducts in Public Drinking Water Supplies' (EPA, 1998u). The
discussion of the data used to establish the MCLGs and MRDLGs and a
summary of the major public comments for these chemicals are included
below. A more detailed discussion is included below for chloroform,
DCA, chlorite, chloride dioxide, and bromate than the other
disinfectants and DBPs. This is the case because significant new data
has become available since the 1994 proposal for these four DBPs and
one disinfectant.
1. MCLG for Chloroform
a. Today's Rule. After careful consideration of all public
comments, EPA has concluded at this time to promulgate an MCLG for
chloroform of zero as proposed. This conclusion reflects an interim
risk-management decision on the part of the Agency. The Agency
recognizes the strength of the science in support of a non-linear
approach for estimating carcinogenicity of chloroform. EPA received
public comments that questioned the underlying basis and approach used
to reach the science judgment that the mode of chloroform's
carcinogenic action supports a nonlinear approach. Equally important
are the policy and regulatory issues raised by stakeholders that touch
on this issue. EPA believes that it is essential to pursue a further
dialogue with stakeholders on the issues raised in the public comments
before applying the substantial new data and science on the mode of
carcinogenic
[[Page 69399]]
action discussed in the 1998 NODA to the important decision of moving
to a non-linear cancer extrapolation approach for drinking water
contaminants under the SDWA. Moreover, EPA will complete additional
deliberations with the Agency's Science Advisory Board (SAB) (open to
stakeholder presentations to the SAB) on the analytical approach used
to evaluate and reach conclusions on mode of action data, and the
science basis for the mode of carcinogenic action for chloroform.
In evaluating how to proceed in the development of an MCLG for
chloroform, the Agency believes two additional factors must be taken
into consideration. First, as part of the 1996 SDWA amendments,
Congress mandated that the Stage 1 DBPR rule be promulgated by November
1998. EPA has concluded that it would be impossible to complete the
additional deliberations noted above in time to meet this statutory
deadline. Second, as explained below, the Agency has also completed
analysis indicating that regardless of whether the MCLG is based on a
low-dose linear or non-linear extrapolation approach, the MCL
enforceable standard for TTHMs of 0.08 mg/L will not be affected. In
light of these issues, EPA believes it is appropriate and consistent
with the public health goals of the SDWA to establish a zero MCLG for
chloroform based on a linear default extrapolation approach until the
Agency is able to complete additional deliberations with the Agency's
SAB on the analytical approach used to evaluate and reach conclusions
on mode of action data and the science basis for the mode of
carcinogenic action for chloroform, and complete the process of further
public dialogue on the important question of moving to a non-linear
cancer extrapolation approach. EPA also notes that its approach is
consistent with legislative history of the SDWA (see 56 FR 3533--EPA,
1991) and the 1996 SDWA Amendments.
b. Background and Analysis. As part of its 1994 Stage 1 DBP
proposal (EPA, 1994a), EPA requested comment on a zero MCLG for
chloroform. This was consistent with information provided to the 1992
Reg. Neg. Committee and was based on data from a drinking water study
by Jorgensen et al. (1985) indicating an increase of kidney tumors in
male rats in a dose-related manner. However, at the time of the
proposal there was insufficient data to determine the mode of
carcinogenic action for chloroform. Therefore, EPA based its 1994
proposal on a risk management decision that a presumptive or low-dose
linear default (i.e, MCLG of zero) was appropriate until more research
became available and there was an adequate opportunity to work with
stakeholders and the scientific community to evaluate and assess the
technical as well as policy and regulatory implications of such new
information. The 1994 proposal also reflected the Agency's 1986
Guidelines for Carcinogen Risk Assessment (EPA, 1986) which recommended
reliance on the default assumption of low-dose linearity in the absence
of substantial information on the mechanism of carcinogenicity.
Since the 1994 proposal, over 30 toxicological studies have been
published on chloroform. These studies were discussed in the November
1997 Stage 1 DBP NODA (EPA, 1997b). In addition, EPA published a second
DBP NODA in March 1998 (EPA, 1998a) which discussed recommendations and
findings from a 1997 International Life Sciences Institute project
(ILSI, 1997), co-sponsored by EPA, on the cancer assessment for
chloroform. The ILSI project included the analysis and conclusions from
an expert panel which was convened and charged with reviewing the
available database relevant to the carcinogenicity of chloroform, and
considering how end points related to mode of action can be applied in
hazard and dose-response assessment by using guidance provided by the
EPA's 1996 Proposed Guidelines for Carcinogen Assessment (EPA, 1996b).
The panel was made up of 10 internationally recognized scientists from
academia, industry, government, and the private sector. Based on a
consideration of the ILSI panel findings and an assessment of new data
on chloroform since 1994, EPA requested comment in the 1998 NODA on the
Agency's science conclusion that chloroform is a likely human
carcinogen and that available scientific analysis supports a non-linear
mode of action for estimating the carcinogenic risk associated with
lifetime exposure from ingesting drinking water.
As part of the 1998 NODA, EPA also requested comment on a revised
chloroform MCLG of 0.30 mg/L. The revised MCLG was premised on the
substantial new science noted above that supports a non-linear mode of
action. In calculating the specific MCLG, EPA relied upon data relating
to hepatoxicity in dogs (EPA, 1994a). This hepatoxicity endpoint was
deemed appropriate given that hepatic injury is the primary effect
following chloroform exposure; and that an MCLG based on protection
against liver toxicity should be protective against carcinogenicity
given that the putative mode of action understanding for chloroform
involves cytotoxicity as a key event preceding tumor development. The
MCLG of 0.3 mg/L was calculated using a relative source contribution
(RSC) of 80 percent. The RSC of 80 percent was based on the assumption
that most exposure to chloroform is likely to come from ingestion of
drinking water. The 80 percent assumption for the RSC was consistent
with the calculations used to derive the MCLGs for D/DBPs in the 1994
proposal. Based on information received during the public comment
period for the 1998 NODA, EPA is considering revising its estimate of
the RSC for chloroform as discussed below.
Since the 1998 NODA, EPA has reevaluated elements of the analysis
underlying a revised MCLG of 0.30 mg/L. Considering recent information
not fully analyzed as part of the 1998 NODA, the Agency is considering
revising the assumption of an 80% RSC from ingestion of drinking water
in view of data which indicates that exposure to chloroform via
inhalation and dermal exposure may potentially contribute a substantial
percentage of the overall exposure to chloroform depending on the
activity patterns of individuals. Also, EPA is in the process of
developing a policy for incorporating inhalation and dermal exposure
into the derivation of the RSC. Furthermore, there is considerable
uncertainty regarding the potential exposure to chloroform via the
dietary route and there is information which indicates individuals who
are frequent swimmers may receive a large amount of chloroform during
swimming. There are additional uncertainties regarding other possible
highly exposed sub-populations, e.g., from use of humidifiers, hot-
tubs, and outdoor misters. In conclusion, because there may be a
potential for exposure to chloroform from other routes of exposure than
ingestion of drinking water, EPA is considering using the 20 percent
default floor to ensure adequate public health protection. The 20
percent has been used historically for drinking water contaminants
other than D/DBPs when there is uncertainty in the available exposure
data. The use of the 20 percent RSC for chloroform would produce a MCLG
of 0.07 mg/L:
[[Page 69400]]
[GRAPHIC] [TIFF OMITTED] TR16DE98.000
In addition to its reassessment of technical assumptions underlying
the revised MCLG, the Agency has also reviewed and carefully considered
in detail a number of significant comments on the 1998 NODA. These
comments reflect both substantial scientific support as well as
significant concerns with a possible MCLG of 0.30 mg/L. As outlined in
more detail below, a number of nationally recognized scientific experts
strongly affirmed the data and technical rationale for relying upon a
non-linear mode of action for chloroform. Other commenters, however,
highlighted several scientific issues they felt were not adequately
considered. These commenters also emphasized their concern that the
policy, regulatory, and enforcement implications related to a revised
MCLG were not raised by EPA in either the 1992 or the 1997 regulatory
negotiation processes leading up to today's final rule. Thus, these
commenters felt that a number of stakeholders who recommended support
for components of the Stage 1 DBPR rule did so under one set of
conditions and assumptions that the Agency subsequently changed without
providing a sufficient opportunity for further debate and discussion.
EPA believes that an adequate opportunity for notice and comment
was provided as a result of the 1997 and 1998 DBP NODAs on the
underlying scientific data and technical issue of moving to a non-
linear extrapolation approach based on an understanding of the mode of
carcinogenic action for chloroform and recalculating the chloroform
MCLG to a nonzero number. However, the Agency recognizes that reliance
on a non-linear mode of action under the SDWA does represent a
significant and precedential, albeit sound, application of new science
to the policy development and risk management decision making process
of establishing appropriately protective MCLGs. The Agency also
recognizes that although, as discussed below, a revised MCLG for
chloroform would not affect the TTHM MCL under today's rule, the
precedential decision to utilize a non-linear cancer extrapolation
approach clearly has important implications for the development of
future MCLGs where there is also adequate scientific research and data
to support such a non-linear analysis.
In reviewing the range of scientific, policy, and regulatory
analyses and strongly held views associated with development of the
chloroform MCLG, EPA notes that the one question not fundamentally at
issue is the establishment of the 0.080 mg/L TTHM MCL. The majority of
commenters who addressed the proposed TTHM MCL continue to support it.
This is particularly important to EPA in light of congressional action
with regard to the M-DBP process in the 1996 SDWA Amendments. In
enacting the Amendments and particularly in expressing congressional
intent in the conference Report, Congress was careful to emphasize
``that the new provisions of this conference agreement not conflict
with the parties' agreement nor disrupt the implementation of the
regulatory actions,'' (such as the current agreement on an TTHM MCL of
0.080 mg/L). Both of these important elements of the Congressional
intent were reflected in the statutory text. Section 1412(b)(2)(C)
requires EPA to maintain the M-DBP rule staggered promulgation strategy
agreed to by the negotiated rulemaking; and Section 1412(b)(6)(C)
exempted the future M-DBP rules from the new cost-benefit standard-
setting provision (1412(b)(6)(A)) but not from the new risk-risk
provision (1412(b)(5)), because the latter was a part of the negotiated
rulemaking agreement but the former was not.
The Agency, itself, also believes that the underlying logic, data,
and rationale supporting establishment of a TTHM of 0.080 mg/L MCL is
compelling, and this is a critical factor in the Agency's chloroform
MCLG decision under today's rule. Under either a low-dose linear or
non-linear extrapolation to derive the MCLG, the final TTHM MCL remains
unaffected.
After thorough review of the data and comments, EPA believes the
nonlinear cancer extrapolation approach is the most appropriate means
to establish an MCLG for chloroform based on carcinogenic risk.
However, in light of its own reconsideration of the appropriate RSC for
chloroform under such an approach, considering the range of policy,
regulatory, and enforcement issues raised as part of the public comment
period, recognizing the importance of deliberations with SAB before
proceeding further and, yet, recognizing that this cannot be
accomplished within the constraints of meeting the statutory deadline
for Stage 1 DBPR rule of November 1998, EPA has determined that on
balance the more appropriate and prudent risk management decision at
this time is to establish an MCLG for chloroform at the proposed
presumptive default level of zero. As part of this decision, the Agency
will complete additional deliberations with the Agency's SAB on the
analytical approach used to evaluate and reach conclusions on mode of
action data, and the science basis for the mode of carcinogenic action
for chloroform. The SAB's review will be factored into the Agency's
Stage 2 DBP rulemaking process. EPA will also include consideration of
the regulatory, policy, and precedential issues involving chloroform in
the Agency's Round 2 M-BP stakeholder process. EPA wishes to make clear
that its interim decision in today's rule to set an MCLG of zero
pending SAB review and further stakeholder involvement is not intended
to prejudge the question of what the appropriate MCLG should be for
purposes of regulatory decisions under the Stage 2 DBPR. EPA may decide
to retain the zero MCLG for that rule, or to revise it, depending on
the outcome of the SAB review, as well as any new scientific evidence
that may become available. In regard to the appropriate RSC factor, in
case a non-linear approach should ultimately be adopted, the Agency
requests that stakeholders provide any data they man have bearing on
this determination.
The fundamental objective of the SDWA is to establish protective
public health goals (MCLGs) together with enforceable standards (MCLs
or treatment techniques) to move the water treatment systems as close
to the public health goal as is technologically and economically
feasible. In the case of the chloroform and TTHMs, this objective is
met with whichever extrapolation approach (low dose linear versus
nonlinear) is relied upon.
c. Summary of Comments. EPA received numerous comments on both the
1994 proposed rule regarding the MCLG of zero for chloroform and the
MCLG of 0.3 mg/L contained in the 1998 NODA. Some commenters were
supportive of the MCLG of zero, while others were supportive of the 0.3
mg/L MCLG. The major reason raised by commenters for establishing a
nonzero MCLG (e.g., 0.3 mg/L) was that there was convincing scientific
evidence to conclude that a nonlinear margin of exposure approach for
evaluating the carcinogenic risk from chloroform is warranted.
Commenters who were
[[Page 69401]]
against establishing a nonzero MCLG for chloroform presented policy and
scientific concerns. Scientific concerns raised by commenters opposed
to the nonzero MCLG included their perceptions that: there is
insufficient scientific evidence of a threshold for chloroform; the
threshold assumption is also invalid because chloroform co-occurs with
other mutagenic carcinogens; EPA ignored human data in establishing the
MCLG for chloroform; the linkage between cytotoxicity and regenerative
proliferation and kidney tumors is not supported by the data; and the
evidence for genotoxicity is mixed and it would be difficult if not
impossible to conclude that the evidence demonstrate chloroform has no
direct effect on DNA. As detailed at greater length in the docket, EPA
does not agree with these comments as a technical matter. The Agency
does agree with the commenters view that further discussion of these
issues with both the SAB and as part of additional public dialogue is
appropriate.
The policy issues raised by commenters included their belief that:
a zero MCLG is required to comply with provisions of the SDWA; EPA is
required to use the 1986 Cancer Guidelines (EPA, 1986) until the 1996
Cancer Guidelines (EPA, 1996b) are formally finalized, and under the
1986 guidelines the MCLG for chloroform must be set at zero; EPA did
not provide sufficient opportunity for the members of the FACA,
established to assist in the development of the Stage 1 DBP rule, to
properly consider the potential implications of a nonzero MCLG; and
setting a MCLG for chloroform (0.3 mg/L) above the MCL for the TTHMs
(0.08 mg/L) is illogical.
In response, EPA believes that the underlying science for using a
nonlinear extrapolation approach to evaluate the carcinogenic risk from
chloroform is well founded. As explained above, because of the issues
raised during the public comment period, EPA believes additional review
and dialogue with stakeholders is needed prior to departing from a
long-held EPA policy of establishing zero MCLGs for known or probable
carcinogens. EPA will also complete additional deliberations with the
Agency's SAB on the analytical approach used to evaluate and reach
conclusions on mode of action data, and the science basis for the mode
of carcinogenic action for chloroform.
In response to the policy issues raised by commenters, EPA,
historically, has established MCLGs of zero for known or probable human
carcinogens based on the principle that any exposure to carcinogens
might represent some finite level of risk and therefore an MCLG above
zero did not meet the statutory requirement that the goal be set where
no known anticipated adverse effects occur, allowing for an adequate
margin of safety (56 FR 3533; EPA, 1991). However, if there is
scientific evidence that indicates there is a ``safe threshold'' then a
non-zero MCLG could be established with an adequate margin of safety
(56 FR 3533; EPA, 1991)). Even though EPA, as an interim matter, is
establishing an MCLG of zero for chloroform in today's rule, it
believes it has the authority to establish nonzero MCLGs for
carcinogens if the scientific evidence supports this finding.
In response to commenter's concerns with EPA using the proposed
1996 Guidelines for Carcinogen Risk Assessment (EPA, 1996b) instead of
the Agency's 1986 guidelines, EPA believes it is important to point out
that the 1986 guidelines provide for departures from default
assumptions such as low dose linear assessment. For example, the 1986
EPA guidelines reflect the position of the OSTP (1985; Principle 26)
``No single mathematical procedure is recognized as the most
appropriate for low-dose extrapolation in carcinogenesis. When relevant
biological evidence on mechanisms of action exists (e.g,
pharmacokinetics, target organ dose), the models or procedure employed
should be consistent with the evidence.'' The 1986 guideline goes on to
further state ``The Agency will review each assessment as to the
evidence on carcinogenesis mechanisms and other biological or
statistical evidence that indicates the suitability of a particular
extrapolation model.'' The EPA's 1996 Proposed Guidelines for
Carcinogen Risk Assessment allow EPA to use other default approaches to
estimate cancer risk than the historic, linearized multistage default
when there is an understanding of an agent's mode of carcinogenic
action. EPA believes that reliance on the 1986 guidance allows EPA to
reach the same conclusion on the carcinogenic risk from chloroform as
if the 1996 guidelines were used. The use of the best available science
is a core EPA principle and is statutorily mandated by the SDWA
amendments of 1996. The 1996 Proposed Guidelines for Carcinogen Risk
Assessment reflect new science and are consistent with the existing
1986 Guidelines for Carcinogen Risk Assessment. EPA considered the 1996
proposed guidelines in assessing the health effects data for chloroform
and the other contaminants discussed in the 1998 March NODA.
EPA agrees with commenters that additional review by the FACA of
the regulatory implications of a nonlinear approach is appropriate for
policy reasons, and will initiate these discussions in the context of
the Stage 2 DBPR FACA deliberations. In light of the November 1998
statutory deadline to promulgate the Stage 1 DBP rule and the steps
necessary to complete a final rule, EPA has concluded that there is not
enough time to meet with the SAB and FACA, provide ample opportunity
for debate, resolve differing points of views, and complete additional
analysis to meet stakeholders policy concerns in the context of the
Stage 1 DBP rule. EPA notes, however, that regardless of the MCLG for
chloroform, the MCL for the THMs remains at 0.08 mg/L. Since the MCL is
the enforceable standard that water systems will be required to meet, a
nonlinear or low dose linear extrapolation to derive the MCLG will not
have a direct impact on the compliance obligations of public water
systems or on the levels of chloroform allowed in public water systems,
although it may be relevant to development of enforceable regulatory
limits established under future rules.
2. MCLG for Bromodichloromethane (BDCM)
a. Today's Rule. The final MCLG for BDCM is zero. The zero MCLG is
based on the classification of BDCM as a probable human carcinogen. The
MCLG was determined in a weight-of-evidence evaluation which considered
all relevant health data including carcinogenicity and reproductive and
developmental toxicity animal data. EPA believes the data are
insufficient at this time to determine the mode of carcinogenic action
for BDCM, and therefore a low dose linear extrapolation approach is
used to estimate lifetime cancer risk as a default.
b. Background and Analysis. In the 1994 Stage 1 DBPR proposal, the
MCLG of zero for BDCM was based on large intestine and kidney tumor
data from a National Toxicology Program (NTP) chronic animal study
(NTP, 1987). Since the proposal, several new studies have been
published on BDCM metabolism (EPA, 1997c). In addition, several new
genotoxicity studies and short-term toxicity studies including
reproductive evaluations were found for BDCM (EPA, 1997c). These new
studies contribute to the weight-of-evidence conclusions reached in the
1994 proposal. Based on this evidence, the final MCLG for BDCM is zero
based on sufficient evidence of carcinogenicity in animals.
c. Summary of Comments. Several commenters disagreed with the use
of a
[[Page 69402]]
corn oil gavage animal cancer study to determine the MCLG for BDCM.
Some commenters agreed with the EPA decision to use large intestine and
kidney tumor data from the corn oil gavage study, but not liver tumor
data in the quantitative estimation of carcinogenic risk. One commenter
agreed that a low-dose linear extrapolation approach to dose-response
assessment was appropriate at this time and consistent with EPA policy.
However, this commenter suggested that EPA undertake chronic studies
that include a drinking water study of BDCM and toxicokinetics. One
commenter disagreed with the EPA conclusion that the evidence on the
mutagenicity of BDCM is adequate.
In response, EPA agrees with commenters that a drinking water study
is preferable to a corn oil gavage study to assess risk from DBPs in
drinking water. However, the NTP corn oil gavage study is the best data
available on BDCM for a quantitative risk estimation at this time. BDCM
is currently being tested for toxicokinetics and cancer in a chronic
BDCM drinking water rodent study by the NTP. When these data are
available, EPA will reassess the cancer risk of BDCM. EPA believes that
the animal data currently available on BDCM are consistent with EPA
cancer guidelines on classifying BDCM as a probable human carcinogen
given the evidence on mutagenicity and given there was an increased
incidence of tumors at several sites in the animals. Additionally,
tumors were found in both sexes of two rodent species. Finally, there
have been several new studies on the genotoxicity of BDCM that have
supported a mutagenic potential for BDCM (EPA, 1997c)
3. MCLG for Dibromochloromethane (DBCM)
a. Today's Rule. The final MCLG for DBCM is 0.06 mg/L. This MCLG is
based on a weight of evidence evaluation of the cancer and noncancer
data which resulted in the classification of DBCM as a possible human
carcinogen.
b. Background and Analysis. In the 1994 proposal, the MCLG of 0.06
mg/L for DBCM was based on observed liver toxicity from a subchronic
study and possible carcinogenicity (NTP, 1985). EPA is not aware of any
new information that would change its evaluation of DBCM since the
proposal. The final MCLG is therefore 0.06 mg/L.
c. Summary of Comments. Several commenters disagreed with the
additional safety factor of 10 to account for possible carcinogenicity
that was used in the MCLG calculation. One commenter agreed with EPA's
decision to base the MCLG on noncarcinogenic endpoints. Several
commenters disagreed with the use of a corn oil gavage study to
determine the MCLG for DBCM.
In response, because the evidence of carcinogenicity was limited on
DBCM (i.e., increased tumor response in only one of the two species
tested), EPA classified DBCM as a possible human carcinogen. The
additional factor of 10 to account for possible carcinogenicity follows
EPA's science policy for establishing MCLGs (EPA, 1994a). EPA used
liver effects from the NTP subchronic corn oil gavage study as the
basis for the Reference Dose (RfD). EPA agrees with the comment that
this is an appropriate basis for deriving the RfD for DBCM. EPA agrees
with commenters that a drinking water study is preferable to a corn oil
gavage study to assess risk from DBPs in drinking water. However, the
NTP corn oil gavage study is the best data available on DBCM for
derivation of the MCLG at this time. EPA does not plan to conduct
additional chronic studies for DBCM but is conducting additional
toxicokinetics and short term drinking water studies on DBCM to better
understand the potential risk associated with exposure through drinking
water.
4. MCLG for Bromoform
a. Today's Rule. The final MCLG for bromoform is zero. The zero
MCLG is based on a weight-of-evidence classification that bromoform is
a probable human carcinogen based on a consideration of all relevant
health data including cancer and noncancer effects. EPA believes the
data are insufficient at this time to determine the mode of
carcinogenic action for bromoform, and therefore a low dose linear
extrapolation approach is used to estimate lifetime cancer risk as a
default.
b. Background and Analysis. The proposed MCLG for bromoform was
zero. This MCLG was based on an NTP chronic animal carcinogenicity
study (NTP, 1989). Since the proposal, new studies on the genotoxicity
of bromoform were found. However, these new studies do not support
changing the proposed MCLG of zero for bromoform. The final MCLG for
bromoform is therefore zero.
c. Summary of Comments. Several commenters agreed with EPA's
classification for bromoform as a probable carcinogen. Other commenters
disagreed with this classification stating that there was insufficient
evidence available because tumors were found in only one species and
the increased number of tumors was small. These commenters generally
felt that EPA should use an RfD approach in quantifying the risk for
bromoform. Some commenters encouraged EPA to conduct more experiments
on bromoform toxicity. Some commenters were concerned with the use of a
corn oil gavage study to determine carcinogenic risk.
In response, although the increase in tumors was small, the
increase was considered significant because large intestine tumors in
both male and female rats are rare and thus provides sufficient
evidence to classify bromoform as a probable human carcinogen. EPA does
not plan on conducting additional chronic testing for bromoform at this
time, but is conducting toxicokinetic studies and shorter term drinking
water studies to better understand the potential risk associated with
exposure to bromoform in drinking water. EPA agrees with commenters
that drinking water studies are preferable to a corn oil gavage study
to assess risk from DBPs in drinking water. However, the NTP corn oil
gavage study is the best data available on bromoform for derivation of
the MCLG.
5. MCLG for Dichloroacetic Acid (DCA)
a. Today's Rule. The final MCLG for DCA is zero. EPA has developed
a weight-of-evidence characterization for DCA in which it evaluated all
relevant health data (both cancer and noncancer effects). The MCLG of
zero is based on sufficient evidence of carcinogenicity in animals
which indicates that DCA is a probable human carcinogen (likely under
proposed cancer guidelines). EPA believes the data are insufficient at
this time to determine the mode of carcinogenic action for DCA and that
the data is insufficient to quantify the potential cancer risk from
DCA.
b. Background and Analysis. EPA proposed an MCLG of zero for DCA.
This was based on classifying DCA as a probable human carcinogen in
accordance with the 1986 EPA Guidelines for Carcinogen Risk Assessment
(EPA, 1986). The DCA categorization was based primarily on findings of
liver tumors in rats and mice, which was regarded as ``sufficient''
evidence in animals. No lifetime risk calculation was conducted at the
time of the proposal because there was insufficient data to quantify
the risk (EPA, 1994a).
As pointed out in the 1997 and 1998 DBP NODAs, several
toxicological studies have been identified for DCA since the 1994
proposal (EPA, 1997c). In addition, EPA co-sponsored an ILSI project in
which an expert panel was
[[Page 69403]]
convened to explore the application of the EPA's 1996 Proposed
Guidelines for Carcinogen Risk Assessment (EPA, 1996b) to the available
data on the potential carcinogenicity of chloroform and DCA. The panel
considered data on DCA which included chronic rodent bioassay data and
information on mutagenicity, tissue toxicity, toxicokinetics, and other
mode of action information. The panel concluded that the potential
human carcinogenicity of DCA ``cannot be determined'' primarily because
of the lack of adequate rodent bioassay data (ILSI, 1997).
EPA prepared a new hazard characterization regarding the potential
carcinogenicity of DCA in humans (EPA, 1998b). One objective of this
report was to develop a weight-of-evidence characterization using the
principles of the EPA's 1996 Proposed Guidelines for Carcinogen Risk
Assessment (EPA, 1996b) which are consistent with the 1986 Guidelines.
Another objective of the report was to consider new data since the 1994
proposal and to address the issues raised by the 1997 ILSI panel
report.
EPA agreed with the ILSI panel report that the mode of action
through which DCA induces liver tumors in both rats and mice cannot be
reasonably determined at this time. EPA disagrees with the ILSI panel
that the potential human carcinogenicity cannot be determined. Based on
the hepatocarcinogenic effects of DCA in both rats and mice in multiple
studies, as well as other date, for example, showing that DCA alters
cell replication and gene expression, EPA concludes that DCA should be
considered as a ``likely'' (probable) cancer hazard to humans (EPA,
1998b). Therefore, as in the 1994 proposed rule, EPA believes that the
MCLG for DCA should remain zero to assure public health protection.
c. Summary of Comments. Some commenters agreed with the zero MCLG
for DCA based on positive carcinogenic findings in two animal species.
Several commenters stated that a zero MCLG was inappropriate due to
evidence which indicates a nongenotoxic mode of action for DCA. The
comment was raised that the animal evidence was insufficient to
consider DCA a likely (probable) human carcinogen, and that DCA should
be considered at most suggestive of carcinogenicity.
In response, EPA concludes that DCA should be considered as a
probable (likely under the 1996 proposed guidelines) cancer hazard to
humans (EPA, 1998b) based on the hepatocarcinogenic effects of DCA in
both rats and mice in multiple studies, and mode of action related
effects (e.g., mutational spectra in oncogenes, elevated serum
glucocorticoid levels, alterations in cell replication and death). EPA
considers the mode of action through which DCA induces liver tumors in
both rats and mice to be unclear, and thus the likelihood of human
hazard associated with low levels of DCA usually encountered in the
environment or in drinking water is not sufficiently understood. EPA
acknowledges that a mutagenic mechanism (i.e., direct DNA reactivity)
may not be an important influence on the carcinogenic process at low
doses. EPA believes that the lack of mutagenicity is not a sufficient
basis to depart from a low dose linear default extrapolation approach
for the cancer assessment. There must be other convincing evidence to
explain how the tumors are caused by the chemical. The commenters have
not presented such evidence. Although DCA tumor effects are associated
with high doses used in the rodent bioassays, there is uncertainty
regarding whether the mode of tumorgenesis is solely through mechanisms
that are operative only at high doses. Therefore, as in the 1994
proposed rule, EPA believes that the MCLG for DCA should remain as zero
to assure public health protection. NTP is implementing a new two year
rodent bioassay that will include full histopathology at lower doses
than those previously studied. Additionally, studies on the mode of
carcinogenic action are being done by various investigators including
the EPA health research laboratory.
6. MCLG for Trichloroacetic Acid (TCA)
a. Today's Rule. The final MCLG for TCA is 0.3 mg/L, as was
proposed in 1994. This MCLG is based on developmental toxicity and
limited evidence of carcinogenicity in animals.
b. Background and Analysis. The 1994 proposed rule included a MCLG
of 0.3 mg/L for TCA based on developmental toxicity and possible
carcinogenicity based on limited evidence in animal studies (i.e.,
hepatocarcinogenicity in mice). Since the proposal, a 2-year
carcinogenicity study on TCA (DeAngelo et al., 1997) found that TCA was
not carcinogenic in male rats. As was discussed in the 1997 DBP NODA
(EPA, 1997b), there have also been several recent studies examining the
mode of carcinogenic action for TCA. These new studies suggest that TCA
does not operate via mutagenic mechanisms. For a more in depth
discussion of this new data refer to the 1997 DBP NODA (EPA, 1997b) and
related support documents (EPA, 1997c). This new information does not
alter the original assessment of the health effects of TCA based on
developmental toxicity and limited evidence of carcinogenicity.
Therefore, the MCLG will remain 0.3 mg/L.
c. Summary of Comments. Several commenters agreed with the
classification of TCA as a possible human carcinogen. One commenter
felt that toxicity data on TCA indicated a threshold. Some commenters
disagreed with the study selected for estimating the RfD (Smith et al.
1989). Some commenters stated the uncertainty factors used to establish
the RfD were too high.
In response, EPA acknowledges that a DNA reactive mutagenic
mechanism may not be involved in TCA's mode of carcinogenicity. Because
an RfD was used in lieu of a quantitative cancer assessment for
establishing the MCLG, however, there was no need to evaluate the mode
of carcinogenic action for TCA at this time. EPA believes that the
Smith et al. (1989) study is appropriate to use in quantifying risk
from TCA since developmental toxicity was the most critical effect. EPA
believes that an uncertainty factor of 3,000 is appropriate to account
for inter and intraspecies differences (100), a lowest observed adverse
effects level (LOAEL) (10), and lack of a two-generation reproductive
study (3) (EPA, 1994a). These uncertainty factors are consistent with
current Agency science policy on using uncertainty factors (EPA,
1994a).
7. MCLG for Chlorite and MRDLG for Chlorine Dioxide
a. Today's Rule. The final MCLG for chlorite is 0.8 mg/L and the
final MRDLG for chlorine dioxide is 0.8 mg/L. The MCLG for chlorite was
increased from the proposed value of 0.08 mg/L to 0.8 mg/L based on a
weight-of-evidence evaluation of all health data on chlorite including
a recent two-generation reproductive rat study sponsored by the
Chemical Manufactures Association (CMA, 1996). The MRDLG for chlorine
dioxide was increased from the proposed value of 0.3 mg/L to 0.8 mg/L
based on a weight-of-evidence evaluation using all the health data on
chlorine dioxide including the information on chlorite from the CMA
study. EPA believes that data on chlorite are relevant to assessing the
risks of chlorine dioxide because chlorine dioxide is rapidly reduced
to chlorite. Therefore, the findings from the CMA study and previously
described studies in the 1994 proposal were used to assess the risk for
both chlorite and chlorine dioxide.
b. Background and Analysis. The 1994 proposal included an MCLG of
[[Page 69404]]
0.08 mg/L for chlorite. The proposed MCLG was based on an RfD of 3 mg/
kg/d estimated from a lowest-observed-adverse-effect-level (LOAEL) for
neurodevelopmental effects identified in a rat study by Mobley et al.
(1990). This determination was based on a weight of evidence evaluation
of all the available data at that time (EPA, 1994d). An uncertainty
factor of 1000 was used to account for inter-and intra-species
differences in response to toxicity (a factor of 100) and to account
for use of a LOAEL (a factor of 10).
The 1994 proposal included an MRDLG of 0.3 mg/L for chlorine
dioxide. The proposed MRDLG was based on a RfD of 3 mg/kg/d estimated
from a no-observed-adverse-effect-level (NOAEL) for developmental
neurotoxicity identified from a rat study (Orme et al., 1985; EPA,
1994d). This determination was based on a weight of evidence evaluation
of all available health data at that time (EPA, 1994a). An uncertainty
factor of 300 was applied that was composed of a factor of 100 to
account for inter-and intra-species differences in response to toxicity
and a factor of 3 for lack of a two-generation reproductive study
necessary to evaluate potential toxicity associated with lifetime
exposure. To fill this important data gap, the CMA sponsored a two-
generation reproductive study in rats (CMA, 1996).
As described in more detail in the 1998 NODA (EPA, 1998a), EPA
reviewed the CMA study and completed an external peer review of the
study (EPA, 1997d). In addition, EPA reassessed the noncancer health
risk for chlorite and chlorine dioxide considering the new CMA study
(EPA, 1998d). This reassessment was also peer reviewed (EPA, 1998d).
Based on this reassessment, EPA requested comment in the 1998 NODA
(EPA, 1998a) on changing the proposed MCLG for chlorite from 0.08 mg/L
to 0.8 mg/L based on the NOAEL identified from the new CMA study which
reinforced the concern for neurodevelopmental effects associated with
short-term exposures.
EPA determined that the NOAEL for chlorite should be 35 ppm (3 mg/
kg/d chlorite ion, rounded) based on a weight-of-evidence approach. The
data considered to support the NOAEL are summarized in EPA (1998d) and
included the CMA study as well as previous reports on developmental
neurotoxicity and other adverse health effects (EPA, 1998d). EPA
continues to believe, as stated in the 1998 NODA (EPA, 1998a), that the
RfD for chlorite should be 0.03 mg/kg/d (NOAEL of 3 mg/kg/d with an
uncertainty factor of 100) and that a MCLG of 0.8 mg/L is appropriate.
EPA has concluded that the RfD for chlorine dioxide should be 0.03 mg/L
(NOAEL of 3 mg/kg/d with an uncertainty factor of 100) and that a MRDLG
of 0.8 mg/L is appropriate.
c. Summary of Comments. EPA received numerous comments on the 1994
proposal (EPA, 1994a) and 1998 NODA (EPA, 1998a). The major comment
from the 1994 proposal was that reliance on the Mobley et al. (1990)
study for the MCLG for chlorite and the Orme et al. (1985) study for
chlorine dioxide were inappropriate and that the results from the CMA
study must be evaluated before any conclusions on the MCLG for chlorite
or chlorine dioxide could be drawn. In relation to the 1998 NODA,
several commenters supported changing the MCLG for chlorite and MRDLG
for chlorine dioxide while others were concerned that the science did
not warrant a change in these values. The major comments submitted
against raising the MCLG and MRDLG focused on several issues. First,
one commenter argued that the 1000-fold uncertainty factor used for
chlorite in the proposal should remain in place because the CMA study
used to reduce the uncertainty factor was flawed. Second, several
commenters indicated that the LOAEL should be set at the lowest dose
level (35 ppm) because certain effects at the lowest dose tested may
have been missed. Finally, some commenters argued that an additional
safety factor should be included to protect children and drinking water
consumption relative to the body weight of children should be used
instead of the default assumption of 2 L per day and 70 kg adult body
weight.
EPA agrees with commenters on the 1994 proposal that the results
from the CMA should be factored into any final decision on the MCLG for
chlorite and chlorine dioxide. As explained in more detail in the 1998
DBP NODA (EPA, 1998a), EPA considered the findings from the CMA study
along with other available data to reach its conclusions regarding the
MCLG and MRDLG for chlorite and chlorine dioxide.
EPA disagrees with the commenter who suggested that the 1000-fold
uncertainty factor for chlorite should remain because the CMA study was
flawed. The study design for the neurodevelopmental component of the
CMA study was in accordance with EPA's testing guidelines at the time
the study was initiated. EPA had previously reviewed the study protocol
for the CMA neurotoxicity component and had approved the approach.
While EPA initially had some questions regarding the design of the
neurodevelopmental component of the study (Moser, 1997), subsequent
information submitted by the CMA provided clarification on certain
aspects of the study design (CMA, 1998). EPA agrees that even with the
clarifications that there are some limitations with the
neurodevelopmental component of the CMA study. EPA believes that the
neuropathology components of the CMA study were adequate. The
functional operation battery had some shortcomings in that forelimb and
hindlimb grip strength and foot splay were not evaluated. EPA believes
the results from the motor activity component of the CMA study were
difficult to interpret because of the high variability in controls.
However, in its evaluation of the MCLG for chlorite and chlorine
dioxide, EPA did not rely solely on the CMA study, but used a weight-
of-evidence approach that included consideration of several studies.
Thus, the shortcomings of one study are offset by the weight from other
studies. EPA believes that the CMA study contributes to the weight-of
the-evidence. The studies by Orme et al. (1985), Mobley et al. (1990),
and CMA (1996) support a NOAEL of 3 mg/kg/d based on neurodevelopmental
effects (e.g., decreased exploratory, locomotor behavior, decreased
brain weight). Furthermore, the CMA study was reviewed by outside
scientists as well as by EPA scientists. EPA's re-assessment for
chlorite and chlorine dioxide presented in the 1998 March NODA was
reviewed internally and externally in accordance with EPA peer-review
policy. The three outside experts who reviewed the Agency's assessment
agreed with the NOAEL of 3 mg/kg/day and the derived RfD.
Finally, EPA disagrees that an additional safety factor should be
applied to provide additional protection for children or that drinking
water consumption relative to the body weight of children should be
used in developing the MCLG. The MCLG and MRDLG presented for chlorite
and chlorine dioxide are considered to be protective of susceptible
groups, including children, given that the RfD is based on a NOAEL
derived from developmental testing, which includes a two-generation
reproductive study. A two-generation reproductive study evaluates the
effects of chemicals on the entire developmental and reproductive life
of the organism. Additionally, current methods for developing RfDs are
designed to be protective for sensitive populations. In the case of
chlorite and chlorine dioxide a factor of 10 was used to account for
variability between the average human response and the
[[Page 69405]]
response of more sensitive individuals. In addition, the important
exposure is that of the pregnant and lactating female and the nursing
pup. The 2 liter per day water consumption and the 70 kg body weight
assumptions are viewed as adequately protective of all groups.
Based on a review of all the data and public comments, EPA believes
that the MCLG for chlorite should be 0.8 mg/L and the MRDLG for
chlorine dioxide should be 0.8 mg/L. EPA believes the MCLG and MRDLG
are consistent with the discussions during the regulatory negotiations
which recognized the need for an acceptable two-generation reproductive
study prior to reducing the uncertainty factors for chlorite and
chlorine dioxide. EPA believes the CMA provided an acceptable two-
generation study with which to reduce the uncertainty factors. In
addition, EPA believes potential health concerns in the proposal with
having a MCLG for chlorite significantly below the MCL are no longer
relevant because the MCL for chlorite in today's rule will remain at
1.0 mg/L while the MCLG has been revised to 0.8 mg/L. Given the margin
of safety that is factored into the estimation of the MCLG of 0.8 mg/L,
EPA believes that the MCL of 1.0 mg/L will be protective of public
health of all groups, including fetuses and children.
The MCLG for chlorite is based on an RfD of 0.03 mg/kg/d using a
NOAEL of 3 mg/kg/d and an uncertainty factor of 100 to account for
inter- and intra-species differences. The MCLG for chlorite is
calculated to be 0.8 mg/L by assuming an adult tap water consumption of
2 L per day for a 70 kg adult and using a relative source contribution
of 80% (because most exposure to chlorite is likely to come from
ingestion of drinking water--EPA,1998u). A more detailed discussion of
this assessment is included in the public docket for this rule (EPA,
1998d).
[GRAPHIC] [TIFF OMITTED] TR16DE98.001
For chlorine dioxide the MCLG is based on a NOAEL of 3 mg/kg/d and
applying an uncertainty factor of 100 to account for inter-and intra-
species differences in response to toxicity, the revised MRDLG for
chlorine dioxide is calculated to be 0.8 mg/L. This MRDLG takes into
account an adult tap water consumption of 2 L per day for a 70 kg adult
and applies a relative source contribution of 80% (because most
exposure to chlorine dioxide is likely to come from ingestion of
drinking water--EPA, 1998u). A more detailed discussion of this
assessment is included in the public docket for this rule (EPA, 1998d).
[GRAPHIC] [TIFF OMITTED] TR16DE98.002
8. MCLG for Bromate
a. Today's Rule. The final MCLG for bromate is zero. The zero MCLG
is based on a weight-of-evidence evaluation of both the cancer and
noncancer effects which indicates there is sufficient laboratory animal
data to conclude that bromate is a probable (likely under the 1996
proposed cancer guidelines) human carcinogen. EPA believes the data are
insufficient at this time to determine the mode of carcinogenic action
for bromate, and therefore a low dose linear extrapolation approach is
used to estimate lifetime cancer risk as a default.
b. Background and Analysis. The 1994 proposed rule included a MCLG
of zero for bromate based on a determination that bromate was a
probable human carcinogen. This determination was based on results from
a two species rodent bioassay by Kurokawa et al. (1986a and 1986b) that
found kidney tumors in rats. Since the 1994 proposed rule, EPA has
completed and analyzed a new chronic cancer study in male rats and mice
for potassium bromate (DeAngelo et al., 1998). EPA reassessed the
cancer risk associated with bromate exposure (EPA, 1998e), had this
reassessment peer reviewed (EPA, 1998e), and presented its findings in
the March 1998 NODA (EPA, 1998a). The new rodent cancer study by
DeAngelo et al. (1998) contributes to the weight of the evidence for
the potential human carcinogenicity of potassium bromate and confirms
the study by Kurokawa et al. (1986 a,b).
c. Summary of Comments. Several commenters supported the zero MCLG
for bromate. Others believed the MCLG of zero was not justified because
there is evidence of a carcinogenic threshold. This evidence indicates
that bromate causes DNA damage indirectly via lipid peroxidation, which
generates oxygen radicals which in turn induce DNA damage. Other
commenters argued that even if there is no carcinogenic threshold, EPA
has overstated the potency of bromate by using the linearized
multistage model and should instead use the Gaylor-Kodell model.
In response, EPA disagrees with commenters who believed that the
zero MCLG was inappropriate. At this time, under the principles of both
the 1986 EPA Guidelines for Carcinogen Risk Assessment (EPA, 1986) and
the draft 1996 EPA Proposed Guidelines for Carcinogen Risk Assessment
(EPA, 1996b) weight-of-evidence approach, bromate is considered to be a
probable or likely human carcinogen. This weight of evidence conclusion
of potential human carcinogenicity is based on sufficient experimental
findings that include the following: tumors at multiple sites in rats;
tumor responses in both sexes; and evidence for mutagenicity including
point mutations and chromosomal aberrations in in vitro genotoxicity
assays. Furthermore, EPA believes there is insufficient evidence at
this time to draw conclusions regarding the mode of carcinogenic action
for bromate. EPA acknowledges there are studies available showing that
bromate may generate oxygen radicals which increase lipid peroxidation
and damage DNA. However, no data are available that link this proposed
mechanism to tumor induction. Thus, EPA believes that while there are
studies which provide some evidence to support the commenters' claims,
these studies are insufficient at this time to establish
[[Page 69406]]
lipid peroxidation and free radical production as key events
responsible for the induction of the multiple tumor responses seen in
the bromate rodent bioassays (EPA, 1998e). Given the uncertainty about
the mode of carcinogenic action for bromate, EPA believes it is
appropriate to use the default assumption of low dose linearity to
estimate the cancer risk and establish the MCLG of zero for bromate.
EPA is conducting additional studies investigating the mode of action
for bromate.
EPA also disagrees with commenters who suggested that the Gaylor-
Kodell model should be used for low-dose extrapolation of the bromate
data. In the 1998 NODA, a low dose linear extrapolation of the DeAngelo
et al. (1998) data was conducted using a one-stage Weibull time-to-
tumor model. The Weibull model was considered to be the preferred
approach to account for the reduction in animals at risk that may be
due to the decreased survival observed in the high dose group toward
the end of the study. The estimate of cancer risk from the DeAngelo et
al. (1998) study is similar with the risk estimate derived from the
Kurokawa et al. (1986a) study presented in the 1994 proposed rule.
Based on an evaluation of all the data and after review and
consideration of the public comments, EPA believes the MCLG for bromate
should be zero.
9. MCLG for Chloral Hydrate
a. Today's Rule. EPA has decided to not include an MCLG for chloral
hydrate in the Stage 1 DBPR. This decision is based on an analysis of
the technical comments and on the fact that chloral hydrate will be
controlled by the MCLs for TTHM and HAAs and by the treatment technique
of enhanced coagulation.
b. Background and Analysis. The 1994 proposed rule included an MCLG
for chloral hydrate of 0.04 mg/L. This was based on a 90-day mice study
by Sanders et al. (1982) which reported liver toxicity. A RfD of 0.0016
mg/kg/d was used (LOAEL of 16 mg/kg/d with an uncertainty factor of
10,000). In the 1997 DBP NODA (EPA,1997b) and supporting documents
(EPA, 1997c), additional studies on chloral hydrate were discussed,
however, these new studies did not indicate a change in the MCLG for
chloral hydrate.
c. Summary of Comments. The majority of commenters disagreed with
the MCLG of 0.04 mg/L for chloral hydrate. Several commenters
questioned the need for an MCLG for chloral hydrate. These commenters
mentioned its low toxic potential and the fact that safe concentrations
of chloral hydrate are substantially greater than those present in
drinking water. Commenters also questioned the need for an MCLG for
chloral hydrate because the MCLs for THMs and HAAs and the treatment
technique of enhanced coagulation will adequately control for chloral
hydrate and because there were no monitoring provisions proposed. Other
commenters argued that the use of a 10,000 uncertainty factor and the
selection of the Sanders et al. (1982) study as a basis for setting the
MCLG were inappropriate.
In response, EPA agrees with commenters that an MCLG for chloral
hydrate is not needed. This is based on the fact that the TTHM and HAA
MCLs and the treatment technique (i.e., enhanced coagulation/softening)
will control for chloral hydrate, as well as other chlorination
byproducts. In addition, chloral hydrate does not serve as an important
indicator for other chlorination byproducts. The final rule, therefore,
does not contain an MCLG for chloral hydrate. In light of this
decision, EPA is not responding to comments on the uncertainty factor
used as the basis for setting the MCLG.
10. MRDLG for Chlorine
a. Today's Rule. EPA is promulgating an MRDLG of 4 mg/L for
chlorine based on a NOAEL from a chronic study in animals.
b. Background and Analysis. EPA proposed an MRDLG of 4 mg/L for
chlorine. The MRDLG was based on a two-year rodent drinking water study
in which chlorine was given to rats at doses ranging from 4 to 14 mg/
kg/day and mice at doses ranging from 8 to 24 mg/kg/day (NTP, 1990).
Neither systemic toxicity, nor effects on body weight and survival were
found. Thus, the MRDLG was based on a NOAEL of 14 mg/kg/day and
application of a 100 fold uncertainty factor to account for inter- and
intra-species differences (EPA, 1994a). New information on chlorine has
become available since the 1994 proposal and was discussed in the 1997
DBP NODA and is included in the public docket (EPA, 1997c). This new
information did not contain data that would change the MRDLG. EPA has
therefore decided to finalize the proposed MRDLG of 4 mg/L for
chlorine.
c. Summary of Comments. Several commenters agreed with EPA's
conclusion that there is no animal evidence of carcinogenicity for
chlorine. Some commenters also agreed with EPA that 4 mg/L was the
appropriate MCLG. Several commenters agreed with the proposed relative
source contribution of 80 percent for chlorine. Some commenters agreed
with the uncertainty factor of 100 while others felt that it was too
high. Some commenters encouraged EPA to consider children in estimating
risk from chlorine.
In response, EPA believes that an uncertainty factor of 100 is
appropriate when a NOAEL from a chronic animal study is the basis for
the RfD. Because current methods for developing RfDs are designed to be
protective for sensitive subpopulations, the uncertainty factor of 100
is considered protective of children. Furthermore, animal studies
indicate that chlorine is not a developmental toxicant.
11. MRDLG for Chloramine
a. Today's Rule. EPA is promulgating an MRDLG of 4 mg/L for
chloramines based on a NOAEL from a chronic rodent study.
b. Background and Analysis. The 1994 proposed Stage I DBPR included
an MRDLG for chloramines at 4 mg/L based on a NOAEL of 9.5 mg/kg/d for
lack of toxicity in chronic rodent drinking water study and on
application of an uncertainty factor of 100 to account of inter- and
intra-species differences (EPA, 1994h). New information on chloramines
has become available since the 1994 proposal and was included in the
1997 DBP NODA and is included in the public docket (EPA, 1997c). This
new information did not contain data that would change the MRDLG. EPA
has therefore decided to finalized the proposed MRDLG of 4 mg/L for
chloramines.
c. Summary of Comments. Several commenters agreed with the MRDLG of
4 mg/L for chloramine (as chlorine). Some commenters felt that the
MRDLG was too low due to conservative uncertainty factors. Many
commenters agreed with EPA's conclusion that there is no animal
evidence of carcinogenicity for chloramines. Many commenters agreed
with the RSC of 80% for chloramine while other believed that the RSC
should be higher.
In response, EPA believes that the uncertainty factor of 100 in the
MRDLG calculation is appropriate to protect public health including
that of children and sensitive subpopulations. EPA believes that the 80
percent is an appropriate ceiling for the RSC due to lack of exposure
data on other sources of exposure.
B. Epidemiology
1. Cancer Epidemiology
a. Today's Rule. EPA has evaluated all of the cancer epidemiology
data and the corresponding public comments received on the 1994
proposal (EPA,
[[Page 69407]]
1994a), 1997 NODA (EPA, 1997b), and 1998 NODA (EPA, 1998a). Based on
this evaluation, EPA believes that the cancer epidemiology data
provides important information that contributes to the weight-of-
evidence evaluation on the potential health risks from exposure to
chlorinated drinking water. At this time, however, the cancer
epidemiology studies are insufficient to establish a causal
relationship between exposure to chlorinated drinking water and cancer;
and are thus considered limited for use in quantitative risk
assessment. EPA's weight-of-evidence evaluation of the potential risk
posed by chlorinated drinking water is further discussed in section IV
of this preamble.
b. Background and Analysis. The preamble to the 1994 proposed rule
discussed numerous cancer epidemiology studies that had been conducted
over the past 20 years to examine the relationship between exposure to
chlorinated water and cancer (EPA, 1994a). At the time of the
regulatory negotiation, there was disagreement among the members of the
Reg. Neg. Committee on the conclusions that could be drawn from these
studies. Some members of the Committee felt that the cancer
epidemiology data, taken in conjunction with the results from
toxicological studies, provide ample and sufficient weight-of-evidence
to conclude that exposure to DBPs in drinking water could result in
increased cancer risk at levels encountered in some public water
supplies. Other members of the Committee concluded that the cancer
epidemiology studies on the consumption of chlorinated drinking water
to date were insufficient to provide definitive information for the
regulation.
In the 1998 DBP NODA (EPA, 1998a), EPA discussed several new
epidemiology studies that had been published since the 1994 proposal.
EPA concluded in the 1998 NODA, based on a review of all the cancer
epidemiology studies (including the more recent studies), that a causal
relationship between exposure to chlorinated surface water and cancer
has not yet been demonstrated. However, several studies have suggested
a weak association in various subgroups. Results from recent
epidemiology studies continue to support the decision to pursue
regulations to provide additional DBP control measures as discussed in
section IV.D of this preamble.
c. Summary of Comments. Several commenters agreed with EPA's
characterization that there was insufficient evidence to conclude that
there was a causal relationship between exposure to chlorinated surface
water and cancer. Other commenters disagreed with this characterization
stating that they believed the evidence did indicate there was a strong
association between exposure to chlorinated water and cancer. Other
commenters stated that EPA had not clearly articulated the basis for
its conclusions on the issue of causality.
In response, EPA continues to believe that there is insufficient
evidence, based on the epidemiology data, to conclude there is a causal
association between exposure to chlorinated waters and cancer. EPA
agrees, however, that the basis for its conclusion on causality was not
clearly articulated. This judgement of causality was based on
evaluating the existing cancer epidemiologic database for the following
criteria: strength of association, consistency of the findings,
specificity of the association, as well as other information concerning
the temporal sequence and presence of a dose-response relationship, and
biological plausibility (Federal Focus, 1996; EPA, 1986; EPA 1996b).
EPA applied the criteria stated above to assess the possible
causality of cancer using the best available cancer epidemiology
studies (Cantor et al., 1985, McGeehin et al., 1993, King and Marrett,
1996, Cantor et al., 1998, Freedman et al., 1997, Hildesheim et al.,
1998, Doyle et al., 1997). These studies found a weak association for
bladder cancer, although the findings were not consistent within and
among the studies. The specificity of the association, temporal
association, and dose response relationship remain unknown. In
addition, the biological mode of action has not been determined. Using
the criteria for causality, the present epidemiologic data do not
support a causal relationship between exposure to chlorinated drinking
water and development of cancer at this time. This conclusion does not
preclude the possibility that a causal link may be established at a
later date by future epidemiology and toxicology studies.
Some commenters argued that the epidemiological evidence indicated
an increased risk for cancer by exposure to chlorinated drinking water,
while others argued that the epidemiological evidence does not support
a health effects concern. As stated above, EPA believes that, at this
time, a causal link between exposure to chlorinated drinking water and
development of cancer cannot be determined. However, EPA believes that
the epidemiological evidence suggests a potential increased risk for
bladder cancer. It is therefore prudent public health policy to protect
against this potential public health concern in light of the
uncertainties and given the large population (over 200 million people)
potentially exposed.
2. Reproductive and Developmental Epidemiology
a. Today's Rule. EPA has evaluated all of the reproductive and
developmental epidemiology data and the public comments received on the
1994 proposal, 1997 NODA, and the 1998 NODA. Based on this evaluation,
EPA believes that the reproductive and developmental epidemiology data
provides important information that contributes to the weight-of-
evidence evaluation on the potential risks from exposure to chlorinated
drinking water. However, the reproductive epidemiology studies are
insufficient to establish a causal relationship between exposure to
chlorinated drinking water and reproductive and developmental effects
and are limited for use in the quantification of risk.
b. Background and Analysis. In the preamble to the 1994 proposed
DBPR, EPA discussed several reproductive epidemiology studies (EPA,
1994a). At the time of the proposal, EPA concluded that there was no
compelling evidence to indicate a reproductive and developmental hazard
due to exposure to chlorinated water because the epidemiologic evidence
was inadequate and the toxicological data were limited. In 1993, an
expert panel of scientists was convened by the International Life
Sciences Institute to review the available human studies for
developmental and reproductive outcomes and to provide research
recommendations (EPA/ILSI, 1993). The expert panel concluded that the
epidemiologic results should be considered preliminary given that the
research was at a very early stage (EPA/ILSI, 1993; Reif et al., 1996).
The 1997 NODA and the supporting documents (EPA, 1997c) presented
several new studies (Savitz et al., 1995; Kanitz et al. 1996; and Bove
et al., 1996) that had been published since the 1994 proposed rule and
the 1993 ILSI panel review. Based on the new studies presented in the
1997 NODA, EPA stated that the results were inconclusive with regard to
the association between exposure to chlorinated waters and adverse
reproductive and developmental effects (EPA, 1997b).
In the 1998 DBP NODA (EPA, 1998a), EPA included the recommendations
from an EPA convened expert panel in July 1997 to evaluate
epidemiologic studies of adverse reproductive or developmental outcomes
that may be associated with the consumption of disinfected drinking
water published
[[Page 69408]]
since the 1993 ILSI panel review. A report was prepared entitled ``EPA
Panel Report and Recommendations for Conducting Epidemiological
Research on Possible Reproductive and Developmental Effects of Exposure
to Disinfected Drinking Water'' (EPA, 1998f). The 1997 expert panel was
also charged to develop an agenda for further epidemiological research.
The 1997 panel concluded that the results of several studies suggest
that an increased relative risk of certain adverse outcomes may be
associated with the type of water source, disinfection practice, or THM
levels. The panel emphasized, however, that most relative risks are
moderate or small and were found in studies with limitations in design
or conduct. The small magnitude of the relative risk found may be due
to one or more sources of bias, as well as to residual confounding
(factors not identified and controlled). Additional research is needed
to assess whether the observed associations can be confirmed. In
addition, the 1998 DBP NODA included a summary of a study by Waller et
al. (1998) conducted in California and another study by Klotz and Pyrch
(1998) conducted in New Jersey. EPA concluded that while the Waller et
al. (1998) study does not prove that exposure to THMs in drinking water
causes early term miscarriages, it does provide important new
information that needs to be explored and that the study adds to the
weight-of-evidence which suggests that exposure to DBPs may have an
adverse health effect on humans. EPA indicated that the review of the
Klotz and Pyrch study (1998) had not been completed in time for the
1998 NODA.
EPA has completed its review of the Klotz and Pyrch (1998) study
and concluded that the results in the report provide limited evidence
to substantiate the hypothesis that DBPs in drinking water cause
adverse reproductive or developmental effects since the bulk of the
findings are inconclusive. There is, however, a suggestion in the study
that total THMs or some other component of surface water is associated
with a small increased risk of neural tube defects; no significant
associations, however, were observed with individual THMs, HAAs or
other composite measures of exposure.
c. Summary of Comments. Several commenters agreed with EPA's
conclusions on the significance of the reproductive and developmental
effects from the various studies. Others believed EPA had not
accurately characterized the potential adverse reproductive and
developmental effects from exposure to DBPs in drinking water.
In response, EPA continues to believe that the available
epidemiology data along with the toxicological findings suggest that
exposure to DBPs may have adverse effects on humans. However, EPA
believes the epidemiology evidence is insufficient at this time to
conclude that there is a causal association between exposure to DBPs
and adverse reproductive and developmental effects. As noted in the
1998 NODA, EPA has an epidemiology and toxicology research program that
is examining the relationship between exposure to DBPs and adverse
reproductive and developmental effects. In addition, EPA is pursuing
appropriate follow-up studies to see if the observed association in the
Waller et al. (1998) study can be replicated elsewhere. EPA will also
be working with the California Department of Health Services to improve
estimates of exposure to DBPs in the existing Waller et al. study
population. EPA will collaborate with the Centers for Disease Control
and Prevention (CDC) in a series of studies to evaluate if there is an
association between exposure to DBPs in drinking water and birth
defects. EPA is also involved in a collaborative testing program with
the NTP under which several individual DBPs have been selected for
reproductive and developmental laboratory animal studies. This
information will be used in developing the Stage 2 DBPR.
C. MCLs and BAT for TTHM, HAA5, Chlorite, and Bromate; MRDLs and BAT
for Chlorine, Chloramines, and Chlorine Dioxide
MCLs are enforceable standards which are established as close to
the MCLG as feasible. Feasible means with the use of the best
technology, treatment techniques, and other means which the
Administrator finds available (taking costs into consideration) after
examining for efficacy under field conditions and not solely under
laboratory conditions.
EPA is promulgating MCLs for two groups of DBPs and two inorganic
byproducts. EPA is also promulgating MRDLs for three disinfectants. EPA
is promulgating these MCLs and MRDLs at the levels proposed in 1994.
Systems will determine compliance with the MCLs and MRDLs in the same
manner as was proposed in 1994, except for chlorite. EPA determined
that additional monitoring requirements for chlorite were necessary
based on the findings from the CMA two-generation reproductive and
developmental study.
Along with introducing the concept of the MRDLG in the proposed
rule, EPA also introduced the MRDL for the three disinfectants
(chlorine, chloramines, and chlorine dioxide). The MRDLs are
enforceable standards, analogous to MCLs, which recognize the benefits
of adding a disinfectant to water on a continuous basis and to maintain
a residual to control for pathogens in the distribution system. As with
MCLs, EPA has set the MRDLs as close to the MRDLGs as feasible. The
Agency has also identified the BAT which is feasible for meeting the
MRDL for each disinfectant.
EPA received similar comments on the use of the term MRDL as with
MRDLG. The majority of commenters agreed with the use of the term MRDL
for the disinfectants and therefore EPA is using the term MRDL in the
final rule.
1. MCLs for TTHMs and HAA5
a. Today's Rule. In today's rule, EPA is promulgating an MCL for
TTHMs of 0.080 mg/L. TTHM is the sum of measured concentrations of
chloroform, bromodichloromethane, dibromochloromethane, and bromoform.
EPA is also promulgating an MCL for HAA5 of 0.060 mg/L. HAA5 is the sum
of measured concentrations of mono-, di-, and trichloroacetic acids,
and mono- and dibromoacetic acids. A system is in compliance with these
MCLs when the running annual average of quarterly averages of all
samples taken in the distribution system, computed quarterly, is less
than or equal to the MCL. If the running annual average computed for
any quarter exceeds the MCL, the system is out of compliance. EPA
believes that by meeting MCLs for TTHMs and HAA5, water suppliers will
also control the formation of other DBPs not currently regulated that
may also adversely affect human health.
EPA has identified the best available (BAT) technology for
achieving compliance with the MCLs for both TTHMs and HAA5 as enhanced
coagulation or treatment with granular activated carbon with a ten
minute empty bed contact time and 180 day reactivation frequency
(GAC10), with chlorine as the primary and residual disinfectant, as was
proposed in 1994.
b. Background and Analysis. The 1994 proposal for the Stage 1 DBPR
included MCLs for TTHM and HAA5 at 0.080 and 0.060 mg/L, respectively
(EPA, 1994a). In addition to the proposed MCLs, subpart H systems--
utilities treating either surface water or groundwater under the direct
influence of surface water--that use conventional treatment (i.e.,
coagulation, sedimentation, and filtration) or precipitative softening
would be
[[Page 69409]]
required to remove DBP precursors by enhanced coagulation or enhanced
softening. The removal of TOC would be used as a performance indicator
for DBP precursor control.
As part of the proposed rule, EPA estimated that 17% of PWSs would
need to change their treatment process to alternative disinfectants
(ozone or chlorine dioxide) or advanced precursor removal (GAC or
membranes) in order to comply with the Stage 1 requirements. This
evaluation was important to assist in determining whether the proposed
MCLs were achievable and at what cost. This evaluation required an
understanding of the baseline occurrence for the DBPs and TOC being
considered in the Stage 1 DBPR, an understanding of the baseline
treatment in-place, and an estimation of what treatment technologies
systems would use to comply with the Stage 1 DBPR requirements.
In 1997, at the direction of the M-DBP Advisory Committee, the TWG
reviewed MCL compliance predictions developed for the 1994 proposal
because of concern by several Committee members that modifications to
the rule would result in more PWSs not being able to meet the new TTHM
and HAA5 MCLs without installation of higher cost technologies such as
ozone or GAC. Some members were concerned that allowing disinfection
inactivation credit prior to precursor removal (by enhanced coagulation
or enhanced softening) in order to prevent significant reductions in
microbial protection would result in higher DBP formation and force
systems to install alternative disinfectants or advanced precursor
removal to meet the 1994 proposed TTHM and HAA5 MCLs. As discussed
later in today's document in Section III.E (Preoxidation CT Credit),
most PWSs can achieve significant reduction in DBP formation through
the combination of enhanced coagulation (or enhanced softening) while
maintaining predisinfection. The TWG's analysis indicated that there
would be a decrease in the percentage of PWSs that would need to
install higher cost technologies. This decrease was attributed to
changes in the proposed IESWTR which altered the constraints by which
systems could comply with the MCLs. The requirements of the IESWTR
would also prevent significant reduction in microbial protection as
described in the 1997 NODA (EPA, 1997a) and elsewhere in today's
Federal Register. EPA has included a discussion of the prediction of
technology choices in Section IV (Economic Analysis) of today's rule
and a more detailed discussion in the RIA for this rule (EPA, 1998g).
EPA continues to believe the proposed MCLs are achievable without
large-scale technology shifts.
c. Summary of Comments. Several commenters questioned whether the
TTHM MCL of 0.080 mg/L and the HAA5 MCL of 0.060 mg/L were set at a
level that would preclude the use of chlorine as an effective
disinfectant. EPA does not believe the MCLs will preclude the use of
chlorine. While there are currently systems that are exceeding these
MCLs, the Agency has concluded that most systems will be able to
achieve compliance by relatively low cost alternatives such as:
improved DBP precursor removal through enhanced coagulation or enhanced
softening; moving the point of disinfection to reduce the reaction
between chlorine and DBP precursors; the use of chloramines for
residual disinfection instead of chlorine; or a combination of these
alternatives.
Many commenters also questioned the need for a modified TTHM MCL
and a new MCL for HAA5. As discussed in section I.B.2. of today's rule,
EPA believes the potential public health risks do justify a reduction
in exposure to DBPs and hence a modification in the MCL for TTHMs and a
new MCL for HAA5. Also as discussed in section IV of this rule, EPA
continues to believe that the potential risks associated with both TTHM
and HAA5 and unregulated DBPs will be reduced by the combination of
these MCLs and DBP precursor removal through enhanced coagulation and
enhanced softening.
While most commenters agreed with EPA's definition of GAC10 and
GAC20 (GAC with a 10 and a 20 minute empty bed contact time,
respectively), several commenters thought that designating GAC as BAT
meant that they would have to install GAC at their treatment plant. EPA
is required to designate a BAT for any MCL that the Agency promulgates;
however, a system may use any technology it wants to comply with the
MCL. However, a system must install BAT prior to the State issuing a
variance to one of these MCLs.
Commenters also questioned the use of group MCLs for TTHM and HAA5,
instead of MCLs for the individual DBPs, since a group MCL does not
take into account differing health effects and potencies of individual
DBPs. EPA continues to believe that regulating TTHMs and HAAs as group
MCLs is appropriate at this time for several reasons. First, EPA does
not have adequate occurrence data for individual trihalomethanes and
haloacetic acids to develop national occurrence estimates which are
needed for estimating the potential costs and benefits of the rule
(although the Agency has an adequate database of group occurrence).
Second, there is not an adequate understanding of how water quality
parameters (such as pH, temperature, bromide, and alkalinity) affect
individual THM and HAA formation. Third, EPA does not have an adequate
understanding of how treatment technologies control the formation of
individual THMs and HAAs to enable specifying appropriate MCLs for
individual TTHMs or HAAs at this time. Finally, there are inadequate
health data to characterize the potential health risks for several of
the HAAs and to then determine the potential benefits from reduction in
exposures. In conclusion, EPA continues to believe the most appropriate
approach for reducing the health risk from all DBPs is by the
combination of TTHM and HAA5 MCLs and DBP precursor removal.
Some commenters stated that EPA may have underestimated HAA
formation, especially in certain areas of the country. The Agency was
aware that waters in particular regions of the country would be more
difficult to treat in order to control for HAA5 than for TTHM. Based on
additional data received since the proposal, EPA continues to believe
that the HAA5 MCL can be met by most systems through the same general
low-cost strategies as used for TTHM (e.g., improved DBP precursor
removal, moving the point of disinfection, use of chloramines for
residual disinfection) rather than higher cost alternatives (see
section IV.C for cost estimates of technology treatment choices).
Many commenters also requested that States be granted sufficient
flexibility in implementing this rule. While the State must adopt rules
that are at least as stringent as those published in today's rule, EPA
has given the States and systems much latitude in monitoring plans
(frequency and location), allowable disinfectants, and other rule
elements. Much of this flexibility carries over from the 1979 TTHM Rule
(EPA, 1979).
Finally, some commenters stated that requirements in this rule are
complicated. EPA acknowledges that this rule is complicated, but that
this complexity is necessary in order to adequately and economically
address the potential DBP risks. EPA was required to consider a host of
complicating factors in developing regulatory requirements: different
disinfectants, different health effects (acute and chronic), different
DBP formation kinetics, different source water types and qualities,
different treatment processes, and the need for
[[Page 69410]]
simultaneous compliance with other rules such as the Total Coliform
Rule, Lead and Copper Rule, and Interim Enhanced Surface Water
Treatment Rule. The Agency chose to evaluate all these factors by
developing requirements that minimized impacts on various classes of
systems while enabling States to implement the rule. In addition to the
further description of the requirements in today's rule, EPA will
publish a State implementation manual, a small system compliance
manual, and a series of guidance manuals that will provide additional
information to systems and States in implementing this rule.
EPA has reviewed all comments and determined that the requirements
promulgated today are necessary to control the occurrence of TTHM and
HAA5 and are feasible to achieve. These requirements take into account
the difficulties in simultaneously controlling risks from DBPs and
pathogens, while appropriately addressing implementation and compliance
issues.
2. MCL for Bromate
a. Today's Rule. In today's rule, EPA is promulgating an MCL for
bromate of 0.010 mg/L. Bromate is one of the principal byproducts of
ozonation in bromide-containing source waters. The proposed MCL for
bromate was 0.010 mg/l. A system is in compliance with the MCL when the
running annual average of monthly samples, computed quarterly, is less
than or equal to the MCL. If the running annual average computed for
any quarter exceeds the MCL, the system is out of compliance. EPA has
identified the BAT for achieving compliance with the MCL for bromate as
control of ozone treatment process to reduce formation of bromate, as
was proposed in 1994 (EPA, 1994a).
b. Background and Analysis. For systems using ozone, a separate MCL
was proposed for the primary inorganic DBP associated with ozone usage:
bromate. Although the theoretical 10-4 risk level for
bromate is 0.005 mg/l, an MCL of 0.010 mg/L was proposed because
available analytical detection methods for bromate were reliable only
to the projected practical quantification limit (PQL) of 0.01 mg/L
(EPA, 1994a).
In the preamble to the proposed rule, EPA requested comment on
whether there were ways to set (or achieve) a lower MCL (i.e., 0.005
mg/L [5 g/L]) and whether the PQL for bromate could be lowered
to 5 g/L in order to allow compliance determinations for a
lower MCL in Stage 1 of the proposed rule. The proposed MCL of 0.010
mg/L for bromate was based on a projected PQL that would be achieved by
improved methods. The PQL of the revised method is approximately 0.010
mg/L for bromate, as discussed in Section III.G (Analytical Methods).
At the time of the November 1997 NODA, EPA was not aware of any new
information that would lower the PQL for bromate and thus allow
lowering the MCL. As a result, EPA concluded that the proposed bromate
MCL was appropriate.
c. Summary of Comments. Several commenters were concerned that the
bromate MCL may have been set at a level that would preclude the use of
ozone. During the M-DBP Advisory Committee discussions, the TWG
evaluated the feasibility of ozone for certain systems that were
predicted to have problems in complying with the TTHM and HAA5 MCLs.
While ozone was not feasible for all systems, it was feasible for many
that did not have elevated source water bromide levels to react with
ozone to form bromate. The TWG predicted that most of the systems not
able to use ozone would be able to switch to chlorine dioxide for
primary disinfection.
EPA has reviewed all comments and determined that the requirements
promulgated today are necessary to control the occurrence of bromate
and are feasible to achieve. For additional discussion on the treatment
technologies for controlling bromate formation and their costs see the
Cost and Technology Document for Controlling Disinfectants and
Disinfection Byproducts (EPA, 1998k). These requirements take into
account the difficulties in simultaneously controlling risks from DBPs
and pathogens, while appropriately addressing compliance and
implementation issues. In addition, the Reg. Neg. Committee and the M-
DBP Advisory Committee supported these conclusions.
3. MCL for Chlorite
a. Today's Rule. In today's rule, EPA is promulgating an MCL for
chlorite of 1.0 mg/L. EPA has modified the monitoring requirements from
the proposed rule for the reasons discussed in section III.A.7. The
issue of monitoring and MCL compliance determinations as they relate to
the health effect of concern for chlorite were discussed in the
proposed rule (EPA, 1994a). CWSs and NTNCWSs using chlorine dioxide for
disinfection or oxidation are required to conduct sampling for chlorite
both daily at the entrance to the distribution system and monthly (3
samples on the same day) within the distribution system. Additional
distribution system monitoring is required when the chlorite
concentration measured at the entrance to the distribution system
exceeds a chlorite concentration of 1.0 mg/L. Distribution system
monitoring may be reduced if certain conditions are met (described in
section III.H of this rule).
b. Background and Analysis. For systems using chlorine dioxide, EPA
proposed a separate MCL for chlorite associated with its usage in 1994.
The proposed chlorite MCL of 1.0 mg/L was supported by the Reg. Neg.
Committee because 1.0 mg/L was the lowest level considered practicably
achievable by typical systems using chlorine dioxide, from both
treatment and monitoring perspectives. The MCLG was 0.08 mg/L, due (in
part) to data gaps that required higher uncertainty factors in the MCLG
determination. The CMA agreed to fund new health effects research on
chlorine dioxide and chlorite--with EPA approval of the experimental
design--to resolve these data gaps. EPA completed its review of the
study and published its findings in a NODA in March 1998. Those
findings led to a chlorite MCLG of 0.8 mg/L and support for an MCL of
1.0 mg/L.
c. Summary of Comments. Many commenters requested that EPA not
modify the MCL for chlorite prior to receipt and evaluation of the CMA
study, since lowering the MCL could preclude the use of chlorine
dioxide for drinking water disinfection. EPA has evaluated the CMA
study and concluded that the MCLG for chlorite should be 0.8 mg/L. EPA
believes the proposed MCL of 1.0 mg/L, based on a three sample average
to determine compliance, is appropriate because this is the lowest
level achievable by typical systems using chlorine dioxide. In
addition, considering the margin of safety that is factored into the
estimate of the MCLG, EPA believes the MCL will be protective of public
health. Once the final MCLG was established, EPA decided that the
chlorite MCL should be finalized at the level proposed which was as
close as economically and technically feasible to the MCLG, and
modified the proposed requirements for monitoirng and compliance in
response to the health concerns associated with chlorite.
EPA has reviewed all comments and determined that the requirements
promulgated today are necessary to control the occurrence of chlorite
and are feasible to achieve. These requirements take into account the
difficulties in simultaneously controlling risks from DBPs and
pathogens, while appropriately addressing compliance and
[[Page 69411]]
implementation issues. In addition, the Reg. Neg. Committee and the M-
DBP Advisory Committee supported these conclusions.
4. MRDL for Chlorine
a. Today's Rule. Chlorine is a widely used and highly effective
water disinfectant. In today's rule, EPA is promulgating an MRDL for
chlorine of 4.0 mg/L. As a minimum, CWSs and NTNCWSs must measure the
residual disinfectant level at the same points in the distribution
system and at the same time as total coliforms, as specified in
Sec. 141.21. Subpart H systems may use the results of residual
disinfectant concentration sampling done under the SWTR
(Sec. 141.74(b)(6) for unfiltered systems, Sec. 141.74(c)(3) for
systems that filter) in lieu of taking separate samples. Monitoring for
chlorine may not be reduced.
A system is in compliance with the MRDL when the running annual
average of monthly averages of all samples, computed quarterly, is less
than or equal to the MRDL. Notwithstanding the MRDL, operators may
increase residual chlorine levels in the distribution system to a level
and for a time necessary to protect public health to address specific
microbiological contamination problems (e.g., including distribution
line breaks, storm runoff events, source water contamination, or cross-
connections).
EPA has identified the best means available for achieving
compliance with the MRDL for chlorine as control of treatment processes
to reduce disinfectant demand, and control of disinfection treatment
processes to reduce disinfectant levels.
b. Background and Analysis. The 1994 proposed Stage I DBPR included
an MRDL for chlorine at 4.0 mg/L (EPA, 1994a). The MRDL for chlorine is
equal to the MRDLG for chlorine. EPA requested comment on a number of
issues relating to the calculation of the MRDLG for chlorine. New
information on chlorine has become available since the 1994 proposal
and was discussed in the 1997 NODA (EPA, 1997b). EPA believes that no
new information has become available to warrant changing the proposed
MRDL. EPA has therefore decided to promulgate the MRDL of 4.0 mg/L for
chlorine.
c. Summary of Comments. Some commenters expressed concern that the
MRDL for chlorine is too high. These commenters were concerned that 4
mg/L levels of chlorine would have a detrimental effect on piping
materials and would cause taste and odor problems. One commenter
supported the chlorine MRDL and the methods of calculating compliance
with the MRDL. This commenter felt that 4.0 mg/L appropriately allows
for disinfection under varying circumstances. One commenter requested
that EPA increase the flexibility of utilities to meet the MRDL for
chlorine during periods when chlorine levels in the distribution
systems may need to be raised to protect public health.
EPA believes that the MRDL of 4.0 mg/L for chlorine is appropriate
to control for potential health effects (MRDLG is 4.0 mg/L) from
chlorine while high enough to allow for control of pathogens under a
variety of conditions. EPA also believes that compliance based on a
running annual average of monthly averages of all samples, computed
quarterly is sufficient to allow systems to increase residual chlorine
levels in the distribution system to a level and for a time necessary
to protect public health to address specific microbiological
contamination problems and still maintain compliance. If a system has
taste and odor problems associated with excess chlorine levels it can
lower its level of chlorine. Since there may not be any health effects
associated with taste and odor problems, EPA does not have a statutory
requirement to address this concern.
5. MRDL for Chloramines
a. Today's Rule. Chloramines are formed when ammonia is added
during chlorination. In today's rule, EPA is promulgating an MRDL for
chloramines of 4.0 mg/L (measured as combined total chlorine). As a
minimum, CWSs and NTNCWSs must measure the residual disinfectant level
at the same points in the distribution system and at the same time as
total coliforms, as specified in Sec. 141.21. Subpart H systems may use
the results of residual disinfectant concentration sampling done under
the SWTR (Sec. 141.74(b)(6) for unfiltered systems, Sec. 141.74(c)(3)
for systems that filter) in lieu of taking separate samples. Monitoring
for chloramines may not be reduced.
A PWS is in compliance with the MRDL when the running annual
average of monthly averages of all samples, computed quarterly, is less
than or equal to the MRDL. Notwithstanding the MRDL, operators may
increase residual chloramine levels in the distribution system to a
level and for a time necessary to protect public health to address
specific microbiological contamination problems (e.g., including
distribution line breaks, storm runoff events, source water
contamination, or cross-connections).
EPA has identified the best means available for achieving
compliance with the MRDL for chloramines as control of treatment
processes to reduce disinfectant demand, and control of disinfection
treatment processes to reduce disinfectant levels.
b. Background and Analysis. The 1994 proposed Stage 1 DBPR included
an MRDL for chloramines at 4.0 mg/L (EPA, 1994a). The MRDL for
chloramines is equal to the MRDLG for chloramines. EPA requested
comment on a number of issues relating to the calculation of the MRDLG
for chloramines. New information on chloramines has become available
since the 1994 proposal and was cited in the 1997 NODA and is included
in the public docket for this rule (EPA, 1997b). This new information
did not contain data that would warrant changing the MRDL. EPA has
therefore decided to promulgate the proposed MRDL of 4.0 mg/L for
chloramines.
c. Summary of Comments. Some commenters remarked that systems with
high concentrations of ammonia would have difficulty meeting the MRDL
for chloramine of 4.0 mg/L and still maintain adequate microbial
protection. One commenter felt that there should not be a limit for
chloramine residual due to variations in parameters such as
distribution system configurations and temperature. One commenter felt
that the MRDL for chloramines was too low and should not be set at the
same level as the chlorine MRDL since chlorine is a stronger
disinfectant than chloramines. This commenter felt that limiting the
chloramine residual would reduce the capability to sustain high water
quality in the distribution system. One commenter supported the
chloramine MRDL and the methods of calculating compliance with the
MRDL. This commenter felt that 4.0 mg/L adequately allows for
disinfection under varying circumstances.
EPA believes that compliance based on a running annual average of
monthly averages of all samples, computed quarterly, is sufficient to
allow systems to increase residual chloramine levels in the
distribution system to a level and for a time necessary to protect
public health to address specific microbiological contamination
problems and still maintain compliance. The MRDL for chloramine does
not limit disinfectant dosage but rather disinfectant residual in the
distribution system. EPA therefore, believes that systems with high
levels of ammonia should be able to comply with the MRDL. Systems that
have difficulty sustaining high water quality in the distribution
system should consider modifying their
[[Page 69412]]
treatment or maintenance procedures to reduce demand. Although chlorine
is a stronger disinfectant than chloramine, EPA believes that an MRDL
of 4.0 mg/L is sufficient to provide adequate microbial protection.
6. MRDL for Chlorine Dioxide
a. Today's Rule. Chlorine dioxide is used primarily for the
oxidation of taste and odor-causing organic compounds in water. It can
also be used for the oxidation of reduced iron and manganese and color,
and as a disinfectant and algicide. Chlorine dioxide reacts with
impurities in water very rapidly, and is dissipated quickly. In today's
rule, EPA is promulgating an MRDL of 0.8 mg/L for chlorine dioxide.
Unlike chlorine and chloramines, the MRDL for chlorine dioxide may not
be exceeded for short periods of time to address specific
microbiological contamination problems because of potential health
concerns with short-term exposure to chlorine dioxide above the MCL.
CWSs and noncommunity systems must monitor for chlorine dioxide
only if chlorine dioxide is used by the system for disinfection or
oxidation. Monitoring for chlorine dioxide may not be reduced. If
monitoring is required, systems must take daily samples at the entrance
to the distribution system. If any daily sample taken at the entrance
to the distribution system exceeds the MRDL, the system is required to
take three additional samples in the distribution system on the next
day. Systems using chlorine as a residual disinfectant and operating
booster chlorination stations after the first customer must take three
samples in the distribution system: one as close as possible to the
first customer, one in a location representative of average residence
time, and one as close as possible to the end of the distribution
system (reflecting maximum residence time in the distribution system).
Systems using chlorine dioxide or chloramines as a residual
disinfectant or chlorine as a residual disinfectant and not operating
booster chlorination stations after the first customer must take three
samples in the distribution system as close as possible to the first
customer at intervals of not less than six hours.
If any daily sample taken at the entrance to the distribution
system exceeds the MRDL and if, on the following day, any sample taken
in the distribution system also exceeds the MRDL, the system will be in
acute violation of the MRDL and must take immediate corrective action
to lower the occurrence of chlorine dioxide below the MRDL and issue
the required acute public notification. Failure to monitor in the
distribution system on the day following an exceedance of the chlorine
dioxide MRDL shall also be considered an acute MRDL violation.
If any two consecutive daily samples taken at the entrance to the
distribution system exceed the MRDL, but none of the samples taken in
the distribution system exceed the MRDL, the system will be in nonacute
violation of the MRDL and must take immediate corrective action to
lower the occurrence of chlorine dioxide below the MRDL. Failure to
monitor at the entrance to the distribution system on the day following
an exceedance of the chlorine dioxide MRDL shall also be considered a
nonacute MRDL violation.
EPA has identified the best means available for achieving
compliance with the MRDL for chlorine dioxide as control of treatment
processes to reduce disinfectant demand, and control of disinfection
treatment processes to reduce disinfectant levels.
b. Background and Analysis. EPA proposed an MRDL for chlorine
dioxide of 0.8 mg/L in 1994. The MRDL was determined considering the
tradeoffs between chemical toxicity and the beneficial use of chlorine
dioxide as a disinfectant. The Reg. Neg. Committee agreed to this MRDL
with the reservation that it would be revisited, if necessary, after
completion of a two-generation reproductive study by CMA.
As discussed above for chlorite, a two-generation reproductive
study on chlorite, which is relevant to health effects of chlorine
dioxide, was completed by the CMA. EPA completed its review of this
study and published its findings in a NODA in March 1998 (EPA, 1998a).
Based on its assessment of the CMA study and a reassessment of the
noncancer health risk for chlorite and chlorine dioxide, EPA concluded
that the MRDLG for chlorine dioxide be changed from 0.3 mg/L to 0.8 mg/
L. Since this new MRDLG was equal to the proposed MRDL for chlorine
dioxide, the MRDL will remain 0.8 mg/L.
c. Summary of Comments. A number of commenters were concerned that
the MRDL for chlorine dioxide not be lowered below the proposed level
of 0.8 mg/L because this would preclude the use of chlorine dioxide as
a water disinfectant. One commenter supported the MRDL for chlorine
dioxide based on public health protection, adequate microbial
protection, and technical feasibility. One commenter agreed that a
running annual average of samples for compliance determination should
not be allowed for chlorine dioxide. One commenter was concerned that
the chlorine dioxide MRDL was too high and that EPA should consider
children and vulnerable populations in establishing drinking water
standards.
EPA has reassessed the health effects data on chlorine dioxide,
including the new CMA two-generation study and determined that the MRDL
should remain at 0.8 mg/L as proposed. EPA believes that this MRDL is
set at a technically feasible level for the majority of chlorine
dioxide plants. This is the case because EPA considered children and
susceptible populations in its MRDLG determination (EPA, 1998h). The
MRDL is set as close to this MRDLG as is technically and economically
feasible.
D. Treatment Technique Requirement
1. Today's Rule
Today's rule establishes treatment technique requirements for
removal of TOC to reduce the formation of DBPs by means of enhanced
coagulation or enhanced softening. The treatment technique applies to
Subpart H systems using conventional filtration treatment regardless of
size. Subpart H systems are systems with conventional treatment trains
that use surface water or ground water under the influence of surface
water as their source. The treatment technique requirement has two
steps of application. Step 1 specifies the percentage of influent TOC a
plant must remove based on the raw water TOC and alkalinity levels. The
matrix in Table III-1 specifies the removal percentages.
Table III-1.--Required Removal of Total Organic Carbon by Enhanced Coagulation and Enhanced Softening for
Subpart H Systems Using Conventional Treatment a,\b
----------------------------------------------------------------------------------------------------------------
Source water alkalinity (mg/L as CaCO3)
-----------------------------------------------
Source water TOC (mg/L) 0-60 >60-120 >120c
(percent) (percent) (percent)
----------------------------------------------------------------------------------------------------------------
>2.0-4.0........................................................ 35.0 25.0 15.0
[[Page 69413]]
>4.0-8.0........................................................ 45.0 35.0 25.0
>8.0............................................................ 50.0 40.0 30.0
----------------------------------------------------------------------------------------------------------------
a Systems meeting at least one of the conditions in Section 141.135(a)(2) (i)-(vi) of the rule are not required
to meet the removals in this table.
b Softening systems meeting one of the two alternative compliance criteria in Section 141.135(a)(3) of the rule
are not required to meet the removals in this table.
c Systems practicing softening must meet the TOC removal requirements in the last column to the right.
Step 2 provides alternate performance criteria when it is
technically infeasible for systems to meet the Step 1 TOC removal
requirements. For systems practicing enhanced coagulation, Step 2 of
the treatment technique requirement is used to set an alternative TOC
removal requirement (i.e. alternative percent removal of raw water TOC)
for those systems unable to meet the TOC removal percentages specified
in the matrix. The alternative TOC removal percentage is determined by
performing jar tests on at least a quarterly basis for one year. During
the jar tests, alum or an equivalent dose of ferric coagulant is added
in 10 mg/L increments until the pH is lowered to the target pH value.
The target pH is the value the sample must be at or below before the
incremental addition of coagulant can be discontinued. For the
alkalinity ranges 0-60, >60-120, >120-240, and >240 mg/L (as
CaCO3), the target pH values are 5.5, 6.3, 7.0, and 7.5,
respectively. Once the Step 2 jar test is complete, the TOC removal
(mg/L) is then plotted versus coagulant dose (mg/L). The alternative
TOC removal percentage is set at the point of diminishing returns
(PODR) identified on the plot.
Today's rule defines the PODR as the point on the TOC versus
coagulant dose plot where the slope changes from greater than 0.3/10 to
less than 0.3/10 and remains less than 0.3/10. After identifying the
PODR, the alternative TOC removal percentage can be set. If the TOC
removal versus coagulant dose plot does not meet the PODR definition,
the water is considered not amenable to enhanced coagulation and TOC
removal is not required if the PWS requests, and is granted, a waiver
from the enhanced coagulation requirements by the State. Systems are
required to meet the alternative TOC removal requirements during full-
scale operation to maintain compliance with the treatment technique.
For the technical reasons outlined in the 1997 DBP NODA (EPA 1997b),
EPA has concluded that this definition of the PODR is a reliable
indicator of the amount of TOC that is feasible to remove.
Systems practicing enhanced softening are not required to perform
jar testing under today's treatment technique as part of a Step 2
procedure. Rather, they are required to meet one of three alternative
performance criteria if they cannot meet the Step 1 TOC removal
requirements. These criteria are: (1) Produce a finished water with a
SUVA of less than or equal to 2.0 L/mg-m; (2) remove a minimum of 10
mg/L magnesium hardness (as CaCO3); or (3) lower alkalinity
to less then 60 mg/L (as CaCO3). All three of these
alternative performance criteria are measured monthly and can be
calculated quarterly as a running annual average to demonstrate
compliance. As discussed in the 1997 DBP NODA (EPA 1997b) EPA has not
been able, from a technical and engineering standpoint, to identify a
Step 2 testing procedure at this time that allows softening systems to
set an alternative TOC removal amount. Enhanced softening systems
unable to meet the Step 1 TOC removal requirements or any of the three
alternative performance criteria may apply to the State for a waiver
from the treatment technique requirements. EPA believes the three
alternative performance criteria listed above provide assurance that
softening systems have maximized TOC removal to the extent feasible.
Today's rule also provides alternative compliance criteria--which
are separate and independent of the Step 2 enhanced coagulation
procedure and the enhanced softening alternative performance criteria--
from the treatment technique requirements provided certain conditions
are met. These criteria are:
(1) the system's source water TOC is <2.0 mg/l;="" (2)="" the="" system's="" treated="" water="" toc="" is="">2.0><2.0 mg/l;="" (3)="" the="" system's="" source="" water="" toc="">2.0><4.0 mg/l,="" its="" source="" water="" alkalinity="" is="">60 mg/L (as CaCO3), and the system is
achieving TTHM <>g/L and HAA5 <>g/L (or the system
has made a clear and irrevocable financial commitment to technologies
that will meet the TTHM and HAA level);
(4) the system's TTHM is <>g/L, HAA5 is <>g/L,
and only chlorine is used for primary disinfection and maintenance of a
distribution system residual;
(5) the system's source water SUVA prior to any treatment is
2.0 L/mg-m; and
(6) the system's treated water SUVA is 2.0 L/mg-m.
Alternative compliance criteria 1, 2, 5, and 6 are determined based
on monthly monitoring calculated quarterly as a running annual average
of all measurements. Alternative compliance criteria 3 is based on
monthly monitoring for TOC and alkalinity or quarterly monitoring for
TTHMs and HAA5, calculated quarterly as a running annual average of all
measurements. Alternative criteria 4 is determined based on monitoring
for TTHMs and HAA5, calculated quarterly as a running annual average of
all measurements. SUVA, an indicator of DBP precursor removal
treatability, is defined as the UV-254 (measured in m-1)
divided by the DOC concentration (measured as mg/L).
2. Background and Analysis
The general structure of the 1994 proposed rule and today's final
rule are similar. The 1994 proposal included an enhanced coagulation
and enhanced softening treatment technique requirement for Subpart H
systems. The 1994 proposed rule included a TOC removal matrix for Step
1 TOC removal requirements and it also provided for a Step 2 jar test
procedure for systems practicing enhanced coagulation. The PODR for the
Step 2 procedure was defined as a slope of .3/10 on the TOC removal
versus coagulant dose plot. The Step 2 procedure included a maximum pH
value, now referred to as the ``target pH'' for conducting the jar
tests and it also allowed systems to request a waiver from the State if
the PODR was never
[[Page 69414]]
attained. The target pH values in the 1994 proposal were the same as
those in today's final rule. A Step 2 procedure for enhanced softening
systems was not specified in the proposal.
The proposed rule also provided for a number of exceptions to the
enhanced coagulation and enhanced softening requirements, but it did
not include use of SUVA as an alternative compliance criteria.
A major goal of the TOC removal treatment technique requirements
was to minimize transactional costs to the States both in terms of
limiting the number of systems seeking alternative performance criteria
and in providing relatively simple methodologies for determining
alternative performance criteria. In the 1997 DBP NODA (EPA 1997b), EPA
presented new data and analysis and the basis for modifying the
proposed criteria to those described in today's final rule. The 1997
NODA also solicited public comment on EPA's intended changes to the
proposal and the recommendations of the M-DBP Advisory Committee to
EPA. An overview of the key points in the 1997 NODA most pertinent to
modifying the treatment technique requirements are presented below.
Data Supporting Changes in the TOC Removal Requirements. The
proposed TOC removal percentages, which were set with the intent that
90% of affected systems would be able to achieve them, were developed
with limited data. Since the proposal, several jar studies and analyses
of full-scale plant TOC removal performance have been performed. They
were analyzed by EPA as part of the M-DBP Advisory Committee process.
This data will not be thoroughly reviewed here; instead, the major
points salient to development of the final regulation will be
summarized. See the 1997 DBP NODA (EPA 1997b) to review EPA's detailed
analysis of the new data.
As discussed in greater detail in the 1997 DBP NODA, research by
Singer et al. (1995) indicated that a significant number of waters,
especially low-TOC, high-alkalinity waters in the first row of the
proposed TOC removal matrix, would probably not be able to meet the TOC
removal percentages and would therefore need to use the Step 2 protocol
to establish alternative performance criteria. The Singer et al. (1995)
study raised concern regarding the number of systems that might need to
use the Step 2 procedure to set alternative performance criteria. A
study by Malcolm Pirnie, Inc. and Colorado University addressed this
issue by developing a nationally representative database of 127 source
waters and used this data to develop a model to predict enhanced
coagulation's ability to remove TOC from different source waters
(Edwards, 1997; Tseng & Edwards, 1997; Chowdhury, 1997). The model was
subsequently used to analyze the level or percentage of TOC removal
that is operationally feasible to achieve for the boxes in the proposed
TOC removal matrix. Nine predictive equations for TOC removal were
developed, one for each box of the TOC removal matrix, to select TOC
removal percentages that could be ``reasonably'' met by 90 percent of
the systems implementing enhanced coagulation. The equations indicated
that many systems having source waters within the low TOC boxes of the
matrix (i.e. 2.0-4.0 mg/L, the first row of the matrix) would meet the
Step 2 slope criterion before meeting the required TOC removal
percentages. In other words, less than 90 percent of the systems in
this row could achieve the proposed TOC removal with reasonable
coagulant doses. The equations indicated that the TOC removal
percentages in the medium and high TOC boxes (the bottom two rows of
the matrix) could be met by approximately 90 percent of the systems in
these boxes. The research team also examined 90th-percentile SUVA
curves, in conjunction with the nine TOC removal curves, to predict
what TOC removal percentage is appropriate for each of the nine boxes
of the matrix.
An analysis of full-scale TOC removal has also been performed since
1994. Data was obtained from 76 treatment plants of the American Water
Works Service Company (AWWSCo) system, plants studied by Randtke et al.
(1994), and plants studied by Singer et al. (1995). These data
represent a one-time sampling at each plant under current operating
conditions when enhanced coagulation was not being practiced. This
sampling is different from the proposed compliance requirements which
would be based on an annual average of monthly samples. Based on
current treatment at the plants in the study, 83 percent of the systems
treating moderate-TOC, low-alkalinity water removed an amount of TOC
greater than that required by the TOC removal matrix, whereas only 14
percent of the systems treating water with low TOC and high alkalinity
met the proposed TOC removal requirements. The results of the survey,
coupled with the information discussed in the preceding paragraph,
indicate that the proposed TOC removal percentages in the top row of
the matrix might be too high for 90 percent of plants to avoid the Step
2 procedure, while the removal percentages in the bottom two rows may
be reasonable and allow 90 percent of plants to avoid the Step 2
procedure. Therefore, the TOC removal percentages in the first row have
been lowered 5.0 percentage points to enable 90 percent of plants to
comply without unreasonable coagulant dosage or resorting to the Step 2
procedure.
Data Supporting the Use of SUVA as an Exemption from Treatment
Technique Requirements. At the time of the proposal, insufficient data
on SUVA was available to define precise criteria for when enhanced
coagulation would not be effective for removing DBP precursors. The M-
DBP Advisory Committee examined the role of SUVA as an indicator of the
amount of DBP precursor material enhanced coagulation is capable of
removing. It has been well established that coagulation primarily
removes the humic fraction of the natural organic matter (NOM) in water
(Owen et al., 1993). Furthermore, Edzwald and Van Benschoten (1990)
have found SUVA to be a good indicator of a water's humic content. The
humic fraction of a water's organic content significantly affects DBP
formation upon chlorination.
A study by White et al. (1997) showed that waters with high initial
SUVA values exhibited significant reductions in SUVA as a result of
coagulation, demonstrating a substantial removal of the humic (and
other UV-absorbing) components of the organic matter, whereas waters
with low initial SUVA values exhibited relatively low reductions in
SUVA. For all of the waters examined, the SUVA tended to plateau at
high alum doses, reflecting that the residual organic matter was
primarily non-humic and therefore unamenable to removal by enhanced
coagulation. SUVA's ability to indicate the amount of humic matter
present, and enhanced coagulation's ability to preferentially remove
humic matter, logically establishes SUVA as an indicator of enhanced
coagulation's ability to remove humic substances from a given water.
The M-DBP Advisory Committee therefore recommended that a SUVA value
2.0 L/mg-m be an exemption from the treatment technique
requirement and that this SUVA value also be added as a Step 2
procedure.
Effect of Coagulant Dose on TOC Removal for Enhanced Softening. At
the time of proposal, limited data was available on the effectiveness
of TOC removal by enhanced coagulation and enhanced softening and on
conditions that define feasibility. Several studies examined the
relationship between increased coagulant dose and TOC removal (Shorney
et al., 1996; Clark et
[[Page 69415]]
al. 1994). These studies indicate some improvement in TOC removal with
small doses of iron salts (5 mg/L ferric sulfate), but no additional
TOC removal during softening occurred with increased coagulant addition
(up to 25 mg/L dose). Pilot testing by the City of Austin's softening
plant confirmed the study's jar test results by showing that increasing
ferric sulfate doses beyond the level required for turbidity removal
provided no additional TOC removal.
Multiple jar tests on various waters performed by Singer et al.
(1996) examined the relationship between use of lime and soda ash and
TOC removal. Only lime and soda ash (no coagulants) were used in the
tests. The study showed the removal of 10 mg/L of magnesium hardness
would probably have less of an impact on plant residual generation than
using a lime soda-ash process. However, the amount of residual material
generated under both scenarios could be substantial.
Step 2 Requirements for Softening Systems. As stated above, the
proposed rule did not include a Step 2 procedure for softening plants
because of a lack of data. The M-DBP Advisory Committee examined new
data that had been collected since the proposal to determine if a Step
2 procedure for softening plants could be identified. Data included the
current TOC removals being achieved by softening plants covered by the
ICR (49 plants). The data were analyzed to find the appropriate TOC
removal levels for softening plants. The results of plotting the
average TOC percent removals on a percentile basis indicated that the
relative impact of meeting the TOC removal requirement in the proposed
rule would be greatest in the low TOC group (>2-4 mg/L). However,
forcing a plant to increase pH may require it to add soda ash (due to
the decrease in alkalinity caused by high lime dose necessary to raise
the pH). This would be a significant treatment change due to the
additional solids generation and because significant amounts of
magnesium hydroxide may precipitate at the higher pH. Most softening
plants are normally operated without soda ash addition because of the
high cost of soda ash, the additional sludge production, the increased
chemical addition to stabilize the water, and the increased sodium
levels in the finished water (Randtke et al., 1994 and Shorney et al.,
1996). Due to these difficulties, EPA does not currently believe that a
lime and soda-ash softening process would be a viable Step 2 procedure
for softening systems. The final rule instead specifies two alternative
compliance criteria, mentioned earlier in this section, as a Step 2
procedure for softening systems.
3. Summary of Comments
A large number of comments on the 1994 proposal questioned whether
the required TOC removal percentages could be obtained by 90 percent of
affected systems. In response, since the time of proposal, a large body
of additional data and analysis has been developed to help address this
question. The analyses discussed above showed that the top row of the
TOC removal matrix needed to be lowered by 5.0 percentage points to
enable 90 percent of systems within the row to achieve the required TOC
removal without unreasonable coagulant doses. Analysis also showed the
TOC removal percentages contained in the two lower rows of the TOC
removal matrix accurately reflected the TOC removal 90 percent of these
systems could remove. EPA believes the final TOC removal matrix, which
includes the adjustments to the top row mentioned above, accurately
reflects the TOC removal that 90 percent of the systems affected by the
rule could practically achieve.
Commenters questioned why systems that meet the DBP Stage 1 MCLs
for TTHM and HAA5 must still practice enhanced coagulation. The
enhanced coagulation treatment technique is designed to remove DBP
precursor material to help reduce the risks posed by DBPs. Also, EPA
believes that enhanced coagulation would reduce the number of systems
switching to alternative disinfectants, which was a goal of the Reg.
Neg. Committee. EPA believes that even if systems are meeting the MCLs,
an additional risk reduction benefit can be achieved through removal of
DBP precursor material at a relatively low cost to the system.
Therefore, systems that meet the MCLs must still practice enhanced
coagulation to decrease the risks posed by DBPs in general.
The Agency received numerous comments on the 1994 proposal that
expressed doubt regarding the definition of the PODR. Specifically, the
commenters stated that the accuracy of the slope criterion (0.3 mg/L
TOC removed per 10 mg/L coagulant added) for determining the PODR was
not supported with adequate data. The data developed since the proposal
and the corresponding analysis demonstrate that the slope criterion
accurately predicts the PODR. The analyses discussed above showed that
there is a particular relationship between SUVA and the slope
criterion, namely, that they both predict the PODR at the same point of
the TOC removal versus coagulant dose curve. Since SUVA is a very good
predictor of the humic fraction of TOC, which is the fraction
preferentially removed by enhanced coagulation, and the PODR predicted
by SUVA and the slope criterion agree, EPA believes the slope criterion
of 0.3 mg/L TOC removal per 10 mg/L of coagulant addition accurately
predicts the PODR.
The majority of commenters did not support requiring the use of
bench-scale filtration as part of the Step 2 enhanced coagulation
procedure. The commenters generally believed that using filtration at
bench scale is of limited value because the great majority of TOC is
removed via sedimentation, not through filtration. Additionally, some
commentors felt that attempting to replicate full-scale filtration at
bench scale can contain inherent inaccuracy. EPA generally agrees that
a Step 2 filtration procedure should not be required. The Agency
believes that most of the TOC removed by conventional treatment plants
is removed in the sedimentation basin rather than in the filters.
Therefore, requiring a bench-scale filtration procedure as part of Step
2 testing will not increase the accuracy of the procedure or its value
to the treatment technique implementation. Accordingly, today's final
rule does not require the use of a bench scale filtration procedure
during Step 2 enhanced coagulation testing. Detailed guidance on
conducting the Step 2 testing will be provided in the Guidance Manual
for Enhanced Coagulation and Enhanced Precipatative Softening.
Commenters expressed varied opinions regarding the frequency of
Step 2 testing. Several commenters stated that the rule should not set
a minimum testing frequency, but that it should be left to State
discretion based on source water characteristics. Other commenters
believed a minimum of quarterly monitoring should be required with a
provision for more frequent testing to address source water quality
events. EPA believes that Step 2 testing frequency should be related to
seasonal and other variations in source water quality as these
variations may influence the amount of TOC removal the treatment plant
can achieve. Accordingly, EPA recommends that systems utilizing the
Step 2 procedure for compliance perform Step 2 testing quarterly for
one year after the effective data of the rule. The system may then
apply to the State to reduce testing to a minimum of once per year. If
the State does not approve the request for reduced testing frequency,
the system must continue to test quarterly.
[[Page 69416]]
E. Predisinfection Disinfection Credit
1. Today's Rule
Today's rule does not impose any constraints on the ability of
systems to practice predisinfection and take microbial inactivation
credit for predisinfection to meet the disinfection requirements of the
SWTR. Utilities are free to take disinfection credit for
predisinfection, regardless of the disinfectant used, for disinfection
that occurs after the last point the source water is subject to surface
water run-off and prior to the first customer.
2. Background and Analysis
The 1994 proposed Stage 1 DBPR (EPA,1994a) discouraged the use of
disinfectants prior to precursor (measured as TOC) removal by not
allowing compliance credit for the SWTR's disinfection requirements to
be taken prior to removal of a specified percentage of TOC. The
proposed IESWTR options were intended to include microbial treatment
requirements to prevent increases in microbial risk due to the loss of
predisinfection credit. These options were to be implemented
simultaneously with the Stage 1 DBPR. The purpose of not allowing
predisinfection credit was to maximize removal of organic precursors
(measured as TOC) prior to the addition of a disinfectant, thus
lowering the formation of DBPs.
Many drinking water systems use preoxidation to control a variety
of water quality problems such as iron and manganese, sulfides, zebra
mussels, Asiatic clams, and taste and odor. The 1994 proposed rule did
not preclude the continuous addition of oxidants to control these
problems. However, the proposed regulation, except under a few specific
conditions, did not allow credit for compliance with disinfection
requirements prior to TOC removal. Analysis supporting the proposed
rule concluded that many plants would be able to comply with the Stage
1 MCLs for THMs and HAA5 of 0.080 mg/L and 0.060 mg/L, respectively, by
reductions in DBP levels as a result of reduced disinfection practice
in the early stages of treatment. Also, enhanced coagulation and
enhanced softening were thought to lower the formation of other
unidentified DBPs as well. The 1994 proposal assumed that addition of
disinfectant prior to TOC removal would initiate DBP formation through
contact of the chlorine with the TOC, effectively eliminating the value
of enhanced coagulation for DBP reduction. Finally, the analysis
underlying the 1994 proposed elimination of the preoxidation credit
assumed that the addition of disinfectant was essentially ``mutually
exclusive'' to the goal of reducing DBP formation by the removal of
TOC. As discussed below, new data developed since 1994 suggest this may
not be the case.
Reasons for Disinfectant Use. In order to obtain information on the
impact that disallowing predisinfection would have on utilities'
disinfection practices, a survey was sent out to ICR utilities to
obtain information on their current predisinfection practices. The
results of the survey of 329 surface water treatment plants indicated
that 80 percent (263) of these plants use predisinfection for one or
more reasons. The survey indicated that the majority of the plants
using predisinfection were doing so for multiple reasons. However, the
main reason reported for predisinfection was microbial inactivation.
Algae control, taste and odor control, and inorganic oxidation, in that
order, were the next most frequently cited reasons for practicing
predisinfection. Seventy-seven percent of plants that predisinfected
reported that their current levels of Giardia lamblia inactivation
would be lowered if predisinfection was discontinued and no subsequent
additional disinfection was added to compensate for change in practice.
Eighty-one percent of plants that predisinfected would have to make
major capital investments to make up for the lost logs of Giardia
lamblia inactivation. For example, to maintain the same level of
microbial protection currently afforded, construction to provide for
additional contact time or use of a different disinfectant might be
needed if predisinfection credit was eliminated.
In addition to the ICR mail survey, results from EPA's
Comprehensive Performance Evaluations (CPE) from 307 PWSs (4 to 750
mgd) reported that 71% of the total number of plants used
predisinfection and 93% of those that predisinfected used two or three
disinfectant application points during treatment.
Based on the above information, EPA believes that predisinfection
is used by a majority of PWSs for microbial inactivation, as well as
other drinking water treatment objectives. Therefore, disallowing
predisinfection credit could influence systems to make changes in
treatment to comply with the disinfection requirements of the SWTR or
to maintain current levels of microbial inactivation.
Impact of Point of Chlorination on DBP Formation. The results of a
study by Summers et al. (1997) indicate that practicing enhanced
coagulation, while simultaneously maintaining prechlorination, can
still result in decreased DBP formation (especially for TOX and TTHM).
Greater benefits are realized by moving the point of chlorination to
post-rapid mixing or further downstream for HAA5 control, and to mid-
flocculation or post-sedimentation for TOX and TTHM control. These data
show that the assumption made in the 1994 proposal, namely that
application of any disinfectant prior to TOC removal would critically
effect DBP formation, was not accurate. The data indicate that
simultaneous employment of enhanced coagulation and predisinfection
does not necessarily mean that DBP formation cannot be substantially
controlled (see EPA 1997b for detailed analysis).
Impact on Softening Plants. In order to obtain additional
information on the current TOC removals being achieved by softening
plants, a survey was sent to all the ICR softening utilities (49
plants) requesting that they fill out a single page of information with
yearly average, maximum and minimum values for multiple operating
parameters for each softening plant. The survey showed that in spite of
the fact that 78 percent of softening plants are using free chlorine
for at least a portion of their disinfection, 90 percent of plants are
currently meeting an 80 g/L MCL level for TTHMS. All the
softening plants reported average HAA5 levels below 60 g/L.
Without predisinfection credit, these plants may have to provide
disinfection contact time after sedimentation, which could mean
significantly increasing the free chlorine contact time to make up for
a shortened detention time.
3. Summary of Comments
Most commenters stated that the proposed elimination of
predisinfection would result in many plants not being able to maintain
existing levels of disinfection or comply with the SWTR disinfection
requirements without making significant compensatory changes in their
disinfection practice. Commenters were concerned that without
predisinfection the level of microbial risk their customers were
exposed to could significantly increase, and that eliminating microbial
inactivation credit for predisinfection to comply with the SWTR might
influence utilities to abandon predisinfection to more easily comply
with the TTHM and HAA5 MCLs. EPA agrees with this concern and therefore
the final rule has been modified from the proposal to allow
predisinfection credit.
[[Page 69417]]
F. Requirements for Systems to Use Qualified Operators
EPA believes that systems that must make treatment changes to
comply with requirements to reduce the microbiological risks and risks
from disinfectants and disinfection byproducts should be operated by
personnel who are qualified to recognize and react to problems.
Therefore, in today's rule, the Agency is requiring that all systems
regulated under this rule be operated by an individual who meets State
specified qualifications, which may differ based on size and type of
the system. Subpart H systems already are required to be operated by
qualified operators under the provisions of the SWTR (40 CFR
141.70(c)). Current qualification or certification programs developed
by the States should, in many cases, be adequate to meet this
requirement for Subpart H systems. Also, States must maintain a
register of qualified operators.
EPA encourages States which do not already have operator
certification programs in effect to develop such programs. The Reg.
Neg. Committee and TWG believed that properly trained personnel are
essential to ensure safer drinking water. States with existing operator
certification programs may wish to update their programs for qualifying
operators under the SWTR. In these cases, States may wish to indicate
that their operator certification programs are being developed in
accordance with EPA's new guidelines.
G. Analytical Methods
1. Today's Rule
Chlorine (Free, Combined, and Total). Today's rule approves four
methods for measuring free, combined, and total chlorine to determine
compliance with the chlorine MRDL (using either free or total chlorine)
and chloramines MRDL (using either combined or total chlorine): ASTM
Method D1253-86 (ASTM, 1996), Standard Methods 4500-Cl D (APHA, 1995),
4500-Cl F (APHA, 1995), and 4500-Cl G (APHA, 1995). Additionally, this
rule approves two methods for measuring total chlorine to determine
compliance with the chlorine MRDL and chloramines MRDL: Standard
Methods 4500-Cl E (APHA, 1995) and 4500-Cl I (APHA, 1995). The rule
also contains an additional method for measuring free chlorine to
determine compliance with the chlorine MRDL: Standard Method 4500-Cl H
(APHA, 1995).
Chlorine Dioxide. Today's rule approves two methods for determining
compliance with the chlorine dioxide MRDL: Standard Methods 4500-
ClO2 D (APHA, 1995) and 4500-ClO2 E (APHA 1995).
EPA did not approve Standard Method 4500-ClO2 C (APHA,
1995), which was included in the 1994 proposed rule. The Agency
determined, in concurrence with the majority of commenters on this
issue, that Standard Method 4500-ClO2 C is outdated and
inaccurate in comparison to chlorine dioxide methods approved in
today's rule and is inadequate for compliance monitoring.
TTHM. Today's rule approves three methods for determining
compliance with the TTHM MCL: EPA Methods 502.2 (EPA, 1995), 524.2
(EPA, 1995), and 551.1 (EPA, 1995).
HAA5. Today's rule approves three methods for determining
compliance with the HAA5 MCL: EPA Methods 552.1 (EPA, 1992) and 552.2
(EPA, 1995) and Standard Method 6251B (APHA, 1995).
Bromate. Today's rule approves a method for determining compliance
with the bromate MCL: EPA Method 300.1 (EPA, 1997e). EPA has
demonstrated this method to be capable of quantifying bromate at the
MCL of 10 g/L under a wide range of solution conditions. EPA
did not approve EPA Method 300.0 (EPA, 1993b) for bromate analysis,
although this method was included for analysis of bromate in the 1994
proposed rule. As stated in the proposed rule, EPA Method 300.0 is not
sensitive enough to measure bromate at the MCL established in today's
rule. EPA Method 300.1 was developed subsequent to the proposed rule in
order to provide a method with adequate sensitivity to assess bromate
compliance.
Chlorite. Today's rule approves two methods for determining
compliance with the chlorite MCL: EPA Methods 300.0 (EPA, 1993b) and
300.1 (EPA, 1997e). As described elsewhere in today's rule, chlorite
compliance analyses are made on samples taken in the distribution
system during monthly monitoring, or during additional distribution
system monitoring as required. Today's rule establishes the following
method for daily monitoring of chlorite: Standard Method 4500-
ClO2 E (APHA, 1995), amperometric titration. As stated
elsewhere in today's rule, daily monitoring of chlorite is conducted on
samples taken at the entrance to the distribution system. Commenters
supported the use of amperometric titration as a feasible method for
daily monitoring of chlorite.
TOC. Today's Rule approves three methods for TOC analysis: Standard
Methods 5310 B, 5310 C, and 5310 D, as published in the Standard
Methods 19th Edition Supplement (APHA, 1996). EPA believes that all of
these methods can achieve the precision and detection level necessary
for compliance determinations required in today's rule when the quality
control (QC) procedures contained in the method descriptions and this
rule are followed. However, while any of these methods may be used, EPA
advises that a consistent method be employed for all measurements in
order to reduce the impact of possible instrument bias.
In accordance with the concerns of commenters, today's rule
requires certain QC procedures for TOC analyses in addition to those
contained in the method descriptions. These additional QC steps are
designed to increase the integrity of the analysis and have been found
to be effective in data collection under the ICR. Filtration of samples
prior to TOC analysis is not permitted, as this could result in removal
of organic carbon. Where turbidity interferes with TOC analysis,
samples should be homogenized and, if necessary, diluted with organic-
free reagent water. TOC samples must either be analyzed or must be
acidified to achieve pH less than 2.0 by minimal addition of phosphoric
or sulfuric acid as soon as practical after sampling, not to exceed 24
hours. Samples must be analyzed within 28 days.
SUVA (Specific Ultraviolet Absorbance). Today's rule establishes
SUVA as an alternative criterion for demonstrating compliance with TOC
removal requirements contained in today's rule. SUVA is a calculated
parameter defined as the UV absorption at 254 nm (UV254)
(measured as m-1) divided by the DOC concentration (measured
as mg/L). If the UV absorption is first determined in units of
cm-1, the SUVA equation is multiplied by 100 to convert to
m-1, as shown below:
SUVA = 100 (cm/m) [UV254 (cm-1)/DOC (mg/L)]
Two separate analytical methods are necessary to make this
measurement: UV254 and DOC. Today's rule approves three
methods for DOC analysis: Standard Methods 5310 B, 5310 C, and 5310 D,
as published in the Standard Methods 19th Edition Supplement (APHA,
1996); and approves Standard Method 5910 B (APHA, 1995) for
UV254 analysis.
The final rule contains QC steps for the SUVA analyses that are
required in addition to those mandated in the method descriptions.
These requirements were developed in response to comments solicited by
EPA in the 1997 DBP NODA (EPA, 1997b) and are as follows:
[[Page 69418]]
--sample acquisition (DOC and UV254 samples used to
determine a SUVA value must be taken at the same time and at the same
location. SUVA must be determined on water prior to the addition of
disinfectants/oxidants.)
--sample preservation (DOC samples must either be analyzed or must be
acidified to achieve pH less than 2.0 by minimal addition of phosphoric
or sulfuric acid as soon as practical after sampling, not to exceed 48
hours. The pH of UV254 samples may not be adjusted.)
--holding times (DOC samples must be analyzed within 28 days of
sampling. UV254 samples must be analyzed as soon as
practical after sampling, not to exceed 48 hours.)
--filtration (Prior to analysis, UV254 and DOC samples must
be filtered through a 0.45 m pore-diameter filter. DOC samples
must be filtered prior to acidification.)
--background concentrations in the filtered blanks (Water passed
through the filter prior to filtration of the sample must serve as the
filtered blank. This filtered blank must be analyzed using procedures
identical to those used for analysis of the samples and must meet the
following criteria: TOC <0.5 mg/l.)="" bromide.="" today's="" rule="" approves="" the="" following="" two="" methods="" for="" monitoring="" bromide:="" epa="" methods="" 300.0="" (epa,="" 1993b)="" and="" 300.1="" (epa,="" 1997e).="" alkalinity.="" today's="" rule="" approves="" three="" methods="" for="" measuring="" alkalinity:="" astm="" method="" d1067-92b="" (astm,="" 1994),="" standard="" method="" 2320="" b="" (apha,="" 1995),="" and="" method="" i-1030-85="" (usgs,="" 1989).="" ph.="" today's="" rule="" requires="" the="" use="" of="" methods="" that="" have="" been="" previously="" approved="" in="" sec.="" 141.23(k)="" for="" measurement="" of="" ph.="" approved="" analytical="" methods="" are="" summarized="" in="" table="" iii-2.="" table="" iii-2.--approved="" analytical="" methods="" ----------------------------------------------------------------------------------------------------------------="" analyte="" epa="" method="" standard="" method="" other="" ----------------------------------------------------------------------------------------------------------------="" chlorine="" (free,="" combined,="" total)..="" ..............="" 4500-cl="" d="" astm="" d1253-8.="" ..............="" 4500-cl="" f="" ..............="" 4500-cl="" g="" (total)...........................="" ..............="" 4500-cl="" e="" ..............="" 4500-cl="" i="" (free)............................="" ..............="" 4500-cl="" h="" chlorine="" dioxide..................="" ..............="">0.5>2 D
.............. 4500-ClO2 E
TTHM.............................. 502.2
524.2
551.1
HAA5.............................. 552.1 625l B
552.2
Bromate........................... 300.1
Chlorite (monthly)................ 300.0
300.1
(Daily)........................... .............. 4500-ClO2 E
TOC/DOC........................... .............. 5310 B
.............. 5310 C
.............. 5310 D
UV254............................. .............. 5910 B
Bromide........................... 300.0
300.1
Alkalinity........................ .............. 2320 B ASTM D1067-92B.
USGS I-1030-85.
pH................................ 150.1 4500-H+B ASTM D1293-84.
150.2 ................................ ..........................
----------------------------------------------------------------------------------------------------------------
2. Background and Analysis
Chlorine (Free, Combined, and Total). In the 1994 proposed rule,
EPA included all Standard Methods for analysis of free, combined, and
total chlorine that were approved in today's rule.
Chlorine Dioxide. The 1994 proposed rule included the same three
methods for analyzing chlorine dioxide (ClO2) that are
approved under the SWTR and ICR regulations. Two of these methods,
Standard Methods 4500.ClO2 C (APHA, 1992) and
4500.ClO2 E (APHA, 1992), are amperometric methods. The
third proposed method was Standard Method 4500.ClO2 D (APHA,
1992), a colorimetric test using the color indicator N,N-diethyl-p-
phenylenediamine (DPD).
TTHM. The 1994 proposed rule included three methods for the
analysis of TTHMs. They were EPA Methods 502.2, 524.2, and 551. In
1995, EPA Method 551 was revised to EPA Method 551.1, rev. 1.0 (EPA,
1995), which was approved for ICR monitoring under 40 CFR 141.142.
EPA Method 551.1 has several improvements upon EPA Method 551. The
use of sodium sulfate is strongly recommended over sodium chloride for
the MTBE extraction of DBPs. This change was in response to a report
indicating elevated recoveries of some brominated DBPs due to bromide
impurities in the sodium chloride (Xie, 1995). Other changes to EPA
Method 551.1 include a buffer addition to stabilize chloral hydrate,
elimination of the preservative ascorbic acid, and modification of the
extraction procedure to minimize the loss of volatile analytes. The
revised method requires the use of surrogate and other quality control
standards to improve the precision and accuracy of the method.
HAA5. The 1994 proposed rule included two methods for the analysis
of five haloacetic acids--EPA Method 552.1 (EPA, 1992) and Standard
Method 6233B (APHA, 1992). Both methods use capillary column gas
chromatographs equipped with electron capture
[[Page 69419]]
detectors. The two methods differ in the sample preparation steps. EPA
Method 552.1 uses solid phase extraction disks followed by an acidic
methanol derivitization. Standard Method 6233B is a small volume
liquid-liquid (micro) extraction with methyl-t-butyl ether, followed by
a diazomethane derivitization. Following the proposed rule, Standard
Method 6233B was revised and renumbered 6251B (APHA, 1995) to include
bromochloroacetic acid, for which a standard was not commercially
available in 1994. Recognizing these improvements, EPA approved
Standard Method 6251B for analysis under the ICR (40 CFR Part 141 or
EPA, 1996a). Several commenters requested that the revised and
renumbered method, Standard Method 6251B, also be approved for the
analysis of haloacetic acids under the Stage 1 DBPR.
In 1995 EPA published a third method for HAAs, EPA Method 552.2
(EPA, 1995), and subsequently approved it for HAA analysis under the
1996 ICR (40 CFR Part 141 or EPA, 1996a). EPA Method 552.2 is an
improved method, combining the micro extraction procedure of Standard
Method 6233B with the acidic methanol derivitization procedure of EPA
Method 552.1. It is capable of analyzing nine HAAs.
Bromate. The 1994 proposed rule required systems that use ozone to
monitor for bromate ion. EPA proposed EPA Method 300.0 (EPA, 1993b) for
the analysis of bromate and chlorite ions. However, at the time of the
proposal, EPA was aware that EPA Method 300.0 was not sensitive enough
to measure bromate ion concentration at the proposed MCL of 10
g/L. EPA recognized that modifications to the method would be
necessary to increase the method sensitivity. Studies at that time
indicated that changes to the injection volume and the eluent chemistry
would decrease the detection limit below the MCL. Many commenters to
the 1994 proposal agreed that EPA Method 300.0 was not sensitive enough
to determine compliance with a MCL of 10 g/L bromate ion,
given that MCLs are typically set at 5 times the minimum detection
levels (MDLs).
Following the proposal, EPA improved EPA Method 300.0 and
renumbered it as EPA Method 300.1 (EPA, 1997b). EPA Method 300.1
specifies a new, high capacity ion chromatography (IC) column that is
used for the analysis of all anions listed in the method, instead of
requiring two different columns as specified in EPA Method 300.0. The
new column has a higher ion exchange capacity that improves
chromatographic resolution and minimizes the potential for
chromatographic interferences from common anions at concentrations
10,000 times greater than bromate ion. For example, quantification of
5.0 g/L bromate is feasible in a matrix containing 50 mg/L
chloride. Minimizing the interferences permits the introduction of a
larger sample volume to yield method detection limits in the range of
1-2 g/L.
In the 1997 DBPR NODA (EPA, 1997b), EPA discussed EPA Method 300.1
and projected that by using it laboratories would be able to quantify
bromate with the accuracy and precision necessary for compliance
determination with an MCL of 10 g/L. Although there would be a
limited number of laboratories that would be qualified to do such
analyses, EPA determined that there should be adequate laboratory
capacity for bromate ion compliance monitoring by the time the rule
becomes effective.
Chlorite. The proposed rule required systems using chlorine dioxide
for disinfection or oxidation to perform monthly monitoring for
chlorite ion in the distribution system. EPA designated EPA Method
300.0 (ion chromatography) for chlorite analysis. EPA considered other
methods using amperometric and potentiometric techniques but decided
that only the ion chromatography method (EPA Method 300.0) would
produce results with the accuracy and precision needed for determining
compliance. Subsequent to the proposed rule, EPA Method 300.0 was
improved in order to achieve lower detection limits for bromate ion and
renumbered as EPA Method 300.1.
TOC. To satisfy requirements of the Stage 1 DBPR, the 1994 proposed
rule directed that a TOC analytical method should have a detection
limit of at least 0.5 mg/L and a reproducibility of 0.1
mg/L over a range of 2 to 5 mg/L TOC. The proposed rule included two
methods for analyzing TOC: Standard Methods 5310 C, which is the
persulfate-ultraviolet oxidation method, and 5310 D, the wet-oxidation
method (APHA, 1992). These methods were selected because, according to
data published in Standard Methods (APHA 1992), they could achieve the
necessary precision and detection limit. Standard Method 5310 B, the
high-temperature combustion method, was considered but not proposed
because it was described in Standard Methods (1992, APHA) as having a
detection limit of 1 mg/L. The proposal stated that if planned
improvements to the instrumentation used in Standard Method 5310 B were
successful, the next version would be considered for promulgation.
Revisions of Standard Methods 5310 B, C, and D were published in
Standard Methods 19th Edition Supplement (APHA, 1996). The revised
version of Standard Method 5310 B recognized the capacity of certain
high temperature instruments to achieve detection limits below 1 mg/L
using this method.
SUVA (Specific Ultraviolet Absorbance). SUVA analytical methods
were not addressed in the 1994 proposed rule because SUVA had not been
developed and proposed as a compliance parameter for TOC removal
requirements at that time. The analytical methods and associated QC
procedures for DOC and UV254 approved in today's rule are
those on which the Agency solicited comment in the 1997 DBPR NODA (EPA,
1997b).
Bromide. The 1994 proposed rule included EPA Method 300.0 for
analysis of bromide. EPA believed that the working range of this method
adequately covered the requirements proposed for bromide monitoring. As
described above, EPA developed Method 300.1 for improved bromate
analysis subsequent to the proposed rule. EPA Method 300.1 can also
effectively measure bromide at the concentration of 50 g/L,
required in today's rule for reduced monitoring of bromate.
Alkalinity. The proposed rule included all methods approved by EPA
for measuring alkalinity. These methods have all been approved in
today's rule.
3. Summary of Comments
Following is a discussion of major comments on the analytical
methods requirements of the Stage 1 DBPR.
Chlorine. A commenter to the 1994 proposal recommended approval of
ASTM method D1253-86. EPA determined that this method is equivalent to
Standard Method 4500-Cl D, and has approved this method in today's
rule.
Chlorine Dioxide. EPA received comments on the proposed rule
detailing weaknesses of the methods selected to calculate
ClO2. Commenters pointed out that other halogenated species,
such as free chlorine, chloramines, and chlorite, as well as common
metal ions (e.g. copper, manganese, chromate) will interfere with these
methods. Additionally, where these methods determine concentrations by
difference, they are potentially inaccurate and subject to propagation
of errors. Commenters specifically criticized Standard Method 4500-
ClO2 C (APHA 1995), amperometric method I, which was
characterized as outdated and inaccurate, and stated that Standard
[[Page 69420]]
Method 4500-ClO2 E (APHA 1995), amperometric method II, is a
substantially better method. Consequently, in the 1997 DBP NODA, EPA
requested comment on removing Standard Method 4500-ClO2 C
from the list of approved methods for the analysis of chlorine dioxide
for compliance with the MRDL.
Comments on the 1997 DBPR NODA favored eliminating Standard Method
4500.ClO2 C as an approved method for ClO2
compliance analysis. EPA does not approve this method in today's rule.
EPA recognizes that the two methods approved for ClO2
monitoring under today's rule are subject to interferences. However,
EPA believes that these methods can be used effectively to indicate
compliance with the ClO2 MRDL when the quality control
procedures contained in the method descriptions are followed. Several
commenters also encouraged EPA to approve a more sensitive and specific
method for ClO2 analysis, and suggested alternative methods
including Acid Chrome Violet K, Lissamine Green B, and Chlorophenol
Red. While EPA supports the development of improved analytical methods
for chlorine dioxide, the Agency believes that at this time the methods
suggested by commenters have not gone through the necessary performance
validation processes to warrant their approval for compliance
monitoring.
Bromate. In the 1994 proposed rule, EPA discussed the fact that the
current version of EPA Method 300.0 was not sensitive enough to measure
bromate ion concentrations at the proposed MCL and requested comment on
modifications to EPA Method 300.0 to improve its sensitivity. In the
1997 NODA, EPA presented EPA Method 300.1 and requested comment on
replacing EPA Method 300.0 with EPA Method 300.1 for the analysis of
bromate.
Commenters agreed that EPA Method 300.1 is a more sensitive method
than EPA Method 300.0 for low level bromate analysis and the majority
suggested that EPA Method 300.1 be the approved method for bromate
analysis. One commenter requested that interlaboratory round-robin
testing be conducted before EPA Method 300.1 is accepted for Stage 1
DBPR compliance monitoring. EPA considers interlaboratory round-robin
testing of EPA Method 300.1 to be unnecessary because this method is
essentially an improvement of EPA Method 300.0 which is already
approved. EPA Method 300.1 primarily makes use of a superior analytical
column to achieve increased sensitivity for bromate analysis. Moreover,
the efficacy of EPA Method 300.1 in a wide range of sample matrices is
demonstrated by the performance validation data contained in the
published method description. Based on a review of all the public
comments, EPA is approving EPA Method 300.1 for bromate analysis in
today's rule.
Chlorite. EPA solicited comment in the 1997 DBPR NODA on approving
EPA Method 300.1, in addition to EPA Method 300.0, for compliance
analysis of chlorite. The majority of commenters on this issue favored
approval of both methods and today's rule establishes both for
determining compliance with the chlorite MCL.
In the 1994 proposed rule, EPA requested comment on changing
monitoring requirements for chlorite to reflect concern about potential
acute health effects. Several commenters stated that daily monitoring
of chlorite would be feasible if an amperometric analytical method
could be used. Commenters suggested that daily amperometric analyses
for chlorite be conducted on samples taken from the entrance to the
distribution system, and that weekly or monthly analyses using ion
chromatography still be required as a check, because ion chromatography
is a more accurate analytical method. Commenters noted that daily
monitoring for chlorite would provide improved operational control of
plants and reduce the likelihood of systems incurring compliance
violations.
Today's rule establishes amperometric titration (Standard Method
4500-ClO2 E) for daily analyses of chlorite samples taken at
the entrance to the distribution system, along with monthly (or
quarterly if reduced, or additional as required), analyses by ion
chromatography (EPA Methods 300.0 and 300.1) of chlorite samples taken
from within the distribution system. EPA believes that the ion
chromatography method, rather than the amperometric method, should be
used for making chlorite compliance determinations in the distribution
system due to its greater accuracy. However, the amperometric method is
sufficient for the purposes of daily monitoring at the entrance to the
distribution system, which are to significantly aid in proper
operational control of a treatment plant and to indicate when
distribution system testing is appropriate. For this reason, only the
ion chromatographic methods (EPA Method 300.0 and 300.1), and not the
amperometric titration methods, are approved in today's rule for
determining compliance with the chlorite MCL.
A minority of commenters on this issue suggested that the DPD
method (Standard Method 4500-ClO2 D (APHA 1995)) be approved
for daily monitoring of chlorite ion levels. EPA has determined that
the accuracy and precision of the DPD method (Standard Method 4500-
ClO2 D) in the measurement of chlorite are substantially
worse than with Standard Method 4500-ClO2 E, and are
insufficient for this method to be used for daily monitoring of
chlorite. As a consequence, EPA has not approved the DPD method for
chlorite monitoring in today's rule.
TOC. EPA received several comments on the 1994 proposal requesting
approval of Standard Method 5310 B for TOC compliance analysis.
Commenters stated that newer instrumentation could achieve a detection
limit of 0.5 mg/L TOC using this method. Following the publication of a
revised version of Method 5310 B in Standard Methods 19th Edition
Supplement (APHA 1996) which recognized the capacity of some combustion
based TOC analyzers to achieve detection limits below 1 mg/L, EPA
requested comment on approving Standard Method 5310 B, along with
Standard Methods 5310 C and 5310 D, for the analysis of TOC in the 1997
DBPR NODA.
The majority of commenters on TOC analysis urged EPA to approve all
three methods. Commenters were concerned, though, that because these
three methods employ different processes to oxidize organic carbon to
carbon dioxide, results from different TOC analyzers could vary to a
degree that is of regulatory significance. Specifically, the efficiency
of oxidation of large organic particles or very large organic molecules
such as tannins, lignins, and humic acids may be lower with persulfate
based instruments (APHA 1996). Although available data comparing
different TOC methods is limited, one study observed a persulfate
catalytic oxidation technique to underestimate the TOC concentration
measured by a high temperature catalytic oxidation technique by 3-6% on
stream water and soil water samples (Kaplan, 1992). Standard Methods
recommends checking the oxidation efficiency of the instrument with
model compounds representative of the sample matrix, because many
factors can influence conversion of organic carbon to carbon dioxide
(APHA 1996).
EPA believes that the potential regulatory impact of small
disparities in oxidation efficiencies between different TOC analyzers
is minor. Studies using PE samples indicate that for instruments
calibrated in accordance with the
[[Page 69421]]
procedures specified in Standard Methods (APHA, 1996), the magnitude of
measurement error due to analytical discrepancies between instruments
will typically be less than the measurement uncertainty attributed to a
particular instrument (EPA, 1994c). In addition, EPA anticipates that
most systems will use a consistent method for TOC analyses and that
this will assist in minimizing the importance of instrument bias. This
practice was suggested by several commenters.
Commenters also suggested that EPA implement a formal certification
process for laboratories measuring TOC. Some commenters recommended
that EPA require a laboratory approval process for TOC measurements
under the Stage 1 DBPR that is similar to what is required under the
ICR. EPA requires that TOC analyses be conducted by a party approved by
EPA or the State but not that TOC measurements be subject to the same
laboratory certification procedures required for the analysis of DBPs.
However, today's rule contains QC requirements for TOC analyses which
are in addition to those in Standard Methods. These additional QC
procedures pertain to sample preservation and holding time, and have
been found to be effective for TOC analyses under the ICR.
SUVA. In the 1997 DBPR NODA, EPA solicited comment on a range of
issues dealing with the determination of SUVA including: analytical
methods, sampling, sample preparation, filter types, pH, interferences
to UV, high turbidity waters, quality control, and other issues that
should be addressed. The Agency requested comment on approving Standard
Method 5910 B for measuring UV254 and Standard Methods 5310
B, C, and D, for measuring DOC. In requesting comment on filtration,
EPA noted that filtration is necessary prior to both UV254
and DOC analyses in order to eliminate particulate matter and separate
the operationally defined dissolved organic matter (based on a 0.45
m-pore-diameter cut-off). However, filtration can also corrupt
samples through adsorption of carbonaceous material onto the filter or
its desorption from it (APHA 1996). In addition, EPA requested comment
on requiring that UV254 and DOC analyses be measured from
the same sample filtrate.
The majority of commenters on SUVA analytical methods recommended
that EPA approve Standard Methods 5310 B, C, and D, for DOC analysis
and Standard Method 5910 B for UV254 analysis. EPA has
approved these methods in today's rule. In addition, commenters
stressed the importance of sample preparation, especially filtration,
in the measurement of DOC and observed that sufficient washing of
filters prior to filtration of samples is critical to preventing
contamination of the samples by organic carbon from the filters.
Several comments on the 1997 DBPR NODA expressed opposition to a
requirement that UV254 and DOC analyses be made on the same
sample filtrate. Commenters stated that this is impractical because UV
analyses are often conducted at the treatment plant while DOC analyses
are typically run off-site. Commenters also noted that DOC samples
should be acid preserved whereas pH adjustment of samples for
UV254 analysis is improper.
Today's rule establishes that samples for DOC and UV254
analyses must be filtered through a 0.45 m-pore-diameter
filter. EPA does not have specific requirements on the type of filter
that is used, provided it has a 0.45 m pore-diameter, but will
provide guidance on this issue in the Guidance Manual for Enhanced
Coagulation. This manual will be available for public review after
promulgation of the Stage 1 DBPR. Today's rule addresses filter washing
prior to analysis by requiring that water passed through the filter
prior to filtration of the sample serve as the filtered blank. The
filtered blank must be analyzed using procedures identical to those
used for analysis of the samples and must meet the following criteria:
TOC < 0.5="" mg/l.="" these="" criteria="" are="" the="" maximum="" allowable="" background="" concentrations="" specified="" for="" these="" analyses="" under="" the="" icr.="" in="" the="" guidance="" manual="" for="" enhanced="" coagulation,="" epa="" will="" furnish="" instructions="" on="" sample="" handling="" and="" filter="" washing="" to="" assist="" systems="" in="" achieving="" acceptable="" field="" reagent="" blanks.="" filtration="" of="" samples="" for="" doc="" analysis="" must="" be="" done="" prior="" to="" acid="" preservation,="" as="" stipulated="" in="" today's="" rule.="" this="" is="" necessary="" because="" acidification="" of="" the="" sample="" to="" ph="">< 2="" can="" cause="" substantial="" precipitation="" of="" dissolved="" organic="" species.="" because="" biological="" activity="" will="" rapidly="" alter="" the="" doc="" of="" a="" sample="" that="" has="" not="" been="" preserved,="" epa="" requires="" that="" doc="" samples="" be="" acidified="" to="" ph="">< 2.0="" within="" 48="" hours="" of="" sampling.="" consequently,="" filtration="" of="" doc="" samples="" must="" be="" done="" within="" 48="" hours="" in="" order="" to="" allow="" acid="" preservation="" within="" this="" time="" period.="" the="" ph="" of="">254 samples may not be adjusted. Today's rule
places a maximum holding time from sampling to analysis of 2 days for
UV254 samples and 28 days for DOC samples. These holding
times are the same as those approved for ICR data collection.
Because the filtration procedures for UV254 and DOC
samples are largely identical, EPA anticipates that most systems will
find it economical when determining SUVA to filter one sample. The
filtrate would then be split into two portions, one of which would be
used for UV analysis while the other would be acid preserved and used
for DOC analysis. However, EPA has not included a requirement that the
DOC and UV254 analyses used in the SUVA determination be
made on the same sample filtrate. Instead, EPA requires that DOC and
UV254 samples used to determine a SUVA value must be taken
at the same time and at the same location.
In the 1997 DBPR NODA, EPA also observed that because
disinfectants/oxidants (chlorine, ozone, chlorine dioxide, potassium
permanganate) typically reduce UV254 without substantially
impacting DOC, raw water SUVA should be determined on water prior to
the application of disinfectants/oxidants. If disinfectants/oxidants
are applied in raw-water transmission lines upstream of the plant, then
raw water SUVA should be based on a sample collected upstream of the
point of disinfectant/oxidant addition. For determining settled-water
SUVA, if the plant applies disinfectants/oxidants prior to the settled
water sample tap, then settled-water SUVA should be determined in jar
testing. No commenters were opposed to these provisions and today's
rule requires that samples used for SUVA determinations be taken from
water prior to the addition of any oxidants/disinfectants.
A few commenters stated that SUVA should not be subject to rigorous
analytical procedures because the application of SUVA in this rule is
based on a relationship which is largely empirical (i.e. correlations
between SUVA and TOC removal by coagulation). EPA recognizes the
empirical nature of this relationship and the variance it has displayed
in studies. Regulations, however, must address specific SUVA values if
SUVA is to serve as an alternative compliance parameter. For compliance
with these regulations to be meaningful, SUVA must be determined
accurately. Consequently, today's rule requires certain QC procedures
in the DOC and UV254 analyses that are used to calculate
SUVA.
Today's rule establishes the removal of 10 mg/L magnesium hardness
(as CaCO3) as an alternative performance criterion that systems
practicing enhanced softening can use to demonstrate compliance with
the treatment technique requirement for TOC removal. However, EPA did
not propose methods for the analysis of
[[Page 69422]]
magnesium in drinking water and therefore the final rule does not
contain any approved methods for magnesium. EPA expects to propose
magnesium analytical methods to be used for compliance monitoring under
the Stage 1 DBPR by the end of 1998.
4. Performance Based Measurement Systems
On October 6, 1997, EPA published a Document of the Agency's intent
to implement a Performance Based Measurement System (PBMS) in all of
its programs to the extent feasible (EPA, 1997f). The Agency is
currently determining the specifics steps necessary to implement PBMS
in its programs and preparing an implementation plan. Final decisions
have not yet been made concerning the implementation of PBMS in
drinking water programs. However, EPA is currently evaluating what
relevant performance characteristics should be specified for monitoring
methods used in the drinking water programs under a PBMS approach to
ensure adequate data quality. EPA would then specify performance
requirements in its regulations to ensure that any method used for
determination of a regulated analyte is at least equivalent to the
performance achieved by other currently approved methods. EPA expects
to publish its PBMS implementation strategy for water programs in the
Federal Register by the end of calendar year 1998.
Once EPA has made its final determinations regarding implementation
of PBMS in programs under the Safe Drinking Water Act, EPA would
incorporate specific provisions of PBMS into its regulations, which may
include specification of the performance characteristics for
measurement of regulated contaminants in the drinking water program
regulations.
H. Monitoring Requirements
1. Today's Rule
Today's rule establishes monitoring requirements to support
implementation of the enhanced coagulation and enhanced softening
treatment technique, implementation of new MCLs for TTHM, HAA5,
bromate, and chlorite, and implementation of MRDLs for chlorine,
chloramines, and chlorine dioxide. Monitoring for DBPs, disinfectant
residuals, and TOC must be conducted during normal operating
conditions. Failure to monitor in accordance with the monitoring plan
is a monitoring violation. Where compliance is based on a running
annual average of monthly or quarterly samples or averages and the
system's failure to monitor makes it impossible to determine compliance
with MCLs or MRDLs, this failure to monitor will be treated as a
violation.
Tables III-3 and III-4 below summarize routine and reduced
monitoring requirements of today's rule.
Table III-3.--Routine Monitoring Requirements \1\
--------------------------------------------------------------------------------------------------------------------------------------------------------
Large surface systems Small surface systems Large ground water Small ground water
Requirement (reference) Location for sampling \2\ \2\ systems \3\ systems \3\
--------------------------------------------------------------------------------------------------------------------------------------------------------
TOC and Alkalinity (141.132(d)(1)). Source Water \4\...... 1sample/month/plant 1 sample/month/ NA................... NA.
\3\. plant\3\.
Only required for
plants with
conventional
filtration treatment.
TTHMs and HAA5 (141.132(b)(1)(i)).. 25% in dist sys at max 4/plant/quarter....... 1/plant/quarter\5\... 1/plant/quarter \6\.. 1/plant/year 5,6
res time, 75% at dist
sys representative
locations.
at maximum residence at maximum residence at maximum residence
time. time. time.
if pop.<500, then="" 1/="" during="" warmest="" month.="" plant/yr="" \8\.="" during="" warmest="" month.="" bromate="" \7\="" (141.132(b)(3)(i)).....="" dist="" sys="" entrance="" 1/month/trt="" plant="" 1/month/trt="" plant="" 1/month/trt="" plant="" 1/month/trt="" plant="" point.="" using="">500,>3. using O3. using O3. using O3.
Chlorite\8\ (daily) Dist sys entrance Daily/trt plant using Daily/trt plant using Daily/trt/plant using
(141.132(b)(2)(i)(A)). point. CIO2. CIO2. CIO2.
Chlorite\8\ (monthly) Dist sys: 1 near first 3 sample set/month.... 3 sample set/month... 3 sample set/month... 3 sample set/month.
141.132(b)(2)(i)(B)). cust, 1 in dist sys
middle, 1 at max res
time.
Chlorine and chloramines Same points as total Same times as total Same times as total Same times as total Same times as total
(141.132(c)(1)(i)). coliform in TCR. coliform in TCR. coliform in TCR. coliform in TCR. coliform in TCR.
Chlorine dioxide\8\ Dist sys entrance Daily/trt plant using Daily/trt plant Daily/trt plant Daily/trt plant
(141.132(c)(2)(i)). point. CIO2. using CIO2. using CIO2. using CIO.
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ Samples must be taken during representative operating conditions. Provisions for reduced monitoring shown elsewhere.
\2\ Large surface (subpart H) systems serve 10,000 or more persons. Small surface (subpart H) systems serve fewer than 10,000 persons.
\3\ Large systems using ground water not under the direct influence of surface water serve 10,000 or more persons. Small systems using ground water not
under the direct influence of surface water serve fewer than 10,000 persons.
\4\ Subpart H systems which use conventional filtration treatment (defined in section 141.2) must monitor 1) source water TOC prior to any treatment and
2) treated TOC at the same time; these two samples are called paired samples. Systems must take a source water alkalinity sample at the same time.
\5\ If the annual monitoring result exceeds the MCL, the system must increase monitoring frequency to 1/plant/quarter. Compliance determinations will be
based on the running annual average of quarterly monitoring results.
[[Page 69423]]
\6\ Multiple wells drawing water from a single aquifer may, with State approval, be considered one treatment plant for determining the minimum number of
samples.
\7\ Only required for systems using ozone for oxidation or disinfection.
\8\ Only required for systems using chlorine dioxide for oxidation or disinfection. Additional chlorite monitoring required if daily sample exceeds MCL.
Additional chlorine dioxide monitoring requirements apply if any chlorine dioxide sample exceeds the MRDL.
Table III-4.--Reduced Monitoring Requirements \1\
----------------------------------------------------------------------------------------------------------------
Location for reduced Reduced monitoring frequency and prerequisites
Requirement (reference) sampling \2\
----------------------------------------------------------------------------------------------------------------
TOC and Alkalinity (141.132(d)(2))... Paired samples \3\..... Subpart H systems-reduced to 1 paired sample/
plant/quarter if 1) avg TOC < 2.0="" mg/l="" for="" 2="" years="" or="" 2)="" avg="" toc="">< 1.0="" mg/l="" for="" 1="" year.="" tthms="" and="" haa5s="" (141.132(b)(1)(ii))..="" in="" dist="" sys="" at="" point="" monitoring="" cannot="" be="" reduced="" if="" subpart="" h="" system="" with="" max="" res="" time.="" source="" water="" toc=""> 4.0 mg/l.
Subpart H systems serving 10,000 or more-reduced
to 1/plant/qtr if 1) system has completed at
least 1 yr of routine monitoring and 2) both
TTHM and HAA5 running annual averages are no
more than 40 g/l and 30 g/l,
respectively.
Subpart H systems serving <10,000 and="" ground="" water="" systems="" \4\="" serving="" 10,000="" or="" more-="" reduced="" to="" 1/plant/yr="" if="" 1)="" system="" has="" completed="" at="" least="" 1="" yr="" of="" routine="" monitoring="" and="" 2)="" both="" tthm="" and="" haa5="" running="" annual="" averages="" are="" no="" more="" than="" 40="">10,000>g/l and
30 g/l, respectively. Samples must be
taken during month of warmest water
temperature. Subpart H systems serving <500 may="" not="" reduce="" monitoring="" to="" less="" than="" 1/plant/yr.="" groundwater="" systems="" \6\="">500><10,000-reduced to="" 1/plant/3yr="" if="" 1)="" system="" has="" completed="" at="" least="" 2="" yr="" of="" routine="" monitoring="" and="" both="" tthm="" and="" haa5="" running="" annual="" averages="" are="" no="" more="" than="" 40="">10,000-reduced>g/l and 30 g/l,
respectively or 2) system has completed at
least 1 yr of routine monitoring and both TTHM
and HAA5 annual samples are no more than 20
g/l and 15 g/l, respectively.
Samples must be taken during month of warmest
water temperature.
Bromate \5\ (141.132(b)(3)(ii))...... Dist sys entrance point 1/qtr/trt plant using O3, if system demonstrates
1) avg raw water bromide <0.05 mg/l="" (based="" on="" annual="" avg="" of="" monthly="" samples).="" chlorite="" \6\="" (141.132(b)(2)(iii))....="" dist="" sys:="" 1="" near="" first="" systems="" may="" reduce="" routine="" distribution="" system="" cust,="" 1="" in="" dist="" sys="" monitoring="" from="" monthly="" to="" quarterly="" if="" the="" middle,="" 1="" at="" max="" res="" chlorite="" concentration="" in="" all="" samples="" taken="" in="" time.="" the="" distribution="" system="" is="" below="" 1.0="" mg/l="" for="" a="" period="" of="" one="" year;="" 3="" samples="" per="" quarter.="" chlorine,="" chlorine="" dioxide="" \6\,="" na.....................="" monitoring="" may="" not="" be="" reduced.="" chloramines="" (141.132(c)(2)(ii)="" and="" (c)(2)(iii).="" ----------------------------------------------------------------------------------------------------------------="" \1\="" samples="" must="" be="" taken="" during="" representative="" operating="" conditions.="" provisions="" for="" routine="" monitoring="" shown="" elsewhere.="" \2\="" requirements="" for="" cancellation="" of="" reduced="" monitoring="" are="" found="" in="" the="" regulation.="" \3\="" subpart="" h="" systems="" which="" use="" conventional="" filtration="" treatment="" (defined="" in="" section="" 141.2)="" must="" monitor="" 1)="" source="" water="" toc="" prior="" to="" any="" treatment="" and="" 2)="" treated="" toc="" before="" continuous="" disinfection="" (except="" that="" systems="" using="" ozone="" followed="" by="" biological="" filtration="" may="" sample="" after="" biological="" filtration)="" at="" the="" same="" time;="" these="" two="" samples="" are="" called="" paired="" samples.="" \4\="" multiple="" wells="" drawing="" water="" from="" a="" single="" aquifer="" may,="" with="" state="" approval,="" be="" considered="" one="" treatment="" plant="" for="" determining="" the="" minimum="" number="" of="" samples.="" \5\="" only="" required="" for="" systems="" using="" ozone="" for="" oxidation="" or="" disinfection.="" \6\="" only="" required="" for="" systems="" using="" chlorine="" dioxide="" for="" oxidation="" or="" disinfection.="" the="" formation="" rate="" of="" dbps="" is="" affected="" by="" type="" and="" amount="" of="" disinfectant="" used,="" water="" temperature,="" ph,="" amount="" and="" type="" of="" precursor="" material="" in="" the="" water,="" and="" the="" length="" of="" time="" that="" water="" remains="" in="" the="" treatment="" and="" distribution="" systems.="" for="" this="" reason,="" today's="" rule="" specifies="" the="" points="" in="" the="" distribution="" system="" (and,="" in="" some="" cases,="" the="" time)="" where="" samples="" must="" be="" taken.="" for="" purposes="" of="" this="" regulation,="" multiple="" wells="" drawing="" raw="" water="" from="" a="" single="" aquifer="" may,="" with="" state="" approval,="" be="" considered="" one="" plant="" for="" determining="" the="" minimum="" number="" of="" samples.="" tthm="" and="" haa5.="" any="" system="" may="" take="" samples="" in="" excess="" of="" the="" required="" frequency.="" in="" such="" cases,="" at="" least="" 25="" percent="" of="" all="" samples="" collected="" each="" quarter="" must="" be="" taken="" at="" locations="" within="" the="" distribution="" system="" that="" represent="" the="" maximum="" residence="" time="" of="" the="" water="" in="" the="" system.="" the="" remaining="" samples="" must="" be="" taken="" at="" locations="" representative="" of="" at="" least="" average="" residence="" time="" in="" the="" distribution="" system.="" subpart="" h="" systems="" serving="" 10,000="" or="" more="" people.="" routine="" monitoring:="" cwss="" and="" ntncwss="" using="" surface="" water="" (or="" ground="" water="" under="" direct="" influence="" of="" surface="" water)="" (subpart="" h="" systems)="" that="" treat="" their="" water="" with="" a="" chemical="" disinfectant="" and="" serve="" 10,000="" or="" more="" people="" must="" routinely="" take="" four="" water="" samples="" each="" quarter="" for="" both="" tthms="" and="" haa5="" for="" each="" treatment="" plant="" in="" the="" system.="" at="" least="" 25="" percent="" of="" the="" samples="" must="" be="" taken="" at="" the="" point="" of="" maximum="" residence="" time="" in="" the="" distribution="" system.="" the="" remaining="" samples="" must="" be="" taken="" at="" representative="" points="" in="" the="" distribution="" system.="" this="" monitoring="" frequency="" is="" the="" same="" as="" the="" frequency="" required="" under="" the="" current="" tthm="" rule="" (sec.="" 141.30).="" reduced="" monitoring:="" to="" qualify="" for="" reduced="" monitoring,="" systems="" must="" meet="" certain="" prerequisites="" (see="" figure="" iii-1).="" systems="" eligible="" for="" reduced="" monitoring="" may="" reduce="" the="" monitoring="" frequency="" for="" tthms="" and="" haa5="" to="" one="" sample="" per="" treatment="" plant="" per="" quarter.="" systems="" on="" a="" reduced="" monitoring="" schedule="" may="" remain="" on="" that="" reduced="" schedule="" as="" long="" as="" the="" average="" of="" all="" samples="" taken="" in="" the="" year="" is="" no="" more="" than="" 0.060="" mg/l="" for="" tthm="" and="" 0.045="" mg/l="" for="" haa5.="" systems="" that="" do="" not="" meet="" these="" levels="" must="" revert="" to="" routine="" monitoring="" in="" the="" quarter="" immediately="" following="" the="" quarter="" in="" which="" the="" system="" exceeded="" 0.060="" mg/l="" for="" tthm="" or="" 0.045="" mg/l="" for="" haa5.="" additionally,="" the="" state="" may="" return="" a="" system="" to="" routine="" monitoring="" at="" the="" state's="" discretion.="" [[page="" 69424]]="" figure="" iii-1.--eligibility="" for="" reduced="" tthm="" and="" haa5="" monitoring:="" ground="" water="" systems="" serving="" 10,000="" or="" more="" people="" and="" subpart="" h="" systems="" serving="" 500="" or="" more="" people="" ------------------------------------------------------------------------="" -------------------------------------------------------------------------="" ground="" water="" systems="" serving="" 10,000="" or="" more="" people,="" and="" subpart="" h="" systems="" serving="" 500="" or="" more="" people,="" may="" reduce="" monitoring="" of="" tthms="" and="" haa5="" if="" they="" meet="" all="" of="" the="" following="" conditions:="" --the="" annual="" average="" for="" tthms="" is="" no="" more="" than="" 0.040="" mg/l.="" --the="" annual="" average="" for="" haa5="" is="" no="" more="" than="" 0.030="" mg/l.="" --at="" least="" one="" year="" of="" routine="" monitoring="" has="" been="" completed.="" --annual="" average="" source="" water="" toc="" level="" is="" no="" more="" than="" 4.0="" mg/l="" prior="" to="" treatment="" (applies="" to="" subpart="" h="" systems="" only).="" ------------------------------------------------------------------------="" compliance="" determination:="" a="" public="" water="" system="" (pws)="" is="" in="" compliance="" with="" the="" mcl="" when="" the="" running="" annual="" arithmetic="" average="" of="" quarterly="" averages="" of="" all="" samples,="" computed="" quarterly,="" is="" less="" than="" or="" equal="" to="" the="" mcl.="" if="" the="" running="" annual="" average="" computed="" for="" any="" quarter="" exceeds="" the="" mcl,="" the="" system="" is="" out="" of="" compliance.="" subpart="" h="" systems="" serving="" 500="" to="" 9,999="" people.="" routine="" monitoring:="" systems="" are="" required="" to="" take="" one="" water="" sample="" each="" quarter="" for="" each="" treatment="" plant="" in="" the="" system.="" samples="" must="" be="" taken="" at="" the="" point="" of="" maximum="" residence="" time="" in="" the="" distribution="" system.="" reduced="" monitoring:="" to="" qualify="" for="" reduced="" monitoring,="" systems="" must="" meet="" certain="" prerequisites="" (see="" figure="" iii-1).="" systems="" eligible="" for="" reduced="" monitoring="" may="" reduce="" the="" monitoring="" frequency="" for="" tthms="" and="" haa5="" to="" one="" sample="" per="" treatment="" plant="" per="" year.="" sample="" must="" be="" taken="" at="" a="" distribution="" system="" location="" reflecting="" maximum="" residence="" time="" and="" during="" the="" month="" of="" warmest="" water="" temperature.="" systems="" on="" a="" reduced="" monitoring="" schedule="" may="" remain="" on="" that="" reduced="" schedule="" as="" long="" as="" the="" average="" of="" all="" samples="" taken="" in="" the="" year="" is="" no="" more="" than="" 0.060="" mg/l="" for="" tthm="" and="" 0.045="" mg/l="" for="" haa5.="" systems="" that="" do="" not="" meet="" these="" levels="" must="" revert="" to="" routine="" monitoring="" in="" the="" quarter="" immediately="" following="" the="" quarter="" in="" which="" the="" system="" exceeded="" 0.060="" mg/l="" for="" tthm="" or="" 0.045="" mg/l="" for="" haa5.="" additionally,="" the="" state="" may="" return="" a="" system="" to="" routine="" monitoring="" at="" the="" state's="" discretion.="" compliance="" determination:="" a="" pws="" is="" in="" compliance="" with="" the="" mcl="" for="" tthm="" and="" haa5="" when="" the="" annual="" average="" of="" all="" samples,="" taken="" that="" year,="" is="" less="" than="" or="" equal="" to="" the="" mcl.="" if="" the="" average="" for="" these="" samples="" exceeds="" the="" mcl,="" the="" system="" is="" out="" of="" compliance.="" subpart="" h="" systems="" serving="" fewer="" than="" 500="" people.="" routine="" monitoring:="" subpart="" h="" systems="" serving="" fewer="" than="" 500="" people="" are="" required="" to="" take="" one="" sample="" per="" year="" for="" each="" treatment="" plant="" in="" the="" system.="" the="" sample="" must="" be="" taken="" at="" the="" point="" of="" maximum="" residence="" time="" in="" the="" distribution="" system="" during="" the="" month="" of="" warmest="" water="" temperature.="" if="" the="" annual="" sample="" exceeds="" the="" mcl,="" the="" system="" must="" increase="" monitoring="" to="" one="" sample="" per="" treatment="" plant="" per="" quarter,="" taken="" at="" the="" point="" of="" maximum="" residence="" time="" in="" the="" distribution="" system.="" reduced="" monitoring:="" these="" systems="" may="" not="" reduce="" monitoring.="" systems="" on="" increased="" monitoring="" may="" return="" to="" routine="" monitoring="" if="" the="" annual="" average="" of="" quarterly="" samples="" is="" no="" more="" than="" 0.060="" mg/l="" for="" tthm="" and="" 0.045="" mg/l="" for="" haa5.="" compliance="" determination:="" a="" pws="" is="" in="" compliance="" when="" the="" annual="" sample="" (or="" average="" of="" annual="" samples,="" if="" additional="" sampling="" is="" conducted)="" is="" less="" than="" or="" equal="" to="" the="" mcl.="" if="" the="" annual="" sample="" exceeds="" the="" mcl,="" the="" system="" must="" increase="" monitoring="" to="" one="" sample="" per="" treatment="" plant="" per="" quarter.="" if="" the="" running="" annual="" average="" of="" the="" quarterly="" samples="" then="" exceeds="" the="" mcl,="" the="" system="" is="" out="" of="" compliance.="" ground="" water="" systems="" serving="" 10,000="" or="" more="" people.="" routine="" monitoring:="" cwss="" and="" ntncwss="" using="" only="" ground="" water="" sources="" not="" under="" the="" direct="" influence="" of="" surface="" water="" that="" treat="" their="" water="" with="" a="" chemical="" disinfectant="" and="" serve="" 10,000="" or="" more="" people="" are="" required="" to="" take="" one="" water="" sample="" each="" quarter="" for="" each="" treatment="" plant="" in="" the="" system.="" samples="" must="" be="" taken="" at="" points="" that="" represent="" the="" maximum="" residence="" time="" in="" the="" distribution="" system.="" reduced="" monitoring:="" to="" qualify="" for="" reduced="" monitoring,="" systems="" must="" meet="" certain="" prerequisites="" (see="" figure="" iii-1).="" systems="" eligible="" for="" reduced="" monitoring="" may="" reduce="" the="" monitoring="" frequency="" to="" one="" sample="" per="" treatment="" plant="" per="" year.="" sample="" must="" be="" taken="" at="" a="" distribution="" system="" location="" reflecting="" maximum="" residence="" time="" and="" during="" the="" month="" of="" warmest="" water="" temperature.="" systems="" on="" a="" reduced="" monitoring="" schedule="" may="" remain="" on="" that="" reduced="" schedule="" as="" long="" as="" the="" average="" of="" all="" samples="" taken="" in="" the="" year="" is="" no="" more="" than="" 0.060="" mg/l="" for="" tthm="" and="" 0.045="" mg/l="" for="" haa5.="" systems="" that="" do="" not="" meet="" these="" levels="" must="" revert="" to="" routine="" monitoring="" in="" the="" quarter="" immediately="" following="" the="" quarter="" in="" which="" the="" system="" exceeded="" 0.060="" mg/l="" for="" tthm="" or="" 0.045="" mg/l="" for="" haa5.="" additionally,="" the="" state="" may="" return="" a="" system="" to="" routine="" monitoring="" at="" the="" state's="" discretion.="" compliance="" determination:="" a="" pws="" is="" in="" compliance="" with="" the="" mcl="" when="" the="" running="" arithmetic="" annual="" average="" of="" quarterly="" averages="" of="" all="" samples,="" computed="" quarterly,="" is="" less="" than="" or="" equal="" to="" the="" mcl.="" if="" the="" running="" annual="" average="" for="" any="" quarter="" exceeds="" the="" mcl,="" the="" system="" is="" out="" of="" compliance.="" ground="" water="" systems="" serving="" fewer="" than="" 10,000="" people="" routine="" monitoring:="" cwss="" and="" ntncwss="" using="" only="" ground="" water="" sources="" not="" under="" the="" direct="" influence="" of="" surface="" water="" that="" treat="" their="" water="" with="" a="" chemical="" disinfectant="" and="" serve="" fewer="" than="" 10,000="" people="" are="" required="" to="" sample="" once="" per="" year="" for="" each="" treatment="" plant="" in="" the="" system.="" the="" sample="" must="" be="" taken="" at="" the="" point="" of="" maximum="" residence="" time="" in="" the="" distribution="" system="" during="" the="" month="" of="" warmest="" water="" temperature.="" if="" the="" sample="" (or="" the="" average="" of="" annual="" samples="" if="" more="" than="" one="" sample="" is="" taken)="" exceeds="" the="" mcl,="" the="" system="" must="" increase="" monitoring="" to="" one="" sample="" per="" treatment="" plant="" per="" quarter.="" reduced="" monitoring:="" to="" qualify="" for="" reduced="" monitoring,="" systems="" must="" meet="" certain="" prerequisites="" (see="" figure="" iii-2).="" systems="" eligible="" for="" reduced="" monitoring="" may="" reduce="" the="" monitoring="" frequency="" for="" tthms="" and="" haa5="" to="" one="" sample="" per="" three-year="" monitoring="" cycle.="" sample="" must="" be="" taken="" at="" a="" distribution="" system="" location="" reflecting="" maximum="" residence="" time="" and="" during="" the="" month="" of="" warmest="" water="" temperature.="" systems="" on="" a="" reduced="" monitoring="" schedule="" may="" remain="" on="" that="" reduced="" schedule="" as="" long="" as="" the="" average="" of="" all="" samples="" taken="" in="" the="" year="" is="" no="" more="" than="" 0.060="" mg/l="" for="" tthm="" and="" 0.045="" mg/l="" for="" haa5.="" systems="" that="" do="" not="" meet="" these="" levels="" must="" resume="" routine="" monitoring.="" systems="" on="" increased="" monitoring="" may="" return="" to="" routine="" monitoring="" if="" the="" annual="" average="" of="" quarterly="" samples="" is="" no="" more="" than="" 0.060="" mg/l="" for="" tthm="" and="" 0.045="" mg/l="" for="" haa5.="" compliance="" determination:="" a="" pws="" is="" in="" compliance="" when="" the="" annual="" sample="" (or="" average="" of="" annual="" samples)="" is="" less="" than="" or="" equal="" to="" the="" mcl.="" [[page="" 69425]]="" figure="" iii-2.--eligibility="" for="" reduced="" tthm="" and="" haa5="" monitoring:="" ground="" water="" systems="" serving="" fewer="" than="" 10,000="" people="" ------------------------------------------------------------------------="" -------------------------------------------------------------------------="" systems="" using="" ground="" water="" not="" under="" the="" direct="" influence="" of="" surface="" water="" that="" serve="" fewer="" than="" 10,000="" people="" may="" reduce="" monitoring="" for="" tthms="" and="" haa5="" if="" they="" meet="" either="" of="" the="" following="" conditions:="" 1.="" the="" average="" of="" two="" consecutive="" annual="" samples="" for="" tthms="" is="" no="" more="" than="" 0.040="" mg/l,="" the="" average="" of="" two="" consecutive="" annual="" samples="" for="" haa5="" is="" no="" more="" than="" 0.030="" mg/l,="" and="" at="" least="" two="" years="" of="" routine="" monitoring="" has="" been="" completed.="" 2.="" the="" annual="" sample="" for="" tthms="" is="" no="" more="" than="" 0.020="" mg/l,="" the="" annual="" sample="" for="" haa5="" is="" no="" more="" than="" 0.015="" mg/l,="" and="" at="" least="" one="" year="" of="" routine="" monitoring="" has="" been="" completed.="" ------------------------------------------------------------------------="" chlorite.="" routine="" monitoring:="" cwss="" and="" ntncwss="" using="" chlorine="" dioxide="" for="" disinfection="" or="" oxidation="" are="" required="" to="" conduct="" sampling="" for="" chlorite="" both="" daily="" at="" the="" entrance="" to="" the="" distribution="" system="" and="" monthly="" within="" the="" distribution="" system.="" additional="" distribution="" system="" monitoring="" may="" be="" required,="" and="" distribution="" system="" monitoring="" may="" be="" reduced="" if="" certain="" conditions="" are="" met.="" this="" monitoring="" is="" described="" below.="" routine="" monthly="" monitoring--systems="" are="" required="" to="" take="" a="" three="" sample="" set="" each="" month="" in="" the="" distribution="" system.="" one="" sample="" must="" be="" taken="" at="" each="" of="" the="" following="" locations:="" (1)="" as="" close="" as="" possible="" to="" the="" first="" customer,="" (2)="" in="" a="" location="" representative="" of="" average="" residence="" time,="" and="" (3)="" as="" close="" as="" possible="" to="" the="" end="" of="" the="" distribution="" system="" (reflecting="" maximum="" residence="" time="" in="" the="" distribution="" system).="" as="" described="" elsewhere="" in="" this="" document,="" all="" samples="" taken="" in="" the="" distribution="" system="" must="" be="" analyzed="" by="" ion="" chromatography="" (methods="" 300.0="" and="" 300.1).="" routine="" daily="" monitoring--systems="" must="" take="" one="" sample="" each="" day="" at="" the="" entrance="" to="" the="" distribution="" system.="" as="" described="" elsewhere="" in="" this="" document="" (section="" iii.g),="" samples="" taken="" at="" the="" distribution="" system="" entrance="" may="" be="" analyzed="" by="" amperometric="" titration="" (method="" 4500-="">0.05>2 E). If the chlorite MCL is exceeded at the entrance to
the distribution system, the system is not out of compliance. However,
the system must carry out addition monitoring as described in the
following paragraph.
Additional Monitoring: On any day when the chlorite concentration
measured at the entrance to the distribution system exceeds the
chlorite MCL (1.0 mg/L), the system is required to take a three sample
set in the distribution system on the following day, at the locations
specified for routine monthly monitoring. If the system is required to
conduct distribution system monitoring as a result of having exceeded
the chlorite MCL at the entrance to the distribution system, and the
average of the three samples taken in the distribution system is below
1.0 mg/L, the system will have satisfied its routine monthly monitoring
requirement for that month. Further distribution system monitoring will
not be required in that month unless the chlorite concentration at the
entrance to the distribution system again exceeds 1.0 mg/L.
Reduced Monitoring: Systems may reduce routine distribution system
monitoring for chlorite from monthly to quarterly if the chlorite
concentration in all samples taken in the distribution system is below
1.0 mg/L for a period of one year and the system has not been required
to conduct any additional monitoring. Systems that qualify for reduced
monitoring must continue to conduct daily monitoring at the entrance to
the distribution system. If the chlorite concentration at the entrance
to the distribution system exceeds 1.0 mg/L, the system must resume
routine monthly monitoring.
Compliance Determination: A PWS is out of compliance with the
chlorite MCL when the arithmetic average concentration of any three
sample set taken in the distribution system is greater than 1.0 mg/L.
Bromate. Routine Monitoring: CWSs and NTNCWSs using ozone for
disinfection or oxidation are required to take at least one sample per
month for each treatment plant in the system using ozone. The sample
must be taken at the entrance to the distribution system when the
ozonation system is operating under normal conditions.
Reduced Monitoring: Systems may reduce monitoring from monthly to
once per quarter if the system demonstrates that the annual average raw
water bromide concentration is less than 0.05 mg/L, based upon monthly
measurements for one year.
Compliance Determination: A PWS is in compliance if the running
annual arithmetic average of samples, computed quarterly, is less than
or equal to the MCL.
Chlorine. Routine Monitoring: As a minimum, CWSs and NTNCWSs must
measure the residual disinfectant level (as either free chlorine or
total chlorine) at the same points in the distribution system and at
the same time as total coliforms, as specified in Sec. 141.21. Subpart
H systems may use the results of residual disinfectant concentration
sampling done under the SWTR (Sec. 141.74(b)(6)(i) for unfiltered
systems, Sec. 141.74(c)(3)(i) for systems that filter) in lieu of
taking separate samples.
Reduced Monitoring: Monitoring for chlorine may not be reduced.
Compliance Determination: A PWS is in compliance with the MRDL when
the running annual arithmetic average of monthly averages of all
samples, computed quarterly, is less than or equal to the MRDL.
Notwithstanding the MRDL, operators may increase residual chlorine
levels in the distribution system to a level and for a time necessary
to protect public health to address specific microbiological
contamination problems (e.g., including distribution line breaks, storm
runoff events, source water contamination, or cross-connections).
Chloramines. Routine Monitoring: As a minimum, CWSs and NTNCWSs
must measure the residual disinfectant level (as either total chlorine
or combined chlorine) at the same points in the distribution system and
at the same time as total coliforms, as specified in Sec. 141.21.
Subpart H systems may use the results of residual disinfectant
concentration sampling done under the SWTR (Sec. 141.74(b)(6) for
unfiltered systems, Sec. 141.74(c)(3) for systems that filter) in lieu
of taking separate samples.
Reduced Monitoring: Monitoring for chloramines may not be reduced.
Compliance Determination: A PWS is in compliance with the MRDL when
the running annual arithmetic average of monthly averages of all
samples, computed quarterly, is less than or equal to the MRDL.
Notwithstanding the MRDL, operators may increase residual chloramine
levels in the distribution system to a level and for a time necessary
to protect public health to address specific microbiological
contamination problems (e.g., including distribution line breaks, storm
runoff events, source water contamination, or cross-connections).
Chlorine Dioxide Routine Monitoring: CWSs, NTNCWSs, and TNCWSs must
monitor for chlorine dioxide only if chlorine dioxide is used by the
system for disinfection or oxidation. If monitoring is required,
systems must take daily samples at the entrance to the
[[Page 69426]]
distribution system. If the MRDL (0.8 mg/L) is exceeded, the system
must conduct additional monitoring.
Additional Monitoring: If any daily sample taken at the entrance to
the distribution system exceeds the MRDL, the system is required to
take three additional samples in the distribution system on the next
day. Samples must be taken at the following locations.
Systems using chlorine as a residual disinfectant and operating
booster chlorination stations after the first customer--These systems
must take three samples in the distribution system: one as close as
possible to the first customer, one in a location representative of
average residence time, and one as close as possible to the end of the
distribution system (reflecting maximum residence time in the
distribution system).
Systems using chlorine dioxide or chloramines as a residual
disinfectant or chlorine as a residual disinfectant and not operating
booster chlorination stations after the first customer--These systems
must take three samples in the distribution system as close as possible
to the first customer at intervals of not less than six hours.
Reduced Monitoring: Monitoring for chlorine dioxide may not be
reduced.
Compliance Determination: Acute violations--If any daily sample
taken at the entrance to the distribution system exceeds the MRDL and
if, on the following day, one or more of the three samples taken in the
distribution system exceeds the MRDL, the system will be in acute
violation of the MRDL and must issue the required acute public
notification. Failure to monitor in the distribution system on the day
following an exceedance of the chlorine dioxide MRDL shall also be
considered an acute MRDL violation.
Nonacute violations--If any two consecutive daily samples taken at
the entrance to the distribution system exceed the MRDL, but none of
the samples taken in the distribution system exceed the MRDL, the
system will be in nonacute violation of the MRDL. Failure to monitor at
the entrance to the distribution system on the day following an
exceedance of the chlorine dioxide MRDL shall also be considered a
nonacute MRDL violation.
Important Note: Unlike chlorine and chloramines, the MRDL for
chlorine dioxide may not be exceeded for short periods of time to
address specific microbiological contamination problems.
TOC. Routine Monitoring: CWSs and NTNCWSs which use conventional
filtration treatment must monitor each treatment plant water source for
TOC on a monthly basis, with samples taken in both the source water
prior to any treatment and in the treated water no later than the point
of combined filter effluent turbidity monitoring. At the same time,
systems must monitor for source water alkalinity.
Reduced Monitoring: Subpart H systems with an average treated water
TOC of less than 2.0 mg/L for two consecutive years, or less than 1.0
mg/L for one year, may reduce monitoring for both TOC and alkalinity to
one paired sample per plant per quarter.
Compliance Determination: Compliance criteria for TOC are dependent
upon a variety of factors and is discussed elsewhere in this rule.
2. Background and Analysis
The monitoring requirements in today's rule are the same as those
in the 1994 proposed rule, with the exception of requirements for
bromide monitoring and chlorite.
Bromide Monitoring for Reduced Bromate Monitoring. The 1994
proposal included a provision for reduced bromate monitoring for
utilities with source water bromide concentrations less than 0.05 mg/L.
EPA believes there is a very small likelihood that systems using ozone
will exceed the bromate MCL if source water bromide concentrations are
below this level. The provision did not specify a bromide monitoring
frequency, however. Today's rule allows utilities to reduce bromate
monitoring from monthly to once per quarter if the system demonstrates,
based on representative monthly samples over the course of a year, that
the average raw water bromide concentration is less than 0.05 mg/L.
Chlorite Monitoring. The proposed rule required treatment plants
using chlorine dioxide to monitor for chlorite ion by taking a three
sample set in the distribution system, once per month, and to analyze
these samples using ion chromatography. However, the proposal states
that after the Negotiating Committee had agreed to the above monitoring
scheme for chlorite at its last meeting in June, 1993, EPA's Reference
Dose Committee met and determined a different toxicological endpoint
for chlorite, based on the identification of neurobehavioral effects.
In light of this finding, EPA asserted that it did not believe the
proposed monthly monitoring requirement for chlorite was sufficiently
protective of public health. Following the proposed rule, EPA acquired
additional information on chlorite toxicity, including the results of a
two-generation study sponsored by the CMA. This additional information,
discussed elsewhere in this document (III.A.7), supported EPA's finding
of neurobehavioral health effects resulting from chlorite, along with
the rationale for daily monitoring at the entrance to the distribution
system as a trigger for further compliance monitoring in the
distribution system.
3. Summary of Comments
TOC. Many commenters expressed confusion regarding the raw and
finished water TOC monitoring scheme and their relationship to
compliance calculations. Commenters noted, correctly, that changes in
alkalinity and TOC level can move the utility to a different box of the
TOC removal matrix, and questioned whether this would affect requisite
monitoring. As in the proposal, moving to a different box of the matrix
will not affect monitoring requirements. Utilities are required to take
a minimum of one paired (raw and finished water) TOC sample per month.
Commenters were also concerned that the TOC monitoring provisions would
limit their ability to take additional TOC samples for operational
control. This concern is unfounded; EPA recommends in the Enhanced
Coagulation and Enhanced Precipitative Softening Guidance Manual that
utilities take as many TOC samples as necessary to maintain proper
operational control. EPA also recommends that TOC compliance samples,
as opposed to operational samples, be taken on a constant schedule or
be identified one month prior to the samples being taken. This will
allow utilities to take numerous operational samples and still provide
for unbiased compliance sampling. Systems may use their sampling plans
for this purpose.
Chlorite. In the proposal, EPA solicited comment on changing the
frequency and location of chlorite monitoring in consideration of
potential acute health effects. Commenters stated that daily monitoring
of chlorite would be feasible if amperometric titration were allowed as
an analytical method. Commenters recommended that daily amperometric
analyses for chlorite be conducted on samples taken from the entrance
to the distribution system, and that weekly or monthly analyses using
ion chromatography still be required as a check since ion
chromatography is a more accurate analytical method. Several comments
stated that daily monitoring for chlorite would improve operational
control of plants and decrease the probability of a PWS exceeding the
chlorite MCL in the distribution system. However, commenters requested
that if daily monitoring for chlorite were to be
[[Page 69427]]
required, a provision for reduced chlorite monitoring be included as
well.
In response to these comments, today's rule requires treatment
plants using chlorine dioxide to conduct daily monitoring for chlorite
by taking one sample at the entrance to the distribution system. This
sample may be measured using amperometric titration (Standard Method
4500-ClO 2 E). Treatment plants are also required to take a
three sample set from the distribution system once per month, as was
proposed in 1994. In addition, today's rule requires that on any day
that the concentration of chlorite measured at the distribution system
entrance exceeds the MCL, the treatment plant must take a three sample
set in the distribution system on the following day. All samples taken
in the distribution system must be analyzed by ion chromatography
(Method 300.0 or 300.1).
EPA recommends that treatment plants keep chlorite levels below 1.0
mg/L and believes that if treatment plants exceed the MCL in finished
water, immediate distribution system testing is warranted to ensure
that chlorite levels are below 1.0 mg/L. EPA has not, however, changed
the compliance determination for chlorite from the 1994 proposed rule.
Compliance is still based on the average of three sample sets taken in
the distribution system. The results of daily monitoring do not serve
as a compliance violation; rather, they can only trigger immediate
distribution system monitoring. Moreover, if the treatment plant is
required to take distribution system samples by the results of daily
monitoring and the average chlorite concentration in the three
distribution system samples is below the MCL, then that sampling will
meet the treatment plant's requirement for routine monthly monitoring
in the distribution system for that month. Today's rule also includes a
provision for reduced chlorite monitoring. Treatment plants may reduce
routine distribution system monitoring for chlorite from monthly to
quarterly if the chlorite concentration in all samples both at the
entrance to the distribution system and within the distribution system
are below 1.0 mg/L for a period of one year.
In summary, after review of all public comments and associated
data, EPA believes that these provisions for chlorite monitoring will
be both feasible for treatment plants and provide a level of protection
to public health commensurate with the toxic effects associated with
chlorite.
I. Compliance Schedules
1. Today's Rule
Today's action establishes revised compliance deadlines for States
to adopt and for public water systems to implement the requirements in
this rulemaking. Central to the determination of these deadlines are
the principles of simultaneous compliance between the Stage 1 DBPR and
the corresponding rules (Interim Enhanced Surface Water Treatment Rule,
Long Term Enhanced Surface Water Treatment Rule, and Ground Water Rule)
to ensure continued microbial protection, and minimization of risk-risk
tradeoffs. These deadlines also reflect new legislative provisions
enacted as part of 1996 SDWA amendments. Section 1412 (b)(10) of the
SDWA as amended provides PWSs must comply with new regulatory
requirements 36 months after promulgation (unless EPA or a State
determines that an earlier time is practicable or that additional time
up to two years is necessary for capital improvements). In addition,
Section 1413(a)(1) provides that States have 24 instead of the previous
18 months from promulgation to adopt new drinking water standards.
Applying the 1996 SDWA Amendments to today's action, this
rulemaking provides that States have two years from promulgation to
adopt and implement the requirements of this regulation. Simultaneous
compliance will be achieved as follows.
Subpart H water systems covered by today's rule that serve a
population of 10,000 or more generally have three years from
promulgation to comply with all requirements of this rule. In cases
where capital improvements are needed to comply with the rule, States
may grant such systems up to an additional two years to comply. These
deadlines were consistent with those for the IESWTR.
Subpart H systems that serve a population of less than 10,000 and
all ground water systems will be required to comply with applicable
Stage 1 DBPR requirements within five years from promulgation. Since
the Long Term Enhanced Surface Water Treatment Rule (LT1) requirements
that apply to systems under 10,000 and the Ground Water Rule are
scheduled to be promulgated two years after today's rule or in November
2000, the net result of this staggered deadline is that these systems
will be required to comply with both Stage 1 DBPR and LT1/GWR
requirements three years after promulgation of LT1/GWR at the same end
date of November 2003. For reasons discussed in more detail below, EPA
believes this is both consistent with the requirements of section
1412(b)(10) as well as with legislative history affirming the Reg. Neg.
objectives of simultaneous compliance and minimization of risk-risk
tradeoff.
2. Background and Analysis
The background, factors, and competing concerns that EPA considered
in developing the compliance deadlines in today's rule are explained in
detail in both the Agency's IESWTR and Stage 1 DBPR November 1997
NODAs. As explained in those NODAs, EPA identified four options to
implement the requirements of the 1996 SDWA Amendments. The
requirements outlined above reflect the fourth option that EPA
requested comment upon in November 1997.
By way of background, the SDWA 1996 Amendments affirmed several key
principles underlying the M-DBP compliance strategy developed by EPA
and stakeholders as part of the 1992 regulatory negotiation process.
First, under Section 1412(b)(5)(A), Congress recognized the critical
importance of addressing risk/risk tradeoffs in establishing drinking
water standards and gave EPA the authority to take such risks into
consideration in setting MCL or treatment technique requirements. The
technical concerns and policy objectives underlying M/DBP risk/risk
tradeoffs are referred to in the initial sections of today's rule and
have remained a key consideration in EPA's development of appropriate
compliance requirements. Second, Congress explicitly adopted the phased
M-DBP regulatory development schedule developed by the Negotiating
Committee. Section 1412(b)(2)(C) requires that the M/DBP standard
setting intervals laid out in EPA's proposed ICR rule be maintained
even if promulgation of one of the M-DBPRs is delayed. As explained in
the 1997 NODA, this phased or staggered regulatory schedule was
specifically designed as a tool to minimize risk/risk tradeoff. A
central component of this approach was the concept of ``simultaneous
compliance'', which provides that a PWS must comply with new microbial
and DBP requirements at the same time to assure that in meeting a set
of new requirements in one area, a facility does not inadvertently
increase the risk (i.e., the risk ``tradeoff'') in the other area.
A complicating factor that EPA took into account in developing
today's deadlines is that the SDWA 1996 Amendments changed two
statutory provisions that elements of the 1992
[[Page 69428]]
Negotiated Rulemaking Agreement were based upon. The 1994 Stage 1 DBPR
and ICR proposals provided that 18 months after promulgation large PWS
would comply with the rules and States would adopt and implement the
new requirements. As noted above, Section 1412(b)(10) of the SDWA as
amended now provides that drinking water rules shall become effective
36 months after promulgation (unless the Administrator determines that
an earlier time is practicable or that additional time for capital
improvements is necessary--up to two years). In addition, Section
1413(a)(1) now provides that States have 24 instead of the previous 18
months to adopt new drinking water standards that have been promulgated
by EPA.
Today's compliance deadline requirements reflect the principle of
simultaneous compliance and the concern with risk/risk tradeoffs.
Subpart H systems serving a population of at least 10,000 will be
required to comply with the key provisions of this rule on the same
schedule as they will be required to comply with the parallel
requirements of the accompanying IESWTR that is also included in
today's Federal Register.
With regard to subpart H systems serving fewer than 10,000, EPA
believes that providing a five year compliance period under Stage 1
DBPR is appropriate and warranted under section 1412(b)(10), which
expressly allows five years where necessary for capital improvements.
As discussed in more detail in the 1997 IESWTR NODA, capital
improvements require, of necessity, preliminary planning and
evaluation. An essential prerequisite of such planning is a clear
understanding of final compliance requirements that must be met. In the
case of the staggered M/DBP regulatory schedule established as part of
the 1996 SDWA Amendments, LT1 microbial requirements for systems under
10,000 are required to be promulgated two years after the final Stage 1
DBPR. As a result, small systems will not even know what their final
combined compliance obligations are until promulgation of the LT 1
rule. Thus, an additional two year period reflecting the two year Stage
1 DBPR/LT 1 regulatory development interval established by Congress is
required to allow for the preliminary planning and design steps which
are inherent in any capital improvement process.
In the case of ground water systems, the statutory deadline for
promulgation of the GWR is May 2002. However, EPA intends to promulgate
this rule by November 2000, in order to allow three years for
compliance and still ensure simultaneous compliance by ground water
systems with the Stage 1 DBPR and the GWR. As in the case of subpart H
systems serving fewer than 10,000, system operators will not know until
November 2000 what the final compliance requirements for both rules
are. EPA thus believes it appropriate to grant the additional two years
for compliance with the Stage 1 DBPR allowed by the statute.
EPA has been very successful in meeting all of the new statutory
deadlines and is on track for the LT1 Rule and GWR. While EPA fully
intends to meet the schedule discussed earlier, if those rules are
delayed the Agency will evaluate all available options to protect
against unacceptable risk-risk trade-offs. Part of this effort is the
extensive outreach to systems already underway to fully inform water
supplies of the likely elements in the upcoming rules. In addition, EPA
would consider including provisions for streamlined variance and/or
exemption processing in these rules if they were delayed, in order to
enhance State flexibility in ensuring that compliance with the Stage 1
DBPR is not required before the corresponding microbial protection
rule.
Under today's Stage 1 DBPR, EPA has already provided small subpart
H systems and ground water systems the two-year extension for capital
improvements since these systems will not know with certainty until
November 2000 if capital improvements will be needed for simultaneous
compliance with the Stage 1 DBPR and LT1/GWR. States considering
whether to grant a two-year capital improvement extension for
compliance with the GWR or LT1 will also need to consider the impact of
such extensions on compliance with today's rule, given that a similar
extension for capital improvement has already been provided in the
initial compliance schedule for the Stage 1 DBPR. EPA believes,
however, that these systems will generally not require extensive
capital improvements that take longer than three years to install to
meet Stage 1 DBPR, GWR, and LT1 requirements, or will require no
capital improvements at all. However if needed, EPA will work with
States and utilities to address systems that require time beyond
November 2003 to comply. This strategy may include exemptions.
In addition, EPA will provide guidance and technical assistance to
States and systems to facilitate timely compliance with both DBP and
microbial requirements. EPA will request comment on how best to do this
when the Agency proposes the LTESWTR and GWR.
3. Summary of Comments
Commenters were in general agreement that the compliance deadline
strategy contained in the fourth option of the 1997 NODA did the best
job of complying with the requirements to 1996 SDWA Amendments and
meeting the objectives of the 1993 Reg. Neg. Agreement that Congress
affirmed as part of the 1996 Amendments. Nonetheless, a number of
commenters expressed concern about the ability of large surface water
systems that had to make capital improvements to comply with all
requirements of the Stage 1 DBPR and IESWTR. They pointed out that
capital improvements include more than just the construction, but also
financing, design, and approval.
EPA believes that the provisions of Section 1412(b)(10) of the SDWA
as amended allow systems the flexibility needed to comply. As noted
earlier in this section, States may grant up to an additional two years
compliance time for an individual system if capital improvements are
necessary. Moreover, as both of these rules have been under negotiation
since 1992, proposed in 1994 and further clarified in 1997, EPA
believes that most systems have had substantial time to consider how to
proceed with implementation and to initiate preliminary planning.
Several commenters also supported delaying the promulgation of the
Stage 1 DBPR for ground water systems until the GWR is promulgated, in
order to ensure simultaneous compliance with both rules. EPA believes
that this option would not be consistent with the reg-neg agreement, as
endorsed by Congress, because the agreement specifies that the Stage 1
DBPR will apply to all community and nontransient noncommunity water
systems. Moreover, EPA has committed to the LT1 and GWR promulgation
schedule outlined above precisely to address this issue.
In conclusion EPA believes that the compliance deadlines outlined
above for systems covered by this rule are appropriate and consistent
with the requirements of the 1996 SDWA amendments. The Agency notes,
however, that some elements of Option 4 outlined in the 1997 NODA apply
to systems that may be covered by future Long Term Enhanced and Ground
Water rules. EPA intends to follow the deadline strategy outlined in
Option 4 for these future rules. However, as today's action only
relates to the Stage 1 DBPR, the Agency will defer final action on
deadlines associated with future rules until those rules, themselves,
are finalized.
[[Page 69429]]
J. Public Notice Requirements
1. Today's Rule
Today's action addresses public notification by promulgating public
notification language for the regulated compounds in 40 CFR Section
141.32 (e). EPA takes this opportunity to note that the 1996 amendments
to the SDWA require the Agency to make certain changes to the public
notice regulations. EPA intends to propose changes to the public notice
requirements in the Federal Register shortly after promulgation of the
Stage 1 DBPR. Applicable changes in the public notice requirements,
when they become effective, will supersede today's provisions. In
general, the public notification for the Stage 1 DBPR is not
substantially changed from that included in the 1994 Proposed Stage 1
DBPR (EPA, 1994a).
2. Background and Analysis
Under Section 1414(c)(1) of the Act, each owner or operator of a
public water system must give notice to the persons served by the
system of (1) any violation of any MCL, treatment technique
requirement, or testing provision prescribed by an NPDWR; (2) failure
to comply with any monitoring requirement under section 1445(a) of the
Act; (3) existence of a variance or exemption; (4) failure to comply
with the requirements of a schedule prescribed pursuant to a variance
or exemption; and (5) notice of the concentration level of any
unregulated contaminant for which the Administrator has required public
notice.
EPA promulgated the current regulations for public notification on
October 28, 1987 (52 FR 41534--EPA, 1987). These regulations specify
general notification requirements, including frequency, manner, and
content of notices, and require the inclusion of EPA-specified health
effects information in each public notice. The public notification
requirements divide violations into two categories (Tier 1 and Tier 2)
based on the seriousness of the violations, with each tier having
different public notification requirements. Tier 1 violations include
violations of an MCL, treatment technique, or a variance or exemption
schedule. Tier 1 violations contain health effects language specified
by EPA which concisely and in non-technical terms conveys to the public
the adverse health effects that may occur as a result of the violation.
States and water utilities remain free to add additional information to
each notice, as deemed appropriate for specific situations. Tier 2
violations include monitoring violations, failure to comply with an
analytical requirement specified by an NPDWR, and operating under a
variance or exemption.
Today's final rule contains specific health effects language for
the contaminants which are in today's rulemaking. EPA believes that the
mandatory health effects language is the most appropriate way to inform
the affected public of the potential health implications of violating a
particular EPA standard.
3. Summary of Comments
EPA received comments on the topic of the public notification
language for TTHM, HAA5, chlorine, chloramines, chlorine dioxide, and
enhanced coagulation. Some commenters noted that the language in
141.32(e)(79) is satisfactory. One commenter requested that the
language for DBPs be modified to recognize that disinfectants react
with naturally occurring organic and inorganic matter to form DBPs.
Some commenters did not support the use of the same public notification
language for both DBP MCL and enhanced coagulation treatment technique
violations. Several commenters suggested that the content of the
notices for chlorine, chloramine, and chlorine dioxide should reflect
that disinfection is an essential step in surface water treatment. One
commenter suggested that the language for chlorine dioxide acute
effects should be deleted. Other commenters felt that the notice to
consumers of chlorine dioxide violations at the treatment facility
which do not result in violations in the distribution system (nonacute
violations) should not require public notification.
In response, EPA has modified the public notification language for
DBPs to indicate that disinfectants react with naturally occurring
organic and inorganic matter to form DBPs. EPA believes it is
appropriate to use the same public notification language for the
enhanced coagulation treatment technique violation as for violations
for the TTHM and HAA5 MCLs, since enhanced coagulation is meant to
limit exposure to DBPs. EPA believes the current language in the public
notification language is appropriate to reflect that disinfection is an
essential step in water treatment. EPA believes that since the
potential health effects from chlorine dioxide are short-term that it
is appropriate to maintain the acute effects language to protect the
fetus, infants, and children. In general, the public notification
requirements for the Stage 1 DBPR will not substantially change from
that included in the 1994 Proposed Stage 1 DBPR (EPA, 1994a).
K. System Reporting and Record Keeping Requirements
1. Today's Rule
The Stage 1 DBPR, consistent with the current system reporting
regulations under 40 CFR 141.31, requires PWSs to report monitoring
data to States within ten days after the end of the compliance period.
In addition, systems are required to submit the data required in
Sec. 141.134. These data are required to be submitted quarterly for any
monitoring conducted quarterly or more frequently, and within 10 days
of the end of the monitoring period for less frequent monitoring.
Systems that are required to do extra monitoring because of the
disinfectant used have additional reporting requirements specified.
This applies to systems that use chlorine dioxide (must report chlorine
dioxide and chlorite results) and ozone (must report bromate results).
Subpart H systems that use conventional treatment are required to
report either compliance/noncompliance with DBP precursor (TOC) removal
requirements or report which of the enhanced coagulation/enhanced
softening exemptions they are meeting. There are additional
requirements for systems that cannot meet the required TOC removals and
must apply for an alternate enhanced coagulant level. These
requirements are included in Sec. 141.134(b).
Calculation of compliance with the TOC removal requirements is
based on normalizing the percent removals over the most recent four
quarters, since compliance is based on that period. Normalization,
which would prescribe equal weight to the data collected each month, is
necessary since source water quality changes may change the percent TOC
removal requirements from one month to another. EPA has developed a
sample reporting and compliance calculation sheet that will be
available in the enhanced coagulation guidance manual to assist
utilities in making these calculations.
2. Summary of Comments
There were no significant comments on the system reporting and
recordkeeping requirements and therefore EPA is finalizing the
requirements as proposed.
L. State Recordkeeping, Primacy, and Reporting Requirements
The SDWA provides that States and eligible Indian Tribes may assume
primary enforcement responsibilities.
[[Page 69430]]
Fifty-four out of fifty-six State and territorial jurisdictions have
applied for and received primary enforcement responsibility (primacy)
under the Act. No Tribes have received primacy. To obtain primacy for
the federal drinking water regulations, States must adopt their own
regulations which are at least as stringent as the federal regulations.
This section describes the regulations and other procedures and
policies that States must adopt to implement the final Stage 1 DBPR.
To implement the final rule, States are required to adopt the
following regulatory requirements:
--Section 141.32, Public Notification;
--Section 141.64, MCLs for Disinfection Byproducts;
--Section 141.65, MRDLs for Disinfectants;
--Subpart L, Disinfectant Residuals, Disinfectant Byproducts, and
Disinfection Byproduct Precursors.
In addition to adopting regulations no less stringent than the
federal regulations, States must adopt certain requirements related to
this regulation in order to have their program revision applications
approved by EPA. This rule also requires States to keep specific
records and submit specific reports to EPA.
On April 28, 1998, EPA amended its State primacy regulations at 40
CFR 142.12 to incorporate the new process identified in the 1996 SDWA
amendments for granting primary enforcement authority to States while
their applications to modify their primacy programs are under review
(63 FR 23362; EPA, 1998i). The new process grants interim primary
enforcement authority for a new or revised regulation during the period
in which EPA is making a determination with regard to primacy for that
new or revised regulation. This interim enforcement authority begins on
the date of the primacy application submission or the effective date of
the new or revised State regulation, whichever is later, and ends when
EPA makes a final determination. However, this interim primacy
authority is only available to a State that has primacy for every
existing national primary drinking water regulation in effect when the
new regulation is promulgated.
As a result, States that have primacy for every existing NPDWR
already in effect may obtain interim primacy for this rule, beginning
on the date that the State submits its complete and final primacy
application for this rule to EPA, or the effective date of its revised
regulations, whichever is later. In addition, a State which wishes to
obtain interim primacy for future NPDWRs must obtain primacy for this
rule.
1. State Recordkeeping Requirements
a. Today's Rule. The current regulations in Sec. 142.14 require
States with primacy to keep various records, including analytical
results to determine compliance with MCLs, MRDLs, and treatment
technique requirements; system inventories; State approvals;
enforcement actions; and the issuance of variances and exemptions. The
Stage 1 DBPR requires States to keep additional records of the
following, including all supporting information and an explanation of
the technical basis for each decision:
(1) Records of determinations made by the State when the State has
allowed systems additional time to install GAC or membrane filtration.
These records must include the date by which the system is required to
have completed installation;
(2) Records of systems that are required to meet alternative
minimum TOC removal requirements or for whom the State has determined
that the source water is not amendable to enhanced coagulation. These
records must include the results of testing to determine alternative
limits and the rationale for establishing the alternative limits;
(3) Records of subpart H systems using conventional treatment
meeting any of the enhanced coagulation or enhanced softening exemption
criteria;
(4) Register of qualified operators;
(5) Records of systems with multiple wells considered to be one
treatment plant for purposes of determining monitoring frequency;
(6) Records of the sampling plans for subpart H systems serving
more than 3,300 persons must be keep on file at the State after
submission by the system;
(7) A list of laboratories that have completed performance sample
analyses and achieved the quantitative results for TOC, TTHMs, HAA5,
bromate, and chlorite; and
(8) A list of all systems required to monitor for disinfectants and
DBPs under subpart L.
b. Background and Analysis. In addition to requesting comments on
the requirements (1) through (5), and (7) and (8) listed above, EPA
also requested comments on whether States should be required to keep
the monitoring plan submitted by systems serving more than 3,300 people
on file at the State after submission to make it available for public
review.
c. Summary of Comments. There were several commenters who suggested
that EPA should keep in mind State budget constraints when requiring
specific additional recordkeeping requirements. Other commenters stated
that they believed the requirements were necessary. EPA understands
commenters concerns with requiring recordkeeping requirements that are
unnecessary, but believes this information is important to conduct
effective State program oversight, including the review of State
decisions and their basis. After further review, EPA has decided to
eliminate the requirement in the proposal that States must keep records
of systems that apply for alternative TOC performance criteria. EPA is
more concerned with the systems that are required to meet alternative
TOC performance criteria, not the systems that have applied for the
alternative performance criteria. In addition, EPA has added three
recordkeeping requirements, two of which were originally in the
reporting requirements section and one for which EPA requested comment.
The first additional requirement will require States to keep lists
of all systems required to monitor for various disinfectants and DBPs
(#8 above). The second additional requirement will require States to
maintain a list of laboratories that have completed performance sample
analyses and achieved the quantitative results for TOC, TTHMs, HAA5,
bromate, and chlorite (#6 above). EPA believes both of these
recordkeeping requirements are necessary to ensure adequate EPA program
oversight. As discussed below, these two requirements are no longer in
the State reporting requirements as EPA has decided that the
requirements in the proposal on State reporting requirements are not
needed on a regular basis, but are needed for program oversight. The
third additional requirement pertains to the request for comment in the
proposal on maintaining the monitoring plans submitted by systems (#6
above). Several commenters supported this additional requirement
stating that it was a necessary element for implementing the final
rule. Others believed it was not necessary to keep this on file because
the public could request this information from the system or the State
as normal public records. EPA believes that it is important for States
to review, and keep on file the systems monitoring plan to ensure that
the PWS is monitoring and calculating compliance in accordance with the
plan. This will also enable the public to view the plan. Thus, EPA is
adding this requirement to the final recordkeeping requirements. In
conclusion, based on a review of all public comments the final
[[Page 69431]]
rule contains eight State recordkeeping requirements in addition to
those required under current regulations in Sec. 142.14.
2. Special Primacy Requirements
a. Today's Rule. To ensure that a State program includes all the
elements necessary for an effective and enforceable program under
today's rule, a State application for program revision approval must
include a description of how the State will:
(1) Determine the interim treatment requirements for systems
granted additional time to install GAC and membrane filtration under
141.64(b)(2).
(2) Qualify operators of community and nontransient noncommunity
water systems subject to this regulation under 141.130(c).
Qualification requirements established for operators of systems subject
to 40 CFR Part 141 Subpart H (Filtration and Disinfection) may be used
in whole or in part to establish operator qualification requirements
for meeting subpart L requirements if the State determines that the
subpart H requirements are appropriate and applicable for meeting
subpart L requirements.
(3) Approve DPD colorimetric tests kits for free and total chlorine
measurements under 141.131(c)(2). State approval granted under subpart
H (Sec. 141.74(a)(2)) for the use of DPD colorimetric test kits for
free chlorine testing would be considered acceptable approval for the
use of DPD test kits in measuring free chlorine residuals as required
in subpart L.
(4) Approve parties to conduct analyses of water quality parameters
under 141.132(a)(2) (pH, alkalinity, bromide, and residual disinfectant
concentration measurements). The State's process for approving parties
performing water quality measurements for systems subject to subpart H
requirements may be used for approving parties measuring water quality
parameters for systems subject to subpart L requirements, if the State
determines the process is appropriate and applicable.
(5) Define criteria to use in determining if multiple wells are
being drawn from a single aquifer and therefore can be considered as a
single source under 141.132(a)(2). Such criteria will be used in
determining the monitoring frequency for systems using only ground
water not under the direct influence of surface water.
(6) Approve alternative TOC removal levels as allowed under
141.135(b).
b. Background and Analysis. As discussed above, EPA included
several special primacy requirements to ensure that State programs
contain all the essential elements for an effective program.
Specifically, EPA believes the special requirements are important to
ensure that the process or approach used by the State for evaluating
whether the interim treatment in place for systems granted additional
time to install GAC or membranes or alternative enhanced coagulation
levels will be protective of public health. The requirement to have
qualified operators is important because the treatment technologies
used to comply with the Stage 1 DBPR and the IESWTR simultaneously are
complex and will require a certain level of expertise. The requirement
to approve parties for conducting analyses of specific water quality
parameters is important because each of the parameters required to be
tested is critical to a specific component of the final rule (e.g.,
bromide ion is important because for bromate it is possible to reduce
monitoring from monthly to once per quarter, if a system demonstrates
that the average raw water bromide concentration is less than 0.05 mg/L
based upon representative monthly measurements for one year). Finally,
it is important to define the criteria used to determine if multiple
wells are to be considered a single source as this could have
significant implications for monitoring.
c. Summary of Comments. There were no significant comments on the
primacy requirements. The only change from the proposal was to delete
the requirement that States must have approved parties to perform
temperature evaluations. This requirement was included in the proposed
rule because of the need to have accurate measurements as a part of the
process for not allowing predisinfection credit. Since the final rule
allows credit for compliance with applicable disinfection requirements
consistent with the SWTR, the temperature requirement was removed.
3. State Reporting Requirements
a. Today's Rule. EPA currently requires in Sec. 142.15 that States
report to EPA information such as violations, variance and exemption
status, and enforcement actions. The Stage 1 DBPR does not add any
additional reporting requirements.
b. Background and Analysis. The preamble to the proposed rule
included six State reporting requirements. These included:
(1) A list of all systems required to monitor for various
disinfectants and disinfection byproducts;
(2) A list of all systems for which the State has granted
additional time for installing GAC or membrane technology and the basis
for the additional time;
(3) A list of laboratories that have completed performance sample
analyses and achieved the quantitative results for TOC, TTHMs, HAA5,
bromate, and chlorite;
(4) A list of all systems using multiple ground water wells which
draw from the same aquifer and are considered a single source for
monitoring purposes;
(5) A list of all Subpart H systems using conventional treatment
which are not required to operate with enhanced coagulation, and the
reason why enhanced coagulation is not required for each system; and
(6) A list of all systems with State-approved alternate performance
standards (alternate enhanced coagulation levels).
c. Summary of Comments. Several commenters stated that the
reporting requirements were not necessary to operate an oversight
program and that these reports could be made available for EPA review
during annual audits. EPA agrees with commenters that the reports are
not necessary to operate an oversight program, and that if needed EPA
could request this information from the States. However, EPA does
believe it is important that States maintain this information in their
records. In conclusion, based on commenters concerns and for the
reasons cited above, the final rule contains no additional State
reporting requirements other than those required by 142.15.
M. Variances and Exemptions
1. Today's Rule
Variances may be granted in accordance with section 1415(a)(1)(A)
of the SDWA and in accordance with 1415(e) and EPA's regulations.
Exemptions may be granted in accordance with section 1416(a) of the
SDWA and EPA's regulations.
2. Background and Analysis
Variances. The SDWA provides for two types of variances--general
variances and small system variances. Under section 1415(a)(1)(A) of
the SDWA, a State which has primary enforcement responsibility
(primacy), or EPA as the primacy agency, may grant variances from MCLs
to those public water systems of any size that cannot comply with the
MCLs because of characteristics of the water sources. The primacy
agency may grant general variances to a system on condition that the
system install the best available technology, treatment techniques, or
other means, and provided that alternative sources of water are not
[[Page 69432]]
reasonably available to the system. At the time this type of variance
is granted, the State must prescribe a compliance schedule and may
require the system to implement additional control measures.
Furthermore, before EPA or the State may grant a general variance, it
must find that the variance will not result in an unreasonable risk to
health (URTH) to the public served by the public water system.
Under section 1413(a)(4), States that choose to issue general
variances must do so under conditions, and in a manner, that are no
less stringent than section 1415. Of course, a State may adopt
standards that are more stringent than the EPA standards. EPA specifies
BATs for general variance purposes. EPA may identify as BAT different
treatments under section 1415 for variances other than the BAT under
section 1412 for MCLs. EPA's section 1415 BAT findings may vary
depending on a number of factors, including the number of persons
served by the public water system, physical conditions related to
engineering feasibility, and the costs of compliance with MCLs. In this
final rule, EPA is not specifying different BAT for variances under
section 1415(a). Section 1415(e) authorizes the primacy Agency (EPA or
the State) to issue variances to small public water systems (those
serving less than 10,000 persons) where the system cannot afford to
comply with an MCL and where the primacy agency determines that the
terms of the variances ensure adequate protection of public health (63
FR 1943-57; EPA, 1998j). These variances also may only be granted where
EPA has identified a variance technology under Section 1412(b)(15) for
the contaminant, system size and source water quality in question.
Prior to the 1996 SDWA amendments, EPA was required to set the MCL
for a contaminant as close to the MCLG as is feasible. Section
1412(b)(4)(D) of the SDWA states that ``the term ``feasible'' means
with the use of the best technology, treatment techniques and other
means which the Administrator finds, after examination for efficacy
under field conditions and not solely under laboratory conditions, are
available (taking cost into consideration).''
The cost assessment for the feasibility determinations have
historically been based upon impacts to regional and large metropolitan
water systems serving populations greater than 50,000 people. Since
large systems served as the basis for the feasibility determinations,
the technical and/or cost considerations associated with these
technologies often were not applicable to small water systems. While
EPA will continue to use feasibility for large systems in setting
NPDWRs, the 1996 amendments to the SDWA specifically require EPA to
make small system technology assessments for both existing and future
regulations.
The 1996 amendments to the SDWA identifies three categories of
small public water systems that need to be addressed: (1) those serving
a population between 3301 to 10,000; (2) those serving a population of
501--3300; and (3) those serving a population of 26--500. The SDWA
requires EPA to make determinations of available compliance
technologies and, if needed, variance technologies for each size
category. A compliance technology is a technology that is affordable
and that achieves compliance with the MCL and/or treatment technique.
Compliance technologies can include point-of-entry or point-of-use
treatment units. Variance technologies are only specified for those
system size/source water quality combinations for which there are no
listed compliance technologies.
EPA has completed an analysis of the affordability of DBP control
technologies for each of the three size categories included above.
Based on this analysis, multiple affordable compliance technologies
were found for each of the three system sizes (EPA, 1998q and EPA,
1998r) and therefore variance technologies were not identified for any
of the three size categories. The analysis was consistent with the
methodology used in the document ``National-Level Affordability
Criteria Under the 1996 Amendments to the Safe Drinking Water Act''
(EPA, 1998s) and the ``Variance Technology Findings for Contaminants
Regulated Before 1996'' (EPA, 1998t).
Exemptions. Under section 1416(a), EPA or a State may exempt a
public water system from any requirements related to an MCL or
treatment technique of an NPDWR, if it finds that (1) due to compelling
factors (which may include economic factors such as qualification of
the PWS as serving a disadvantaged community), the PWS is unable to
comply with the requirement or implement measure to develop an
alternative source of water supply; (2) the exemption will not result
in an unreasonable risk to health; and; (3) the PWS was in operation on
the effective date of the NPWDR, or for a system that was not in
operation by that date, only if no reasonable alternative source of
drinking water is available to the new system; and (4) management or
restructuring changes (or both) cannot reasonably result in compliance
with the Act or improve the quality of drinking water.
If EPA or the State grants an exemption to a public water system,
it must at the same time prescribe a schedule for compliance (including
increments of progress or measures to develop an alternative source of
water supply) and implementation of appropriate control measures that
the State requires the system to meet while the exemption is in effect.
Under section 1416(b)(2)(A), the schedule prescribed shall require
compliance as expeditiously as practicable (to be determined by the
State), but no later than 3 years after the effective date for the
regulations established pursuant to section 1412(b)(10). For public
water systems which do not serve more than a population of 3,300 and
which need financial assistance for the necessary improvements, EPA or
the State may renew an exemption for one or more additional two-year
periods, but not to exceed a total of 6 years, if the system
establishes that it is taking all practicable steps to meet the
requirements above.
A public water system shall not be granted an exemption unless it
can establish that either: (1) the system cannot meet the standard
without capital improvements that cannot be completed prior to the date
established pursuant to section 1412(b)(10); (2) in the case of a
system that needs financial assistance for the necessary
implementation, the system has entered into an agreement to obtain
financial assistance pursuant to section 1452 or any other Federal or
state program; or (3) the system has entered into an enforceable
agreement to become part of a regional public water system.
3. Summary of Comments on Variance and Exemptions
In the 1994 proposal, EPA requested comment on whether exemptions
to the rule should be granted if a system could demonstrate to the
State that due to unique water quality characteristics it could not
avoid, through the use of BAT, the possibility of increasing total
health risk to its consumers by complying with the Stage 1 regulations.
The Agency requested information under which such a scenario may
unfold. Several commenters supported granting exemptions provided a
system could demonstrate that installation of BAT will increase the
total health risk.
After additional consideration, EPA believes it is not appropriate,
for several reasons, to grant exemptions based on a demonstration that
the use of BAT could increase the total health risk by complying with
the Stage 1 DBPR. First,
[[Page 69433]]
EPA does not believe the analytical tools and methodologies are
currently available that would allow a determination of whether the
total health risk from the installation of BAT would increase. Second,
at the time of proposal there was concern that in waters with high
bromide concentrations it may be possible to increase the
concentrations of certain brominated DBPs when using precursor removal
processes even though the concentrations of the TTHMs and HAA5 may
decrease. Also, at the time of proposal, the health risks associated
with many of the brominated DBPs was unknown, and it was unclear
whether the benefits of lowering the concentrations of chlorinated DBPs
outweigh the possible downside risks of increasing certain brominated
DBPs. Since the proposal, some additional health effects research has
been completed evaluating the toxicity of brominated DBPs. However,
this research is still preliminary and no conclusions can be drawn on
the potential for increased risks from the brominated DBPs. In
addition, it is unclear to what extent the use of precursor removal
processes will change the concentrations of certain brominated DBPs.
The ICR data should provide some additional information that may be
helpful in this area along with additional ongoing research. This
information will be available for consideration in the Stage 2 rule
deliberations. Based on the reasons stated above, EPA does not believe
it is appropriate to allow exemptions to the rule based on a finding
that the installation of BAT would increase the total risk from DBPs.
N. Laboratory Certification and Approval
1. Today's Rule
EPA recognizes that the effectiveness of today's regulations
depends on the ability of laboratories to reliably analyze the
regulated disinfectants and DBPs at the MRDL or MCL, respectively.
Laboratories must also be able to measure the trihalomethanes and
haloacetic acids at the reduced monitoring trigger levels, which are
between 25 and 50 percent of the MCLs for these compound classes. EPA
has established State primacy requirements for a drinking water
laboratory certification program for the analysis of DBPs. States must
adopt a laboratory certification program as part of primacy. [40 CFR
142.10(b)]. EPA has also specified laboratory requirements for analyses
of DBP precursors and disinfectant residuals which must be conducted by
approved parties. [40 CFR 141.89 and 141.74]. EPA's ``Manual for the
Certification of Laboratories Analyzing Drinking Water'', EPA 815-B-97-
001--(EPA, 1997g), specifies the criteria for implementation of the
drinking water laboratory certification program.
In today's rule, EPA is promulgating MCLs for TTHMs, HAA5, bromate,
and chlorite. Today's rule requires that only certified laboratories be
allowed to analyze samples for compliance with the proposed MCLs. For
the disinfectants and certain other parameters in today's rule, which
have MRDLs or monitoring requirements, EPA is requiring that analyses
be conducted by a party acceptable to the State.
Performance evaluation (PE) samples, which are an important tool in
the SDWA laboratory certification program (laboratories seeking
certification) may be obtained from a PE provider approved by the
National Institute of Science and Technology (NIST). To receive and
maintain certification, a laboratory must use a promulgated method and,
at least once per year, successfully analyze an appropriate PE sample.
In the drinking water PE studies, NIST-approved providers will provide
samples for bromate, chlorite, five haloacetic acids, four
trihalomethanes, free chlorine, and alkalinity. The NIST-approved PE
providers will provide total chlorine and TOC samples in the wastewater
PE studies and have the potential to provide these samples for drinking
water studies. Due to the lability of chlorine dioxide, EPA does not
expect a suitable PE sample can be designed for chlorine dioxide
measurements.
PE Sample Acceptance Limits for Laboratory Certification.
Historically, EPA has set minimum PE acceptance limits based on one of
two criteria: statistically derived estimates or fixed acceptance
limits. Statistical estimates are based on laboratory performance in
the PE study. Fixed acceptance limits are ranges around the true
concentration of the analyte in the PE sample. Today's rule combines
the advantages of these approaches by specifying statistically-derived
acceptance limits around the study mean, within specified minimum and
maximum fixed criteria.
EPA believes that specifying statistically-derived PE acceptance
limits with upper and lower bounds on acceptable performance provides
the flexibility necessary to reflect improvement in laboratory
performance and analytical technologies. The acceptance criteria
maintain minimum data quality standards (the upper bound) without
artificially imposing unnecessarily strict criteria (the lower bound).
Therefore, EPA is establishing the following acceptance limits for
measurement of bromate, chlorite, each haloacetic acid, and each
trihalomethane in a PE sample.
EPA is defining acceptable performance for each chemical measured
in a PE sample from estimates derived at a 95% confidence interval from
the data generated by a statistically significant number of
laboratories participating in the PE study. However, EPA requires that
these acceptance criteria not exceed 50% nor be less than
15% of the study mean. If insufficient PE study data are
available to derive the estimates required for any of these compounds,
the acceptance limit for that compound will be set at 50%
of the study true value. The true value is the concentration of the
chemical that EPA has determined was in the PE sample.
EPA recognizes that when using multianalyte methods, the data
generated by laboratories that are performing well will occasionally
exceed the acceptance limits. Therefore, to be certified to perform
compliance monitoring using a multianalyte method, laboratories are
required to generate acceptable data for at least 80% of the regulated
chemicals in the PE sample that are analyzed with the method. If fewer
than five compounds are included in the PE sample, data for each of the
analytes in that sample must meet the minimum acceptance criteria in
order for the laboratory to be certified.
Approval Criteria for Disinfectants and Other Parameters. Today's
rule establishes MRDLs for the three disinfectants--chlorine,
chloramines, and chlorine dioxide. In addition, EPA has established
monitoring requirements for TOC, alkalinity, and bromide; there are no
MCLs for these parameters. In previous rules [40 CFR 141.28, .74, and
.89], EPA has required that measurements of alkalinity, disinfectant
residuals, pH, temperature, and turbidity be made with an approved
method and conducted by a party approved (not certified) by the State.
In today's rule, EPA requires that samples collected for compliance
with today's requirements for alkalinity, bromide, residual
disinfectant, and TOC be conducted with approved methods and by a party
approved by the State.
Other Laboratory Performance Criteria. For all contaminants and
parameters required to be monitored in today's rule, the States may
impose other requirements for a laboratory to be
[[Page 69434]]
certified or a party to be approved to conduct compliance analyses.
2. Background and Analysis
The laboratory certification and approval requirements that today's
rule establishes are unchanged from those proposed by EPA in 1994.
3. Summary of Comments
EPA received few comments on laboratory certification and approval.
Commenters requested clarification of the use of the 50%
upper bound and 15% lower bound, along with the use of
statistically derived limits. EPA believes that statistically derived
limits provide flexibility to allow laboratory certification standards
to reflect improvement in laboratory performance and analytical
technologies. As laboratories become more proficient in conducting
these analyses, statistically derived acceptance limits may drop.
However, to prevent the exclusion of laboratories capable of producing
data of sufficient quality for compliance purposes, EPA has established
a lower bound for acceptance limits of 15%. EPA is imposing
an upper bound on acceptable performance to establish minimum data
quality standards. Results outside of this range have unacceptable
accuracy for compliance determinations. These upper and lower bounds
were not determined statistically; they are the data quality objectives
the Agency has determined as acceptable.
IV. Economic Analysis
Under Executive Order 12866, Regulatory Planning and Review, EPA
must estimate the costs and benefits of the Stage 1 DBPR in a
Regulatory Impact Analysis (RIA) and submit the analysis to Office of
Management and Budget (OMB) in conjunction with publishing the final
rule. EPA has prepared an RIA to comply with the requirements of this
Order. This section provides a summary of the information from the RIA
for the Stage 1 DBPR (USEPA 1998g).
A. Today's Rule
EPA has estimated that the total annualized cost, for implementing
the Stage 1 DBPR is $701 million in 1998 dollars (assuming a 7 percent
cost of capital). This estimate includes annualized treatment costs to
utilities ($593 million), start-up and annualized monitoring costs to
utilities ($91.7 million), and startup and annualized monitoring costs
to states ($17.3 million). Annualized treatment costs to utilities
includes annual operation and maintenance costs ($362 million) and
annualized capital costs assuming 7 percent cost of capital ($230
million). The basis for these estimates, and alternate cost estimates
using different cost of capital assumptions are described later in this
section. While the benefits of this rule are difficult to quantify
because of the uncertainty associated with risks from exposure to DBPs
(and the resultant reductions in risk due to the decreased exposure
from DBPs), EPA believes that there is a reasonable likelihood that the
benefits will exceed the costs. Various approaches for assessing the
benefits are considered and described in the benefits and net benefits
sections of this preamble.
B. Background
1. Overview of RIA for the Proposed Rule
In the RIA for the 1994 proposed Stage 1 DBPR (EPA, 1994i) EPA
estimated the national capital and annualized utility costs (sum of
amortized capital and annual operating costs, assuming 10% cost of
capital) for all systems at $4.4 billion and $1.04 billion,
respectively. The cost and reduction in DBP exposure estimates of the
1994 RIA were derived using a Disinfection Byproduct Regulatory
Analysis Model (DBPRAM). The DBPRAM consisted of a collection of
analytical models which used Monte Carlo simulation techniques to
produce national forecasts of compliance and exposure reductions for
different regulatory scenarios. The TWG, representing members of the
Reg. Neg. Committee, used the best available information at the time as
inputs to the DBPRAM, and for making further adjustments to the model
predictions. The Stage 1 DBPR compliance and exposure forecasts were
affected by constraints imposed by the 1994 proposed IESWTR option
which would have required systems to provide enough disinfection, while
not allowing for disinfection credit prior to TOC removal by enhanced
coagulation, to achieve a 10-4 annual risk of infection from
Giardia (EPA, 1994a). The compliance forecast assumed that a
substantial number of systems would need to install advanced
technologies to meet the Stage 1 DBPR because of needing to achieve the
10-4 annual risk level from Giardia while no longer being
allowed disinfection credit prior to TOC removal.
Predicted benefits for the proposed Stage 1 DBPR were derived
assuming a baseline risk ranging from 1 to 10,000 cancer cases per year
(based on analysis of available toxicological and epidemiological data)
and assuming reductions in the cancer risks were proportional to
reductions in TTHM, HAA5, or TOC levels (predicted from compliance
forecasts). Negotiators agreed that the range of possible risks
attributed to chlorinated water should consider both toxicological data
and epidemiological data, including the Morris et al. (1992) estimates.
No consensus, however, could be reached on a single likely risk
estimate. Therefore, the predicted benefits for the proposal ranged
from one to several thousands cases of cancer being avoided per year
after implementation of the Stage 1 DBPR. Despite, the uncertainty in
quantifying the benefits from the Stage 1 DBPR, the Reg. Neg. Committee
recognized that risks from chlorinated water could be large, and
therefore should be reduced. The Reg. Neg. Committee also recommended
that the proposed Stage 1 DBPR provided the best means for reducing
risks from DBPs until better information become available.
For a more detailed discussion of the cost and benefit analysis of
the 1994 proposed DBPR refer to the preamble of the proposed rule (EPA,
1994a) and the RIA for the proposed rule (EPA, 1994i).
2. Factors Affecting Changes to the 1994 RIA
a. Changes in Rule Criteria. Based on the new data reflecting the
feasibility of enhanced coagulation, as discussed previously, the
enhanced coagulation requirements were modified by decreasing the
percent TOC removal requirements by 5 percent for systems with low TOC
level waters (i.e., 2-4 mg/L TOC). These new percent TOC removal
requirements were used with new source and finished water TOC
occurrence data to revise the estimates for the number of systems
requiring enhanced coagulation.
The IESWTR was revised from the proposal to allow inactivation
credit for disinfection prior to and during stages of treatment for
precursor removal. Also, the proposed IESWTR was revised to include
disinfection benchmark criteria, in lieu of requiring treatment to an
acceptable risk level, to prevent increases in microbial risk while
systems complied with the Stage 1 DBPR. These two rule changes were
considered in revising the forecasts of compliance and changes in
exposure resulting from the Stage 1 DBPR.
b. New Information Affecting DBP Occurrence and Compliance
Forecasts. Since the rule was proposed, new sources of data have become
available that were used to update the 1994 RIA. The new data includes:
[[Page 69435]]
Updated costs for different treatment technologies (e.g.,
membranes) used in the DBP Cost and Technology Document, (EPA, 1998k);
1996 data from the AWWA Water Industry Data Base on TOC,
TTHM and HAA5 occurrence, and disinfection practices;
Plant schematics of treatment processes for ICR utilities;
Research data from numerous sources regarding the efficacy
of enhanced coagulation for precursor removal and resultant DBP
formation (Krasner, 1997; and EPA, 1997b);
New research results produced in jar tests by TWG members
documenting the effect of moving the point of predisinfection under
varying conditions (Krasner, 1997 and EPA, 1997b).
This new information has been described in the 1997 DBP NODA (EPA,
1997b). Public comments received in 1997, supported using the above
information in revising the decision tree analysis. Discussion on the
decision tree changes are in section IV.C of this preamble.
c. New Epidemiology Information. Since the proposal, EPA has
completed an reassessment of the Morris et al. (1992) meta-analysis
(Poole, 1997). Review of the meta-analysis indicated that the estimate
of cancer cases had limited utility for risk assessment purposes for
methodological reasons (EPA, 1998l and EPA, 1998m). EPA has decided not
to use the Morris et al. (1992) meta-analysis to estimate the potential
benefits from the Stage 1 DBPR. EPA has considered new epidemiology
studies conducted since the time of proposal and completed an
assessment of the potential number of bladder cancer cases that could
be attributed to exposure from chlorinated surface waters. Based on
this assessment of epidemiological studies, EPA estimates that between
1100-9300 bladder cancer cases per year could be attributed to exposure
to chlorinated surface waters (EPA, 1998c). Due to the wide uncertainty
in these estimates, the true number of attributable cases could also be
zero. The basis for these bladder cancer case estimates and potential
reductions in risk resulting from the Stage 1 DBPR is discussed further
in the benefits and net benefits sections that follow.
C. Cost Analysis
National cost estimates of compliance with the Stage 1 DBPR were
derived from estimates of utility treatment costs, monitoring and
reporting costs, and start-up costs. Utility treatment costs were
derived using compliance forecasts of technologies to be used and unit
costs for the different technologies.
1. Revised Compliance Forecast
The TWG, supporting the M-DBP Advisory Committee, used the 1996
AWWA Water Industry Data Base (WIDB) to reevaluate the compliance
decision tree used in the RIA for the 1994 proposal. The WIDB provided
occurrence data on TOC level in raw water and finished water, TTHM and
HAA5 levels within distribution systems, and information on
predisinfection practices.
The above information was used to predict treatment compliance
choices that plants would likely make under the Stage 1 DBPR. Table IV-
1 illustrates how the compliance forecast changed for large systems
using surface water since the time of proposal.
Table IV-1.--Comparisons of Compliance Forecasts for Surface Water Systems Serving 10,000 Population
From the 1994 Proposal and Final Rule
----------------------------------------------------------------------------------------------------------------
1994 1998
Treatment -----------------------------------------------------
# systems % systems # systems % systems
----------------------------------------------------------------------------------------------------------------
(A) No Further Treatment.................................. 386 27.7 544 39.0
(B) Chlorine/Chloramines.................................. 41 2.9 231 16.6
(C) Enhanced Coagulation + Chloramines.................... 136 9.7 265 19.0
(D) Enhanced Coagulation + Chlorine....................... 600 43.0 265 19.0
(E) Ozone, Chlorine Dioxide, Granular Activated Carbon,
Membranes................................................ 232 16.6 90 6.5
-----------------------------------------------------
Total *............................................... 1,395 100 1,395 100
----------------------------------------------------------------------------------------------------------------
* May not add to total due to independent rounding.
Notable is that the percentage of systems predicted to use advanced
technologies (ozone, chlorine dioxide, GAC, or membrane) dropped from
17 percent to 6.5 percent since proposal, and the percentage of systems
not affected by the rule increased from 28 percent to 39 percent. This
shift in predicted compliance choices is mainly attributed to less
stringent disinfection requirements under the IESWTR which would reduce
the formation of DBPs and reduce the number of systems requiring
treatment to meet the Stage 1 DBPR. It also appears that a substantial
number of systems may have already made treatment changes to comply
with the 1994 proposed rule.
Table IV-2 illustrates how the compliance forecast changed for
small systems using surface water since the time of proposal. As for
large systems, the percentage of systems predicted to use advanced
technologies dropped substantially, from 17 percent to 6.5 percent.
This drop in use of advanced technology (i.e., ozone/chloramines and
membrane technologies) is attributed to the change in the IESWTR (as
described above) from the time of proposal. However, unlike for large
systems, the overall percentage of systems predicted to require
treatment modifications did not change. A higher percentage of small
systems (70 percent) are predicted to be affected than large systems
(61 percent) because previously smaller systems did not have to comply
with a TTHM standard.
[[Page 69436]]
Table IV-2.--Comparison of Compliance Decision Tree for Surface Water Systems Serving <10,000 population="" from="" the="" 1994="" proposal="" and="" final="" rule="" ----------------------------------------------------------------------------------------------------------------="" 1994="" 1998="" -----------------------------------------------------="">10,000># systems % systems # systems % systems
----------------------------------------------------------------------------------------------------------------
No Further Treatment...................................... 1,549 30 1,549 30
Number of Affected Systems................................ 3,615 70 3,615 70
Treatment:
Chlorine/Chloramine................................... 155 3.0 826 16.0
Enhanced Coagulation.................................. 2,169 42.0 1,983 38.4
Enhanced Coagulation/Chloramine....................... 465 9.0 465 9.0
Ozone/Chloramine...................................... 258 5.0 184 3.6
Enhanced Coagulation+Ozone, Chloramine................ 258 5.0 0 0
Membranes............................................. 310 6.0 157 3.0
----------------------------------------------------------------------------------------------------------------
Table IV-3 illustrates the compliance forecast for ground water
systems. This forecast did not change from the time of proposal. A
smaller percentage of small ground water systems are anticipated to
need treatment changes (12 percent) than large ground water systems (15
percent) because the use of disinfectants is more prevalent in large
versus small ground water systems.
Table IV-3.--Compliance Decision Tree for All Ground Water Systems
----------------------------------------------------------------------------------------------------------------
Systems <10,000 systems="">10,000>10,000
-------------------------
# systems % systems # systems % systems
----------------------------------------------------------------------------------------------------------------
No Further Treatment........................................ 59,847 88 1,122 85
Percentage of Affected Systems.............................. 8,324 12 198 15
Treatment:
Chlorine/Chloramine..................................... 5,403 8 119 9
Ozone/Chloramine........................................ 0 0 26 2
Membranes............................................... 2,921 4 53 4
----------------------------------------------------------------------------------------------------------------
2. System Level Unit Costs
Tables IV-4 and IV-5 present the unit cost estimates in 1998
dollars that were utilized for each of the different treatment
technologies in each system size category. Unit costs are presented in
$ per 1000 gallons which includes operation and maintenance costs and
amortized capital costs (using a 7% discount rate and a 20 year
amortization period). One dollar per thousand gallons equates to
approximately $100 per household per year as an average for communities
in the U.S. More detailed information on these unit costs is available
from the EPA's Cost and Technology Document (EPA, 1998k).
Table IV-4.--Surface Water Systems Costs for DBP Control Technologies ($/Kgal) at 7% Cost of Capital
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Population size category
-----------------------------------------------------------------------------------------------------------------------------------
25-100 100-500 500-1K 1-3.3K 3.3-10K 10-25K 25-50K 50-75K 75-100K 100K-500K 500K-1M >1M
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Chlorine/Chloramine......................................... 0.71 0.19 0.06 0.03 0.03 0.02 0.01 0.01 0.01 0.01 0.01 0.01
Enhanced Coagulation (EC)................................... 0.15 0.13 0.12 0.11 0.09 0.08 0.07 0.07 0.07 0,07 0.06 0.06
EC/Chloramine............................................... 0.87 0.32 0.18 0.14 0.12 0.09 0.08 0.08 0.08 0.07 0.07 0.07
Ozone/Chloramine............................................ 12.67 3.21 1.05 0.52 0.38 0.23 0.13 0.10 0.08 0.06 0.04 0.04
EC+Ozone, Chloramine........................................ 12.82 3.34 1.17 0.63 0.47 0.30 0.20 0.17 0.15 0.13 0.11 0.10
EC+GAC10.................................................... 6.24 2.43 1.21 0.81 0.59 0.46 0.37 0.35 0.29 0.24 0.19 0.16
EC+GAC20.................................................... 14.11 5.87 3.45 2.45 1.87 1.48 1.05 1.00 0.90 0.64 0.48 0.41
Chlorine Dioxide............................................ 24.33 5.73 1.65 0.64 0.24 0.11 0.07 0.07 0.06 0.05 0.04 0.04
Membranes................................................... 3.40 3.47 3.39 2.65 1.72 0.96 0.96 0.87 0.87 0.87 0.87 0.87
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Table IV-5.--Ground Water Systems Costs for DBP Control Technologies ($/Kgal) at 7% Cost of Capital
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Population size category
-----------------------------------------------------------------------------------------------------------------------------------
25-100 100-500 500-1K 1-3.3K 3.3-10K 10-25K 25-50K 50-75K 75-100K 100K-500K 500K-1M >1M
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Chlorine/Chloramine......................................... 0.72 0.19 0.06 0.03 0.03 0.02 0.01 0.01 0.01 0.01 0.01 0.01
Ozone/Chloramine............................................ 12.67 3.21 1.05 0.52 0.38 0.23 0.13 0.10 0.08 0.06 0.04 0.04
Membranes................................................... 3.41 3.47 3.39 2.65 1.72 0.96 0.96 0.87 0.87 0.87 0.87 0.87
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
3. National Costs
Table IV-6 provides a detailed summary of national costs in 1998
dollars under the Stage 1 DBPR for different cost of capital
assumptions under a 20 year amortization period. A cost of capital rate
of 7 percent was used to calculate the unit costs for the national
compliance cost model. This rate represents the standard discount rate
preferred by OMB for benefit-cost analyses of government programs and
regulations. The 3 percent and 10 percent rates are provided as a
sensitivity analysis to show different assumptions about the cost of
capital that would affect estimated
[[Page 69437]]
costs. The 10 percent rate also provides a link to the 1994 Stage 1
DBPR cost analysis which was based on a 10 percent rate. EPA believes
that the cost estimates presented in Table IV-6 are probably within +/
-30 percent. Uncertainty around the cost estimates pertain to
compliance forecast estimates, unit cost estimates for the different
technologies as they may pertain to individual sites, and estimated
costs associated with monitoring.
Table IV-6.--Summary of Costs Under the Stage 1 DBPR ($000)
--------------------------------------------------------------------------------------------------------------------------------------------------------
Surface water systems Ground water systems
Utilities Costs ------------------------------------------------------------------------------ All systems
Small Large Total Small Large Total
--------------------------------------------------------------------------------------------------------------------------------------------------------
Summary of Costs at 3 Percent Cost of Capital
--------------------------------------------------------------------------------------------------------------------------------------------------------
Treatment Costs
Total Capital Costs.......................................... 242,652 554,564 797,216 997,537 528,539 1,526,076 2,323,292
Annual O&M................................................... 23,068 201,308 224,376 83,910 54,243 137,153 362,530
Annualized Capital Costs..................................... 16,326 37,161 53,487 67,287 35,618 102,905 156,392
Annual Utility Treatment Costs............................... 39,394 238,469 277,863 151,197 89,861 240,058 518,922
Monitoring and Reporting Cost:
Start-Up Costs........................................... 59 28 87 674 26 700 787
Annual Monitoring........................................ 10,867 14,619 25,486 38,803 26,326 65,129 90,615
State Costs:
Start-Up Costs........................................... ........... ........... ........... ........... ........... ........... 2,919
Annual Monitoring........................................ ........... ........... ........... ........... ........... ........... 13,243
------------------------------------------------------------------------------------------
Total Annual Costs at 3 Percent Cost of Capital...... ........... ........... ........... ........... ........... ........... 626,486
--------------------------------------------------------------------------------------------------------------------------------------------------------
Summary of Costs at 7 Percent Cost of Capital
--------------------------------------------------------------------------------------------------------------------------------------------------------
Total Capital Costs.......................................... 242,652 554,564 797,216 997,537 528,539 1,526,076 2,323,292
Annual O&M................................................... 23,068 201,308 224,376 83,910 54,243 137,153 362,530
Annualized Capital Costs..................................... 22,786 62,355 85,141 94,403 50,046 144,499 229,590
Annual Utility Treatment Costs............................... 45,855 263,663 309,518 178,313 104,289 282,602 592,120
Monitoring and Reporting Cost:
Start-Up Costs........................................... 82 39 121 946 36 982 1,103
Annual Monitoring........................................ 10,867 14,619 25,486 38,803 26,326 65,129 90,615
--------------------------------------------------------------------------------------------------------------------------------------------------------
State Costs:
Start-Up Costs........................................... ........... ........... ........... ........... ........... ........... 4,099
Annual Monitoring........................................ ........... ........... ........... ........... ........... ........... 13,243
------------------------------------------------------------------------------------------
Total Annual Costs at 7 Percent Cost of Capital...... ........... ........... ........... ........... ........... ........... 701,180
--------------------------------------------------------------------------------------------------------------------------------------------------------
Summary of Costs at 10 Percent Cost of Capital
--------------------------------------------------------------------------------------------------------------------------------------------------------
Total Capital costs.......................................... 242,652 554,564 797,216 997,537 528,539 1,526,076 2,323,292
Annual O&M................................................... 23,068 201,308 224,376 83,910 54,243 137,153 362,530
Annualized Capital Costs..................................... 28,423 74,639 103,062 117,328 62,522 179,850 282,912
Annual Utility Treatment Costs............................... 51,491 275,947 327,438 201,238 116,765 317,003 645,442
Monitoring and Reporting Cost:
Start-Up Costs........................................... 102 48 150 1,177 45 1,222 1,372
Annual Monitoring........................................ 10,867 14,619 25,486 38,803 26,326 65,129 90,615
State Costs:
Start-Up Costs........................................... ........... ........... ........... ........... ........... ........... 5,100
Annual Monitoring........................................ ........... ........... ........... ........... ........... ........... 13,243
------------------------------------------------------------------------------------------
Total Annual Costs at 10 Percent Cost of Capital..... ........... ........... ........... ........... ........... ........... 755,772
--------------------------------------------------------------------------------------------------------------------------------------------------------
The total national costs of the final Stage 1 DBPR are less than
estimated in the RIA for the proposed rule in 1994. The estimated
capital costs of the 1994 proposal in 1998 dollars is $4.97 billion and
the total annual cost (assuming a 10 percent cost of capital as was
assumed in 1994) is $1.3 billion. The drop in national costs from the
1994 proposal is mainly attributed to the lowering of the number of
surface water systems anticipated to need advanced technologies and
lower membrane technology costs as described above.
D. Benefits Analysis
1. Exposure Assessment
A large portion of the U.S. population is exposed to DBPs via
drinking water. Over 200 million people in the U.S. are served by PWSs
which apply a disinfectant (e.g., chlorine) to water in order to
provide protection against microbial contaminants. Because of the large
number of people potentially exposed to DBPs, there is a substantial
concern for any health risks which may be associated with exposure to
DBPs.
Several factors are necessary to assess the exposure to DBPs: the
size of the population potentially at risk; the method and rate of
ingestion; and the concentration of DBPs in drinking
[[Page 69438]]
water. Because DBPs are formed in drinking water by the reaction of
disinfectants with natural organic and inorganic matter, the population
at risk is identified as the population served by drinking water
systems that disinfect. The population served by each of four system
categories, taken from recent Safe Drinking Water Act Information
System data (SDWIS) is estimated in Table IV-7. Based on recent
information from SDWIS, it was assumed that all surface water systems
disinfect and a portion of ground water systems disinfect (95 percent
by population among large systems and 83 percent by population among
small systems). Approximately 239 million persons are estimated to be
served by water systems that disinfect and are potentially exposed to
DBPs. This widespread exposure represents over 88 percent of the total
U.S. population (270 million). The route of exposure is through
drinking disinfected tap water.
Table IV-7.--Population Potentially Exposed to DBPs
----------------------------------------------------------------------------------------------------------------
% of
population Population
Population receiving served by
served disinfected systems that
water disinfect
----------------------------------------------------------------------------------------------------------------
Large Surface Water: >10,000 persons............................ 141,297,000 100 141,297,000
Small Surface Water: <10,000 persons............................="" 17,232,000="" 100="" 17,232,000="" large="" ground="" water:="">10,000 persons............................. 56,074,000 95 53,270,300
Small Ground Water: < 10,000="" persons............................="" 32,937,000="" 83="" 27,337,710="" -----------------------------------------------="" total.......................................................="" ..............="" ..............="" 239,137,010="" ----------------------------------------------------------------------------------------------------------------="" in="" general,="" little="" data="" are="" available="" on="" the="" occurrence="" of="" dbps="" on="" a="" national="" basis.="" although="" there="" is="" sufficient="" occurrence="" data="" available="" for="" thms="" in="" large="" water="" systems="" to="" develop="" a="" national="" occurrence="" distribution="" for="" that="" subset="" of="" systems,="" data="" are="" limited="" for="" small="" water="" systems.="" similarly,="" some="" occurrence="" data="" for="" haa5="" are="" available="" for="" large="" surface="" water="" systems,="" but="" not="" small="" surface="" water="" and="" groundwater="" systems.="" 2.="" baseline="" risk="" assessment="" based="" on="" tthm="" toxicological="" data="" epa="" performed="" a="" quantitative="" risk="" assessment="" using="" the="" dose-="" response="" information="" on="" thms.="" this="" assessment,="" however,="" captures="" only="" a="" portion="" of="" the="" potential="" risk="" associated="" with="" dbps="" in="" drinking="" water.="" it="" is="" not="" possible,="" given="" existing="" toxicological="" and="" exposure="" data,="" to="" gauge="" how="" much="" of="" the="" total="" cancer="" risk="" associated="" with="" the="" consumption="" of="" chlorinated="" drinking="" water="" is="" posed="" by="" tthms="" alone.="" an="" assessment="" of="" thms,="" however,="" provides="" some="" estimation="" of="" the="" potential="" human="" risk,="" albeit="" limited.="" performing="" the="" risk="" assessment="" based="" on="" tthm="" toxicological="" data="" requires="" making="" several="" assumptions="" and="" extrapolations="" (from="" a="" nonhuman="" species="" to="" humans,="" from="" high="" doses="" in="" the="" laboratory="" study="" to="" lower="" environmental="" exposures,="" and="" from="" a="" nondrinking="" water="" route="" to="" the="" relevant="" route="" of="" human="" exposure).="" assumptions="" are="" also="" made="" about="" the="" occurrence="" of="" tthms="" and="" the="" individual="" dbps.="" epa="" estimated="" the="" pre-="" stage="" 1="" dbpr="" tthm="" concentration="" levels="" by="" calculating="" a="" weighted="" average="" (based="" on="" populations="" receiving="" disinfected="" waters)="" of="" tthm="" levels="" among="" the="" different="" system="" type="" categories="" described="" in="" table="" iv-7.="" tthm="" levels="" among="" systems="" serving="" greater="" than="" 10,000="" people="" were="" estimated="" based="" on="" average="" concentrations="" among="" systems="" in="" awwa's="" widb.="" tthm="" levels="" in="" systems="" serving="" less="" than="" 10,000="" people="" were="" estimated="" through="" modeling.="" modeling="" consisted="" of="" applying="" tthm="" predictive="" equations="" to="" estimates="" of="" dbp="" precursor="" levels="" and="" treatment="" conditions.="" the="" mean="" weighted="" average="" baseline="" tthm="" concentrations="" among="" all="" the="" system="" type="" categories="" was="" 44="">g/L.
Occurrence data from an EPA DBP field study indicate that
chloroform is the most common THM (in general, about 70 percent of
total THMs), with bromoform being the least common (1 percent).
Bromodichloromethane has an occurrence of approximately 20 percent of
the total THMs, with dibromochloromethane comprising the final 8
percent of the total THMs. In the absence of more detailed occurrence
data, these proportions are used to divide the average TTHM
concentration into the concentration for the four individual compounds.
Two estimates of risk factors were used to estimate the cancer
incidence. The first set of lifetime unit risk factors represent the
upper 95 percent confidence limit of the dose-response function. The
second estimate of lifetime unit risk is the maximum likelihood
estimate used in the 1994 analysis that represents the central tendency
of the dose-response function (Bull, 1991). The annual unit risk is
calculated by dividing the lifetime risk by a standard assumption of 70
years per lifetime. To calculate the annual incidence of cancer due to
consumption of TTHMs in drinking water, the annual drinking water unit
risk is multiplied by the number of units, in this case the
concentration of TTHMs in g/L, broken out into individual THMs
based on the proportions presented above. Based on these cancer risk
estimates derived from laboratory animal studies, the annual 95th
percentile upper bound number of cancer cases attributable to TTHMs is
approximately 100. This means that there is a 95 percent chance that
the annual number of cases are less than or equal to 100. Using the
maximum likelihood or ``best'' estimates, the annual number of cancer
cases is about 2.
3. Baseline Analysis Based on Epidemiology Data
Epidemiological studies can be used to assess the overall
population risk associated with a particular exposure. Since the late
1970s, epidemiological investigations have attempted to assess whether
chlorinated drinking water contributes to the incidence of bladder,
colon, rectal, and other cancers. Several studies have reported a weak
association between bladder cancer and exposure to chlorinated drinking
water, but a causal relationship has not been confirmed (Freedman, et
al., 1997).
Several cancer epidemiological studies examining the association
between exposure to chlorinated surface water and cancer were published
subsequent to the 1994 proposed rule and the 1992 meta-analysis. In
general, these new studies are better designed than the studies
published prior to the 1994 proposal. The new studies include incidence
of disease, interviews with the study subjects, and better exposure
assessments. More evidence is available
[[Page 69439]]
on bladder cancer for a possible association to exposure to chlorinated
surface water than other cancer sites. Because of the limited data
available for other cancer sites such as colon and rectal cancer, the
RIA focuses on bladder cancer.
Based on the best studies, a range of potential risks was developed
through the use of the population attributable risk (PAR) concept.
Epidemiologists use PAR to quantify the fraction of disease burden in a
population (e.g., bladder cancer) that could be eliminated if the
exposure (e.g., chlorinated drinking water) was absent. PAR (also
referred to as attributable risk, attributable portion, or etiologic
fraction) provides a perspective on the potential magnitude of risks
associated with various exposures under the assumption of causality.
For example, the National Cancer Institute estimates that there will be
54,500 new cases of bladder cancer in 1997. If data from an
epidemiological study analyzing the impact of consuming chlorinated
drinking water reports a PAR of 1 percent, it can be estimated that 545
(54,500 x .01) bladder cancer cases in 1997 may be attributable to
chlorinated drinking water.
Under the Executive Order #12866 that requires EPA to conduct a
RIA, EPA has chosen to estimate an upper bound bladder cancer risk
range for chlorinated drinking water using the PAR. EPA suggested this
approach in the 1998 NODA (EPA, 1998a). While EPA recognizes the
limitations of the current epidemiologic data base for making these
estimates, the Agency considers the data base reasonable for use in
developing an upper bound estimate of bladder cancer risk for use in
the RIA. In light of the toxicological evidence, EPA recognizes that
the risks from chlorinated drinking water may be considerably lower
than those derived from the currently available epidemiological
studies. EPA selected studies for inclusion in the quantitative
analysis if they contained the pertinent data to perform a PAR
calculation and met all three of the following criteria:
1. The study was a population-based, case-control, or cohort study
conducted to evaluate the relationship between exposure to chlorinated
drinking water and incidence of cancer cases, based on personal
interviews; (all finally selected studies were population-based, case-
control studies)
2. The study was of high quality and well designed (e.g., adequate
sample size, high response rate, adjusted for known confounding
factors); and,
3. The study had adequate exposure assessments (e.g., residential
histories, actual THM data).
Using the above criteria, five bladder cancer studies were selected
for estimating the range of PARs.
Cantor, et al., 1985;
McGeehin, et al., 1993;
King and Marrett, 1996;
Freedman, et al., 1997; and
Cantor, et al., 1998.
The PARs from the five bladder cancer studies ranged from 2 percent
to 17 percent. These values were derived from measured risks (Odds
Ratio and Relative Risk) based on the number of years exposed to
chlorinated surface water. Because of the uncertainty in these
estimates, it is possible that the PAR could also be zero. The
uncertainties associated with these PAR estimates are large due to the
common prevalence of both the disease (bladder cancer) and exposure
(chlorinated drinking water).
In order to apply these PAR estimates to the U.S. population to
estimate the number of bladder cancer cases attributable to DBPs in
drinking water, a number of assumptions must be made. These include:
(1) that the study populations selected for each of the cancer
epidemiology studies are reflective of the entire population that
develops bladder cancer; (2) that the percentage of those cancer cases
in the studies exposed to chlorinated drinking water are reflective of
the bladder cancer cases in the U.S.; (3) that DBPs were the only
carcinogens in these chlorinated surface waters; and (4) that the
relationship between DBPs in chlorinated drinking water exposure and
bladder cancer is causal.
The last of these assumptions is perhaps the most open to question.
As noted in the March 1998 NODA, the results of the studies are
inconsistent. In light of these concerns, the Agency agrees that
causality between exposure to chlorinated water and bladder cancer has
not been established and that the number of cases attributable to such
exposures could be zero.
Based on the estimate of 54,500 new bladder cancer cases per year
nationally, as projected by the National Cancer Institute for 1997, the
numbers of possible bladder cancer cases per year potentially
associated with exposures to DBPs in chlorinated drinking water
estimated from the five studies range from 1,100 (0.02 x 54,500) to
9,300 (.17 x 54,500) cases. As noted above, due to the uncertainty in
these estimates, the number of cases could also be zero. In making
these estimates it is necessary to assume that these bladder cancer
cases are attributed to DBPs in chlorinated surface water, even though
the studies examined the relationship between chlorinated surface water
and bladder cancer. This derived range is not accompanied by confidence
intervals (C.Is), but the C.Is. are likely to be very wide. EPA
believes that the mean risk estimates from each of the five studies
provides a reasonable estimate of the potential range of risk suggested
by the different epidemiological studies. Table IV-8 contains a summary
of the risk estimates from the 1994 draft RIA and the estimates derived
from the more recent analysis.
A related analysis based on odds ratios was conducted to derive a
range of plausible estimates for cancer epidemiologic studies (EPA,
1998n). This analysis was also based on bladder cancer studies (the
five studies cited above in addition to Doyle et al. 1997). For the
purpose of this exercise, the annual U.S. expected number of 47,000
bladder cancers cited by Morris et al.(1992) was used to calculate
estimates of the cancers prevented. The number of cancers attributable
to DBP exposure was estimated not to exceed 2,200-9,900 per year and
could include zero. As would be expected from related analysis
performed in the same data, this range is similar to the 1,100-9300 PAR
range. EPA has used the 1100-9300 PAR range for the RIA.
Table IV-8.--Number of Cancer Cases Attributable to DBPs: Comparison of Estimates in 1994 and 1998
--------------------------------------------------------------------------------------------------------------------------------------------------------
1994 estimates 1998 estimates
--------------------------------------------------------------------------------------------------------------------------------------------------------
Number of New Bladder Cancer Cases/Year. Approx. 50,000.............................. 54,500.
Number of Estimated Deaths Due to Did not state............................... 12,500.
Bladder Cancer/Year.
Attributable to DBPs in Drinking Water
Data Source............................. >15 studies................................. 5 studies that meet specific criteria.
Causality............................... No.......................................... No.
Percent Attributable to DBPs............ Did not state............................... 2% to 17%.
[[Page 69440]]
Number of Cancer Cases Attributable to
DBPs:
Estimated Using Toxicological Data.. Less than 1*................................ Zero to 100.**
Estimated Using Epidemiological Data Over 10,000***.............................. Zero to 9,300.****
--------------------------------------------------------------------------------------------------------------------------------------------------------
* Based on maximum likelihood estimates of risk from THMs.
** Based on IRIS 95th percent C.I. estimates of risk from THMs.
*** Indicates rectal and bladder cancer cases.
**** Indicates only bladder cancer cases.
The current benefits analysis is structured in roughly the same
manner as that presented in the 1994 RIA. The baseline cancer risks
could lie anywhere from zero to 100 cases per year based on
toxicological data; and zero to 9,300 cases per year based on
epidemiological data. Consequently, the task is to assess the economic
benefit of the final Stage 1 DBPR in the face of this broad range of
possible risk.
4. Exposure Reduction Analysis
EPA predicted exposure reductions due to the current Stage 1 DBPR
relative to the present baseline. EPA used the concentration of TTHMs
as a marker to measure the exposure to the range of DBPs because data
are available on the baseline occurrence and formation of TTHMs. There
are limited data on the total mix of byproducts in drinking water.
Therefore, the reduction in TTHMs is assumed to reflect the reduction
in exposure to all DBPs. To determine the change in exposure, it is
necessary to estimate the pre-Stage 1 baseline average TTHM
concentration and the post Stage 1 average TTHM concentration. The
difference in the pre-and post-Stage 1 TTHM concentrations reflect the
potential reduction in TTHMs and thus in DBPs.
As described previously, the estimated pre-Stage 1 TTHM weighted
average concentration is 44 g/L for all system sizes and types
of systems. The post Stage 1 TTHM concentrations for each system
category were estimated based on the technology compliance forecasts
previously discussed and estimated reductions in TTHM levels depending
upon technology. The post-Stage 1 TTHM weighted average concentration
is estimated at 33 g/L. This represents a 24 percent reduction
in TTHM levels resulting from the Stage 1 DBPR. Further details of the
above analysis is described in the RIA for the Stage 1 DBPR (USEPA,
1998g).
5. Monetization of Health Endpoints
The range of potential benefits from the Stage 1 DBPR can be
estimated by applying the monetary values for fatal and nonfatal
bladder cancer cases with the estimate of the number of bladder cancer
cases reduced by the rule. The following assumptions are used to
estimate the range of potential benefits:
An estimate of the number of bladder cancer cases
attributable to DPBs in drinking water ranging from 0 to 9,300
annually.
A 24 percent reduction in exposure to TTHMs due to the
Stage 1 DBPR (75 percent CI of 19 to 30 percent) will result in an
equivalent reduction in bladder cancer cases
A value per statistical life saved for fatal bladder
cancers represented by a distribution with a mean of $5.6 million
A willingness to pay to avoid a nonfatal case of bladder
cancer represented by a distribution with a mean of $587,500
Using the low end of the risk range of 0 bladder cancer cases
attributable to DBPs results in a benefits estimate of $0. To calculate
the high end of the range, the 9,300 estimate of attributable cases is
multiplied by the percent reduction in exposure to derive the number of
bladder cancer cases reduced (9,300 x .24 = 2,232 bladder cancer
cases reduced). This assumes a linear relationship between reduction in
TTHMs concentrations and reduction in cancer risk (e.g., 24 percent
reduction in TTHMs concentration is associated with a 24 percent
reduction in cancer risk). Assuming 23 percent of the bladder cancer
cases end in fatality and 77 percent are nonfatal, the number of fatal
bladder cancer cases reduced is 513 (2,232 x .23) and the number of
nonfatal bladder cancer cases is 1,719 (2,232 x .77). Based on the
valuation distributions described above, the estimate of benefits at
the mean associated with reducing these bladder cancer cases is
approximately $4 billion. It should be noted that these estimates do
not include potential benefits from reducing other health effects (e.g,
colon/rectal cancer and reproductive endpoints) that cannot be
quantified at this time. As a result, EPA believes that the potential
benefits discussed in today's rule may be a substantial underestimate
of potential benefits that will be realized as a consequence of today's
action. While the low end of the range cannot extend below $0, it is
possible that the high end of the range could extend beyond $4 billion
if the other reductions in risk could be quantified and monetized. No
discount factor has been applied to these valuations, although there is
likely to be a time lag between compliance with the rule and the
realization of benefits.
Given this wide range of potential benefits and the uncertainty
involved in estimating the risk attributable to DBPs, EPA undertook
five different approaches to assessing the net benefits of the Stage 1
DBPR. These approaches are described in the net benefits section and
should be considered both individually and in the aggregate.
E. Net Benefits Analysis
The potential economic benefits of the Stage 1 DBPR derive from the
increased level of public health protection and associated decreased
level of risk. The quantification of the benefits resulting from DBP
control is complicated by the uncertainty in the understanding of the
health risks. Epidemiological studies, referred to previously, suggest
an association between bladder cancer and exposure to chlorinated
surface water; however, these risks are uncertain. The lowest estimate
in the selected epidemiological studies of the number of new bladder
cancer cases per year attributable to chlorinated surface water is
1,100 cases, while the highest is 9,300 cases. EPA recognizes that
while these risks may be real, they also could be zero. Assessment of
risks based only on toxicological data for THMs, indicate a much lower
risk (2 cancer cases per year at the most likely estimate, to about 100
cases per year using the 95 percent confidence level upper bound), but
THMs represent only a few of the many DBPs in drinking water.
EPA explored several alternative approaches for assessing the
benefits of the Stage 1 DBPR: Overlap of Benefit and Cost Estimates;
Minimizing Total Social Losses; Breakeven Analysis;
[[Page 69441]]
Household Costs; and Decision-Analytic Model. A summary of the analysis
of each approach is presented below. More detailed descriptions are
described in the RIA (USEPA, 1998g).
Overlap of Benefit and Cost Estimates. One method to characterize
net benefits is to compare the relative ranges of benefits and costs.
Conceptually, an overlap analysis tests whether there is enough of an
overlap between the range of benefits and the range of costs for there
to be a reasonable likelihood that benefits will exceed costs. In a
theoretical case where the high end of the range of benefits estimates
does not overlap the low end of the range of cost estimates, a rule
would be difficult to justify based on traditional benefit-cost
rationale.
For the Stage 1 DBPR, the overlap analysis (Figures IV-1a and IV-
1b) show that there is substantial overlap in the estimates of benefits
and costs. The range of quantified benefits extends from zero to over
$4 billion. The zero end of the range of estimated benefits represents
the possibility that there is essentially no health benefit from
reducing exposure to DBPs. The other end of the range assumes there are
9,300 bladder cancer cases per year attributable to DBPs and there is a
24 percent annual reduction in exposure with the promulgation of the
rule, resulting in avoidance of 2,232 cases. Assuming that number of
avoided cases, approximately 513 would have been fatalities and would
result in a cost savings of approximately $3 billion (each avoided
fatality results in a cost savings of $5.6 million). Additionally,
1,719 non-fatal cases avoided would result in a cost savings of
approximately $1 billion (each avoided non-fatal case results in a cost
savings of $0.6 million). The sum of the cost savings is approximately
$4 billion. The high end of the benefits range could potentially be
higher if other health damages are avoided. The range of cost estimates
is significantly smaller, ranging from $500 million to $900 million
annually. Although these cost estimates have uncertainty, the degree of
uncertainty is of little consequence to the decisions being made given
the scale of the uncertainty for the benefits.
Figure IV-1b, on the other hand, indicates that while the
quantified benefits could exceed the costs, there is the possibility
that there could be negative net benefits if there were no health
benefits.
BILLING CODE 6560-50-U
[[Page 69442]]
Figure IV-1a Overlap of Estimated Benefits and Costs of the Stage 1
DBPR
Figure IV-1b Overlap of the Ranges of the Estimated Benefits and
Costs of the Stage 1 DBPR
[GRAPHIC] [TIFF OMITTED] TR16DE98.003
BILLING CODE 6560-50-C
[[Page 69443]]
Minimizing Total Social Losses Analysis. Minimizing Total Social
Losses analysis, sometimes called ``minimizing regrets'' analysis, is a
decision-aiding tool that is suited for use in situations where it is
impossible to pin down the exact nature and extent of a risk. The basic
premise of Minimizing Total Social Losses analysis is to estimate total
social costs for policy alternatives over a range of plausible risk
scenarios. The actual, or ``true'' risk is unknowable, so instead this
analysis asks what range and level of risks could be true, and then
evaluates the total costs to society if particular risk levels within
that range turned out to be the ``true'' value. Total social costs
include both the cost to implement the policy option, plus costs
related to residual (i.e., remaining) health damages at each risk level
after implementation of the policy option.
Under this analysis the ``total social costs'' (water treatment
costs plus costs of health damages still remaining after treatment) are
calculated for three regulatory alternatives (No Action, Stage 1, and
Strong Intervention--otherwise known as the proposed Stage 2
requirements of the 1994 proposal) across a range of risk scenarios (< 1;="" 100;="" 1,000;="" 2,500;="" 5,000;="" 7,500;="" and="" 10,000="" attributable="" bladder="" cancer="" cases="" annually).="" total="" social="" costs="" for="" each="" regulatory="" alternative="" for="" different="" risk="" assumptions="" are="" presented="" in="" table="" iv-9.="" the="" results="" indicate="" that="" the="" stage="" 1="" dbpr="" has="" the="" least="" social="" cost="" among="" the="" three="" alternatives="" analyzed="" across="" the="" range="" of="" risks="" from="" 2,500="" through="" 7,500="" attributable="" bladder="" cancer="" cases="" annually.="" total="" ``social="" loss''="" for="" each="" risk="" scenario="" are="" also="" indicated="" in="" table="" iv-9.="" the="" ``social="" loss''="" is="" the="" cost="" to="" society="" of="" making="" a="" wrong="" choice="" among="" the="" regulatory="" alternatives.="" it="" is="" computed="" as="" the="" difference="" between="" the="" total="" social="" cost="" (water="" treatment="" cost="" plus="" remaining="" health="" damages)="" of="" an="" alternative="" at="" a="" given="" risk="" scenario="" and="" the="" total="" social="" cost="" of="" the="" best="" alternative="" (least="" total="" social="" cost="" alternative="" for="" that="" risk="" scenario).="" the="" regulatory="" alternatives="" across="" the="" different="" risk="" levels="" can="" also="" be="" compared="" to="" see="" which="" alternative="" minimizes="" the="" maximum="" potential="" loss.="" the="" best="" alternative,="" by="" this="" ``mini-max''="" criteria,="" would="" be="" the="" one="" in="" which="" the="" upper="" bound="" of="" potential="" losses="" is="" smallest.="" billing="" code="" 6560-50-u="" [[page="" 69444]]="" [graphic]="" [tiff="" omitted]="" tr16de98.004="" billing="" code="" 6560-50-c="" [[page="" 69445]]="" under="" the="" stage="" 1="" dbpr="" alternative,="" the="" worst="" loss="" that="" could="" happen="" would="" occur="" if="" the="" lowest="" end="" of="" the="" risk="" range="" is="" true.="" this="" would="" result="" in="" total="" social="" losses="" of="" $0.7="" billion="" per="" year.="" it="" is="" concluded="" that="" the="" maximum="" potential="" loss="" of="" the="" stage="" 1="" alternative="" is="" smaller="" than="" that="" of="" no="" action="" ($4.1="" billion)="" by="" a="" factor="" of="" 6="" and="" smaller="" than="" that="" of="" strong="" intervention="" ($2.9="" billion)="" by="" a="" factor="" of="" 4.="" thus,="" the="" stage="" 1="" dbpr="" is="" the="" best="" of="" the="" 3="" alternatives="" at="" minimizing="" the="" maximum="" social="" loss.="" the="" 1994="" reg.="" neg.="" and="" 1997="" m-dbp="" advisory="" committees="" implicitly="" applied="" this="" type="" of="" ``minimizing="" maximum="" loss''="" framework="" when="" developing="" and="" evaluating="" the="" dbp="" regulatory="" options.="" in="" the="" face="" of="" large="" uncertainty="" regarding="" risk="" from="" dbps,="" they="" decided="" that="" a="" moderate="" response,="" relying="" on="" the="" more="" cost-effective="" of="" the="" available="" treatment="" methods="" was="" appropriate="" as="" an="" interim="" step="" until="" more="" information="" on="" risk="" becomes="" available.="" break="" even="" analysis.="" breakeven="" analysis="" represents="" another="" approach="" to="" assessing="" the="" benefits="" of="" the="" stage="" 1="" dbpr="" given="" the="" scientific="" uncertainties.="" breakeven="" is="" a="" standard="" benchmark="" of="" cost="" effectiveness="" and="" economic="" efficiency,="" and="" is="" essentially="" the="" point="" where="" the="" benefits="" of="" the="" stage="" 1="" dbpr="" are="" equal="" to="" the="" costs.="" normally,="" the="" benefits="" and="" costs="" of="" an="" option="" are="" calculated="" separately="" and="" then="" compared="" to="" assess="" whether="" and="" by="" what="" amount="" benefits="" exceed="" costs.="" in="" the="" case="" of="" the="" stage="" 1="" dbpr,="" independently="" estimating="" benefits="" is="" difficult,="" if="" not="" impossible,="" because="" of="" the="" 10,000-fold="" uncertainty="" surrounding="" the="" risk.="" instead,="" the="" breakeven="" analysis="" works="" backwards="" from="" those="" variables="" that="" are="" less="" uncertain.="" in="" this="" case,="" implementation="" costs="" for="" the="" rule="" and="" the="" monetary="" value="" associated="" with="" the="" health="" endpoints="" are="" used="" to="" calculate="" what="" baseline="" risk="" and="" risk="" reduction="" estimates="" are="" needed="" in="" order="" for="" the="" benefits,="" as="" measured="" in="" avoided="" health="" damages="" associated="" with="" bladder="" cancer,="" to="" equal="" the="" costs.="" two="" important="" concepts="" for="" this="" analysis="" are="" the="" cost="" of="" illness="" measure="" and="" the="" willingness-to-pay="" measure.="" the="" cost="" of="" illness="" measure="" includes="" medical="" costs="" and="" lost="" wages="" associated="" with="" being="" unable="" to="" work="" as="" a="" result="" of="" illness.="" in="" comparison,="" willingness-to-pay="" measures="" how="" much="" one="" would="" pay="" to="" reduce="" the="" risk="" of="" having="" all="" the="" discomfort="" and="" costs="" associated="" with="" nonfatal="" cancer="" if="" such="" an="" option="" existed.="" the="" main="" difference="" between="" these="" two="" methods="" is="" that="" willingness-to-="" pay="" incorporates="" pain="" and="" suffering,="" as="" well="" as="" changes="" in="" behavior="" into="" the="" valuation,="" while="" cost="" of="" illness="" does="" not.="" epa="" has="" estimated="" the="" cost="" of="" a="" non-fatal="" case="" of="" bladder="" cancer="" at="" $121,000="" using="" the="" cost="" of="" illness="" method,="" and="" at="" $587,500="" using="" the="" willingness-to-pay="" approach.="" assuming="" an="" annual="" cost="" of="" $701="" million="" and="" assumptions="" about="" the="" monetary="" value="" of="" preventing="" both="" fatal="" and="" nonfatal="" bladder="" cancer="" cases,="" the="" stage="" 1="" dbpr="" would="" need="" to="" reduce="" 438="" bladder="" cancer="" cases="" per="" year="" using="" the="" willingness-to-pay="" measure="" for="" nonfatal="" cancers="" or="" 574="" cases="" per="" year="" using="" the="" cost="" of="" illness="" measure.="" if="" exposure="" is="" reduced="" by="" 24="" percent,="" the="" baseline="" number="" of="" bladder="" cancer="" cases="" attributable="" to="" dbps="" in="" chlorinated="" drinking="" water="" required="" to="" break="" even="" would="" need="" to="" range="" from="" 1,820="" to="" 2,390="" new="" cases="" annually.="" although="" these="" values="" are="" well="" above="" the="" range="" indicated="" by="" existing="" toxicological="" data="" for="" thms="" alone,="" they="" fall="" within="" the="" attributable="" risk="" range="" suggested="" by="" the="" epidemiological="" studies.="" household="" cost="" analysis.="" a="" fourth="" approach="" for="" assessing="" the="" net="" benefits="" of="" the="" stage="" 1="" dbpr="" is="" to="" calculate="" the="" costs="" per="" household="" for="" the="" rule.="" household="" costs="" provide="" a="" common="" sense="" test="" of="" benefit/="" cost="" relationships="" and="" are="" another="" useful="" benchmark="" for="" comparing="" the="" willingness-to-pay="" to="" reduce="" the="" possible="" risk="" posed="" by="" dbps="" in="" drinking="" water.="" it="" is="" essentially="" a="" household="" level="" breakeven="" analysis.="" it="" works="" backwards="" from="" the="" cost="" to="" ask="" whether="" the="" implied="" amount="" of="" benefits="" (willingness-to-pay)="" needed="" to="" cover="" costs="" is="" a="" plausible="" amount.="" about="" 115="" million="" households="" are="" located="" in="" service="" areas="" of="" systems="" affected="" by="" the="" stage="" 1="" dbpr.="" of="" these="" households,="" 71="" million="" (62="" percent)="" are="" served="" by="" large="" surface="" water="" systems.="" approximately="" 4.2="" million="" (4="" percent)="" are="" served="" by="" small="" surface="" water="" systems.="" large="" ground="" water="" systems="" served="" 24="" million="" households="" (21="" percent)="" and="" small="" ground="" water="" systems="" serve="" 15.7="" million="" households="" (14="" percent).="" all="" of="" the="" households="" served="" by="" systems="" affected="" by="" the="" stage="" 1="" dbpr="" will="" incur="" some="" additional="" costs="" (e.g.,="" monitoring="" costs),="" even="" if="" the="" system="" does="" not="" have="" to="" change="" treatment="" to="" comply="" with="" the="" proposed="" rule.="" the="" costs="" calculated="" below="" include="" both="" monitoring="" and="" treatment="" costs.="" the="" cumulative="" distribution="" of="" household="" costs="" for="" all="" systems="" and="" by="" each="" system="" type="" is="" displayed="" in="" figures="" iv-2a,="" iv-2b,="" iv-2c.="" the="" distributions="" show="" that="" the="" large="" percentage="" of="" households="" will="" incur="" small="" additional="" costs,="" with="" a="" small="" portion="" of="" systems="" facing="" higher="" costs.="" at="" the="" highest="" end="" of="" the="" distribution,="" approximately="" 1,400="" households="" served="" by="" surface="" water="" systems="" in="" the="" 25-100="" size="" range="" switching="" to="" membrane="" technology="" will="" face="" an="" average="" annual="" cost="" increase="" of="" $400="" per="" year="" ($33="" per="" month).="" billing="" code="" 6560.50-u="" [[page="" 69446]]="" [graphic]="" [tiff="" omitted]="" tr16de98.005="" billing="" code="" 6560-50-c="" [[page="" 69447]]="" the="" households="" have="" been="" sorted="" into="" three="" cost="" categories="" for="" the="" ease="" of="" comparison="" (table="" iv-10).="" the="" first="" category="" includes="" households="" with="" a="" cost="" increase="" of="" less="" than="" $12="" per="" year,="" less="" than="" $1="" per="" month.="" the="" second="" category="" contains="" households="" with="" costs="" greater="" than="" $12="" per="" year,="" but="" less="" than="" $120="" per="" year="" ($10="" per="" month).="" the="" third="" category="" includes="" households="" with="" cost="" increases="" greater="" than="" $120="" per="" year="" to="" $400="" per="" year="" ($33="" per="" month).="" across="" all="" system="" categories="" (see="" figure="" iv-2a),="" 95="" percent="" of="" the="" households="" (110.1="" million)="" fall="" within="" the="" first="" category="" and="" will="" incur="" less="" than="" $1="" per="" month="" additional="" costs="" due="" to="" the="" stage="" 1="" dbpr.="" an="" additional="" 4="" percent="" (4.4="" million)="" are="" in="" the="" second="" category="" at="" between="" $1="" and="" $10="" per="" month="" cost="" increase="" and="" 1="" percent="" (1.0="" million)="" are="" in="" the="" highest="" category="" ($10-$33.40="" per="" month).="" for="" households="" served="" by="" large="" surface="" water="" systems="" (figure="" iv-="" 2b),="" 98="" percent="" will="" incur="" less="" than="" $1="" per="" month,="" 2="" percent="" will="" incur="" between="" $1="" and="" $10="" per="" month,="" and="" 0.03="" percent="" will="" incur="" greater="" than="" $10="" per="" month.="" the="" highest="" cost="" ($125="" annually,="" $10.40="" monthly)="" is="" faced="" by="" households="" served="" by="" systems="" in="" the="" 10,000="" to="" 25,000="" size="" range="" implementing="" membrane="" technology.="" for="" households="" served="" by="" small="" surface="" water="" systems="" (figure="" iv-="" 2c),="" 71="" percent="" will="" incur="" less="" than="" $1="" per="" month,="" 28="" percent="" will="" incur="" between="" $1="" and="" $10="" per="" month,="" and="" 1="" percent="" will="" incur="" greater="" than="" $10="" per="" month.="" the="" highest="" cost="" ($400="" annually,="" $33="" monthly)="" is="" faced="" by="" households="" served="" by="" systems="" in="" the="" 25-100="" size="" range="" implementing="" membrane="" technology.="" for="" households="" served="" by="" large="" ground="" water="" systems="" (figure="" iv-2b),="" 95="" percent="" will="" incur="" less="" than="" $1="" per="" month,="" 4="" percent="" will="" incur="" between="" $1="" and="" $10="" per="" month,="" and="" 1="" percent="" will="" incur="" greater="" than="" $10="" per="" month.="" the="" highest="" cost="" ($125="" annually,="" $10.40="" monthly)="" is="" faced="" by="" households="" served="" by="" systems="" in="" the="" 10,000="" to="" 25,000="" size="" range="" implementing="" membrane="" technology.="" for="" households="" served="" by="" small="" ground="" water="" systems="" (figure="" iv-2c),="" 91="" percent="" will="" incur="" less="" than="" $1="" per="" month,="" 5="" percent="" will="" incur="" between="" $1="" and="" $10="" per="" month,="" and="" 4="" percent="" will="" incur="" greater="" than="" $10="" per="" month.="" the="" highest="" cost="" ($357="" annually,="" $29.75="" monthly)="" is="" faced="" by="" households="" served="" by="" systems="" in="" the="" 25-100="" size="" range="" implementing="" membrane="" technology.="" billing="" code="" 6560-50-u="" [[page="" 69448]]="" [graphic]="" [tiff="" omitted]="" tr16de98.006="" [[page="" 69449]]="" [graphic]="" [tiff="" omitted]="" tr16de98.007="" [[page="" 69450]]="" [graphic]="" [tiff="" omitted]="" tr16de98.008="" billing="" code="" 6560-50-c="" [[page="" 69451]]="" in="" the="" small="" proportion="" of="" systems="" where="" household="" costs="" are="" shown="" to="" be="" much="" greater--up="" to="" several="" hundreds="" of="" dollars="" per="" year--these="" results="" are="" driven="" by="" the="" assumption="" that="" membrane="" technologies="" will="" be="" the="" selected="" treatment,="" as="" noted="" above.="" additionally,="" two="" points="" must="" be="" made:="" (1)="" a="" number="" of="" these="" systems="" may="" find="" less="" expensive="" means="" of="" compliance="" (e.g.,="" selection="" of="" alternative="" source="" water,="" purchased="" water,="" or="" consolidation="" with="" other="" systems);="" and="" (2)="" if="" these="" systems="" do="" install="" membranes,="" they="" may="" receive="" additional="" water="" quality="" and/or="" compliance="" benefits="" beyond="" those="" associated="" with="" dbps.="" for="" example,="" because="" membranes="" are="" so="" effective,="" systems="" that="" install="" membranes="" are="" likely="" to="" incur="" lower="" compliance="" costs="" for="" future="" rulemakings.="" given="" the="" uncertain="" nature="" of="" the="" risks="" associated="" with="" dbps,="" household="" costs="" provide="" a="" common="" sense="" estimate="" of="" willingness-to-pay="" to="" reduce="" the="" risks:="" would="" the="" average="" household="" (95="" percent="" of="" households)="" be="" willing="" to="" pay="" less="" than="" $1="" per="" month="" ($12="" per="" year)="" to="" reduce="" the="" potential="" risks="" posed="" by="" dbps?="" willingness="" to="" pay="" studies="" are="" not="" available="" to="" directly="" answer="" this="" question.="" taking="" the="" $1="" per="" month="" figure="" as="" a="" measure="" of="" implied="" public="" health="" benefit="" at="" the="" household="" level,="" it="" is="" useful="" to="" ask="" what="" benefits="" can="" be="" identified="" that="" could="" balance="" a="" $1="" per="" month="" expenditure.="" first,="" it="" is="" entirely="" possible="" that="" there="" is="" much="" more="" than="" a="" dollar-a-month's="" worth="" of="" tangible="" health="" benefit="" based="" on="" reduced="" risk="" of="" bladder="" cancer="" alone.="" second,="" the="" broad="" exposure="" to="" dbps="" and="" the="" possible="" health="" effects="" involved="" offer="" the="" possibility="" that="" there="" are="" significant="" additional="" health="" benefits="" of="" a="" tangible="" nature.="" however,="" the="" agency="" recognizes="" that="" in="" the="" small="" percentage="" of="" situations="" where="" the="" costs="" per="" household="" is="" between="" $120="" to="" $400="" per="" year,="" this="" may="" indeed="" be="" a="" difficult="" financial="" burden="" to="" meet="" (e.g.,="" may="" exceed="" household="" willingness-to-pay).="" finally,="" the="" preventive="" weighing="" and="" balancing="" of="" public="" health="" protection="" also="" provides="" a="" margin="" of="" safety--a="" hedge="" against="" uncertainties.="" recent="" survey="" research="" conducted="" in="" the="" drinking="" water="" field="" provides="" compelling="" empirical="" evidence="" that="" the="" number="" one="" priority="" of="" water="" system="" customers="" is="" the="" safety="" of="" their="" water.="" although="" definitive="" economic="" research="" has="" not="" been="" performed="" to="" investigate="" the="" extent="" of="" household="" willingness-to-pay="" for="" such="" a="" margin="" of="" safety,="" there="" is="" strong="" evidence="" from="" conventional="" customer="" survey="" research="" implying="" a="" demand="" for="" this="" benefit.="" decision="" analytical="" model.="" the="" ria="" also="" discusses="" a="" fifth="" type="" of="" analysis="" in="" which="" probability="" functions="" are="" used="" to="" model="" the="" uncertainty="" surrounding="" three="" variables="" (rule="" cost,="" exposure="" reduction,="" and="" attributable="" bladder="" cancer="" risk)="" in="" order="" to="" derive="" a="" probability="" distribution="" function="" for="" annual="" net="" benefit="" of="" the="" stage="" i="" rule.="" because="" there="" is="" little="" actual="" data="" on="" these="" probability="" functions,="" this="" approach="" should="" be="" considered="" illustrative="" only.="" it="" is="" not="" discussed="" further="" here,="" but="" is="" discussed="" in="" chapter="" 6="" of="" the="" ria="" for="" the="" stage="" 1="" dbpr="" (epa,="" 1998g).="" while="" any="" one="" of="" the="" above="" analytical="" approaches="" by="" itself="" may="" not="" make="" a="" definitive="" case="" for="" the="" benefit-cost="" effectiveness="" for="" the="" stage="" 1="" dbpr,="" taken="" collectively="" epa="" believes="" they="" indicate="" that="" the="" stage="" 1="" dbpr="" benefits="" to="" society="" will="" exceed="" the="" costs.="" the="" monetized="" benefits="" in="" the="" five="" alternatives="" represent="" only="" a="" portion="" of="" total="" potential="" benefits.="" benefits="" associated="" with="" other="" cancer="" sites="" (rectal="" and="" colon)="" and="" other="" health="" endpoints="" (such="" as="" developmental="" and="" reproductive="" effects)="" could="" not="" be="" quantified="" at="" this="" time,="" and="" while="" they="" could="" be="" nil,="" they="" also="" could="" be="" quite="" large.="" based="" on="" a="" careful="" weighing="" of="" the="" projected="" costs="" against="" the="" potential="" quantified="" and="" non-quantified="" benefits,="" epa="" has="" determined="" that="" the="" benefits="" of="" the="" rule="" justify="" its="" costs.="" f.="" summary="" of="" comments="" many="" commenters="" expressed="" concern="" about="" the="" wide="" range="" of="" benefits="" given="" the="" high="" national="" cost="" of="" the="" rule.="" epa="" has="" revised="" the="" benefits="" analysis;="" and="" while="" the="" associated="" uncertainties="" remain="" large,="" epa="" believes="" the="" benefits="" of="" the="" stage="" 1="" dbpr="" justify="" its="" costs.="" other="" commenters="" expressed="" concern="" with="" using="" the="" data="" from="" morris="" et="" al.="" (1992)="" for="" quantifying="" benefits.="" they="" believed="" that="" the="" studies="" used="" in="" the="" meta-analysis="" were="" different="" in="" design="" and="" thus="" not="" appropriate="" to="" use="" in="" meta-analysis.="" in="" addition="" the="" commenters="" believed="" that="" potential="" confounding="" factors="" or="" bias="" may="" not="" have="" been="" adequately="" controlled="" in="" the="" selected="" studies.="" others="" believed="" there="" was="" utility="" in="" using="" the="" meta-analysis="" to="" provide="" a="" perspective="" on="" the="" potential="" cancer="" risks.="" several="" commenters="" were="" supportive="" of="" the="" poole="" (1997)="" evaluation="" of="" the="" morris="" et="" al.="" (1992)="" meta-analysis="" stating="" that="" they="" concurred="" that="" the="" morris="" analysis="" should="" not="" be="" used="" for="" estimating="" benefits="" for="" the="" stage="" 1="" dbpr.="" other="" commenters="" suggested="" a="" better="" use="" of="" the="" resources="" used="" to="" complete="" the="" poole="" report="" would="" have="" been="" to="" complete="" a="" new="" meta-analysis="" using="" the="" more="" recent="" studies="" that="" have="" come="" out="" since="" the="" morris="" et="" al.="" (1992)="" meta-analysis="" and="" that="" the="" poole="" evaluation="" did="" not="" advance="" the="" science="" in="" this="" area.="" several="" commenters="" were="" critical="" of="" the="" par="" analysis="" (described="" in="" epa,="" 1998a)="" used="" to="" characterize="" the="" potential="" baseline="" bladder="" cancer="" cases="" per="" year="" that="" could="" be="" attributable="" to="" exposure="" to="" chlorinated="" drinking="" water.="" they="" present="" several="" arguments="" including:="" questioning="" whether="" such="" an="" analysis="" is="" warranted="" given="" the="" inconsistencies="" in="" the="" studies="" used="" to="" complete="" the="" analysis;="" stating="" that="" the="" use="" of="" the="" term="" upper="" bound="" of="" any="" suggested="" risk="" of="" cancer="" is="" inappropriate="" because="" this="" does="" not="" include="" the="" potential="" risks="" from="" other="" cancer="" sites="" such="" as="" colon="" and="" rectal;="" using="" the="" assumption="" of="" causality="" is="" not="" warranted="" given="" the="" inconsistencies="" in="" the="" studies="" used="" to="" complete="" the="" par="" analysis;="" and="" the="" par="" analysis="" should="" include="" a="" lower="" bound="" estimate="" of="" zero.="" epa="" agrees="" that="" the="" use="" of="" the="" morris="" et="" al.="" (1992)="" meta-analysis="" for="" estimating="" benefits="" is="" not="" appropriate="" for="" the="" reasons="" cited="" by="" commenters="" (e.g.,="" studies="" of="" different="" designs="" and="" discussed="" in="" more="" detail="" in="" the="" 1998="" dbp="" noda).="" epa="" is="" currently="" considering="" whether="" a="" new="" meta-analysis="" that="" uses="" the="" most="" recent="" epidemiology="" studies="" would="" be="" useful="" for="" the="" stage="" 2="" rulemaking.="" the="" poole="" (1997)="" report="" considered="" a="" meta="" analysis="" of="" the="" available="" data.="" poole="" used="" several="" techniques="" to="" evaluate="" the="" data="" and="" included="" several="" new="" studies="" that="" were="" available="" at="" the="" time="" of="" his="" analysis.="" poole="" concluded="" that="" the="" cancer="" epidemiology="" data="" considered="" in="" his="" evaluation="" should="" not="" be="" combined="" into="" a="" single="" summary="" estimated="" and="" that="" the="" data="" had="" limited="" utility="" for="" risk="" assessment="" purposes.="" more="" recent="" studies="" by="" cantor="" et="" al.="" (1998),="" doyle="" et="" al.="" (1997)="" and="" freedman="" et="" al.="" (1997)="" were="" not="" available="" at="" the="" time="" of="" his="" evaluation.="" epa="" understands="" commenters="" concerns="" with="" the="" par="" analysis,="" especially="" concerns="" with="" assuming="" ``causality''="" in="" the="" par="" evaluation="" when="" it="" is="" stated="" in="" other="" sections="" of="" the="" preamble="" that="" epa="" does="" not="" believe="" causality="" has="" been="" established.="" even="" though="" causality="" has="" not="" been="" established,="" epa="" is="" required="" to="" estimate="" the="" potential="" impacts="" of="" major="" regulations="" such="" as="" the="" dbp="" stage="" 1="" rule.="" the="" agency="" believes="" it="" is="" appropriate="" to="" conduct="" the="" par="" analysis="" as="" described="" in="" the="" 1998="" dbp="" noda="" (epa,="" 1998a),="" to="" provide="" estimates="" of="" the="" [[page="" 69452]]="" potential="" risk="" that="" may="" need="" to="" be="" reduced.="" epa="" agrees="" that="" the="" use="" of="" the="" term="" ``upper="" bound="" of="" any="" suggested="" risk''="" is="" not="" appropriate="" because="" there="" are="" other="" potential="" risks="" that="" have="" not="" been="" quantified="" that="" may="" contribute="" to="" the="" overall="" risk="" estimates.="" in="" addition,="" epa="" agrees="" that="" the="" estimates="" of="" the="" potential="" cancer="" cases="" should="" include="" zero="" as="" this="" is="" a="" possibility="" given="" the="" uncertainties="" in="" the="" data.="" epa="" agrees="" that="" several="" assumptions="" are="" made="" in="" the="" analysis="" regarding="" the="" national="" extrapolation="" of="" the="" results="" and="" that="" there="" is="" insufficient="" information="" at="" this="" time="" to="" validate="" these="" assumptions.="" however,="" given="" the="" need="" to="" develop="" national="" estimates="" of="" risk,="" epa="" believes="" it="" is="" appropriate="" to="" make="" these="" assumptions="" in="" order="" to="" provide="" a="" perspective="" on="" the="" potential="" risks="" from="" exposure="" to="" chlorinated="" surface="" waters.="" commenters="" expressed="" concerns="" with="" the="" high="" costs="" associated="" with="" systems="" that="" must="" adopt="" alternative="" advanced="" technologies,="" especially="" for="" small="" systems.="" since="" the="" 1994="" proposal,="" the="" projected="" national="" costs="" for="" the="" stage="" 1="" dbpr="" have="" dropped="" significantly="" (as="" discussed="" above).="" this="" is="" mainly="" due="" to="" the="" revised="" compliance="" forecast="" and="" lower="" membrane="" technology="" costs.="" in="" the="" revised="" compliance="" forecast,="" fewer="" systems="" using="" surface="" water="" will="" need="" advanced="" technologies="" to="" comply.="" this="" shift="" to="" lesser="" use="" of="" advanced="" technologies="" to="" comply="" with="" the="" stage="" 1="" dbpr="" also="" pertains="" to="" small="" systems="" (those="" serving="" less="" than="" 10,000="" people).="" commenters="" expressed="" concern="" for="" the="" high="" costs="" associated="" with="" the="" stage="" 2="" dbpr="" and="" whether="" epa="" would="" obtain="" enough="" information="" to="" adequately="" understand="" the="" risks="" that="" might="" be="" avoided="" to="" justify="" such="" a="" rule.="" epa="" agrees="" that="" additional="" health="" effects="" information="" is="" needed="" before="" reproposing="" the="" stage="" 2="" dbpr="" and="" will="" address="" this="" issue="" in="" the="" next="" round="" of="" faca="" deliberations.="" based="" on="" new="" data="" generated="" through="" research,="" epa="" will="" reevaluate="" the="" stage="" 2="" regulations="" and="" re-propose,="" as="" appropriate.="" v.="" other="" requirements="" a.="" regulatory="" flexibility="" act="" 1.="" today's="" rule="" under="" the="" regulatory="" flexibility="" act,="" 5="" u.s.c.="" 601="" et="" seq.="" (rfa),="" as="" amended="" by="" the="" small="" business="" regulatory="" enforcement="" fairness="" act,="" epa="" generally="" is="" required="" to="" conduct="" a="" regulatory="" flexibility="" analysis="" describing="" the="" impact="" of="" the="" regulatory="" action="" on="" small="" entities="" as="" part="" of="" rulemaking.="" however,="" under="" section="" 605(b)="" of="" the="" rfa,="" if="" epa="" certifies="" that="" the="" rule="" will="" not="" have="" a="" significant="" economic="" impact="" on="" a="" substantial="" number="" of="" small="" entities,="" epa="" is="" not="" required="" to="" prepare="" a="" regulatory="" flexibility="" analysis.="" throughout="" the="" 1992-93="" negotiated="" rulemaking="" process="" for="" the="" stage="" 1="" dbpr="" and="" ieswtr="" and="" in="" the="" july="" 1994="" proposals="" for="" these="" rules,="" a="" small="" pws="" was="" defined="" as="" a="" system="" serving="" fewer="" than="" 10,000="" persons.="" this="" definition="" reflects="" the="" fact="" that="" the="" original="" 1979="" standard="" for="" total="" trihalomethanes="" applied="" only="" to="" systems="" serving="" at="" least="" 10,000="" people.="" the="" definition="" thus="" recognizes="" that="" baseline="" conditions="" from="" which="" systems="" serving="" fewer="" than="" 10,000="" people="" will="" approach="" disinfection="" byproduct="" control="" and="" simultaneous="" control="" of="" microbial="" pathogens="" is="" different="" than="" that="" for="" systems="" serving="" 10,000="" or="" more="" persons.="" epa="" again="" discussed="" this="" approach="" to="" the="" definition="" of="" a="" small="" system="" for="" these="" rules="" in="" the="" 1998="" dbp="" noda="" (epa,="" 1998a).="" epa="" is="" continuing="" to="" define="" ``small="" system''="" for="" purposes="" of="" this="" rule="" and="" the="" ieswtr="" as="" a="" system="" which="" serves="" fewer="" than="" 10,000="" people.="" the="" agency="" has="" since="" proposed="" and="" taken="" comment="" on="" its="" intent="" to="" define="" ``small="" entity''="" as="" a="" public="" water="" system="" that="" serves="" 10,000="" or="" fewer="" persons="" for="" purposes="" of="" its="" regulatory="" flexibility="" assessments="" under="" the="" rfa="" for="" all="" future="" drinking="" water="" regulations.="" (see="" consumer="" confidence="" reports="" rule,="" 63="" fr="" 7620,="" feb.="" 13,="" 1998.)="" in="" that="" proposal,="" the="" agency="" discussed="" the="" basis="" for="" its="" decision="" to="" use="" this="" definition="" and="" to="" use="" a="" single="" definition="" of="" small="" public="" water="" system="" whether="" the="" system="" was="" a="" ``small="" business'',="" ``small="" nonprofit="" organization'',="" or="" ``small="" governmental="" jurisdiction.''="" epa="" also="" consulted="" with="" the="" small="" business="" administration="" on="" the="" use="" of="" this="" definition="" as="" it="" relates="" to="" small="" businesses.="" subsequently,="" the="" agency="" has="" used="" this="" definition="" in="" developing="" its="" regulations="" under="" the="" safe="" drinking="" water="" act.="" this="" approach="" is="" virtually="" identical="" to="" the="" approach="" used="" in="" the="" stage="" 1="" dbpr="" and="" ieswtr.="" since,="" epa="" is="" not="" able="" to="" certify="" that="" the="" final="" stage="" 1="" dbpr="" will="" not="" have="" a="" significant="" economic="" impact="" on="" a="" substantial="" number="" of="" small="" entities,="" epa="" has="" completed="" a="" final="" rfa="" and="" will="" publish="" a="" small="" entity="" compliance="" guidance="" to="" help="" small="" entities="" comply="" with="" this="" regulation.="" 2.="" background="" and="" analysis="" the="" regulatory="" flexibility="" act="" requires="" epa="" to="" address="" the="" following="" when="" completing="" a="" final="" rfa:="" (1)="" state="" succinctly="" the="" objectives="" of,="" and="" legal="" basis="" for,="" the="" final="" rule;="" (2)="" summarize="" public="" comments="" on="" the="" initial="" rfa,="" the="" agency's="" assessment="" of="" those="" comments,="" and="" any="" changes="" to="" the="" rule="" in="" response="" to="" the="" comments;="" (3)="" describe,="" and="" where="" feasible,="" estimate="" the="" number="" of="" small="" entities="" to="" which="" the="" final="" rule="" will="" apply;="" (4)="" describe="" the="" projected="" reporting,="" record="" keeping,="" and="" other="" compliance="" requirements="" of="" the="" rule,="" including="" an="" estimate="" of="" the="" classes="" of="" small="" entities="" that="" will="" be="" subject="" to="" the="" requirements="" and="" the="" type="" of="" professional="" skills="" necessary="" for="" preparation="" of="" reports="" or="" records;="" and="" (5)="" describe="" the="" steps="" the="" agency="" has="" taken="" to="" minimize="" the="" impact="" on="" small="" entities,="" including="" a="" statement="" of="" the="" reasons="" for="" selecting="" the="" chosen="" option="" and="" for="" rejecting="" other="" options="" which="" would="" alter="" the="" impact="" on="" small="" entities.="" epa="" has="" considered="" and="" addressed="" all="" the="" above="" requirements="" in="" the="" regulatory="" impact="" analysis="" (ria)="" for="" the="" stage="" 1="" dbpr="" (epa="" 1998g).="" the="" following="" is="" a="" summary="" of="" the="" rfa.="" the="" first="" requirement="" is="" discussed="" in="" section="" i="" of="" today's="" rule.="" the="" second,="" third="" and="" fifth="" requirements="" are="" summarized="" below.="" the="" fourth="" requirement="" is="" discussed="" in="" v.b="" (paperwork="" reduction="" act)="" and="" the="" information="" collection="" requirement.="" number="" of="" small="" entities="" affected.="" epa="" estimates="" that="" 69,491="" groundwater="" systems="" will="" be="" affected="" by="" the="" stage="" 1="" dbpr,="" with="" 68,171="" (98%)="" of="" these="" systems="" serving="" less="" than="" 10,000="" persons.="" of="" the="" 68,171="" small="" systems="" affected,="" epa="" estimates="" that="" 8,323="" (12%)="" will="" have="" to="" modify="" treatment="" to="" comply="" with="" the="" stage="" 1="" dbpr.="" of="" these,="" 5,403="" systems="" (8%)="" will="" use="" chloramines="" to="" comply="" and="" 2,921="" systems="" (4.3%)="" will="" use="" membranes="" to="" comply.="" use="" of="" these="" technologies="" by="" small="" groundwater="" systems="" will="" result="" in="" total="" capital="" costs="" of="" $998="" million="" and="" an="" annualized="" treatment="" cost="" of="" $180="" million.="" epa="" estimates="" that="" 6,560="" surface="" water="" systems="" will="" be="" affected="" by="" the="" stage="" 1="" dbpr,="" with="" 5,165="" (79%)="" of="" these="" systems="" serving="" less="" than="" 10,000="" persons.="" it="" is="" estimated="" that="" 3,616="" (70%)="" of="" these="" small="" systems="" will="" have="" to="" modify="" treatment="" to="" comply="" with="" the="" stage="" 1="" dbpr="" and="" 3,459="" (67%)="" of="" these="" systems="" will="" use="" a="" combination="" of="" enhanced="" coagulation,="" chloramines,="" and="" ozone,="" while="" another="" 157="" systems="" (3%)="" will="" use="" membranes.="" use="" of="" these="" technologies="" by="" small="" surface="" water="" systems="" will="" result="" in="" total="" capital="" costs="" of="" $243="" million="" and="" an="" annualized="" treatment="" cost="" of="" $46="" million.="" epa="" has="" included="" several="" provisions="" which="" will="" reduce="" the="" economic="" burden="" of="" compliance="" for="" these="" small="" systems.="" these="" requirements,="" discussed="" in="" greater="" detail="" in="" the="" ria="" (epa,="" 1998g),="" include:="" [[page="" 69453]]="" --less="" routine="" monitoring.="" small="" systems="" are="" required="" to="" monitor="" less="" frequently="" for="" such="" contaminants="" as="" tthms="" and="" haa5.="" also,="" ground="" water="" systems="" (the="" large="" majority="" of="" small="" systems)="" are="" required="" to="" monitor="" less="" frequently="" than="" subpart="" h="" systems="" (surface="" water="" systems="" and="" groundwater="" under="" the="" direct="" influence="" of="" surface="" water)="" of="" the="" same="" size.="" --extended="" compliance="" dates.="" systems="" that="" use="" only="" ground="" water="" not="" under="" the="" direct="" influence="" of="" surface="" water="" serving="" fewer="" than="" 10,000="" people="" have="" 60="" months="" from="" promulgation="" of="" this="" rule="" to="" comply.="" this="" is="" in="" contrast="" to="" large="" subpart="" h="" systems="" which="" have="" 36="" months="" to="" comply.="" these="" extended="" compliance="" dates="" will="" allow="" smaller="" systems="" to="" learn="" from="" the="" experience="" of="" larger="" systems="" on="" how="" to="" most="" cost="" effectively="" comply="" with="" the="" stage="" 1="" dbpr.="" in="" addition,="" larger="" systems="" will="" generate="" a="" significant="" amount="" of="" treatment="" and="" cost="" data="" from="" the="" icr="" and="" in="" their="" efforts="" to="" achieve="" compliance="" with="" the="" stage="" 1="" requirements.="" epa="" intends="" to="" summarize="" this="" information="" and="" make="" it="" available="" through="" guidance="" manuals="" (i.e.,="" the="" small="" entities="" guidance="" manual).="" epa="" believes="" this="" information="" will="" assist="" smaller="" systems="" in="" achieving="" compliance="" with="" the="" stage="" 1="" dbpr.="" 3.="" summary="" of="" comments="" several="" commenters="" expressed="" concern="" with="" the="" significant="" economic="" burden="" that="" the="" stage="" 1="" dbpr="" would="" place="" on="" small="" systems.="" other="" commenters="" suggested="" more="" flexibility="" be="" given="" for="" small="" systems="" and="" that="" a="" longer="" compliance="" period="" for="" small="" systems="" should="" be="" included="" in="" the="" final="" stage="" 1="" dbpr.="" several="" commenters="" suggested="" small="" systems="" should="" not="" be="" included="" in="" the="" final="" stage="" 1="" dbpr="" because="" the="" costs="" for="" implementing="" the="" rule="" would="" exceed="" the="" potential="" benefits="" for="" these="" systems.="" epa="" understands="" commenters'="" concerns="" with="" the="" potential="" significant="" economic="" burden="" on="" small="" systems.="" because="" of="" this="" potential="" significant="" impact,="" epa="" has="" provided="" several="" requirements="" which="" will="" reduce="" the="" burden="" on="" these="" systems.="" these="" requirements="" which="" are="" discussed="" above="" and="" also="" in="" greater="" detail="" in="" the="" ria="" (epa,="" 1998g)="" include:="" (1)="" less="" routine="" monitoring;="" and="" (2)="" extended="" compliance="" dates.="" epa="" also="" believes="" small="" systems="" can="" reduce="" their="" economic="" burden="" by;="" (1)="" consolidation="" with="" larger="" systems;="" (2)="" using="" money="" from="" the="" state="" revolving="" fund="" loans;="" and="" (3)="" using="" variances="" and="" exemptions="" when="" needed.="" epa="" considered="" an="" option="" in="" the="" development="" of="" the="" final="" rule="" for="" large="" systems="" to="" have="" mcls="" of="" 80="" ug/l="" for="" tthms="" and="" 60="" ug/l="" for="" haas="" and="" for="" small="" systems="" to="" have="" a="" simple="" tthm="" standard="" of="" 100="" ug/l.="" this="" option="" was="" rejected="" because="" allowing="" small="" systems="" to="" comply="" with="" a="" different="" mcl="" level="" would="" not="" adequately="" protect="" the="" health="" of="" the="" population="" served="" by="" these="" systems.="" epa="" did="" not="" consider="" excluding="" small="" systems="" from="" the="" stage="" 1="" dbpr,="" because="" these="" systems="" do="" not="" currently="" have="" any="" standards="" for="" dbps="" and="" the="" agency="" believed="" there="" was="" a="" public="" health="" concern="" that="" needed="" to="" be="" addressed.="" for="" a="" more="" detailed="" description="" of="" the="" alternatives="" considered="" in="" the="" development="" of="" the="" final="" rule="" see="" the="" final="" ria="" (epa,="" 1998g)="" or="" the="" final="" unfunded="" mandates="" reform="" act="" analysis="" for="" the="" stage="" 1="" dbpr="" (epa,="" 1998o).="" b.="" paperwork="" reduction="" act="" the="" office="" of="" management="" and="" budget="" (omb)="" has="" approved="" the="" information="" collection="" requirements="" contained="" in="" this="" rule="" under="" the="" provisions="" of="" the="" paperwork="" reduction="" act,="" 44="" u.s.c.="" 3501="" et="" seq.="" and="" has="" assigned="" omb="" control="" number="" 2040-0204.="" the="" information="" collected="" as="" a="" result="" of="" this="" rule="" will="" allow="" the="" states="" and="" the="" epa="" to="" evaluate="" pws="" compliance="" with="" the="" rule.="" for="" the="" first="" three="" years="" after="" promulgation="" of="" the="" stage="" 1="" dbpr,="" the="" major="" information="" requirements="" pertain="" to="" preparation="" for="" monitoring="" activities,="" and="" for="" compliance="" tracking.="" responses="" to="" the="" request="" for="" information="" are="" mandatory="" (part="" 141).="" the="" information="" collected="" is="" not="" confidential.="" epa="" is="" required="" to="" estimate="" the="" burden="" on="" pws="" for="" complying="" with="" the="" final="" rule.="" burden="" means="" the="" total="" time,="" effort,="" or="" financial="" resources="" expended="" by="" persons="" to="" generate,="" maintain,="" retain,="" or="" disclose="" or="" provide="" information="" to="" or="" for="" a="" federal="" agency.="" this="" includes="" the="" time="" needed="" to="" review="" instructions;="" develop,="" acquire,="" install,="" and="" utilize="" technology="" and="" systems="" for="" the="" purposes="" of="" collecting,="" validating,="" and="" verifying="" information,="" processing="" and="" maintaining="" information,="" and="" disclosing="" and="" providing="" information;="" adjust="" the="" existing="" ways="" to="" comply="" with="" any="" previously="" applicable="" instructions="" and="" requirements;="" train="" personnel="" to="" be="" able="" to="" respond="" to="" a="" collection="" of="" information;="" search="" data="" sources;="" complete="" and="" review="" the="" collection="" of="" information;="" and="" transmit="" or="" otherwise="" disclose="" the="" information.="" epa="" estimates="" that="" the="" annual="" burden="" on="" pws="" and="" states="" for="" reporting="" and="" recordkeeping="" will="" be="" 314,471="" hours.="" this="" is="" based="" on="" an="" estimate="" that="" there="" will="" be="" 4,631="" respondents="" on="" average="" per="" year="" who="" will="" need="" to="" provide="" about="" 9,449="" responses="" and="" that="" the="" average="" response="" will="" take="" 33="" hours.="" the="" annual="" labor="" cost="" is="" estimated="" to="" be="" about="" $12="" million.="" in="" the="" first="" 3="" years="" after="" promulgation="" of="" the="" rule,="" only="" labor="" costs="" are="" incurred.="" the="" costs="" are="" incurred="" for="" the="" following="" activities:="" reading="" and="" understanding="" the="" rule;="" planning;="" and="" training.="" an="" agency="" may="" not="" conduct="" or="" sponsor,="" and="" a="" person="" is="" not="" required="" to="" respond="" to="" a="" collection="" of="" information="" unless="" it="" displays="" a="" currently="" valid="" omb="" control="" number.="" the="" omb="" control="" numbers="" for="" epa's="" regulations="" are="" listed="" in="" 40="" cfr="" part="" 9="" and="" 48="" cfr="" chapter="" 15.="" epa="" is="" amending="" the="" table="" in="" 40="" cfr="" part="" 9="" of="" currently="" approved="" icr="" control="" numbers="" issued="" by="" omb="" for="" various="" regulations="" to="" list="" the="" information="" requirements="" contained="" in="" this="" final="" rule.="" this="" icr="" was="" previously="" subject="" to="" public="" notice="" and="" comment="" prior="" to="" omb="" approval.="" as="" a="" result,="" epa="" finds="" that="" there="" is="" ``good="" cause''="" under="" section="" 553="" (b)(b)="" of="" the="" administrative="" procedures="" act="" (5="" u.s.c.="" 553="" (b)="" (b))="" to="" amend="" this="" table="" without="" prior="" notice="" and="" comment.="" due="" to="" the="" technical="" nature="" of="" the="" table,="" further="" notice="" and="" comment="" would="" be="" unnecessary.="" c.="" unfunded="" mandates="" reform="" act="" 1.="" summary="" of="" umra="" requirements="" title="" ii="" of="" the="" unfunded="" mandates="" reform="" act="" of="" 1995="" (umra),="" public="" law="" 104-4,="" establishes="" requirements="" for="" federal="" agencies="" to="" assess="" the="" effects="" of="" their="" regulatory="" actions="" on="" state,="" local,="" and="" tribal="" governments="" and="" the="" private="" sector.="" under="" umra="" section="" 202,="" epa="" generally="" must="" prepare="" a="" written="" statement,="" including="" a="" cost-benefit="" analysis,="" for="" proposed="" and="" final="" rules="" with="" ``federal="" mandates''="" that="" may="" result="" in="" expenditures="" to="" state,="" local,="" and="" tribal="" governments,="" in="" the="" aggregate,="" or="" to="" the="" private="" sector,="" of="" $100="" million="" or="" more="" in="" any="" one="" year.="" before="" promulgating="" an="" epa="" rule,="" for="" which="" a="" written="" statement="" is="" needed,="" section="" 205="" of="" the="" umra="" generally="" requires="" epa="" to="" identify="" and="" consider="" a="" reasonable="" number="" of="" regulatory="" alternatives="" and="" adopt="" the="" least="" costly,="" most="" cost-effective="" or="" least="" burdensome="" alternative="" that="" achieves="" the="" objectives="" of="" the="" rule.="" the="" provisions="" of="" section="" 205="" do="" not="" apply="" when="" they="" are="" inconsistent="" with="" applicable="" law.="" moreover,="" section="" 205="" allows="" epa="" to="" adopt="" an="" alternative="" other="" than="" the="" least="" costly,="" most="" cost="" effective="" or="" least="" burdensome="" alternative="" if="" the="" administrator="" publishes="" with="" the="" final="" [[page="" 69454]]="" rule="" an="" explanation="" on="" why="" that="" alternative="" was="" not="" adopted.="" before="" epa="" establishes="" any="" regulatory="" requirements="" that="" may="" significantly="" or="" uniquely="" affect="" small="" governments,="" including="" tribal="" governments,="" it="" must="" have="" developed,="" under="" section="" 203="" of="" the="" umra,="" a="" small="" government="" agency="" plan.="" the="" plan="" must="" provide="" for="" notification="" to="" potentially="" affected="" small="" governments,="" enabling="" officials="" of="" affected="" small="" governments="" to="" have="" meaningful="" and="" timely="" input="" in="" the="" development="" of="" epa="" regulatory="" proposals="" with="" significant="" federal="" intergovernmental="" mandates;="" and="" informing,="" educating,="" and="" advising="" small="" governments="" on="" compliance="" with="" the="" regulatory="" requirements.="" 2.="" written="" statement="" for="" rules="" with="" federal="" mandates="" of="" $100="" million="" or="" more="" epa="" has="" determined="" that="" this="" rule="" contains="" a="" federal="" mandate="" that="" may="" result="" in="" expenditures="" of="" $100="" million="" or="" more="" for="" state,="" local,="" and="" tribal="" governments,="" in="" the="" aggregate,="" and="" the="" private="" sector="" in="" any="" one="" year.="" accordingly,="" epa="" has="" prepared,="" under="" section="" 202="" of="" the="" umra,="" a="" written="" statement="" addressing="" the="" following="" areas:="" (1)="" authorizing="" legislation;="" (2)="" cost-benefit="" analysis="" including="" an="" analysis="" of="" the="" extent="" to="" which="" the="" costs="" to="" state,="" local="" and="" tribal="" governments="" will="" be="" paid="" for="" by="" the="" federal="" government;="" (3)="" estimates="" of="" future="" compliance="" costs="" and="" disproportionate="" budgetary="" effects;="" (4)="" macro-="" economic="" effects;="" and="" (5)="" a="" summary="" of="" epa's="" consultation="" with="" state,="" local,="" and="" tribal="" governments,="" and="" a="" summary="" of="" their="" concerns,="" and="" a="" summary="" of="" epa's="" evaluation="" of="" their="" concerns.="" a="" more="" detailed="" description="" of="" this="" analysis="" is="" presented="" in="" epa's="" unfunded="" mandates="" reform="" act="" analysis="" for="" the="" stage="" 1="" dbp="" rule="" (epa,="" 1998o)="" which="" is="" included="" in="" the="" docket="" for="" this="" rule.="" a.="" authorizing="" legislation.="" today's="" rule="" is="" promulgated="" pursuant="" to="" section="" 1412(b)(2)="" of="" the="" 1996="" amendments="" to="" the="" sdwa;="" paragraph="" c="" of="" this="" section="" establishes="" a="" statutory="" deadline="" of="" november="" 1998="" to="" promulgate="" this="" rule.="" this="" rule="" supersedes="" the="" tthm="" rule="" (epa,="" 1979).="" in="" addition,="" the="" stage="" 1="" dbp="" rule="" is="" closely="" integrated="" with="" the="" ieswtr,="" which="" also="" has="" a="" statutory="" deadline="" of="" november="" 1998.="" b.="" cost="" benefit="" analysis.="" section="" iv="" discusses="" the="" cost="" and="" benefits="" associated="" with="" the="" stage="" 1="" dbp="" rule.="" also,="" the="" epa's="" regulatory="" impact="" analysis="" of="" the="" stage="" 1="" disinfectants/disinfection="" byproducts="" rule="" (epa,="" 1998g)="" contains="" a="" detailed="" cost="" benefit="" analysis.="" today's="" rule="" is="" expected="" to="" have="" a="" total="" annualized="" cost="" of="" approximately="" $701="" million="" using="" a="" 7="" percent="" cost="" of="" capital.="" the="" analysis="" includes="" both="" qualitative="" and="" monetized="" benefits="" for="" improvements="" to="" health="" and="" safety.="" because="" of="" scientific="" uncertainty="" regarding="" the="" exposure="" assessment="" and="" the="" risk="" assessment="" for="" dbps,="" the="" agency="" has="" used="" five="" analytical="" approaches="" to="" assess="" the="" benefits="" of="" the="" stage="" 1="" dbp.="" these="" analyses="" were="" based="" on="" the="" quantification="" of="" bladder="" cancer="" health="" damages="" avoided.="" however,="" this="" rule="" may="" also="" reduce="" colon="" and="" rectal="" cancers,="" as="" well="" as="" decrease="" adverse="" reproductive="" and="" developmental="" effects.="" this="" would="" further="" increase="" the="" benefits="" of="" this="" rule.="" various="" federal="" programs="" exist="" to="" provide="" financial="" assistance="" to="" state,="" local,="" and="" tribal="" governments="" in="" complying="" with="" this="" rule.="" the="" federal="" government="" provides="" funding="" to="" states="" that="" have="" primary="" enforcement="" responsibility="" for="" their="" drinking="" water="" programs="" through="" the="" public="" water="" systems="" supervision="" grants="" program.="" additional="" funding="" is="" available="" from="" other="" programs="" administered="" either="" by="" epa="" or="" other="" federal="" agencies.="" these="" include="" the="" drinking="" water="" state="" revolving="" fund="" (dwsrf)="" and="" housing="" and="" urban="" development's="" community="" development="" block="" grant="" program.="" for="" example,="" sdwa="" authorizes="" the="" administrator="" of="" the="" epa="" to="" award="" capitalization="" grants="" to="" states,="" which="" in="" turn="" can="" provide="" low="" cost="" loans="" and="" other="" types="" of="" assistance="" to="" eligible="" public="" water="" systems.="" the="" dwsrf="" assists="" public="" water="" systems="" with="" financing="" the="" costs="" of="" infrastructure="" needed="" to="" achieve="" or="" maintain="" compliance="" with="" sdwa="" requirements.="" each="" state="" will="" have="" considerable="" flexibility="" to="" determine="" the="" design="" of="" its="" program="" and="" to="" direct="" funding="" toward="" its="" most="" pressing="" compliance="" and="" public="" health="" protection="" needs.="" states="" may="" also,="" on="" a="" matching="" basis,="" use="" up="" to="" ten="" percent="" of="" their="" dwsrf="" allotments="" for="" each="" fiscal="" year="" to="" assist="" in="" running="" the="" state="" drinking="" water="" program.="" c.="" estimates="" of="" future="" compliance="" costs="" and="" disproportionate="" budgetary="" effects.="" to="" meet="" the="" umra="" requirement="" in="" section="" 202,="" epa="" analyzed="" future="" compliance="" costs="" and="" possible="" disproportionate="" budgetary="" effects.="" the="" agency="" believes="" that="" the="" cost="" estimates,="" indicated="" above="" and="" discussed="" in="" more="" detail="" in="" section="" iv="" of="" this="" rule,="" accurately="" characterize="" future="" compliance="" costs="" of="" the="" rule.="" in="" regard="" to="" the="" disproportionate="" impacts,="" epa="" considered="" available="" data="" sources="" in="" analyzing="" the="" disproportionate="" impacts="" upon="" geographic="" or="" social="" segments="" of="" the="" nation="" or="" industry.="" this="" analysis="" was="" difficult="" because="" impacts="" will="" most="" likely="" depend="" on="" a="" system's="" source="" water="" characteristics="" and="" this="" data="" is="" not="" available="" for="" all="" systems.="" however,="" it="" should="" be="" noted="" that="" the="" rule="" uniformly="" protects="" the="" health="" of="" all="" drinking="" water="" system="" users="" regardless="" of="" the="" size="" or="" type="" of="" system.="" further="" analysis="" revealed="" that="" no="" geographic="" or="" social="" segment="" patterns="" were="" likely="" for="" this="" rule.="" one="" observation="" is="" that="" the="" historical="" pattern="" of="" development="" in="" this="" country="" led="" most="" large="" cities="" to="" be="" developed="" near="" rivers="" and="" other="" bodies="" of="" water="" useful="" for="" power,="" transportation,="" and="" drinking="" water.="" to="" the="" extent="" that="" this="" rule="" affects="" surface="" water,="" it="" in="" most="" ways="" reflects="" the="" distribution="" of="" population="" and="" geography="" of="" the="" nation.="" no="" rationale="" for="" disproportionate="" impacts="" by="" geography="" or="" social="" segment="" was="" identified.="" this="" analysis,="" therefore,="" developed="" three="" other="" measures:="" reviewing="" the="" impacts="" on="" small="" systems="" versus="" large="" systems;="" reviewing="" the="" costs="" to="" public="" versus="" private="" water="" systems;="" and="" reviewing="" the="" household="" costs="" of="" the="" final="" rule.="" first,="" the="" national="" impacts="" on="" small="" systems="" (those="" serving="" fewer="" than="" 10,000="" people)="" versus="" large="" systems="" (those="" serving="" 10,000="" people="" or="" more)="" is="" indicated="" in="" table="" v-1.="" the="" higher="" cost="" to="" the="" small="" ground="" water="" systems="" is="" mostly="" attributable="" to="" the="" large="" number="" of="" these="" types="" of="" systems="" (i.e.="" there="" are="" 68,171="" small="" ground="" water="" systems,="" 1,320="" large="" ground="" water="" systems,="" 5,165="" small="" surface="" water="" systems,="" and="" 1,395="" large="" surface="" water="" surface="" water="" systems).="" table="" v-1.--annual="" cost="" of="" compliance="" for="" small="" and="" large="" systems="">*
----------------------------------------------------------------------------------------------------------------
Small systems Large systems
(population < (population=""> 10,000)
----------------------------------------------------------------------------------------------------------------
Surface Water Systems (All)................................................. $56,804 $278,321
[[Page 69455]]
Ground Water System (All)................................................... 218,062 130,651
-----------------------------------
Total................................................................... 274,866 408,972
----------------------------------------------------------------------------------------------------------------
* Costs calculated at a 7 percent cost of capital and include one time start-up costs.
The second measure of disproportionate impact evaluated is the
relative total costs to public versus private water systems, by size.
EPA believes the implementation of the rule affects both public and
private water systems equally, with the variance in total cost by
system size merely a function of the number of affected systems.
The third measure, household costs, can also be used to gauge the
impact of a regulation and to determine whether there are
disproportionately high impacts in particular segments of the
population. A detailed analysis of household cost impacts by system
size and system type are presented in Section IV.E. In summary, for
large surface water systems EPA estimates that 98 percent of households
will incur costs of less than $1 per month while 0.3 percent of
households will incur costs greater than $10 per month. For large
groundwater systems, EPA estimates that 95 percent of households will
incur costs of less than $1 per month while 1.0 percent of households
will incur costs greater than $10 per month. For small surface water
systems EPA estimates the 71 percent of households will incur costs of
less than $1 per month while 1 percent of households will incur costs
of greater than $10 per month. For small groundwater systems EPA
estimates that 91 percent of households will incur costs of less than
$1 per month while 4 percent of households will incur costs of greater
than $10 per month.
The household analysis tends to overestimate the costs per
household because of the structure and assumptions of the methodology.
For example, the highest per-household cost would be incurred in a
system using membrane technology. These systems, conversely, might seek
less costly alternatives such as point-of-use devices, selection of
alternative water sources, or connecting into a larger regional water
system. The overall effect is that costs are higher in smaller systems,
and a higher percentage of those systems are publicly owned. Smaller
systems, however, represent a larger portion of systems that are not in
compliance with existing regulations. EPA believes that smaller systems
incurring the highest household costs may also incur the highest
reduction in risk. This is because smaller systems have not had to
previously comply with a TTHMs standard of 100 ug/L. In the RIA, EPA
estimates that on average, small systems will achieve about twice as
much reduction in risk as achieved by larger systems (EPA,1998g).
Based on the analysis above, EPA does not believe there will be
disproportionate impacts on small systems, public versus private
systems, or generally by household. A more detailed description of this
analysis is presented in the EPA's Unfunded Mandates Reform Act
Analysis for the Stage 1 DBP Rule (EPA,1998o).
d. Macro-economic Effects. As required under UMRA Section 202, EPA
is required to estimate the potential macro-economic effects of the
regulation. Macro-economic effects tend to be measurable in nationwide
econometric models only if the economic impact of the regulation
reaches 0.25 percent to 0.5 percent of Gross Domestic Product (GDP). In
1997, real GDP was $7,188 billion so a rule would have to cost at least
$18 billion to have a measurable effect. A regulation with a smaller
aggregate effect is unlikely to have any measurable impact unless it is
highly focused on a particular geographic region or economic sector.
The macro-economic effects on the national economy from the Stage 1
DBPR should be negligible based on the fact that the total annual costs
are about $701 million per year (at a 7 percent cost of capital) and
the costs are not expected to be highly focused on a particular
geographic region or sector.
e. Summary of EPA's Consultation with State, Local, and Tribal
Governments and Their Concerns. Under UMRA section 202, EPA is to
provide a summary of its consultation with elected representatives (or
their designated authorized employees) of affected State, local and
Tribal governments in this rulemaking. Although this rule was proposed
before UMRA became a statutory requirement, EPA initiated consultations
with governmental entities and the private sector affected by this rule
through various means. This included participation on a Regulatory
Negotiation Committee chartered under the Federal Advisory Committee
Act (FACA) in 1992-93 that included stakeholders representing State and
local governments, public health organizations, public water systems,
elected officials, consumer groups, and environmental groups.
After the amendments to SDWA in 1996, the Agency initiated a second
FACA process, similarly involving a broad range of stakeholders, and
held meetings during 1997 to address the expedited deadline for
promulgation of the Stage 1 DBPR in November 1998. EPA established the
M-DBP Advisory Committee to collect, share, and analyze new data
reviewed since the earlier Reg. Neg. process and also to build a
consensus on the regulatory implications of this new information. The
M-DBP Advisory Committee established a technical working group to
assist them with the many scientific issues surrounding this rule. The
Committee included representatives from organizations such as the
National League of Cities, the National Association of City and County
Health Officials, the Association of Metropolitan Water Agencies, the
Association of State Drinking Water Administrators, and the National
Association of Water Companies. In addition, the Agency invited the
Native American Water Association to participate in the FACA process to
develop this rule. Although they eventually decided not to take part,
the Association continued to be informed of meetings and developments
through a stakeholders mailing list.
Stakeholders who participated in the FACA processes, as well as all
other interested members of the public, were invited to comment on the
proposed rule and NODAs. Also, as part of the Agency's Communication
Strategy, EPA sent copies of the proposed rule and NODAs to many
stakeholders, including six tribal associations.
In addition, the Agency notified governmental entities and the
private
[[Page 69456]]
sector of opportunities to provide input on this Stage 1 DBPR in the
Federal Register on July 29, 1994 (59 FR 38668--EPA, 1994A), November
3, 1997 (62 FR 59485--EPA, 1997b), and on March 31, 1998 (63 FR 15974--
EPA, 1998a). Additionally, EPA extended the comment period for the
March 31, 1998 NODA and announced a public meeting to address new
information. EPA received approximately 213 written comments on the
July 29, 1994 notice, approximately 57 written comments on the November
3, 1997 notice, and approximately 41 written comments on the March 31,
1998 notice. Of the 213 comments received concerning the 1994 proposed
rule, 11% were from States and 41% were from local governments. Also,
one comment on the 1994 proposal was from a tribal group that
represented 43 tribes. Of the 57 comments received concerning the 1997
Notice of Data Availability, 18% were from States and 37% were from
local governments. Of the 41 comments received on the 1998 Notice of
Data Availability prior to the close of the comment period, 5% were
from States and 15% were from local governments.
The public docket for this rulemaking contains all comments
received by the Agency and provides details about the nature of State,
local, and tribal government's concerns. State and local governments
raised several concerns including: the need for the Stage 1 DBPR; the
high costs of the rule in relation to the uncertain benefits; the
belief that not allowing predisinfection credit would increase the
microbial risk; and the need for flexibility in implementing the Stage
1 DPBR and IESWTR to insure the rules are implemented simultaneously.
The one tribal comment noted that compliance would come at a cost of
diverting funds away from other important drinking water needs such as
maintaining drinking water infrastructure.
EPA understands the State, local, and tribal governments concerns
with the costs of the rule and the need to provide additional public
health protection for the expenditure. The Agency believes the final
Stage 1 DPBR will provide public health benefits to individuals by
reducing their exposures to DBPs, while not requiring excessive capital
expenditures. As discussed above, the majority of households will incur
additional costs of less than $1 per month. As discussed in section
III.E, the final rule maintains the existing predisinfection credit.
Finally, in the 1997 DBP NODA (EPA, 1997b), EPA requested comment on
four alternative schedules for complying with the Stage 1 DBPR. Most
State and local commenters preferred the option which provides the
maximum flexibility allowed under the SDWA for systems to comply with
the Stage 1 DBPR, and this is the option EPA selected for the final
rule.
f. Regulatory Alternatives Considered. As required under Section
205 of the UMRA, EPA considered several regulatory alternatives
developed by the Reg Neg Committee and M-DBP Advisory Committee and
suggested by stakeholders.
The Reg Neg Committee considered several options including a
proposed TTHMs MCL of 80 g/L and HAA5 MCL of 60 g/L
for large systems (and a simple standard of 100 g/l for small
systems). Another option called for the use of precursor removal
technology to reduce the level of total organic carbon with alternative
levels ranging from 4.0 to 0.5. Other options evaluated included a 80
g/L for TTHMs, 60 g/L for HAA5, and 4.0 for TOC.
Finally, an option was evaluated of a 80 g/L for TTHMs, 60
g/L for HAA5, and 5.0 for TOC. The final consensus included a
combination of MCLs which would be equal for all system size categories
and a target TOC level. Allowing small systems to comply with a
different MCL levels was rejected because the rule would not adequately
protect the health of the population served by these systems. A more
detailed description of these alternatives is discussed in the document
Unfunded Mandates Reform Act Analysis for the Stage 1 DBPR Rule which
can be found in the docket (EPA, 1998o).
Other regulatory alternatives were considered by the M-DBP Advisory
Committee and these alternatives had the overall effect of reducing the
cost of the final rule. For example, the M-DBP Advisory Committee
recommended maintaining the predisinfection credit after reviewing data
which suggested that many systems could probably meet the proposed MCLs
for DBPs while maintaining current disinfection practices. This
decision was important because systems would have had to incur large
capital costs to remain in compliance with disinfection requirements if
predisinfection credits were disallowed. Thus by allowing
predisinfection, the overall cost of the rule was lowered.
Also, the Committee recommended exempting systems for the enhanced
coagulation requirements based on their raw water quality. For example,
systems with raw-water TOC of less than or equal to 2.0 mg/L and raw-
water SUVA of less than or equal to 2.0 L/mg-m would be exempt from the
enhanced coagulation requirements. This exclusion was intended to
promote cost-effective enhanced coagulation (i.e., obtaining
efficiencies of TOC removal without excessive sludge production and
associated costs).
In conclusion, EPA believes that the alternative selected for the
Stage 1 DBPR is the most cost-effective option that achieves the
objectives of the rule. For a complete discussion of this issue see
EPA's Regulatory Impact Analysis of the Stage 1 Disinfectants/
Disinfection Byproducts Rule (EPA,1998g).
3. Impacts on Small Governments
The 1994 Stage 1 DBPR proposal was done without the benefit of the
UMRA requirements. However, in preparation for the final rule, EPA
conducted analysis on small government impacts and included small
government officials or their designated representatives in the rule
making process. The FACA processes gave a variety of stakeholders,
including small governments, the opportunity for timely and meaningful
participation in the regulatory development process. Representatives of
small government organizations were on both the Reg. Neg. Committee and
the M-DBP Advisory Committee and their representatives attended public
stakeholder meetings. Groups such as the National Association of City
and County Health Officials and the National League of Cities
participated in the rulemaking process. Through such participation and
exchange, EPA notified potentially affected small governments of
requirements under consideration and provided officials of affected
small governments with an opportunity to have meaningful and timely
input into the development of regulatory proposals.
In addition, EPA will educate, inform, and advise small systems
including those run by small government about DBPR requirements. One of
the most important components of this process is the Small Entity
Compliance Guide, as required by the Small Business Regulatory
Enforcement Fairness Act of 1996. This plain-English guide will explain
what actions a small entity must take to comply with the rule. Also,
the Agency is developing fact sheets that concisely describe various
aspects and requirements of the DBPR.
D. National Technology Transfer and Advancement Act
Under section 12(d) of the National Technology Transfer and
Advancement Act (NTTAA), the Agency is required to use voluntary
consensus standards in its regulatory activities unless to do so would
be inconsistent with applicable law or otherwise impractical. Voluntary
consensus standards are technical
[[Page 69457]]
standards (e.g., materials specifications, test methods, sampling
procedures, business practices, etc.) that are developed or adopted by
voluntary consensus standards bodies. Where available and potentially
applicable voluntary consensus standards are not used by EPA, the Act
requires the Agency to provide Congress, through OMB, an explanation of
the reasons for not using such standards.
EPA's process for selecting the analytical test methods is
consistent with section 12(d) of the NTTAA. EPA performed literature
searches to identify analytical methods from industry, academia,
voluntary consensus standards bodies, and other parties that could be
used to measure disinfectants, DBPs, and other parameters. In addition,
EPA's selection of the methods benefited from the recommendations of an
Advisory Committee established under the FACA Act to assist the Agency
with the Stage 1 DBPR. The Committee made available additional
technical experts who were well-versed in both existing analytical
methods and new developments in the field.
The results of these efforts form the basis for the analytical
methods in today's rule which includes: eight methods for measuring
different DBPs, of which five are EPA methods and three are voluntary
consensus standards; nine methods for measuring disinfectants, all of
which are voluntary consensus standards; three voluntary consensus
methods for measuring TOC; two EPA methods for measuring bromide; one
voluntary consensus method for measuring UV254, and both
governmental and voluntary consensus methods for measuring alkalinity.
Where applicable voluntary consensus standards were not approved, this
was due to their inability to meet the data quality objectives (e.g.
accuracy, sensitivity, quality control procedures) necessary for
demonstration of compliance with the relevant requirement.
In the 1997 NODA, EPA requested comment on voluntary consensus
standards that had not been addressed and which should be considered
for addition to the list of approved analytical methods in the final
rule. No additional consensus methods were suggested by commenters.
E. Executive Order 12866: Regulatory Planning and Review
Under Executive Order 12866, (58 FR 41344--EPA, 1993c) the Agency
must determine whether the regulatory action is ``significant'' and
therefore subject to OMB review and the requirements of the Executive
Order. The Order defines ``significant regulatory action'' as one that
is likely to result in a rule that may:
1. Have an annual effect on the economy of $100 million or more or
adversely affect in a material way the economy, a sector of the
economy, productivity, competition, jobs, the environment, public
health or safety, or State, local, or tribal governments or
communities;
2. Create a serious inconsistency or otherwise interfere with an
action taken or planned by another agency;
3. Materially alter the budgetary impact of entitlement, grants,
user fees, or loan programs or the rights and obligations of recipients
thereof; or
4. Raise novel legal or policy issues arising out of legal
mandates, the President's priorities, or the principles set forth in
the Executive Order.
Pursuant to the terms of Executive Order 12866, it has been
determined that this rule is a ``significant regulatory action''
because it will have an annual effect on the economy of $100 million or
more. As such, this action was submitted to OMB for review. Changes
made in response to OMB suggestions or recommendations are documented
in the public record.
F. Executive Order 12898: Environmental Justice
Executive Order 12898 establishes a Federal policy for
incorporating environmental justice into Federal agency missions by
directing agencies to identify and address disproportionately high and
adverse human health or environmental effects of its programs,
policies, and activities on minority and low-income populations. The
Agency has considered environmental justice related issues concerning
the potential impacts of this action and has consulted with minority
and low-income stakeholders.
Two aspects of today's rule comply with the Environmental Justice
Executive Order which requires the Agency to consider environmental
justice issues in the rulemaking and to consult with Environmental
Justice (EJ) stakeholders. They can be classified as follows: (1) the
overall nature of the rule, and (2) the convening of a stakeholder
meeting specifically to address environmental justice issues. The Stage
1 DBPR applies to community water systems and nontransient noncommunity
water systems that treat their water with a chemical disinfectant for
either primary or residual treatment. Consequently, the health
protection benefits this rule provides are equal across all income and
minority groups within these communities.
Finally, as part of EPA's responsibilities to comply with E.O.
12898, the Agency held a stakeholder meeting on March 12, 1998 to
address various components of pending drinking water regulations; and
how they may impact sensitive sub-populations, minority populations,
and low-income populations. Topics discussed included treatment
techniques, costs and benefits, data quality, health effects, and the
regulatory process. Participants included national, state, tribal,
municipal, and individual stakeholders. EPA conducted the meetings by
video conference call between eleven cities. This meeting was a
continuation of stakeholder meetings that started in 1995 to obtain
input on the Agency's Drinking Water Programs. The major objectives for
the March 12, 1998 meeting were:
Solicit ideas from EJ stakeholders on known issues
concerning current drinking water regulatory efforts;
Identify key issues of concern to EJ stakeholders; and
Receive suggestions from EJ stakeholders concerning ways
to increase representation of EJ communities in OGWDW regulatory
efforts.
In addition, EPA developed a plain-English guide specifically for
this meeting to assist stakeholders in understanding the multiple and
sometimes complex issues surrounding drinking water regulation.
Overall, EPA believes this rule will equally protect the health of
all minority and low-income populations served by systems regulated
under this rule from exposure to DBPs.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
Executive Order 13045 applies to any rule initiated after April 21,
1997, or proposed after April 21, 1998, that (1) is determined to be
``economically significant'' as defined under E.O. 12866 and (2)
concerns an environmental health or safety risk that EPA has reason to
believe may have a disproportionate effect on children. If the
regulatory action meets both criteria, the Agency must evaluate the
environmental health or safety effects of the planned rule on children,
and explain why the planned regulation is preferable to other
potentially effective and reasonably feasible alternatives considered
by the Agency.
The final Stage 1 DBPR is not subject to the Executive Order
because EPA published a notice of proposed rulemaking before April 21,
1998.
[[Page 69458]]
However, EPA's policy since November 1, 1995, is to consistently and
explicitly consider risks to infants and children in all risk
assessments generated during its decision making process including the
setting of standards to protect public health and the environment.
EPA's Office of Water has historically considered risks to
sensitive populations (including fetuses, infants, and children) in
establishing drinking water assessments, advisories or other guidance,
and standards (EPA, 1989c and EPA, 1991). The disinfection of public
drinking water supplies to prevent waterborne disease is the most
successful public health program in U.S. history. However, numerous
chemical byproducts (DBPs) result from the reaction of chlorine and
other disinfectants with naturally occurring organic and inorganic
material in source water, and these may have potential health risks.
Thus, maximizing health protection for sensitive subpopulations
requires balancing risks to achieve the recognized benefits of
controlling waterborne pathogens while minimizing risk of potential DBP
toxicity. Human experience shows that waterborne disease from pathogens
in drinking water is a major concern for children and other subgroups
(elderly, immune compromised, pregnant women) because of their greater
vulnerabilities (Gerba et al., 1996). Based on animal studies, there is
also a concern for potential risks posed by DBPs to children and
pregnant women (EPA, 1994a; EPA, 1998a).
In developing this regulation, risks to sensitive subpopulations
(including fetuses and children) were taken into account in the
assessments of disinfectants and disinfection byproducts. A description
of the data available for evaluating risks to children and the
conclusions drawn can be found in the public docket for this rulemaking
(EPA, 1998h). In addition, the Agency has evaluated alternative
regulatory options and selected the option that will provide the
greatest benefits for all people including children. See the regulatory
impact analysis for a complete discussion of the different options
considered. It should also be noted that the IESTWR, which accompanies
this final rule, provides better controls of pathogens and achieves the
goal of increasing the protection of children.
H. Consultations With the Science Advisory Board, National Drinking
Water Advisory Council, and the Secretary of Health and Human Services
In accordance with section 1412 (d) and (e) of the Act, the Agency
submitted the proposed Stage 1 DBP rule to the Science Advisory Board,
National Drinking Water Advisory Council (NDWAC), and the Secretary of
Health and Human Services for their review. EPA has evaluated comments
received from these organizations and considered them in developing the
final Stage 1 DBP rule.
I. Executive Order 12875: Enhancing the Intergovernmental Partnership
Under Executive Order 12875, EPA may not issue a regulation that is
not required by statute and that creates a mandate upon a State, local
or tribal government, unless the Federal government provides the funds
necessary to pay the direct compliance costs incurred by those
governments, or EPA consults with those governments. If EPA complies by
consulting, Executive Order 12875 requires EPA to provide to the Office
of Management and Budget a description of the extent of EPA's prior
consultation with representatives of affected State, local and tribal
governments, the nature of their concerns, copies of any written
communications from the governments, and a statement supporting the
need to issue the regulation. In addition, Executive Order 12875
requires EPA to develop an effective process permitting elected
officials and other representatives of State, local and tribal
governments ``to provide meaningful and timely input in the development
of regulatory proposals containing significant unfunded mandates.''
EPA has concluded that this rule will create a mandate on State,
local, and tribal governments and that the Federal government will not
provide all of the funds necessary to pay the direct costs incurred by
the State, local, and tribal governments in complying with the mandate.
In developing this rule, EPA consulted with State and local governments
to enable them to provide meaningful and timely input in the
development of this rule. EPA also invited the Native American Water
Association to participate in the FACA process to develop this rule,
but they decided not to take part in the deliberations.
As described in Section V.C.2.e, EPA held extensive meetings with a
variety of State and local representatives, who provided meaningful and
timely input in the development of the proposed rule. State and local
representatives were also part of the FACA committees involved in the
development of this rule. Summaries of the meetings have been included
in the public docket for this rulemaking. See section V.C.2.e for
summaries of the extent of EPA's consultation with State, local, and
tribal governments; the nature of the government concerns; and EPA's
position supporting the need to issue this rule.
J. Executive Order 13084: Consultation and Coordination With Indian
Tribal Governments
Under Executive Order 13084, EPA may not issue a regulation that is
not required by statute, that significantly or uniquely affects the
communities of Indian tribal governments, and that imposes substantial
direct compliance costs on those communities, unless the Federal
government provides the funds necessary to pay the direct compliance
costs incurred by the tribal governments, or EPA consults with those
governments. If EPA complies by consulting, Executive Order 13084
requires EPA to provide to the Office of Management and Budget, in a
separately identified section of the preamble to the rule, a
description of the extent of EPA's prior consultation with
representatives of affected tribal governments, a summary of the nature
of their concerns, and a statement supporting the need to issue the
regulation. In addition, Executive Order 13084 requires EPA to develop
an effective process permitting elected officials and other
representatives of Indian tribal governments ``to provide meaningful
and timely input in the development of regulatory policies on matters
that significantly or uniquely affect their communities.''
EPA has concluded that this rule will significantly affect
communities of Indian tribal governments. It will also impose
substantial direct compliance costs on such communities, and the
Federal government will not provide all the funds necessary to pay the
direct costs incurred by the tribal governments in complying with the
rule. In developing this rule, EPA consulted with representatives of
tribal governments pursuant to both Executive Order 12875 and Executive
Order 13084. EPA's consultation, the nature of the governments'
concerns, and EPA's position supporting the need for this rule are
discussed above in the preamble section that addresses compliance with
Executive Order 12875. Specifically in developing this rule, the Agency
invited the Native American Water Association to participate in the
FACA process to develop this rule. Although they eventually decided not
to take part, the Association continued to be informed of meetings and
developments through a stakeholders mailing list. As described in
Section V.C.2.e of the discussion on
[[Page 69459]]
UMRA, EPA held extensive meetings that provided the opportunity for
meaningful and timely input in the development of the proposed rule.
Summaries of the meetings have been included in the public docket for
this rulemaking.
K. Submission to Congress and the General Accounting Office
The Congressional Review Act, 5 U.S.C. 801 et seq., as added by the
Small Business Regulatory Enforcement Fairness Act of 1996, generally
provides that before a rule may take effect, the agency promulgating
the rule must submit a rule report, which includes a copy of the rule,
to each House of the Congress and to the Comptroller General of the
United States. EPA will submit a report containing this rule and other
required information to the U.S. Senate, the U.S. House of
Representatives, and the Comptroller General of the United States prior
to publication of the rule in the Federal Register. A major rule cannot
take effect until 60 days after it is published in the Federal
Register. This rule is a ``major rule'' as defined by 5 U.S.C. 804(2).
This rule will be effective February 16, 1999.
L. Likely Effect of Compliance With the Stage 1 DBPR on the Technical,
Financial, and Managerial Capacity of Public Water Systems
Section 1420(d)(3) of the SDWA as amended requires that, in
promulgating a NPDWR, the Administrator shall include an analysis of
the likely effect of compliance with the regulation on the technical,
financial, and managerial capacity of public water systems. The
following analysis has been performed to fulfill this statutory
obligation.
Overall water system capacity is defined in EPA guidance (EPA 816-
R-98-006) as the ability to plan for, achieve, and maintain compliance
with applicable drinking water standards. Capacity has three
components: technical, managerial, and financial.
Technical capacity is the physical and operational ability of a
water system to meet SDWA requirements. Technical capacity refers to
the physical infrastructure of the water system, including the adequacy
of source water and the adequacy of treatment, storage, and
distribution infrastructure. It also refers to the ability of system
personnel to adequately operate and maintain the system and to
otherwise implement requisite technical knowledge. A water system's
technical capacity can be determined by examining key issues and
questions, including:
Source water adequacy. Does the system have a reliable
source of drinking water? Is the source of generally good quality and
adequately protected?
Infrastructure adequacy. Can the system provide water that
meets SDWA standards? What is the condition of its infrastructure,
including well(s) or source water intakes, treatment, storage, and
distribution? What is the infrastructure's life expectancy? Does the
system have a capital improvement plan?
Technical knowledge and implementation. Is the system's
operator certified? Does the operator have sufficient technical
knowledge of applicable standards? Can the operator effectively
implement this technical knowledge? Does the operator understand the
system's technical and operational characteristics? Does the system
have an effective operation and maintenance program?
Managerial capacity is the ability of a water system to conduct its
affairs in a manner enabling the system to achieve and maintain
compliance with SDWA requirements. Managerial capacity refers to the
system's institutional and administrative capabilities.
Managerial capacity can be assessed through key issues and questions,
including:
Ownership accountability. Are the system owner(s) clearly
identified? Can they be held accountable for the system?
Staffing and organization. Are the system operator(s) and
manager(s) clearly identified? Is the system properly organized and
staffed? Do personnel understand the management aspects of regulatory
requirements and system operations? Do they have adequate expertise to
manage water system operations? Do personnel have the necessary
licenses and certifications?
Effective external linkages. Does the system interact well
with customers, regulators, and other entities? Is the system aware of
available external resources, such as technical and financial
assistance?
Financial capacity is a water system's ability to acquire and
manage sufficient financial resources to allow the system to achieve
and maintain compliance with SDWA requirements.
Financial capacity can be assessed through key issues and
questions, including:
Revenue sufficiency. Do revenues cover costs? Are water
rates and charges adequate to cover the cost of water?
Credit worthiness. Is the system financially healthy? Does
it have access to capital through public or private sources?
Fiscal management and controls. Are adequate books and
records maintained? Are appropriate budgeting, accounting, and
financial planning methods used? Does the system manage its revenues
effectively?
There are 76,051 systems affected by this rule. Of these, 12,998
will have to modify their treatment process and undertake disinfectant
and DBP monitoring and reporting. Some of this smaller group may also
be required to do DBP precursor monitoring and reporting. The other
63,063 systems will need to do disinfectant and DBP monitoring and
reporting, but will not need to modify their treatment process. Some of
this larger group may also be required to do DBP precursor monitoring
and reporting.
Systems not modifying treatment are not generally expected to
require significantly increased technical, financial, or managerial
capacity to comply with these new requirements. Certainly some
individual facilities may have weaknesses in one or more of these areas
but overall, systems should have or be able to obtain the capacity
needed for these activities.
Systems needing to modify treatment will employ one or more of a
variety of steps. The steps expected to be employed by 50% or more of
subpart H systems and by eight percent or more of ground water systems
covered by the rule include a combination of low cost alternatives,
including switching to chloramines for residual disinfection, moving
the point of disinfectant application, and improving precursor removal.
EPA estimates that less than seven percent of systems in any category
will resort to higher cost alternatives, such as switching to ozone or
chloramines for primary disinfection or using GAC or membranes for
precursor removal. These higher cost alternatives may also provide
other treatment benefits, so the cost may be somewhat offset by
eliminating the need for technologies to remove other contaminants.
Some of these systems may choose nontreatment alternatives such as
consolidation with another system or changing to a higher quality water
source.
Furthermore, there are a number of actions that are expected to be
taken disproportionately by smaller sized systems (that is to say, a
greater percentage of smaller sized systems will undertake than will
larger sized systems). These steps include increased plant staffing and
additional staff training to understand process control strategy. Small
systems will be required to do this since larger systems have already
undertaken these changes to
[[Page 69460]]
some extent for compliance with the 1979 TTHM rule.
For many systems serving less than 10,000 persons which need to
make treatment modifications, an enhancement of technical, financial,
and managerial capacity may likely be needed. As the preceding
paragraph makes clear, these systems will be making structural
improvements and enhancing laboratory and staff capacity. Larger sized
systems have typically already made these improvements as part of
normal operations. Meeting the requirements of the Stage 1 DBPR will
require operating at a higher level of sophistication and in a better
state of repair than some plants serving less than 10,000 people have
considered acceptable in the past.
Certainly there will be exceptions in systems serving both below
10,000 persons and above. Some larger plants will doubtless find their
technical, managerial, and financial capacity taxed by the new
requirements. Likewise, some plants serving less than 10,000 persons
will already have more than adequate technical, financial, and
managerial capacity to meet these requirements. However, in general,
the systems serving less than 10,000 persons needing to make treatment
modifications will be the ones most needing to enhance their capacity.
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231480. Revised July 1991.
62. U.S. EPA. 1989a. National Primary Drinking Water Regulations;
Filtration, Disinfection; Turbidity, Giardia lamblia, Viruses,
Legionella, and Heterotrophic Bacteria; Final Rule. Part II. Fed.
Reg., 54:124:27486. (June 29, 1989)
63. U.S. EPA 1989b. National Primary Drinking Water Regulations;
Total Coliforms (Including Fecal Coliform and E. Coli); Final Rule.
Fed. Reg., 54:124:27544. (June 29, 1989)
64. U.S. EPA. 1989c. Review of Environmental Contaminants and
Toxicology. USEPA. Office of Drinking Water Health Advisories,
Volume 106. 225pp.
65. U.S. EPA. 1990. EPA Methods 551, 552. Methods for the
Determination of Organic Compounds in Drinking Water--Supplement I.
EPA 600/4-90-020. PB91-146027.
66 U.S. EPA. 1991. National Primary Drinking Water Regulations:
Final Rule. Fed, reg., 56:20, January 30, 1991 3526-3597.
67. U.S. EPA. 1992. EPA Methods 524.2, 552.1. Methods for the
Determination of Organic Compounds in Drinking Water--Supplement II.
EPA 600/R-92/129. PB92-207703.
68. U.S. EPA. 1993a. Draft Drinking Water Health Criteria Document
for Bromate. Office of Science and Technology, Office of Water. Sep.
30, 1993.
69. U.S. EPA. 1993b. EPA Method 300.0. The Determination of
Inorganic Anions by Ion Chromatography in the Manual ``Methods for
the Determination of Inorganic Substances in Environmental
Samples,'' EPA/600/R/93/100. NTIS, PB94120821.
70. U.S. EPA. 1993c. Executive Order 12866: Regulatory Planning and
Review. Federal Register. Vol. 58, No. 190. October 4, 1993. 51735-
51744.
71. U.S. EPA/ILSI. 1993. A Review of Evidence on Reproductive and
Developmental Effects of Disinfection By-Products in Drinking Water.
Washington: U.S. Environmental Protection Agency and International
Life Sciences Institute.
[[Page 69462]]
72. U.S. EPA. 1994a. National Primary Drinking Water Regulations;
Disinfectants and Disinfection Byproducts; Proposed Rule. Fed. Reg.,
59:145:38668. (July 29, 1994).
73. U.S. EPA. 1994b. National Primary Drinking Water Regulations;
Enhanced Surface Water Treatment Requirements; Proposed Rule. Fed.
Reg., 59:145:38832. (July 29, 1994).
74. U.S. EPA. 1994c. National Primary Drinking Water Regulations;
Monitoring Requirements for Public Drinking Water Supplies; Proposed
Rule. Fed. Reg., 59:28:6332. (February 10, 1994).
75. U.S. EPA. 1994d. Final Draft Drinking Water Health Criteria
Document for Chlorine Dioxide, Chlorite and Chlorate. Office of
Science and Technology, Office of Water. March 31, 1994.
76. U.S. EPA. 1994e. Draft Drinking Water Health Criteria Document
for Chlorine, Hypochlorous Acid and Hypochlorite Ion. Office of
Science and Technology, Office of Water.
77. U.S. EPA. 1994f. Health and Ecological Criteria Div., OST. Final
Draft for the Drinking Water Criteria Document on Trihalomethanes.
Apr. 8. 1994.
78. U.S. EPA. 1994g. Draft Drinking Water Health Criteria Document
for Chlorinated Acetic Acids/Alcohols/Aldehydes and Ketones. Office
of Science and Technology, Office of Water.
79. U.S. EPA. 1994h. Draft Drinking Water Health Criteria Document
for Chloramines. Office of Science and Technology, Office of Water.
80. U.S. Environmental Protection Agency. 1994i. Regulatory Impact
Analysis of Proposed Disinfectant/Disinfection Byproduct
Regulations. Washington, DC. EPA-68-C3-0368.
81. U.S. EPA. 1995. Methods for the Determination of Organic
Compounds in Drinking Water. Supplement III. EPA-600/R-95/131. NTIS,
PB95261616.
82. U.S. EPA. 1996a. National Primary Drinking Water Regulations:
Monitoring Requirements for Public Drinking Water Supplies; Final
Rule. Fed. Reg., 61:94:24354. (May 14, 1996)
83. U.S. EPA. 1996b. Proposed Guidelines for Carcinogen Risk
Assessment. U.S. EPA, April 23, 1996.
84. U.S. EPA. 1997a. National Primary Drinking Water Regulations;
Interim Enhanced Surface Water Treatment Rule; Notice of Data
Availability; Proposed Rule. Fed. Reg., 62 (No. 212): 59486-59557.
(November 3, 1997).
85. U.S. EPA. 1997b. National Primary Drinking Water Regulations;
Disinfectants and Disinfection Byproducts; Notice of Data
Availability; Proposed Rule. Fed. Reg., 62 (No. 212): 59388-59484.
(November 3, 1997).
86. U.S. EPA. 1997c. Summaries of New Health Effects Data. Office of
Science and Technology, Office of Water. October 1997.
87. U.S. EPA. 1997d. External Peer Review of CMA Study -2-
Generation, EPA Contract No. 68-C7-0002, Work Assignment B-14, The
Cadmus Group, Inc., October 9, 1997.
88. U.S. EPA. 1997e. Method 300.1. Determination of Inorganic Anions
in Drinking Water by Ion Chromatography. Revision 1.0. USEPA
National Exposure Research Laboratory, Cincinnati OH.
89. U.S. EPA. 1997f. Performance Based Measurement System. Notice of
Intent. Federal Register, October 6, 1997. Vol. 62, No. 193., 52098-
52100.
90. U.S. EPA. 1997g. Manual for the Certification of Laboratories
Analyzing Drinking Water, Fourth Edition, Office of Water Resource
Center (RC-4100), EPA 815-B-97-001. March 1997.
91. U.S. EPA. 1998a. National Primary Drinking Water Regulations;
Disinfectants and Disinfection Byproducts; Notice of Data
Availability; Proposed Rule. Fed. Reg., 63 (No. 61): 15606-15692.
(March 31, 1998).
92. U.S. EPA. 1998b. Dichloroacetic acid: Carcinogenicity
Identification Characterization Summary. National Center for
Environmental Assessment--Washington Office. Office of Research and
Development. March 1998. EPA 815-B-98-010. PB 99-111387.
93. U.S. EPA. 1998c. Quantification of Bladder Cancer Risk from
Exposure to Chlorinated Surface Water. Office of Science and
Technology, Office of Water. November 9, 1998.
94. U.S. EPA. 1998d. Health Risk Assessment/Characterization of the
Drinking Water Disinfection Byproduct Chlorine Dioxide and the
Degradation Byproduct Chlorite. Office of Science and Technology,
Office of Water. October 15, 1998. EPA 815-B-98-008. PB 99-111361.
95. U.S. EPA. 1998e. Health Risk Assessment/Characterization of the
Drinking Water Disinfection Byproduct Bromate. Office of Science and
Technology, Office of Water. September 30, 1998. EPA 815-B-98-007.
PB 99-111353.
96. U.S. EPA. 1998f. Panel Report and Recommendation for Conducting
Epidemiological Research on Possible Reproductive and Developmental
Effects of Exposure to Disinfected Drinking Water. Office of
Research and Development. February 12, 1998.
97. U.S. EPA. 1998g. Regulatory Impact Analysis of Final
Disinfectant/Disinfection By-Products Regulations. Washington, D.C.
EPA Number 815-B-98-002. PB 99-111304.
98. U.S. EPA. 1998h. Health Risks to Fetuses, Infants, and Children
(final Stage 1 DBP Rule). Office of Science and Technology. Office
of Water. November 19, 1998. EPA 815-B-98-009. PB 99-111379.
99. U.S. EPA. 1998i. Revisions to State Primacy Requirements To
Implement Safe Drinking Water Act Amendments: Final Rule. Federal
Register, Tuesday, April 28, 1998, Vol. 63, No.81, 23362-23368.
100. U.S. EPA. 1998j. Revision of Existing Variance and Exemption
Regulations to Comply with Requirements of the Safe Drinking Water
Act; Final Rule. Federal Register, Vol 63, No. 157. Friday, Aug. 14,
1998. pp. 43833-43851.
101. U.S. EPA. 1998k. Cost and Technology Document for Controlling
Disinfectants and Disinfection Byproducts. Office of Ground Water
and Drinking Water. Washington, DC. EPA 815-R-98-014. PB 99-111486.
102. U.S. EPA. 1998l. Synthesis of the Peer-Review of Meta-analysis
of Epidemiologic Data on Risks of Cancer from Chlorinated Drinking
Water. National Center for Environmental Assessment, Office of
Research and Development, February 16, 1998.
103. U.S. EPA. 1998m. NCEA Position Paper Regarding Risk Assessment
Use of the Results from the Published Study: Morris et al. Am J
Public Health 1992;82:955-963. National Center for Environmental
Assessment, Office of Research and Development, October 7, 1997.
104. U.S. EPA. 1998n. A Suggested Approach for Using the Current
Epidemiologic Literature to Estimate the Possible Cancer Risk from
Water Chlorination, for the Purposes of the Regulatory Impact
Analysis. ORD, National Center for Environmental Assessment. August
27, 1998.
105. U.S. EPA. 1998o. Unfunded Mandates Reform Act Analysis for the
Stage 1 Disinfectant and Disinfection Byproduct Rule. Office of
Groundwater and Drinking Water.
106. U.S. EPA. 1998p. Health Risk Assessment/Characterization of the
Drinking Water Disinfection Byproduct Chloroform. Office of Science
and Technology, Office of Water. November 4, 1998. EPA 815-B-98-006.
PB 99-111346.
107. U.S. EPA. 1998q. Small System Compliance Technology List for
the Stage 1 DBP Rule. Office of Groundwater and Drinking Water. EPA
815-R-98-017. PB 99-111510.
108. U.S. EPA. 1998r. Technologies and Costs for Point-of-Entry
(POE) and Point-of-Use (POU) Devices for Control of Disinfection
Byproducts. Office of Groundwater and Drinking Water. EPA 815-R-98-
016. PB 99-111502.
109. U.S. EPA. 1998s. National-Level Affordability Criteria Under
the 1996 Amendments to the Safe Drinking Water Act. Office of
Groundwater and Drinking Water. August 19, 1998.
110. U.S. EPA. 1998t. Variance Technology Findings for Contaminants
Regulated Before 1996. Office of Water. September 1998. EPA 815-R-
98-003.
111. U.S. EPA. 1998u. Occurrence Assessment for Disinfectants and
Disinfection Byproducts in Public Drinking Water Supplies. Office of
Groundwater and Drinking Water. EPA 815-B-98-004. November 13, 1998.
PB 99-111320.
112. USGS. 1989. Method I-1030-85. Techniques of Water Resources
Investigations of the U.S. Geological Survey. Book 5, Chapter A-1,
3rd ed., U.S. Government Printing Office.
113. Waller K., Swan S. H., DeLorenze G., Hopkins B., 1998.
Trihalomethanes in drinking water and spontaneous abortion.
Epidemiology. 9(2):134-140.
[[Page 69463]]
114. White, M. C., Thompson, D., Harrington, G. W., and P.S. Singer.
1997. Evaluating Criteria for Enhanced Coagulation Compliance. AWWA,
89:5:64.
115. Xie, Yuefeng. 1995. Effects of Sodium Chloride on DBP
Analytical Results, Extended Abstract, Division of Environmental
Chemistry, American Chemical Society Annual Conference, Chicago, IL,
Aug. 21-26, 1995.
List of Subjects
40 CFR Part 9
Environmental protection, Reporting and recordkeeping requirements.
40 CFR Parts 141 and 142
Analytical methods, Drinking water, Environmental protection,
Incorporation by reference, Intergovernmental relations, Public
utilities, Reporting and recordkeeping requirements, Utilities, Water
supply.
Dated: November 30, 1998.
Carol M. Browner,
Administrator.
For the reasons set out in the preamble, title 40, chapter I of the
Code of Federal Regulations is amended as follows:
PART 9--[AMENDED]
1. The authority citation for part 9 continues to read as follows:
Authority: 7 U.S.C. 135 et seq., 136-136y; 15 U.S.C. 2001, 2003,
2005, 2006, 2601-2671; 21 U.S.C. 331j, 346a, 348; 31 U.S.C. 9701; 33
U.S.C. 1251 et seq., 1311, 1313d, 1314, 1318, 1321, 1326, 1330,
1342, 1344, 1345 (d) and (e), 1361; E.O. 11735, 38 FR 21243, 3 CFR,
1971-1975 Comp. p. 973; 42 U.S.C. 241, 242b, 243, 246, 300f, 300g,
300g-1, 300g-2, 300g-3, 300g-4, 300g-5, 300g-6, 300j-1, 300j-2,
300j-3, 300j-4, 300j-9, 1857 et seq., 6901-6992k, 7401-7671q, 7542,
9601-9657, 11023, 11048.
2. In Sec. 9.1 the table is amended by adding under the indicated
heading: the new entries in numerical order to read as follows:
Sec. 9.1 OMB approvals under the Paperwork Reduction Act.
* * * * *
------------------------------------------------------------------------
OMB control
40 CFR citation No.
------------------------------------------------------------------------
* * * * *
National Primary Drinking Water Regulations
* * * * *
141.130-141.132............................................ 2040-0204
141.134-141.135............................................ 2040-0204
* * * * *
------------------------------------------------------------------------
PART 141--NATIONAL PRIMARY DRINKING WATER REGULATIONS
3. The authority citation for part 141 continues to read as
follows:
Authority: 42 U.S.C. 300f, 300g-1, 300g-2, 300g-3, 300g-4, 300g-
5, 300g-6, 300j-4, 300j-9, and 300j-11.
4. Section 141.2 is amended by adding the following definitions in
alphabetical order to read as follows:
Sec. 141.2 Definitions.
* * * * *
Enhanced coagulation means the addition of sufficient coagulant for
improved removal of disinfection byproduct precursors by conventional
filtration treatment.
* * * * *
Enhanced softening means the improved removal of disinfection
byproduct precursors by precipitative softening.
* * * * *
GAC10 means granular activated carbon filter beds with an empty-bed
contact time of 10 minutes based on average daily flow and a carbon
reactivation frequency of every 180 days.
* * * * *
Haloacetic acids (five) (HAA5) mean the sum of the concentrations
in milligrams per liter of the haloacetic acid compounds
(monochloroacetic acid, dichloroacetic acid, trichloroacetic acid,
monobromoacetic acid, and dibromoacetic acid), rounded to two
significant figures after addition.
* * * * *
Maximum residual disinfectant level (MRDL) means a level of a
disinfectant added for water treatment that may not be exceeded at the
consumer's tap without an unacceptable possibility of adverse health
effects. For chlorine and chloramines, a PWS is in compliance with the
MRDL when the running annual average of monthly averages of samples
taken in the distribution system, computed quarterly, is less than or
equal to the MRDL. For chlorine dioxide, a PWS is in compliance with
the MRDL when daily samples are taken at the entrance to the
distribution system and no two consecutive daily samples exceed the
MRDL. MRDLs are enforceable in the same manner as maximum contaminant
levels under Section 1412 of the Safe Drinking Water Act. There is
convincing evidence that addition of a disinfectant is necessary for
control of waterborne microbial contaminants. Notwithstanding the MRDLs
listed in Sec. 141.65, operators may increase residual disinfectant
levels of chlorine or chloramines (but not chlorine dioxide) in the
distribution system to a level and for a time necessary to protect
public health to address specific microbiological contamination
problems caused by circumstances such as distribution line breaks,
storm runoff events, source water contamination, or cross-connections.
* * * * *
Maximum residual disinfectant level goal (MRDLG) means the maximum
level of a disinfectant added for water treatment at which no known or
anticipated adverse effect on the health of persons would occur, and
which allows an adequate margin of safety. MRDLGs are nonenforceable
health goals and do not reflect the benefit of the addition of the
chemical for control of waterborne microbial contaminants.
* * * * *
Subpart H systems means public water systems using surface water or
ground water under the direct influence of surface water as a source
that are subject to the requirements of subpart H of this part.
* * * * *
SUVA means Specific Ultraviolet Absorption at 254 nanometers (nm),
an indicator of the humic content of water. It is a calculated
parameter obtained by dividing a sample's ultraviolet absorption at a
wavelength of 254 nm (UV 254) (in m =1) by its
concentration of dissolved organic carbon (DOC) (in mg/L).
* * * * *
Total Organic Carbon (TOC) means total organic carbon in mg/L
measured using heat, oxygen, ultraviolet irradiation, chemical
oxidants, or combinations of these oxidants that convert organic carbon
to carbon dioxide, rounded to two significant figures.
* * * * *
5. Section 141.12 is revised to read as follows:
Sec. 141.12 Maximum contaminant levels for total trihalomethanes.
The maximum contaminant level of 0.10 mg/L for total
trihalomethanes (the sum of the concentrations of bromodichloromethane,
dibromochloromethane, tribromomethane (bromoform), and trichloromethane
(chloroform)) applies to subpart H community water systems which serve
a population of 10,000 people or more until December 16, 2001. This
level applies to community water systems that use only ground water not
under the direct influence of surface water and serve a population of
10,000 people or more until December
[[Page 69464]]
16, 2003. Compliance with the maximum contaminant level for total
trihalomethanes is calculated pursuant to Sec. 141.30. After December
16, 2003, this section is no longer applicable.
6. Section 141.30 is amended by revising the the first sentences in
paragraphs (d) and (f) and adding paragraph (h) to read as follows:
Sec. 141.30 Total trihalomethanes sampling, analytical and other
requirements.
* * * * *
(d) Compliance with Sec. 141.12 shall be determined based on a
running annual average of quarterly samples collected by the system as
prescribed in paragraph (b)(1) or (2) of this section. * * *
* * * * *
(f) Before a community water system makes any significant
modifications to its existing treatment process for the purposes of
achieving compliance with Sec. 141.12, such system must submit and
obtain State approval of a detailed plan setting forth its proposed
modification and those safeguards that it will implement to ensure that
the bacteriological quality of the drinking water served by such system
will not be adversely affected by such modification. * * *
* * * * *
(h) The requirements in paragraphs (a) through (g) of this section
apply to subpart H community water systems which serve a population of
10,000 or more until December 16, 2001. The requirements in paragraphs
(a) through (g) of this section apply to community water systems which
use only ground water not under the direct influence of surface water
that add a disinfectant (oxidant) in any part of the treatment process
and serve a population of 10,000 or more until December 16, 2003. After
December 16, 2003, this section is no longer applicable.
7. Section 141.32 is amended by revising the heading in paragraph
(a) introductory text, the first sentence of paragraph (a)(1)(iii)
introductory text, and the first sentence of paragraph (c), and adding
paragraphs (a)(1)(iii)(E) and (e) (76) through (81), to read as
follows:
Sec. 141.32 Public notification.
* * * * *
(a) Maximum contaminant levels (MCLs), maximum residual
disinfectant levels (MRDLs). * * *
(1) * * *
(iii) For violations of the MCLs of contaminants or MRDLs of
disinfectants that may pose an acute risk to human health, by
furnishing a copy of the notice to the radio and television stations
serving the area served by the public water system as soon as possible
but in no case later than 72 hours after the violation. ***
* * * * *
(E) Violation of the MRDL for chlorine dioxide as defined in
Sec. 141.65 and determined according to Sec. 141.133(c)(2).
* * * * *
(c) * * * The owner or operator of a community water system must
give a copy of the most recent public notice for any outstanding
violation of any maximum contaminant level, or any maximum residual
disinfectant level, or any treatment technique requirement, or any
variance or exemption schedule to all new billing units or new hookups
prior to or at the time service begins.
* * * * *
(e) * * *
(76) Chlorine. The United States Environmental Protection Agency
(EPA) sets drinking water standards and has determined that chlorine is
a health concern at certain levels of exposure. Chlorine is added to
drinking water as a disinfectant to kill bacteria and other disease-
causing microorganisms and is also added to provide continuous
disinfection throughout the distribution system. Disinfection is
required for surface water systems. However, at high doses for extended
periods of time, chlorine has been shown to affect blood and the liver
in laboratory animals. EPA has set a drinking water standard for
chlorine to protect against the risk of these adverse effects. Drinking
water which meets this EPA standard is associated with little to none
of this risk and should be considered safe with respect to chlorine.
(77) Chloramines. The United States Environmental Protection Agency
(EPA) sets drinking water standards and has determined that chloramines
are a health concern at certain levels of exposure. Chloramines are
added to drinking water as a disinfectant to kill bacteria and other
disease-causing microorganisms and are also added to provide continuous
disinfection throughout the distribution system. Disinfection is
required for surface water systems. However, at high doses for extended
periods of time, chloramines have been shown to affect blood and the
liver in laboratory animals. EPA has set a drinking water standard for
chloramines to protect against the risk of these adverse effects.
Drinking water which meets this EPA standard is associated with little
to none of this risk and should be considered safe with respect to
chloramines.
(78) Chlorine dioxide. The United States Environmental Protection
Agency (EPA) sets drinking water standards and has determined that
chlorine dioxide is a health concern at certain levels of exposure.
Chlorine dioxide is used in water treatment to kill bacteria and other
disease-causing microorganisms and can be used to control tastes and
odors. Disinfection is required for surface water systems. However, at
high doses, chlorine dioxide-treated drinking water has been shown to
affect blood in laboratory animals. Also, high levels of chlorine
dioxide given to laboratory animals in drinking water have been shown
to cause neurological effects on the developing nervous system. These
neurodevelopmental effects may occur as a result of a short-term
excessive chlorine dioxide exposure. To protect against such
potentially harmful exposures, EPA requires chlorine dioxide monitoring
at the treatment plant, where disinfection occurs, and at
representative points in the distribution system serving water users.
EPA has set a drinking water standard for chlorine dioxide to protect
against the risk of these adverse effects.
Note: In addition to the language in this introductory text of
paragraph (e)(78), systems must include either the language in
paragraph (e)(78)(i) or (e)(78)(ii) of this section. Systems with a
violation at the treatment plant, but not in the distribution
system, are required to use the language in paragraph (e)(78)(i) of
this section and treat the violation as a nonacute violation.
Systems with a violation in the distribution system are required to
use the language in paragraph (e)(78)(ii) of this section and treat
the violation as an acute violation.
(i) The chlorine dioxide violations reported today are the result
of exceedances at the treatment facility only, and do not include
violations within the distribution system serving users of this water
supply. Continued compliance with chlorine dioxide levels within the
distribution system minimizes the potential risk of these violations to
present consumers.
(ii) The chlorine dioxide violations reported today include
exceedances of the EPA standard within the distribution system serving
water users. Violations of the chlorine dioxide standard within the
distribution system may harm human health based on short-term
exposures. Certain groups, including pregnant women, infants, and young
children, may be especially susceptible to adverse effects of excessive
exposure to chlorine dioxide-treated water. The purpose of this notice
is to advise that such persons should consider reducing their risk of
adverse effects from these chlorine dioxide violations by seeking
alternate sources of water for human consumption until such exceedances
are rectified. Local
[[Page 69465]]
and State health authorities are the best sources for information
concerning alternate drinking water.
(79) Disinfection byproducts and treatment technique for DBPs. The
United States Environmental Protection Agency (EPA) sets drinking water
standards and requires the disinfection of drinking water. However,
when used in the treatment of drinking water, disinfectants react with
naturally-occurring organic and inorganic matter present in water to
form chemicals called disinfection byproducts (DBPs). EPA has
determined that a number of DBPs are a health concern at certain levels
of exposure. Certain DBPs, including some trihalomethanes (THMs) and
some haloacetic acids (HAAs), have been shown to cause cancer in
laboratory animals. Other DBPs have been shown to affect the liver and
the nervous system, and cause reproductive or developmental effects in
laboratory animals. Exposure to certain DBPs may produce similar
effects in people. EPA has set standards to limit exposure to THMs,
HAAs, and other DBPs.
(80) Bromate. The United States Environmental Protection Agency
(EPA) sets drinking water standards and has determined that bromate is
a health concern at certain levels of exposure. Bromate is formed as a
byproduct of ozone disinfection of drinking water. Ozone reacts with
naturally occurring bromide in the water to form bromate. Bromate has
been shown to produce cancer in rats. EPA has set a drinking water
standard to limit exposure to bromate.
(81) Chlorite. The United States Environmental Protection Agency
(EPA) sets drinking water standards and has determined that chlorite is
a health concern at certain levels of exposure. Chlorite is formed from
the breakdown of chlorine dioxide, a drinking water disinfectant.
Chlorite in drinking water has been shown to affect blood and the
developing nervous system. EPA has set a drinking water standard for
chlorite to protect against these effects. Drinking water which meets
this standard is associated with little to none of these risks and
should be considered safe with respect to chlorite.
* * * * *
8. Subpart F is amended by revising the subpart heading and adding
Secs. 141.53 and 141.54 to read as follows:
Subpart F--Maximum Contaminant Level Goals and Maximum Residual
Disinfectant Level Goals
* * * * *
Sec. 141.53--Maximum contaminant level goals for disinfection
byproducts.
MCLGs for the following disinfection byproducts are as indicated:
------------------------------------------------------------------------
MCLG (mg/
Disinfection byproduct L)
------------------------------------------------------------------------
Chloroform.................................................... Zero
Bromodichloromethane.......................................... Zero
Bromoform..................................................... Zero
Bromate....................................................... Zero
Dichloroacetic acid........................................... Zero
Trichloroacetic acid.......................................... 0.3
Chlorite...................................................... 0.8
Dibromochloromethane.......................................... 0.06
------------------------------------------------------------------------
Sec. 141.54 Maximum residual disinfectant level goals for
disinfectants.
MRDLGs for disinfectants are as follows:
------------------------------------------------------------------------
Disinfectant residual MRDLG(mg/L)
------------------------------------------------------------------------
Chlorine................................ 4 (as Cl 2).
Chloramines............................. 4 (as Cl 2).
Chlorine dioxide........................ 0.8 (as ClO2)
------------------------------------------------------------------------
9. Subpart G is amended by revising the subpart heading and adding
Secs. 141.64 and 141.65 to read as follows:
Subpart G--National Revised Primary Drinking Water Regulations:
Maximum Contaminant Levels and Maximum Residual Disinfectant Levels
* * * * *
Sec. 141.64 Maximum contaminant levels for disinfection byproducts.
(a) The maximum contaminant levels (MCLs) for disinfection
byproducts are as follows:
------------------------------------------------------------------------
MCL (mg/
Disinfection byproduct L)
------------------------------------------------------------------------
Total trihalomethanes (TTHM).................................. 0.080
Haloacetic acids (five) (HAA5)................................ 0.060
Bromate....................................................... 0.010
Chlorite...................................................... 1.0
------------------------------------------------------------------------
(b) Compliance dates. (1) CWSs and NTNCWSs. Subpart H systems
serving 10,000 or more persons must comply with this section beginning
December 16, 2001. Subpart H systems serving fewer than 10,000 persons
and systems using only ground water not under the direct influence of
surface water must comply with this section beginning December 16,
2003.
(2) A system that is installing GAC or membrane technology to
comply with this section may apply to the State for an extension of up
to 24 months past the dates in paragraphs (b)(1) of this section, but
not beyond December 16, 2003. In granting the extension, States must
set a schedule for compliance and may specify any interim measures that
the system must take. Failure to meet the schedule or interim treatment
requirements constitutes a violation of a National Primary Drinking
Water Regulation.
(c) The Administrator, pursuant to Section 1412 of the Act, hereby
identifies the following as the best technology, treatment techniques,
or other means available for achieving compliance with the maximum
contaminant levels for disinfection byproducts identified in paragraph
(a) of this section:
------------------------------------------------------------------------
Disinfection byproduct Best available technology
------------------------------------------------------------------------
TTHM................................... Enhanced coagulation or
enhanced softening or GAC10,
with chlorine as the primary
and residual disinfectant
HAA5................................... Enhanced coagulation or
enhanced softening or GAC10,
with chlorine as the primary
and residual disinfectant.
Bromate................................ Control of ozone treatment
process to reduce production
of bromate.
Chlorite............................... Control of treatment processes
to reduce disinfectant demand
and control of disinfection
treatment processes to reduce
disinfectant levels.
------------------------------------------------------------------------
Sec. 141.65 Maximum residual disinfectant levels.
(a) Maximum residual disinfectant levels (MRDLs) are as follows:
------------------------------------------------------------------------
Disinfectant residual MRDL (mg/L)
------------------------------------------------------------------------
Chlorine................................ 4.0 (as Cl2).
Chloramines............................. 4.0 (as Cl2).
Chlorine dioxide........................ 0.8 (as ClO2).
------------------------------------------------------------------------
(b) Compliance dates.
(1) CWSs and NTNCWSs. Subpart H systems serving 10,000 or more
persons must comply with this section beginning December 16, 2001.
Subpart H systems serving fewer than 10,000 persons and systems using
only ground water not under the direct influence of surface water must
comply with this subpart beginning December 16, 2003.
(2) Transient NCWSs. Subpart H systems serving 10,000 or more
persons and using chlorine dioxide as a disinfectant or oxidant must
comply with the chlorine dioxide MRDL beginning December 16, 2001.
Subpart H systems serving fewer than 10,000 persons and using chlorine
dioxide as a disinfectant or oxidant and systems using only ground
water not under the direct influence of surface water and using
chlorine dioxide as a disinfectant or oxidant must comply with the
[[Page 69466]]
chlorine dioxide MRDL beginning December 16, 2003.
(c) The Administrator, pursuant to Section 1412 of the Act, hereby
identifies the following as the best technology, treatment techniques,
or other means available for achieving compliance with the maximum
residual disinfectant levels identified in paragraph (a) of this
section: control of treatment processes to reduce disinfectant demand
and control of disinfection treatment processes to reduce disinfectant
levels.
10. A new subpart L is added to read as follows:
Subpart L--Disinfectant Residuals, Disinfection Byproducts, and
Disinfection Byproduct Precursors
Sec.
141.130 General requirements.
141.131 Analytical requirements.
141.132 Monitoring requirements.
141.133 Compliance requirements.
141.134 Reporting and recordkeeping requirements.
141.135 Treatment technique for control of disinfection byproduct
(DBP) precursors.
Sec. 141.130 General requirements.
(a) The requirements of this subpart L constitute national primary
drinking water regulations.
(1) The regulations in this subpart establish criteria under which
community water systems (CWSs) and nontransient, noncommunity water
systems (NTNCWSs) which add a chemical disinfectant to the water in any
part of the drinking water treatment process must modify their
practices to meet MCLs and MRDLs in Secs. 141.64 and 141.65,
respectively, and must meet the treatment technique requirements for
disinfection byproduct precursors in Sec. 141.135.
(2) The regulations in this subpart establish criteria under which
transient NCWSs that use chlorine dioxide as a disinfectant or oxidant
must modify their practices to meet the MRDL for chlorine dioxide in
Sec. 141.65.
(3) EPA has established MCLs for TTHM and HAA5 and treatment
technique requirements for disinfection byproduct precursors to limit
the levels of known and unknown disinfection byproducts which may have
adverse health effects. These disinfection byproducts may include
chloroform; bromodichloromethane; dibromochloromethane; bromoform;
dichloroacetic acid; and trichloroacetic acid.
(b) Compliance dates. (1) CWSs and NTNCWSs. Unless otherwise noted,
systems must comply with the requirements of this subpart as follows.
Subpart H systems serving 10,000 or more persons must comply with this
subpart beginning December 16, 2001. Subpart H systems serving fewer
than 10,000 persons and systems using only ground water not under the
direct influence of surface water must comply with this subpart
beginning December 16, 2003.
(2) Transient NCWSs. Subpart H systems serving 10,000 or more
persons and using chlorine dioxide as a disinfectant or oxidant must
comply with any requirements for chlorine dioxide and chlorite in this
subpart beginning December 16, 2001. Subpart H systems serving fewer
than 10,000 persons and using chlorine dioxide as a disinfectant or
oxidant and systems using only ground water not under the direct
influence of surface water and using chlorine dioxide as a disinfectant
or oxidant must comply with any requirements for chlorine dioxide and
chlorite in this subpart beginning December 16, 2003.
(c) Each CWS and NTNCWS regulated under paragraph (a) of this
section must be operated by qualified personnel who meet the
requirements specified by the State and are included in a State
register of qualified operators.
(d) Control of disinfectant residuals. Notwithstanding the MRDLs in
Sec. 141.65, systems may increase residual disinfectant levels in the
distribution system of chlorine or chloramines (but not chlorine
dioxide) to a level and for a time necessary to protect public health,
to address specific microbiological contamination problems caused by
circumstances such as, but not limited to, distribution line breaks,
storm run-off events, source water contamination events, or cross-
connection events.
Sec. 141.131 Analytical requirements.
(a) General. (1) Systems must use only the analytical method(s)
specified in this section, or otherwise approved by EPA for monitoring
under this subpart, to demonstrate compliance with the requirements of
this subpart. These methods are effective for compliance monitoring
February 16, 1999.
(2) The following documents are incorporated by reference. The
Director of the Federal Register approves this incorporation by
reference in accordance with 5 U.S.C. 552(a) and 1 CFR part 51. Copies
may be inspected at EPA's Drinking Water Docket, 401 M Street, SW,
Washington, DC 20460, or at the Office of the Federal Register, 800
North Capitol Street, NW, Suite 700, Washington DC. EPA Method 552.1 is
in Methods for the Determination of Organic Compounds in Drinking
Water-Supplement II, USEPA, August 1992, EPA/600/R-92/129 (available
through National Information Technical Service (NTIS), PB92-207703).
EPA Methods 502.2, 524.2, 551.1, and 552.2 are in Methods for the
Determination of Organic Compounds in Drinking Water-Supplement III,
USEPA, August 1995, EPA/600/R-95/131. (available through NTIS, PB95-
261616). EPA Method 300.0 is in Methods for the Determination of
Inorganic Substances in Environmental Samples, USEPA, August 1993, EPA/
600/R-93/100. (available through NTIS, PB94-121811). EPA Method 300.1
is titled USEPA Method 300.1, Determination of Inorganic Anions in
Drinking Water by Ion Chromatography, Revision 1.0, USEPA, 1997, EPA/
600/R-98/118 (available through NTIS, PB98-169196); also available
from: Chemical Exposure Research Branch, Microbiological & Chemical
Exposure Assessment Research Division, National Exposure Research
Laboratory, U.S. Environmental Protection Agency, Cincinnati, OH 45268,
Fax Number: 513-569-7757, Phone number: 513-569-7586. Standard Methods
4500-Cl D, 4500-Cl E, 4500-Cl F, 4500-Cl G, 4500-Cl H, 4500-Cl I, 4500-
ClO2 D, 4500-ClO2 E, 6251 B, and 5910 B shall be
followed in accordance with Standard Methods for the Examination of
Water and Wastewater, 19th Edition, American Public Health Association,
1995; copies may be obtained from the American Public Health
Association, 1015 Fifteenth Street, NW, Washington, DC 20005. Standard
Methods 5310 B, 5310 C, and 5310 D shall be followed in accordance with
the Supplement to the 19th Edition of Standard Methods for the
Examination of Water and Wastewater, American Public Health
Association, 1996; copies may be obtained from the American Public
Health Association, 1015 Fifteenth Street, NW, Washington, DC 20005.
ASTM Method D 1253-86 shall be followed in accordance with the Annual
Book of ASTM Standards, Volume 11.01, American Society for Testing and
Materials, 1996 edition; copies may be obtained from the American
Society for Testing and Materials, 100 Barr Harbor Drive, West
Conshohoken, PA 19428.
(b) Disinfection byproducts. (1) Systems must measure disinfection
byproducts by the methods (as modified by the footnotes) listed in the
following table:
[[Page 69467]]
Approved Methods for Disinfection Byproduct Compliance Monitoring
--------------------------------------------------------------------------------------------------------------------------------------------------------
Byproduct measured \1\
Methodology \2\ EPA method Standard method -------------------------------------------------------
TTHM HAA5 Chlorite \4\ Bromate
--------------------------------------------------------------------------------------------------------------------------------------------------------
P&T/GC/ElCD & PID......................... \3\502.2 X
P&T/GC/MS................................. 524.2 X
LLE/GC/ECD................................ 551.1 X
LLE/GC/ECD................................ 6251 B X
SPE/GC/ECD................................ 552.1 X
LLE/GC/ECD................................ 552.2 X
Amperometric Titration.................... 4500-ClO2 E X
IC........................................ 300.0 X
IC........................................ 300.1 X X
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ X indicates method is approved for measuring specified disinfection byproduct.
\2\ P&T = purge and trap; GC = gas chromatography; ElCD = electrolytic conductivity detector; PID = photoionization detector; MS = mass spectrometer;
LLE = liquid/liquid extraction; ECD = electron capture detector; SPE = solid phase extractor; IC = ion chromatography.
\3\ If TTHMs are the only analytes being measured in the sample, then a PID is not required.
\4\ Amperometric titration may be used for routine daily monitoring of chlorite at the entrance to the distribution system, as prescribed in Sec.
141.132(b)(2)(i)(A). Ion chromatography must be used for routine monthly monitoring of chlorite and additional monitoring of chlorite in the
distribution system, as prescribed in Sec. 141.132(b)(2)(i)(B) and (b)(2)(ii).
(2) Analysis under this section for disinfection byproducts must be
conducted by laboratories that have received certification by EPA or
the State. To receive certification to conduct analyses for the
contaminants in Sec. 141.64(a), the laboratory must carry out annual
analyses of performance evaluation (PE) samples approved by EPA or the
State. In these analyses of PE samples, the laboratory must achieve
quantitative results within the acceptance limit on a minimum of 80% of
the analytes included in each PE sample. The acceptance limit is
defined as the 95% confidence interval calculated around the mean of
the PE study data between a maximum and minimum acceptance limit of +/
-50% and +/-15% of the study mean.
(c) Disinfectant residuals. (1) Systems must measure residual
disinfectant concentrations for free chlorine, combined chlorine
(chloramines), and chlorine dioxide by the methods listed in the
following table:
Approved Methods for Disinfectant Residual Compliance Monitoring
--------------------------------------------------------------------------------------------------------------------------------------------------------
Residual Measured \1\
-------------------------------------------------------
Methodology Standard method ASTM method Free Combined Total Chlorine
chlorine chlorine chlorine dioxide
--------------------------------------------------------------------------------------------------------------------------------------------------------
Amperometric Titration.............. 4500-Cl D D 1253-86 X X X
Low Level Amperometric Titration.... 4500-Cl E X
DPD Ferrous Titrimetric............. 4500-Cl F X X X
DPD Colorimetric.................... 4500-Cl G X X X
Syringaldazin e (FACTS)............. 4500-Cl H X
Iodometric Electrode................ 4500-Cl I X
DPD................................. 4500-ClO2 D X
Amperometric Method II.............. 4500-ClO2 E X
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ X indicates method is approved for measuring specified disinfectant residual.
(2) If approved by the State, systems may also measure residual
disinfectant concentrations for chlorine, chloramines, and chlorine
dioxide by using DPD colorimetric test kits.
(3) A party approved by EPA or the State must measure residual
disinfectant concentration.
(d) Additional analytical methods. Systems required to analyze
parameters not included in paragraphs (b) and (c) of this section must
use the following methods. A party approved by EPA or the State must
measure these parameters.
(1) Alkalinity. All methods allowed in Sec. 141.89(a) for measuring
alkalinity.
(2) Bromide. EPA Method 300.0 or EPA Method 300.1.
(3) Total Organic Carbon (TOC). Standard Method 5310 B (High-
Temperature Combustion Method) or Standard Method 5310 C (Persulfate-
Ultraviolet or Heated-Persulfate Oxidation Method) or Standard Method
5310 D (Wet-Oxidation Method). TOC samples may not be filtered prior to
analysis. TOC samples must either be analyzed or must be acidified to
achieve pH less than 2.0 by minimal addition of phosphoric or sulfuric
acid as soon as practical after sampling, not to exceed 24 hours.
Acidified TOC samples must be analyzed within 28 days.
(4) Specific Ultraviolet Absorbance (SUVA). SUVA is equal to the UV
absorption at 254nm (UV254) (measured in m-\1\ divided by
the dissolved organic carbon (DOC) concentration (measured as mg/L). In
order to determine SUVA, it is necessary to separately measure
UV254 and DOC. When determining SUVA, systems must use the
methods stipulated in paragraph (d)(4)(i) of this section to measure
DOC and the method stipulated in paragraph (d)(4)(ii) of this section
to measure UV254. SUVA must be determined on water prior to
the addition of disinfectants/oxidants by the system. DOC and
UV254 samples used to determine a SUVA value must be taken
at the same time and at the same location.
(i) Dissolved Organic Carbon (DOC). Standard Method 5310 B (High-
Temperature Combustion Method) or Standard Method 5310 C (Persulfate-
Ultraviolet or Heated-Persulfate Oxidation Method) or Standard Method
[[Page 69468]]
5310 D (Wet-Oxidation Method). Prior to analysis, DOC samples must be
filtered through a 0.45 m pore-diameter filter. Water passed
through the filter prior to filtration of the sample must serve as the
filtered blank. This filtered blank must be analyzed using procedures
identical to those used for analysis of the samples and must meet the
following criteria: DOC < 0.5="" mg/l.="" doc="" samples="" must="" be="" filtered="" through="" the="" 0.45="">m pore-diameter filter prior to
acidification. DOC samples must either be analyzed or must be acidified
to achieve pH less than 2.0 by minimal addition of phosphoric or
sulfuric acid as soon as practical after sampling, not to exceed 48
hours. Acidified DOC samples must be analyzed within 28 days.
(ii) Ultraviolet Absorption at 254 nm (UV254). Method
5910 B (Ultraviolet Absorption Method). UV absorption must be measured
at 253.7 nm (may be rounded off to 254 nm). Prior to analysis,
UV254 samples must be filtered through a 0.45 m
pore-diameter filter. The pH of UV254 samples may not be
adjusted. Samples must be analyzed as soon as practical after sampling,
not to exceed 48 hours.
(5) pH. All methods allowed in Sec. 141.23(k)(1) for measuring pH.
Sec. 141.132 Monitoring requirements.
(a) General requirements. (1) Systems must take all samples during
normal operating conditions.
(2) Systems may consider multiple wells drawing water from a single
aquifer as one treatment plant for determining the minimum number of
TTHM and HAA5 samples required, with State approval in accordance with
criteria developed under Sec. 142.16(f)(5) of this chapter.
(3) Failure to monitor in accordance with the monitoring plan
required under paragraph (f) of this section is a monitoring violation.
(4) Failure to monitor will be treated as a violation for the
entire period covered by the annual average where compliance is based
on a running annual average of monthly or quarterly samples or averages
and the system's failure to monitor makes it impossible to determine
compliance with MCLs or MRDLs.
(5) Systems may use only data collected under the provisions of
this subpart or subpart M of this part to qualify for reduced
monitoring.
(b) Monitoring requirements for disinfection byproducts. (1) TTHMs
and HAA5. (i) Routine monitoring. Systems must monitor at the frequency
indicated in the following table:
Routine Monitoring Frequency for TTHM and HAA5
----------------------------------------------------------------------------------------------------------------
Minimum monitoring
Type of system frequency Sample location in the distribution system
----------------------------------------------------------------------------------------------------------------
Subpart H system serving at least Four water samples per At least 25 percent of all samples collected
10,000 persons. quarter per treatment each quarter at locations representing
plant. maximum residence time. Remaining samples
taken at locations representative of at least
average residence time in the distribution
system and representing the entire
distribution system, taking into account
number of persons served, different sources
of water, and different treatment methods.\1\
Subpart H system serving from 500 One water sample per Locations representing maximum residence
to 9,999 persons. quarter per treatment time.\1\
plant.
Subpart H system serving fewer than One sample per year per Locations representing maximum residence
500 persons. treatment plant during time.\1\ If the sample (or average of annual
month of warmest water samples, if more than one sample is taken)
temperature. exceeds MCL, system must increase monitoring
to one sample per treatment plant per
quarter, taken at a point reflecting the
maximum residence time in the distribution
system, until system meets reduced monitoring
criteria in paragraph (c) of this section.
System using only ground water not One water sample per Locations representing maximum residence
under direct influence of surface quarter per treatment time.\1\
water using chemical disinfectant plant \2\.
and serving at least 10,000
persons.
System using only ground water not One sample per year per Locations representing maximum residence
under direct influence of surface treatment plant \2\ during time.\1\ If the sample (or average of annual
water using chemical disinfectant month of warmest water samples, if more than one sample is taken)
and serving fewer than 10,000 temperature. exceeds MCL, system must increase monitoring
persons. to one sample per treatment plant per
quarter, taken at a point reflecting the
maximum residence time in the distribution
system, until system meets criteria in
paragraph (c) of this section for reduced
monitoring.
----------------------------------------------------------------------------------------------------------------
\1\ If a system elects to sample more frequently than the minimum required, at least 25 percent of all samples
collected each quarter (including those taken in excess of the required frequency) must be taken at locations
that represent the maximum residence time of the water in the distribution system. The remaining samples must
be taken at locations representative of at least average residence time in the distribution system.
\2\ Multiple wells drawing water from a single aquifer may be considered one treatment plant for determining the
minimum number of samples required, with State approval in accordance with criteria developed under Sec.
142.16(f)(5) of this chapter.
(ii) Systems may reduce monitoring, except as otherwise provided,
in accordance with the following table:
[[Page 69469]]
Reduced Monitoring Frequency for TTHM and HAA5
----------------------------------------------------------------------------------------------------------------
You may reduce monitoring
If you are a . . . if you have monitored at To this level
least one year and your . .
--------------------------------------------------.-------------------------------------------------------------
Subpart H system serving at least TTHM annual average 0.040 mg/L and HAA5 distribution system location reflecting
water annual average TOC level, annual average 0.030 mg/L.
eq>4.0 mg/L.
Subpart H system serving from 500 TTHM annual average 0.040 mg/L and HAA5 distribution system location reflecting
source water annual average TOC annual average 0.030 mg/L. warmest water temperature. NOTE: Any Subpart
thn-eq>4.0 mg/L. H system serving fewer than 500 persons may
not reduce its monitoring to less than one
sample per treatment plant per year.
System using only ground water not TTHM annual average 0.040 mg/L and HAA5 distribution system location reflecting
water using chemical disinfectant annual average 0.030 mg/L. warmest water temperature
persons.
System using only ground water not TTHM annual average 0.040 mg/L and HAA5 monitoring cycle at distribution system
water using chemical disinfectant annual average 0.030 mg/L for two during month of warmest water temperature,
persons. consecutive years OR TTHM with the three-year cycle beginning on
annual average 0.020 mg/L and HAA5 qualifies for reduced monitoring.
annual average 0.015 mg/L for one year.
----------------------------------------------------------------------------------------------------------------
(iii) Systems on a reduced monitoring schedule may remain on that
reduced schedule as long as the average of all samples taken in the
year (for systems which must monitor quarterly) or the result of the
sample (for systems which must monitor no more frequently than
annually) is no more than 0.060 mg/L and 0.045 mg/L for TTHMs and HAA5,
respectively. Systems that do not meet these levels must resume
monitoring at the frequency identified in paragraph (b)(1)(i) of this
section in the quarter immediately following the quarter in which the
system exceeds 0.060 mg/L and 0.045 mg/L for TTHMs and HAA5,
respectively.
(iv) The State may return a system to routine monitoring at the
State's discretion.
(2) Chlorite. Community and nontransient noncommunity water systems
using chlorine dioxide, for disinfection or oxidation, must conduct
monitoring for chlorite.
(i) Routine monitoring. (A) Daily monitoring. Systems must take
daily samples at the entrance to the distribution system. For any daily
sample that exceeds the chlorite MCL, the system must take additional
samples in the distribution system the following day at the locations
required by paragraph (b)(2)(ii) of this section, in addition to the
sample required at the entrance to the distribution system.
(B) Monthly monitoring. Systems must take a three-sample set each
month in the distribution system. The system must take one sample at
each of the following locations: near the first customer, at a location
representative of average residence time, and at a location reflecting
maximum residence time in the distribution system. Any additional
routine sampling must be conducted in the same manner (as three-sample
sets, at the specified locations). The system may use the results of
additional monitoring conducted under paragraph (b)(2)(ii) of this
section to meet the requirement for monitoring in this paragraph.
(ii) Additional monitoring. On each day following a routine sample
monitoring result that exceeds the chlorite MCL at the entrance to the
distribution system, the system is required to take three chlorite
distribution system samples at the following locations: as close to the
first customer as possible, in a location representative of average
residence time, and as close to the end of the distribution system as
possible (reflecting maximum residence time in the distribution
system).
(iii) Reduced monitoring. (A) Chlorite monitoring at the entrance
to the distribution system required by paragraph (b)(2)(i)(A) of this
section may not be reduced.
(B) Chlorite monitoring in the distribution system required by
paragraph (b)(2)(i)(B) of this section may be reduced to one three-
sample set per quarter after one year of monitoring where no individual
chlorite sample taken in the distribution system under paragraph
(b)(2)(i)(B) of this section has exceeded the chlorite MCL and the
system has not been required to conduct monitoring under paragraph
(b)(2)(ii) of this section. The system may remain on the reduced
monitoring schedule until either any of the three individual chlorite
samples taken quarterly in the distribution system under paragraph
(b)(2)(i)(B) of this section exceeds the chlorite MCL or the system is
required to conduct monitoring under paragraph (b)(2)(ii) of this
section, at which time the system must revert to routine monitoring.
(3) Bromate. (i) Routine monitoring. Community and nontransient
noncommunity systems using ozone, for disinfection or oxidation, must
take one sample per month for each treatment plant in the system using
ozone. Systems must take samples monthly at the entrance to the
distribution system while the ozonation system is operating under
normal conditions.
(ii) Reduced monitoring. Systems required to analyze for bromate
may reduce monitoring from monthly to once per quarter, if the system
demonstrates that the average source water bromide concentration is
less than 0.05 mg/L based upon representative monthly bromide
measurements for one year. The system may remain on reduced bromate
monitoring until the running annual average source water bromide
concentration, computed quarterly, is equal to or greater than 0.05 mg/
L based upon representative monthly measurements. If the running annual
average source water bromide concentration is 0.05 mg/L, the
system must resume routine monitoring
[[Page 69470]]
required by paragraph (b)(3)(i) of this section.
(c) Monitoring requirements for disinfectant residuals. (1)
Chlorine and chloramines. (i) Routine monitoring. Systems must measure
the residual disinfectant level at the same points in the distribution
system and at the same time as total coliforms are sampled, as
specified in Sec. 141.21. Subpart H systems may use the results of
residual disinfectant concentration sampling conducted under
Sec. 141.74(b)(6)(i) for unfiltered systems or Sec. 141.74(c)(3)(i) for
systems which filter, in lieu of taking separate samples.
(ii) Reduced monitoring. Monitoring may not be reduced.
(2) Chlorine dioxide. (i) Routine monitoring. Community,
nontransient noncommunity, and transient noncommunity water systems
that use chlorine dioxide for disinfection or oxidation must take daily
samples at the entrance to the distribution system. For any daily
sample that exceeds the MRDL, the system must take samples in the
distribution system the following day at the locations required by
paragraph (c)(2)(ii) of this section, in addition to the sample
required at the entrance to the distribution system.
(ii) Additional monitoring. On each day following a routine sample
monitoring result that exceeds the MRDL, the system is required to take
three chlorine dioxide distribution system samples. If chlorine dioxide
or chloramines are used to maintain a disinfectant residual in the
distribution system, or if chlorine is used to maintain a disinfectant
residual in the distribution system and there are no disinfection
addition points after the entrance to the distribution system (i.e., no
booster chlorination), the system must take three samples as close to
the first customer as possible, at intervals of at least six hours. If
chlorine is used to maintain a disinfectant residual in the
distribution system and there are one or more disinfection addition
points after the entrance to the distribution system (i.e., booster
chlorination), the system must take one sample at each of the following
locations: as close to the first customer as possible, in a location
representative of average residence time, and as close to the end of
the distribution system as possible (reflecting maximum residence time
in the distribution system).
(iii) Reduced monitoring. Chlorine dioxide monitoring may not be
reduced.
(d) Monitoring requirements for disinfection byproduct precursors
(DBPP). (1) Routine monitoring. Subpart H systems which use
conventional filtration treatment (as defined in Sec. 141.2) must
monitor each treatment plant for TOC no later than the point of
combined filter effluent turbidity monitoring and representative of the
treated water. All systems required to monitor under this paragraph
(d)(1) must also monitor for TOC in the source water prior to any
treatment at the same time as monitoring for TOC in the treated water.
These samples (source water and treated water) are referred to as
paired samples. At the same time as the source water sample is taken,
all systems must monitor for alkalinity in the source water prior to
any treatment. Systems must take one paired sample and one source water
alkalinity sample per month per plant at a time representative of
normal operating conditions and influent water quality.
(2) Reduced monitoring. Subpart H systems with an average treated
water TOC of less than 2.0 mg/L for two consecutive years, or less than
1.0 mg/L for one year, may reduce monitoring for both TOC and
alkalinity to one paired sample and one source water alkalinity sample
per plant per quarter. The system must revert to routine monitoring in
the month following the quarter when the annual average treated water
TOC 2.0 mg/L.
(e) Bromide. Systems required to analyze for bromate may reduce
bromate monitoring from monthly to once per quarter, if the system
demonstrates that the average source water bromide concentration is
less than 0.05 mg/L based upon representative monthly measurements for
one year. The system must continue bromide monitoring to remain on
reduced bromate monitoring.
(f) Monitoring plans. Each system required to monitor under this
subpart must develop and implement a monitoring plan. The system must
maintain the plan and make it available for inspection by the State and
the general public no later than 30 days following the applicable
compliance dates in Sec. 141.130(b). All Subpart H systems serving more
than 3300 people must submit a copy of the monitoring plan to the State
no later than the date of the first report required under Sec. 141.134.
The State may also require the plan to be submitted by any other
system. After review, the State may require changes in any plan
elements. The plan must include at least the following elements.
(1) Specific locations and schedules for collecting samples for any
parameters included in this subpart.
(2) How the system will calculate compliance with MCLs, MRDLs, and
treatment techniques.
(3) If approved for monitoring as a consecutive system, or if
providing water to a consecutive system, under the provisions of
Sec. 141.29, the sampling plan must reflect the entire distribution
system.
Sec. 141.133 Compliance requirements.
(a) General requirements. (1) Where compliance is based on a
running annual average of monthly or quarterly samples or averages and
the system's failure to monitor for TTHM, HAA5, or bromate, this
failure to monitor will be treated as a monitoring violation for the
entire period covered by the annual average. Where compliance is based
on a running annual average of monthly or quarterly samples or averages
and the system's failure to monitor makes it impossible to determine
compliance with MRDLs for chlorine and chloramines, this failure to
monitor will be treated as a monitoring violation for the entire period
covered by the annual average.
(2) All samples taken and analyzed under the provisions of this
subpart must be included in determining compliance, even if that number
is greater than the minimum required.
(3) If, during the first year of monitoring under Sec. 141.132, any
individual quarter's average will cause the running annual average of
that system to exceed the MCL, the system is out of compliance at the
end of that quarter.
(b) Disinfection byproducts. (1) TTHMs and HAA5. (i) For systems
monitoring quarterly, compliance with MCLs in Sec. 141.64 must be based
on a running annual arithmetic average, computed quarterly, of
quarterly arithmetic averages of all samples collected by the system as
prescribed by Sec. 141.132(b)(1). If the running annual arithmetic
average of quarterly averages covering any consecutive four-quarter
period exceeds the MCL, the system is in violation of the MCL and must
notify the public pursuant to Sec. 141.32, in addition to reporting to
the State pursuant to Sec. 141.134. If a PWS fails to complete four
consecutive quarters' monitoring, compliance with the MCL for the last
four-quarter compliance period must be based on an average of the
available data.
(ii) For systems monitoring less frequently than quarterly,
compliance must be based on an average of samples taken that year under
the provisions of Sec. 141.132(b)(1). If the average of these samples
exceeds the MCL, the system must increase monitoring to once per
quarter per treatment plant.
(iii) Systems on a reduced monitoring schedule whose annual average
exceeds the MCL will revert to routine monitoring immediately. These
systems
[[Page 69471]]
will not be considered in violation of the MCL until they have
completed one year of routine monitoring.
(2). Bromate. Compliance must be based on a running annual
arithmetic average, computed quarterly, of monthly samples (or, for
months in which the system takes more than one sample, the average of
all samples taken during the month) collected by the system as
prescribed by Sec. 141.132(b)(3). If the average of samples covering
any consecutive four-quarter period exceeds the MCL, the system is in
violation of the MCL and must notify the public pursuant to
Sec. 141.32, in addition to reporting to the State pursuant to
Sec. 141.134. If a PWS fails to complete 12 consecutive months'
monitoring, compliance with the MCL for the last four-quarter
compliance period must be based on an average of the available data.
(3) Chlorite. Compliance must be based on an arithmetic average of
each three sample set taken in the distribution system as prescribed by
Sec. 141.132(b)(2)(i)(B) and Sec. 141.132(b)(2)(ii). If the arithmetic
average of any three sample set exceeds the MCL, the system is in
violation of the MCL and must notify the public pursuant to
Sec. 141.32, in addition to reporting to the State pursuant to
Sec. 141.134.
(c) Disinfectant residuals. (1) Chlorine and chloramines. (i)
Compliance must be based on a running annual arithmetic average,
computed quarterly, of monthly averages of all samples collected by the
system under Sec. 141.132(c)(1). If the average of quarterly averages
covering any consecutive four-quarter period exceeds the MRDL, the
system is in violation of the MRDL and must notify the public pursuant
to Sec. 141.32, in addition to reporting to the State pursuant to
Sec. 141.134.
(ii) In cases where systems switch between the use of chlorine and
chloramines for residual disinfection during the year, compliance must
be determined by including together all monitoring results of both
chlorine and chloramines in calculating compliance. Reports submitted
pursuant to Sec. 141.134 must clearly indicate which residual
disinfectant was analyzed for each sample.
(2) Chlorine dioxide. (i) Acute violations. Compliance must be
based on consecutive daily samples collected by the system under
Sec. 141.132(c)(2). If any daily sample taken at the entrance to the
distribution system exceeds the MRDL, and on the following day one (or
more) of the three samples taken in the distribution system exceed the
MRDL, the system is in violation of the MRDL and must take immediate
corrective action to lower the level of chlorine dioxide below the MRDL
and must notify the public pursuant to the procedures for acute health
risks in Sec. 141.32(a)(1)(iii)(E). Failure to take samples in the
distribution system the day following an exceedance of the chlorine
dioxide MRDL at the entrance to the distribution system will also be
considered an MRDL violation and the system must notify the public of
the violation in accordance with the provisions for acute violations
under Sec. 141.32(a)(1)(iii)(E).
(ii) Nonacute violations. Compliance must be based on consecutive
daily samples collected by the system under Sec. 141.132(c)(2). If any
two consecutive daily samples taken at the entrance to the distribution
system exceed the MRDL and all distribution system samples taken are
below the MRDL, the system is in violation of the MRDL and must take
corrective action to lower the level of chlorine dioxide below the MRDL
at the point of sampling and will notify the public pursuant to the
procedures for nonacute health risks in Sec. 141.32(e)(78). Failure to
monitor at the entrance to the distribution system the day following an
exceedance of the chlorine dioxide MRDL at the entrance to the
distribution system is also an MRDL violation and the system must
notify the public of the violation in accordance with the provisions
for nonacute violations under Sec. 141.32(e)(78).
(d) Disinfection byproduct precursors (DBPP). Compliance must be
determined as specified by Sec. 141.135(b). Systems may begin
monitoring to determine whether Step 1 TOC removals can be met 12
months prior to the compliance date for the system. This monitoring is
not required and failure to monitor during this period is not a
violation. However, any system that does not monitor during this
period, and then determines in the first 12 months after the compliance
date that it is not able to meet the Step 1 requirements in
Sec. 141.135(b)(2) and must therefore apply for alternate minimum TOC
removal (Step 2) requirements, is not eligible for retroactive approval
of alternate minimum TOC removal (Step 2) requirements as allowed
pursuant to Sec. 141.135(b)(3) and is in violation. Systems may apply
for alternate minimum TOC removal (Step 2) requirements any time after
the compliance date.
Sec. 141.134 Reporting and recordkeeping requirements.
(a) Systems required to sample quarterly or more frequently must
report to the State within 10 days after the end of each quarter in
which samples were collected, notwithstanding the provisions of
Sec. 141.31. Systems required to sample less frequently than quarterly
must report to the State within 10 days after the end of each
monitoring period in which samples were collected.
(b) Disinfection byproducts. Systems must report the information
specified in the following table:
------------------------------------------------------------------------
If you are a... You must report...\1\
------------------------------------------------------------------------
System monitoring for TTHM and HAA5 (1) The number of samples taken
under the requirements of Secs. during the last quarter.
141.132(b) on a quarterly or more
frequent basis.
(2) The location, date, and
result of each sample taken
during the last quarter.
(3) The arithmetic average of
all samples taken in the last
quarter.
(4) The annual arithmetic
average of the quarterly
arithmetic averages of this
section for the last four
quarters.
(5) Whether the MCL was
exceeded.
System monitoring for TTHMs and HAA5 (1) The number of samples taken
under the requirements of Secs. during the last year.
141.132(b) less frequently than
quarterly (but at least annually).
(2) The location, date, and
result of each sample taken
during the last quarter.
(3) The arithmetic average of
all samples taken over the
last year.
(4) Whether the MCL was
exceeded.
System monitoring for TTHMs and HAA5 (1) The location, date, and
under the requirements of Sec. result of the last sample
141.132(b) less frequently than taken.
annually.
(2) Whether the MCL was
exceeded.
[[Page 69472]]
System monitoring for chlorite under (1) The number of samples taken
the requirements of Sec. 141.132(b). each month for the last 3
months.
(2) The location, date, and
result of each sample taken
during the last quarter.
(3) For each month in the
reporting period, the
arithmetic average of all
samples taken in the month.
(4) Whether the MCL was
exceeded, and in which month
it was exceeded.
System monitoring for bromate under the (1) The number of samples taken
requirements of Sec. 141.132(b). during the last quarter.
(2) The location, date, and
result of each sample taken
during the last quarter.
(3) The arithmetic average of
the monthly arithmetic
averages of all samples taken
in the last year.
(4) Whether the MCL was
exceeded.
------------------------------------------------------------------------
(c) Disinfectants. Systems must report the information specified in
the following table:
------------------------------------------------------------------------
If you are a... You must report...\1\
------------------------------------------------------------------------
System monitoring for chlorine or (1) The number of samples taken
chloramines under the requirements of during each month of the last
Sec. 141.132(c). quarter.
(2) The monthly arithmetic
average of all samples taken
in each month for the last 12
months.
(3) The arithmetic average of
all monthly averages for the
last 12 months.
(4) Whether the MRDL was
exceeded.
System monitoring for chlorine dioxide (1) The dates, results, and
under the requirements of Sec. locations of samples taken
141.132(c). during the last quarter.
(2) Whether the MRDL was
exceeded.
(3) Whether the MRDL was
exceeded in any two
consecutive daily samples and
whether the resulting
violation was acute or
nonacute.
------------------------------------------------------------------------
\1\ The State may choose to perform calculations and determine whether
the MRDL was exceeded, in lieu of having the system report that
information.
(d) Disinfection byproduct precursors and enhanced coagulation or
enhanced softening. Systems must report the information specified in
the following table:
------------------------------------------------------------------------
If you are a . . . You must report . . .\1\
------------------------------------------------------------------------
System monitoring monthly or quarterly (1) The number of paired
for TOC under the requirements of Sec. (source water and treated
141.132(d) and required to meet the water, prior to continuous
enhanced coagulation or enhanced disinfection) samples taken
softening requirements in Sec. during the last quarter.
141.135(b)(2) or (3).
(2) The location, date, and
result of each paired sample
and associated alkalinity
taken during the last quarter.
(3) For each month in the
reporting period that paired
samples were taken, the
arithmetic average of the
percent reduction of TOC for
each paired sample and the
required TOC percent removal.
(4) Calculations for
determining compliance with
the TOC percent removal
requirements, as provided in
Sec. 141.135(c)(1).
(5) Whether the system is in
compliance with the enhanced
coagulation or enhanced
softening percent removal
requirements in Sec.
141.135(b) for the last four
quarters.
System monitoring monthly or quarterly (1) The alternative compliance
for TOC under the requirements of Sec. criterion that the system is
141.132(d) and meeting one or more of using.
the alternative compliance criteria in
Sec. 141.135(a)(2) or (3).
(2) The number of paired
samples taken during the last
quarter.
(3) The location, date, and
result of each paired sample
and associated alkalinity
taken during the last quarter.
(4) The running annual
arithmetic average based on
monthly averages (or quarterly
samples) of source water TOC
for systems meeting a
criterion in Secs.
141.135(a)(2)(i) or (iii) or
of treated water TOC for
systems meeting the criterion
in Sec. 141.135(a)(2)(ii).
[[Page 69473]]
(5) The running annual
arithmetic average based on
monthly averages (or quarterly
samples) of source water SUVA
for systems meeting the
criterion in Sec.
141.135(a)(2)(v) or of treated
water SUVA for systems meeting
the criterion in Sec.
141.135(a)(2)(vi).
(6) The running annual average
of source water alkalinity for
systems meeting the criterion
in Sec. 141.135(a)(2)(iii)
and of treated water
alkalinity for systems meeting
the criterion in Sec.
141.135(a)(3)(i).
(7) The running annual average
for both TTHM and HAA5 for
systems meeting the criterion
in Sec. 141.135(a)(2)(iii) or
(iv).
(8) The running annual average
of the amount of magnesium
hardness removal (as CaCO3, in
mg/L) for systems meeting the
criterion in Sec.
141.135(a)(3)(ii).
(9) Whether the system is in
compliance with the particular
alternative compliance
criterion in Sec.
141.135(a)(2) or (3).
------------------------------------------------------------------------
\1\ The State may choose to perform calculations and determine whether
the treatment technique was met, in lieu of having the system report
that information.
Sec. 141.135 Treatment technique for control of disinfection byproduct
(DBP) precursors.
(a) Applicability. (1) Subpart H systems using conventional
filtration treatment (as defined in Sec. 141.2 ) must operate with
enhanced coagulation or enhanced softening to achieve the TOC percent
removal levels specified in paragraph (b) of this section unless the
system meets at least one of the alternative compliance criteria listed
in paragraph (a)(2) or (a)(3) of this section.
(2) Alternative compliance criteria for enhanced coagulation and
enhanced softening systems. Subpart H systems using conventional
filtration treatment may use the alternative compliance criteria in
paragraphs (a)(2)(i) through (vi) of this section to comply with this
section in lieu of complying with paragraph (b) of this section.
Systems must still comply with monitoring requirements in
Sec. 141.132(d).
(i) The system's source water TOC level, measured according to
Sec. 141.131(d)(3), is less than 2.0 mg/L, calculated quarterly as a
running annual average.
(ii) The system's treated water TOC level, measured according to
Sec. 141.131(d)(3), is less than 2.0 mg/L, calculated quarterly as a
running annual average.
(iii) The system's source water TOC level, measured as required by
Sec. 141.131(d)(3), is less than 4.0 mg/L, calculated quarterly as a
running annual average; the source water alkalinity, measured according
to Sec. 141.131(d)(1), is greater than 60 mg/L (as CaCO3),
calculated quarterly as a running annual average; and either the TTHM
and HAA5 running annual averages are no greater than 0.040 mg/L and
0.030 mg/L, respectively; or prior to the effective date for compliance
in Sec. 141.130(b), the system has made a clear and irrevocable
financial commitment not later than the effective date for compliance
in Sec. 141.130(b) to use of technologies that will limit the levels of
TTHMs and HAA5 to no more than 0.040 mg/L and 0.030 mg/L, respectively.
Systems must submit evidence of a clear and irrevocable financial
commitment, in addition to a schedule containing milestones and
periodic progress reports for installation and operation of appropriate
technologies, to the State for approval not later than the effective
date for compliance in Sec. 141.130(b). These technologies must be
installed and operating not later than June 16, 2005. Failure to
install and operate these technologies by the date in the approved
schedule will constitute a violation of National Primary Drinking Water
Regulations.
(iv) The TTHM and HAA5 running annual averages are no greater than
0.040 mg/L and 0.030 mg/L, respectively, and the system uses only
chlorine for primary disinfection and maintenance of a residual in the
distribution system.
(v) The system's source water SUVA, prior to any treatment and
measured monthly according to Sec. 141.131(d)(4), is less than or equal
to 2.0 L/mg-m, calculated quarterly as a running annual average.
(vi) The system's finished water SUVA, measured monthly according
to Sec. 141.131(d)(4), is less than or equal to 2.0 L/mg-m, calculated
quarterly as a running annual average.
(3) Additional alternative compliance criteria for softening
systems. Systems practicing enhanced softening that cannot achieve the
TOC removals required by paragraph (b)(2) of this section may use the
alternative compliance criteria in paragraphs (a)(3)(i) and (ii) of
this section in lieu of complying with paragraph (b) of this section.
Systems must still comply with monitoring requirements in
Sec. 141.132(d).
(i) Softening that results in lowering the treated water alkalinity
to less than 60 mg/L (as CaCO3), measured monthly according
to Sec. 141.131(d)(1) and calculated quarterly as a running annual
average.
(ii) Softening that results in removing at least 10 mg/L of
magnesium hardness (as CaCO3), measured monthly and
calculated quarterly as an annual running average.
(b) Enhanced coagulation and enhanced softening performance
requirements. (1) Systems must achieve the percent reduction of TOC
specified in paragraph (b)(2) of this section between the source water
and the combined filter effluent, unless the State approves a system's
request for alternate minimum TOC removal (Step 2) requirements under
paragraph (b)(3) of this section.
(2) Required Step 1 TOC reductions, indicated in the following
table, are based upon specified source water parameters measured in
accordance with Sec. 141.131(d). Systems practicing softening are
required to meet the Step 1 TOC reductions in the far-right column
(Source water alkalinity >120 mg/L) for the specified source water TOC:
[[Page 69474]]
Step 1 Required Removal of TOC by Enhanced Coagulation and Enhanced Softening for Subpart H Systems Using
Conventional Treatment 1,\\\2
----------------------------------------------------------------------------------------------------------------
Source-water alkalinity, mg/L as CaCO3
--------------------------------------------------
Source-water TOC, mg/L 60-120 >120 \3\
0-60 (percent) (percent) (percent)
----------------------------------------------------------------------------------------------------------------
>2.0-4.0..................................................... 35.0 25.0 15.0
>4.0-8.0..................................................... 45.0 35.0 25.0
>8.0......................................................... 50.0 40.0 30.0
----------------------------------------------------------------------------------------------------------------
\1\ Systems meeting at least one of the conditions in paragraph (a)(2)(i)-(vi) of this section are not required
to operate with enhanced coagulation.
\2\ Softening systems meeting one of the alternative compliance criteria in paragraph (a)(3) of this section are
not required to operate with enhanced softening.
\3\ Systems practicing softening must meet the TOC removal requirements in this column.
(3) Subpart H conventional treatment systems that cannot achieve
the Step 1 TOC removals required by paragraph (b)(2) of this section
due to water quality parameters or operational constraints must apply
to the State, within three months of failure to achieve the TOC
removals required by paragraph (b)(2) of this section, for approval of
alternative minimum TOC (Step 2) removal requirements submitted by the
system. If the State approves the alternative minimum TOC removal (Step
2) requirements, the State may make those requirements retroactive for
the purposes of determining compliance. Until the State approves the
alternate minimum TOC removal (Step 2) requirements, the system must
meet the Step 1 TOC removals contained in paragraph (b)(2) of this
section.
(4) Alternate minimum TOC removal (Step 2) requirements.
Applications made to the State by enhanced coagulation systems for
approval of alternative minimum TOC removal (Step 2) requirements under
paragraph (b)(3) of this section must include, as a minimum, results of
bench- or pilot-scale testing conducted under paragraph (b)(4)(i) of
this section and used to determine the alternate enhanced coagulation
level.
(i) Alternate enhanced coagulation level is defined as coagulation
at a coagulant dose and pH as determined by the method described in
paragraphs (b)(4)(i) through (v) of this section such that an
incremental addition of 10 mg/L of alum (as aluminum) (or equivalent
amount of ferric salt) results in a TOC removal of 0.3 mg/
L. The percent removal of TOC at this point on the ``TOC removal versus
coagulant dose'' curve is then defined as the minimum TOC removal
required for the system. Once approved by the State, this minimum
requirement supersedes the minimum TOC removal required by the table in
paragraph (b)(2) of this section. This requirement will be effective
until such time as the State approves a new value based on the results
of a new bench- and pilot-scale test. Failure to achieve State-set
alternative minimum TOC removal levels is a violation of National
Primary Drinking Water Regulations.
(ii) Bench- or pilot-scale testing of enhanced coagulation must be
conducted by using representative water samples and adding 10 mg/L
increments of alum (as aluminum) (or equivalent amounts of ferric salt)
until the pH is reduced to a level less than or equal to the enhanced
coagulation Step 2 target pH shown in the following table:
Enhanced Coagulation Step 2 target pH
------------------------------------------------------------------------
Alkalinity (mg/L as CaCO3) Target pH
------------------------------------------------------------------------
0-60....................................................... 5.5
>60-120.................................................... 6.3
>120-240................................................... 7.0
>240....................................................... 7.5
------------------------------------------------------------------------
(iii) For waters with alkalinities of less than 60 mg/L for which
addition of small amounts of alum or equivalent addition of iron
coagulant drives the pH below 5.5 before significant TOC removal
occurs, the system must add necessary chemicals to maintain the pH
between 5.3 and 5.7 in samples until the TOC removal of 0.3 mg/L per 10
mg/L alum added (as aluminum) (or equivalant addition of iron
coagulant) is reached.
(iv) The system may operate at any coagulant dose or pH necessary
(consistent with other NPDWRs) to achieve the minimum TOC percent
removal approved under paragraph (b)(3) of this section.
(v) If the TOC removal is consistently less than 0.3 mg/L of TOC
per 10 mg/L of incremental alum dose (as aluminum) at all dosages of
alum (or equivalant addition of iron coagulant), the water is deemed to
contain TOC not amenable to enhanced coagulation. The system may then
apply to the State for a waiver of enhanced coagulation requirements.
(c) Compliance calculations. (1) Subpart H systems other than those
identified in paragraph (a)(2) or (a)(3) of this section must comply
with requirements contained in paragraph (b)(2) of this section.
Systems must calculate compliance quarterly, beginning after the system
has collected 12 months of data, by determining an annual average using
the following method:
(i) Determine actual monthly TOC percent removal, equal to:
(1--(treated water TOC/source water TOC)) x 100
(ii) Determine the required monthly TOC percent removal (from
either the table in paragraph (b)(2) of this section or from paragraph
(b)(3) of this section).
(iii) Divide the value in paragraph (c)(1)(i) of this section by
the value in paragraph (c)(1)(ii) of this section.
(iv) Add together the results of paragraph (c)(1)(iii) of this
section for the last 12 months and divide by 12.
(v) If the value calculated in paragraph (c)(1)(iv) of this section
is less than 1.00, the system is not in compliance with the TOC percent
removal requirements.
(2) Systems may use the provisions in paragraphs (c)(2)(i) through
(v) of this section in lieu of the calculations in paragraph (c)(1)(i)
through (v) of this section to determine compliance with TOC percent
removal requirements.
(i) In any month that the system's treated or source water TOC
level, measured according to Sec. 141.131(d)(3), is less than 2.0 mg/L,
the system may assign a monthly value of 1.0 (in lieu of the value
calculated in paragraph (c)(1)(iii) of this section) when calculating
compliance under the provisions of paragraph (c)(1) of this section.
(ii) In any month that a system practicing softening removes at
least 10 mg/L of magnesium hardness (as CaCO3), the system
may assign a
[[Page 69475]]
monthly value of 1.0 (in lieu of the value calculated in paragraph
(c)(1)(iii) of this section) when calculating compliance under the
provisions of paragraph (c)(1) of this section.
(iii) In any month that the system's source water SUVA, prior to
any treatment and measured according to Sec. 141.131(d)(4), is
2.0 L/mg-m, the system may assign a monthly value of 1.0 (in
lieu of the value calculated in paragraph (c)(1)(iii) of this section)
when calculating compliance under the provisions of paragraph (c)(1) of
this section.
(iv) In any month that the system's finished water SUVA, measured
according to Sec. 141.131(d)(4), is 2.0 L/mg-m, the system
may assign a monthly value of 1.0 (in lieu of the value calculated in
paragraph (c)(1)(iii) of this section) when calculating compliance
under the provisions of paragraph (c)(1) of this section.
(v) In any month that a system practicing enhanced softening lowers
alkalinity below 60 mg/L (as CaCO3), the system may assign a
monthly value of 1.0 (in lieu of the value calculated in paragraph
(c)(1)(iii) of this section) when calculating compliance under the
provisions of paragraph (c)(1) of this section.
(3) Subpart H systems using conventional treatment may also comply
with the requirements of this section by meeting the criteria in
paragraph (a)(2) or (3) of this section.
(d) Treatment technique requirements for DBP precursors. The
Administrator identifies the following as treatment techniques to
control the level of disinfection byproduct precursors in drinking
water treatment and distribution systems: For Subpart H systems using
conventional treatment, enhanced coagulation or enhanced softening.
11. Section 141.154 is amended by adding paragraph (e) to read as
follows:
Sec. 141.154 Required additional health information.
* * * * *
(e) Community water systems that detect TTHM above 0.080 mg/l, but
below the MCL in Sec. 141.12, as an annual average, monitored and
calculated under the provisions of Sec. 141.30, must include health
effects language prescribed by paragraph (73) of appendix C to subpart
O.
PART 142--NATIONAL PRIMARY DRINKING WATER REGULATIONS
IMPLEMENTATION
12. The authority citation for part 142 continues to read as
follows:
Authority: 42 U.S.C. 300f, 300g-1, 300g-2 300g-3, 300g-4, 300g-
5, 300g-6, 300j-4, 300j-9, and 300j-11.
13. Section 142.14 is amended by adding new paragraphs (d)(12),
(d)(13), (d)(14), (d)(15), and (d)(16) to read as follows.
Sec. 142.14 Records kept by States.
* * * * *
(d) * * *
(12) Records of the currently applicable or most recent State
determinations, including all supporting information and an explanation
of the technical basis for each decision, made under the following
provisions of 40 CFR part 141, subpart L for the control of
disinfectants and disinfection byproducts. These records must also
include interim measures toward installation.
(i) States must keep records of systems that are installing GAC or
membrane technology in accordance with Sec. 141.64(b)(2) of this
chapter. These records must include the date by which the system is
required to have completed installation.
(ii) States must keep records of systems that are required, by the
State, to meet alternative minimum TOC removal requirements or for whom
the State has determined that the source water is not amenable to
enhanced coagulation in accordance with Sec. 141.135(b)(3) and (4) of
this chapter, respectively. These records must include the alternative
limits and rationale for establishing the alternative limits.
(iii) States must keep records of subpart H systems using
conventional treatment meeting any of the alternative compliance
criteria in Sec. 141.135(a)(2) or (3) of this chapter.
(iv) States must keep a register of qualified operators that have
met the State requirements developed under Sec. 142.16(f)(2).
(13) Records of systems with multiple wells considered to be one
treatment plant in accordance with Sec. 141.132(a)(2) of this chapter
and Sec. 142.16(f)(5).
(14) Monitoring plans for subpart H systems serving more than 3,300
persons in accordance with Sec. 141.132(f) of this chapter.
(15) List of laboratories approved for analyses in accordance with
Sec. 141.131(b) of this chapter.
(16) List of systems required to monitor for disinfectants and
disinfection byproducts in accordance with part 141, subpart L of this
chapter. The list must indicate what disinfectants and DBPs, other than
chlorine, TTHM, and HAA5, if any, are measured.
* * * * *
14. Section 142.16 is amended by adding paragraph (h) to read as
follows.
Sec. 142.16 Special primacy requirements.
* * * * *
(h) Requirements for States to adopt 40 CFR part 141, subpart L. In
addition to the general primacy requirements elsewhere in this part,
including the requirement that State regulations be at least as
stringent as federal requirements, an application for approval of a
State program revision that adopts 40 CFR part 141, subpart L, must
contain a description of how the State will accomplish the following
program requirements:
(1) Section 141.64(b)(2) of this chapter (interim treatment
requirements). Determine any interim treatment requirements for those
systems electing to install GAC or membrane filtration and granted
additional time to comply with Sec. 141.64 of this chapter.
(2) Section 141.130(c) of this chapter (qualification of
operators). Qualify operators of public water systems subject to 40 CFR
part 141, subpart L. Qualification requirements established for
operators of systems subject to 40 CFR part 141, subpart H--Filtration
and Disinfection may be used in whole or in part to establish operator
qualification requirements for meeting 40 CFR part 141, subpart L
requirements if the State determines that the 40 CFR part 141, subpart
H requirements are appropriate and applicable for meeting subpart L
requirements.
(3) Section 141.131(c)(2) of this chapter (DPD colorimetric test
kits). Approve DPD colorimetric test kits for free and total chlorine
measurements. State approval granted under Sec. 141.74(a)(2) of this
chapter for the use of DPD colorimetric test kits for free chlorine
testing is acceptable for the use of DPD test kits in measuring free
chlorine residuals as required in 40 CFR part 141, subpart L.
(4) Sections 141.131(c)(3) and (d) of this chapter (State approval
of parties to conduct analyses). Approve parties to conduct pH,
bromide, alkalinity, and residual disinfectant concentration
measurements. The State's process for approving parties performing
water quality measurements for systems subject to 40 CFR part 141,
subpart H requirements in paragraph (b)(2)(i)(D) of this section may be
used for approving parties measuring water quality parameters for
systems subject to subpart L requirements, if the State determines the
process is appropriate and applicable.
[[Page 69476]]
(5) Section 141.132(a)(2) of this chapter (multiple wells as a
single source). Define the criteria to use to determine if multiple
wells are being drawn from a single aquifer and therefore be considered
a single source for compliance with monitoring requirements.
(6) Approve alternate minimum TOC removal (Step 2) requirements, as
allowed under the provisions of Sec. 141.135(b) of this chapter.
[FR Doc. 98-32887 Filed 12-15-98; 8:45 am]
BILLING CODE 6560-50-U
10,000>4.0>