99-11559. Findings of Significant Contribution and Rulemaking on Section 126 Petitions for Purposes of Reducing Interstate Ozone Transport  

  • [Federal Register Volume 64, Number 100 (Tuesday, May 25, 1999)]
    [Rules and Regulations]
    [Pages 28250-28328]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 99-11559]
    
    
    
    [[Page 28249]]
    
    _______________________________________________________________________
    
    Part II
    
    Environmental Protection Agency
    _______________________________________________________________________
    
    
    
    40 CFR Part 52
    
    
    
    Findings of Significant Contribution and Rulemaking on Section 126 
    Petitions for Purposes of Reducing Interstate Ozone Transport; Final 
    Rule
    
    Federal Register / Vol. 64, No. 100 / Tuesday, May 25, 1999 / Rules 
    and Regulations
    
    [[Page 28250]]
    
    
    
    ENVIRONMENTAL PROTECTION AGENCY
    
    40 CFR Part 52
    
    [FRL-6336-9]
    RIN 2060-AH88
    
    
    Findings of Significant Contribution and Rulemaking on Section 
    126 Petitions for Purposes of Reducing Interstate Ozone Transport
    
    AGENCY: Environmental Protection Agency (EPA).
    
    ACTION: Final rule.
    
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    SUMMARY: In accordance with section 126 of the Clean Air Act (CAA), EPA 
    is taking final action on petitions filed by eight Northeastern States 
    seeking to mitigate what they describe as significant transport of one 
    of the main precursors of ground-level ozone, nitrogen oxides 
    (NOX), across State boundaries. Each petition specifically 
    requests that EPA make a finding that NOX emissions from 
    certain stationary sources emit in violation of the CAA's prohibition 
    on emissions that significantly contribute to ozone nonattainment 
    problems in the petitioning State. If EPA makes such a finding, EPA is 
    authorized to establish Federal emissions limits for the sources. The 
    eight Northeastern States that filed petitions are Connecticut, Maine, 
    Massachusetts, New Hampshire, New York, Pennsylvania, Rhode Island, and 
    Vermont.
        Today, EPA is making final determinations that portions of six of 
    the petitions are technically meritorious. The technically approvable 
    portions of the petitions will be automatically deemed granted or 
    denied at certain later dates pending certain actions by the States and 
    EPA regarding State submittals in response to the final NOX 
    State implementation plan call (NOX SIP call). This rule 
    describes the schedule and conditions under which applicable final 
    findings on the petitions would be automatically triggered.
        The EPA intends to implement the section 126 control remedy through 
    a Federal NOX Budget Trading Program. The trading program 
    would apply to sources in the source categories for which a final 
    finding is ultimately granted. In today's rule, EPA is finalizing the 
    general parameters of the trading program. The EPA is committing to 
    promulgate the details of the trading program by July 15, 1999. The EPA 
    is including interim final emissions limitations for affected sources 
    which would apply only if EPA fails to promulgate the trading program 
    prior to a section 126 finding.
        Mitigation of the transport of ozone and its precursors is 
    important because ozone, which is a primary harmful component of urban 
    smog, has long been recognized, in both clinical and epidemiological 
    research, to adversely affect public health.
    
    DATES: The final rule is effective July 26, 1999.
    
    ADDRESSES: Documents relevant to this action are available for 
    inspection at the Air and Radiation Docket and Information Center 
    (6102), Attention: Docket No. A-97-43, U.S. Environmental Protection 
    Agency, 401 M Street SW., room M-1500, Washington, DC 20460, telephone 
    (202) 260-7548 between 8:00 a.m. and 5:30 p.m., Monday though Friday, 
    excluding legal holidays. A reasonable fee may be charged for copying.
    
    FOR FURTHER INFORMATION CONTACT: General questions concerning today's 
    action should be addressed to Carla Oldham, Office of Air Quality 
    Planning and Standards, Air Quality Strategies and Standards Division, 
    MD-15, Research Triangle Park, NC, 27711, telephone (919) 541-3347, e-
    mail at oldham.carla@epa.gov. Please refer to SUPPLEMENTARY INFORMATION 
    below for a list of contacts for specific subjects discussed in today's 
    action.
    
    SUPPLEMENTARY INFORMATION:
    
    Availability of Related Information
    
        The official record for this rulemaking, as well as the public 
    version, has been established under docket number A-97-43 (including 
    comments and data submitted electronically as described below). A 
    public version of this record, including printed, paper versions of 
    electronic comments, which does not include any information claimed as 
    confidential business information, is available for inspection from 
    8:00 a.m. to 5:30 p.m., Monday through Friday, excluding legal 
    holidays. The official rulemaking record is located at the address in 
    ADDRESSES at the beginning of this document. In addition, the Federal 
    Register rulemakings and associated documents are located at http://
    www.epa.gov/ttn/rto/126.
        The EPA has issued a separate rule on NOX transport 
    entitled, ``Finding of Significant Contribution and Rulemaking for 
    Certain States in the Ozone Transport Assessment Group Region for 
    Purposes of Reducing Regional Transport of Ozone'' (see related 
    rulemakings included in the docket for this rulemaking). The rulemaking 
    docket for that rule (Docket No. A-96-56), hereafter referred to as the 
    NOX SIP call, contains information and analyses that are 
    relied upon in the section 126 rulemaking. Documents related to the 
    NOX SIP call rulemaking are available for inspection in 
    docket number A-96-56 at the address and times given above. In 
    addition, the NOX SIP call and associated documents are 
    located at http://www.epa.gov/ttn/otag/sip/index.html. Modeling and air 
    quality assessment information can be obtained in electronic form at 
    http://www.epa.gov.scram001/regmodcenter/t28.htm. Information related 
    to the budget development can be found at http://www.epa.gov/capi.
        Additional information relevant to this section 126 rulemaking 
    concerning the Ozone Transport Assessment Group (OTAG) is available on 
    the web at http://www.epa.gov/ttn/otag/otag/index.html. If assistance 
    is needed in accessing the system, call the help desk at (919) 541-5384 
    in Research Triangle Park, NC. The OTAG's technical data are located at 
    http://www.iceis.mcnc.org/OTAGDC.
    
    For Additional Information
    
        For additional information related to air quality analysis, please 
    contact Carey Jang, Office of Air Quality Planning and Standards; 
    Emissions, Monitoring, and Analysis Division, MD-14, Research Triangle 
    Park, NC 27711, telephone (919) 541-5638. For legal questions, please 
    contact Howard Hoffman, Office of General Counsel, 401 M Street SW., 
    MC-2344, Washington, DC, 20460, telephone (202) 260-5892. For questions 
    regarding the NOX cap-and-trade program, please contact 
    Sarah Dunham, Office of Atmospheric Programs, Acid Rain Division, MC-
    6204J, 401 M Street SW, Washington, DC 20460, telephone (202) 564-9087. 
    For questions regarding regulatory cost analyses for electricity 
    generating sources, please contact MaryJo Krolewski, Office of 
    Atmospheric Programs, Acid Rain Division, MC-6204J, 401 M Street SW, 
    Washington, DC 20460, telephone (202) 564-9847. For questions regarding 
    regulatory cost analyses for other stationary sources, please contact 
    Larry Sorrels, Office of Air Quality Planning and Standards, Air 
    Quality Strategies and Standards Division, MD-15, Research Triangle 
    Park, NC 27711, telephone (919) 541-5041.
    
    Outline
    
    I. Background and Summary of Rulemaking
        A. Summary of Rulemaking and Affected Sources
        B. Ozone Transport, Ozone Transport Commission NOX 
    Memorandum of Understanding (OTC NOX MOU), OTAG, the 
    NOX SIP Call, the Revised Ozone
    
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    National Ambient Air Quality Standard (NAAQS), and Ozone Effects
        C. Section 126
        D. Summary of Section 126 Petitions
        E. Litigation on Rulemaking Schedule
        F. Advance Notice of Proposed Rulemaking on Petitions
        G. Comment Periods and Availability of Key Information
        1. Emissions Inventory Corrections
        2. Impacts of 1-Hour Standard Revocation
        3. Timing of Petition for Review
        H. Summary of Major Changes Between Proposals and Final Rule
    II. EPA's Analytical Approach
        A. EPA's Interpretation of Section 126: Authorization of the 
    Petitions
        1. Relationship Among Sections 110(a)(2)(D), 126, and 176A/184
        2. Scrivener's Error
        3. Interpretation of Emits in Violation of the Prohibition of 
    Section 110 and Integration of Section 126 Controls With SIPs/FIPs 
    Under the NOX SIP Call
        a. Interpretation of Emits in Violation of the Prohibition of 
    Section 110
        b. Integration of Section 126 Controls With SIPs/FIPs Under the 
    NOX SIP Call
        c. Petitions Deemed Granted Upon Certain Events
        B. EPA's Interpretation of Section 126: Significant Contribution
        1. Significant Contribution Standard
        a. NPR
        b. Final Action
        i. General Meaning of the ``Contribute Significantly'' Provision
        ii. Varied Circumstances of Air Pollutant Transport
        iii. Definition of the Significant Contribution Test and 
    Legislative History
        iv. Application of Significant Contribution Test to Ozone 
    Problems
        c. Comments and EPA Responses
        i. Vagueness
        ii. Collective Contribution
        iii. Bright Line
        iv. Other Factors
        2. Cost Factor
        C. EPA's Interpretation of Section 126: 8-Hour NAAQS
        D. EPA's Interpretation of Section 126: Remedy
        1. Three-Year Period
        2. Uniform Level of Controls
        a. Comments
        b. Response
        E. Obligations of Downwind States
        1. Comments
        2. Response
        F. Effect of 1-Hour Attainment
        G-H. Weight of Evidence Determination of Named Upwind States
        I. Identifying Sources
        1. Proposed EGU Source Classification
        2. Proposed Non-EGU Boiler and Turbine Source Classification
        3. Issues Raised by Commenters on EGU/Non-EGU Classification
        4. Final Rule EGU/Non-EGU Classification
        J. Cost Effectiveness of Emissions Reductions
        1. Identifying Highly Cost Effective NOX Control 
    Levels
        2. Determining the Cost Effectiveness of NOX Controls
        a. Large EGUs
        b. Large Non-EGUs
        c. Large Process Heaters
        d. Small Sources
        e. Summary of Control Measures
        K. Feasibility of NOX Control Implementation Date
        1. Cost Assumptions for SCR
        2. Technology Deployment
        3. Catalyst Supply
        4. Outage Periods
        L. Air Quality Assessment
    III. EPA's Final Action on Granting or Denying the Petitions
        A. Technical Determinations
        B. Action on Whether to Grant or Deny Each Petition
        1. Portions of Petitions for Which EPA Is Making an Affirmative 
    Technical Determination
        2. Portions of Petitions for Which EPA Is Not Making an 
    Affirmative Technical Determination
        C. Requirements for Sources for Which EPA Makes a Section 126(b) 
    Finding
    IV. Section 126 Control Remedy
        A. Appropriateness of Trading as a Section 126 Remedy
        B. Relationship of the Section 126 Remedy to the NOX 
    SIP Call and the Proposed FIP
        C. Federal NOX Budget Trading Program
        1. Elements of the Section 126 Remedy Finalized With Today's 
    Rulemaking
        a. Compliance Schedule and Emission Limitation
        b. Trading Program Budget
        c. Compliance Supplement Pool
        2. Elements of the Section 126 Remedy not Finalized With Today's 
    Rulemaking
        D. Default Emission Limitations in the Absence of a Promulgated 
    Federal NOX Budget Trading Program
        1. Default Emission Limitations a. Default Emission Limitations 
    for Existing Units b. Default Emission Limitations for New Units
        2. July 15, 1999 Allocation Decisions
    V. Non-ozone Benefits to NOX Reductions
    VI. Administrative Requirements
        A. Executive Order 12866: Regulatory Impact Analysis
        B. Impact on Small Entities
        1. Regulatory Flexibility
        2. Potentially Affected Small Entities
        C. Unfunded Mandates Reform Act
        D. Paperwork Reduction Act
        E. Executive Order 13045: Protection of Children From 
    Environmental Health Risks and Safety Risks
        1. Applicability of Executive Order 13045
        2. Children's Health Protection
        F. Executive Order 12898: Environmental Justice
        G. Executive Order 12875: Enhancing the Intergovernmental 
    Partnership
        H. Executive Order 13084: Consultation and Coordination With 
    Indian Tribal Governments
        I. National Technology Transfer and Advancement Act
        J. Judicial Review
        K. Congressional Review Act
    
    I. Background and Summary of Rulemaking
    
    A. Summary of Rulemaking and Affected Sources
    
        In August 1997, eight northeastern States (Connecticut, Maine, 
    Massachusetts, New Hampshire, New York, Rhode Island, Pennsylvania, and 
    Vermont) submitted petitions to EPA under section 126 of the Clean Air 
    Act (CAA) seeking to mitigate what they describe as significant 
    transport of NOX, one of the main precursors of ozone. Each 
    petition requests that EPA make a finding that certain major stationary 
    sources or groups of sources in upwind States emit NOX 
    emissions in violation of the CAA's prohibition on amounts of emissions 
    that contribute significantly to ozone nonattainment or maintenance 
    problems in the petitioning State. All the petitioning States directed 
    their petitions to the 1-hour ozone standard. Originally, only three of 
    the States (Massachusetts, Pennsylvania, and Vermont) also directed 
    their petitions at the 8-hour ozone standard.
        In rulemakings dated September 30, 1998 and October 21, 1998, EPA 
    proposed action on the petitions. The October notice of proposed 
    rulemaking (NPR) is the longer, more detailed version of the proposal. 
    In aggregate across all the petitions and for both ozone standards (to 
    the extent a petition applied to both standards), EPA proposed to find 
    that sources in 19 States and the District of Columbia are 
    significantly contributing to nonattainment problems in one or more of 
    the petitioning States. The October NPR also proposed a Federal 
    NOX budget trading program as the control remedy for sources 
    that would be subject to any section 126 findings.
        In the NPR, EPA proposed action under the 1-hour and 8-hour 
    standards as specifically requested in each State's petition. At that 
    time, the Maine and New Hampshire petitions were only directed at the 
    1-hour standard. On November 30, 1998, both Maine and New Hampshire 
    requested that EPA also evaluate their August 1997 petitions under the 
    8-hour standard. These requests, in effect, constitute new petitions. 
    In a supplemental notice of proposed rulemaking (SNPR) dated March 3, 
    1999 (64 FR 10342), EPA proposed action on the new Maine and New 
    Hampshire 8-hour petitions. The SNPR did not affect any sources beyond 
    those already affected by the NPR with respect to the Maine and New 
    Hampshire 1-hour petitions and/or other petitions. The SNPR did not 
    propose any additional control requirements beyond what were
    
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    proposed in the NPR. The EPA is taking final action on both the NPR and 
    the SNPR in this rule.
        In today's action, EPA is making final affirmative technical 
    determinations that certain major stationary sources and source 
    categories identified in the section 126 petitions are significantly 
    contributing to nonattainment in, or interfering with maintenance by, 
    one or more petitioning States with respect to one or both of the 
    national ambient air quality standards for ozone (hereafter referred to 
    as affirmative technical determinations). On the basis of these 
    affirmative technical determinations, the petitions naming these 
    sources and source categories will be finally granted (i.e, the section 
    126 findings will be deemed made) or denied at certain later dates 
    pending certain actions by the States and EPA regarding State 
    submittals in response to the final NOX SIP call. The 
    schedule and conditions under which the applicable final findings on 
    the petitions would be triggered are discussed below in Section I.E. 
    The EPA's analysis of significant contribution is discussed in Section 
    II below.
        Under the 1-hour ozone standard, EPA is making final affirmative 
    technical determinations as to a subset of sources or source categories 
    named in the petitions from Connecticut, Massachusetts, New York, and 
    Pennsylvania. The source categories for which EPA is making this 
    affirmative technical determination of significant contribution are 
    discussed in Section II. The States where these sources are located are 
    listed in Table II-1.
        The EPA is also partially denying the 1-hour petitions from 
    Connecticut, Massachusetts, New York, and Pennsylvania, and fully 
    denying the 1-hour petitions from Maine, New Hampshire, and Rhode 
    Island for on one of three reasons described below. First, for some 
    sources or source categories in some States named in these petitions, 
    EPA has information demonstrating these sources and States are not 
    significantly contributing to nonattainment in the relevant petitioning 
    State with respect to the 1-hour ozone standard. Second, for sources in 
    some States EPA does not have adequate information to show that the 
    sources do or do not significantly contribute (see Section III.A). 
    Third, based on air quality monitoring data from 1996 through 1998, EPA 
    believes preliminarily that certain areas in Maine, Massachusetts, New 
    Hampshire, Pennsylvania, and Rhode Island have now achieved the 1-hour 
    standard. Therefore, EPA is not making affirmative technical 
    determinations of significant contribution for any upwind sources with 
    respect to these areas (see Section II.F). The EPA is fully denying the 
    1-hour petition from Vermont because the 1-hour standard no longer 
    applies in that State (See 63 FR 31014).
        Five of the petitioning States, Maine, Massachusetts, New 
    Hampshire, Pennsylvania, and Vermont, also directed their petitions at 
    the new 8-hour ozone standard. Under the 8-hour ozone standard, EPA is 
    making final affirmative technical determinations as to a subset of 
    sources named in the petitions from Maine, Massachusetts, New 
    Hampshire, and Pennsylvania. The source categories for which EPA is 
    making the affirmative technical determinations of significant 
    contribution are the same as for the 1-hour standard and are discussed 
    in Section II. The EPA is also denying portions of the petitions either 
    because EPA has information demonstrating that some of the sources or 
    source categories named in these petitions are not significantly 
    contributing to nonattainment in the relevant petitioning State with 
    respect to the 8-hour ozone standard or because EPA does not have 
    adequate information to show that the sources are significantly 
    contributing (see Section III.A). The EPA is denying the Vermont 
    petition in full with respect to the 8-hour ozone standard because 
    Vermont has no current 8-hour ozone nonattainment problems and no 
    future projected nonattainment (i.e., maintenance) problems based on 
    available analyses.
        In aggregate for all petitions and both ozone standards, the 
    sources and source categories for which EPA is making final affirmative 
    determinations of significant contribution to nonattainment or 
    interference with maintenance (hereafter simply significant 
    contribution) with respect to one or more of the petitioning States are 
    located in the following States: Alabama, Connecticut, Delaware, 
    District of Columbia, Illinois, Indiana, Kentucky, Maryland, 
    Massachusetts, Michigan, Missouri, New Jersey, New York, North 
    Carolina, Ohio, Pennsylvania, Rhode Island, Tennessee, Virginia, and 
    West Virginia.
        Some of the sources that EPA is determining do not significantly 
    contribute to the petitioning States are located in States that are 
    affected by a separate rule on NOX transport, the 
    NOX SIP call. Specifically, EPA is determining that sources 
    in Georgia, South Carolina, and Wisconsin are not significantly 
    contributing to any of the petitioning States that name those States. 
    However, EPA has determined in the NOX SIP call that sources 
    in these three States do significantly contribute to nonattainment 
    problems in other downwind States. In acting on these section 126 
    petitions, EPA can only consider the impacts on downwind nonattainment 
    problems in the petitioning States, which are all located in the 
    Northeast. In the NOX SIP call, EPA considered impacts on 
    nonattainment problems throughout the eastern half of the United 
    States. Therefore, a determination that sources in certain States are 
    not significantly contributing to any petitioning State for purposes of 
    this action on the section 126 petitions does not alter EPA's 
    conclusions on significant contribution with regard to other States 
    under the NOX SIP call.
        The section 126 petitions varied with regard to the control 
    requirements they recommend for mitigating the interstate transport. 
    While EPA considered the recommendations, section 126 does not limit 
    EPA to the recommended controls in determining an appropriate remedy. 
    In Section II.J., EPA discusses the emissions limitations that would be 
    necessary to ensure that the affected sources do not or would not emit 
    in violation of the applicable statutory prohibition on significant 
    contribution by upwind States to downwind air quality problems. The 
    control remedy is based on the uniform application of highly cost-
    effective controls (as determined based on cost per ton of 
    NOX reduced for each type of source). In selecting the 
    control measures, EPA considered the recommendations made by OTAG on 
    July 8, 1997 and the analyses for the NOX SIP call.
        In today's action, EPA is establishing a section 126 control remedy 
    for sources that would be subject to a future section 126 finding. The 
    EPA intends to implement the control requirements through a Federal 
    NOX cap-and-trade program. The EPA believes a trading 
    program is the most cost-effective approach for achieving emissions 
    reductions from large stationary sources. The EPA envisions that there 
    would be an interstate trading program among section 126 sources, 
    NOX SIP call sources in States that choose to participate in 
    the interstate trading program administered by EPA, and sources subject 
    to a Federal implementation plan under the NOX SIP call.
        As discussed in Section IV below, EPA is today promulgating the 
    general parameters of the remedy, including, among others, the decision 
    to implement a NOX cap-and-trade program as the control 
    remedy, the control levels the trading program would be based on, the 
    definition of the
    
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    types of sources that would be subject to the trading program, and the 
    compliance date. By July 15, 1999, EPA will finalize the details of the 
    Federal NOX Budget Trading Program for the section 126 
    sources (as new 40 CFR part 97). The combined list of existing sources 
    affected by an affirmative technical determination with respect to at 
    least one petition, along with the more specific emissions limitations 
    in the form of tradable allowance allocations, will be provided in the 
    July notice of final rulemaking (NFR). The EPA intends to include new 
    sources in the source categories that are significantly contributing 
    with respect to the petitions from Connecticut, Maine, New Hampshire, 
    New York, and Pennsylvania. The petition from Massachusetts does not 
    cover new sources.
        In accordance with section 126, sources must comply with the 
    control requirements no later than 3 years from a final positive 
    finding on the petitions. The EPA believes the full 3 years is 
    necessary for compliance. As discussed below, the portions of the 
    petitions for which EPA is making an affirmative technical 
    determination could be deemed granted (the finding deemed made) on 
    November 30, 1999 or May 1, 2000, depending on certain actions by 
    States and EPA regarding implementation plans required in response to 
    the NOX SIP call. As discussed in Section III.C., both of 
    these trigger dates would result in an emission reduction deadline of 
    May 1, 2003.
    
    B. Ozone Transport, Ozone Transport Commission NOX 
    Memorandum of Understanding (OTC NOX MOU), OTAG, the 
    NOX SIP Call, the Revised Ozone National Ambient Air Quality 
    Standard (NAAQS), and Ozone Effects
    
        Today's action occurs against a background of a major national 
    effort, spanning more than 10 years, to analyze and take steps to 
    mitigate the problem of the transport of ozone and its precursors 
    across State boundaries. This effort has grown more intensive in the 
    past several years with the approval of the OTC NOX MOU by 
    11 of the Northeastern States and the District of Columbia included in 
    the Northeast Ozone Transport Region (OTR), the completion of the OTAG 
    process (described below), and the promulgation of EPA's NOX 
    SIP call. In addition, on July 18, 1997, EPA issued a revised NAAQS for 
    ozone, which is determined over an 8-hour period (the 8-hour standard) 
    (62 FR 38856). In establishing the 8-hour standard, EPA set the 
    standard at 0.08 parts per million and defined the new standard as a 
    ``concentration-based'' form, specifically the 3-year average of the 
    annual 4th-highest daily maximum 8-hour ozone concentrations. This has 
    resulted in more areas and larger areas with monitoring data indicating 
    nonattainment. Thus, it is even more important to implement regional 
    control strategies to mitigate interstate pollution in order to assist 
    downwind areas in achieving attainment. This new 8-hour standard must 
    now be taken into account, along with the pre-existing 1-hour standard, 
    in resolving transport issues. These issues and events are detailed in 
    the proposed NOX SIP call (62 FR 60318). The 8-hour standard 
    is intended to ultimately replace the 1-hour standard. However, the 1-
    hour standard will continue to apply to areas not yet in attainment to 
    ensure an effective transition to the new 8-hour standard. In many 
    areas of the country, the 1-hour standard has been revoked because the 
    areas are attaining that standard (63 FR 31013; June 5, 1998 and 63 FR 
    39432; July 22, 1998). A State may petition under section 126 for both 
    the 1-hour standard, to the extent that it still applies in the 
    petitioning State, and the 8-hour standard.
        The 1990 CAA set forth many requirements to address nonattainment 
    of the 1-hour ozone NAAQS. Many States have found it difficult to 
    demonstrate attainment of the NAAQS due to the widespread transport of 
    ozone and its precursors. The Environmental Council of the States 
    (ECOS) recommended formation of a national work group to allow for a 
    thoughtful assessment and development of consensus solutions to the 
    problem. This work group, OTAG, was established 4 years ago to 
    undertake an assessment of the regional transport problem in the 
    eastern half of the United States. The OTAG was a collaborative process 
    conducted by representatives from the affected States, EPA, and 
    interested members of the public, including environmental groups and 
    industry, to evaluate the ozone transport problem and develop 
    solutions. The OTAG region included the 37 eastern-most States and the 
    District of Columbia. Through the OTAG process, the States concluded 
    that widespread NOX reductions are needed in order to enable 
    areas to attain and maintain the ozone NAAQS. Based on information 
    generated by OTAG and other available data, EPA determined that twenty-
    two States and the District of Columbia in the OTAG region are 
    significantly contributing to nonattainment problems in downwind 
    States. Therefore, EPA issued the NOX SIP call (63 FR 57356, 
    October 27, 1998) requiring these jurisdictions to revise their SIPs to 
    include NOX control measures to mitigate the ozone 
    transport.
        The EPA's response to the section 126 petitions differs from EPA's 
    action in the NOX SIP call rulemaking in several ways. In 
    the NOX SIP call, where EPA concluded that NOX 
    emissions from a State are significantly contributing to nonattainment 
    problems in downwind States, EPA is requiring the State to submit SIP 
    provisions to prohibit an amount of NOX emissions which 
    represents the significant contribution. The State has the discretion 
    to select the mix of control measures for their sources to meet the 
    required statewide NOX emissions reductions. If the State 
    does not make the required SIP submission, or submits an inadequate 
    SIP, EPA is required to promulgate a Federal implementation plan (FIP) 
    within 2 years of EPA's finding of the State failure. In the November 
    7, 1997 NOX SIP call proposal, EPA announced that it 
    intended to expedite the FIP promulgation in order to assure that the 
    downwind States receive the air quality benefits of regional 
    NOX reductions as soon as practicable. Therefore, the EPA 
    proposed FIPs for all the States affected by the NOX SIP 
    call in conjunction with EPA's issuance of the final NOX SIP 
    call (63 FR 56394).
        By comparison, section 126 petitions are limited to addressing 
    emissions from upwind stationary sources named in the petitions and not 
    other sectors of the inventory. If EPA grants the petitions, it is EPA, 
    not the States, that promulgates control requirements for the sources. 
    The control remedy for sources named in the petitions that would be 
    subject to future findings under section 126 is consistent with the 
    control assumptions EPA used for these sources in determining the final 
    statewide NOX budgets for States subject to the 
    NOX SIP call. In addition, the Federal NOX Budget 
    Trading Program that EPA intends to promulgate in July for the section 
    126 sources is the same trading program that EPA proposed to use to 
    achieve reductions from large electric generating units (EGUs) and 
    large non-EGUs if it promulgates a FIP in any State. It is also the 
    same trading program in which States can choose to participate to 
    achieve the majority of the required emissions reductions under the 
    NOX SIP call.
        Because the NOX SIP call process and the section 126 
    petition process both address NOX transport in the eastern 
    United States, EPA believes it is important to coordinate the two 
    actions
    
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    as much as possible. As discussed below in Section I.E., EPA and the 
    petitioning States agreed to a proposed consent decree on the 
    rulemaking schedule for the petitions that takes into consideration the 
    NOX SIP call rulemaking. The court entered a slightly 
    modified consent decree on October 26, 1998.
        All of the States that submitted section 126 petitions are included 
    in the OTR and participated in the OTAG process. In addition, all of 
    the upwind sources identified in the petitions are located in the OTAG 
    region. All eight petitions rely, in part, on the OTAG analyses for 
    technical justification. The OTAG process concluded in June 1997 prior 
    to the promulgation of the new 8-hour ozone standard and, therefore, 
    the OTAG analyses focused on the 1-hour standard. All the petitions 
    request relief under the 1-hour standard. Five of the petitions also 
    request relief under the new 8-hour standard. In acting on the section 
    126 petitions, EPA believes that it can only consider 8-hour 
    nonattainment problems for the petitioning States that expressly 
    requested relief under that standard. Under the NOX SIP 
    call, EPA considered both 1-hour and 8-hour nonattainment problems 
    throughout the OTAG region.
        Ground-level ozone, the main harmful ingredient in smog, is 
    produced in complex chemical reactions when its precursors, volatile 
    organic compounds (VOCs) and NOX, react in the presence of 
    sunlight. The chemical reactions that create ozone take place while the 
    pollutants are being blown through the air by the wind, which means 
    that ozone can be more severe many miles away from the source of 
    emissions than it is at the source.
        At ground level, ozone can cause a variety of ill effects to human 
    health, crops and trees. Specifically, ground-level ozone induces the 
    following health effects:
         Decreased lung function, primarily in children active 
    outdoors,
         Increased respiratory symptoms, particularly in highly 
    sensitive individuals,
         Hospital admissions and emergency room visits for 
    respiratory causes, among children and adults with pre-existing 
    respiratory disease such as asthma,
         Inflammation of the lung, and
         Possible long-term damage to the lungs.
    
    The new 8-hour primary ambient air quality standard will provide 
    increased protection to the public from these health effects.
        Each year, ground-level ozone above background is also responsible 
    for several hundred million dollars worth of agricultural crop yield 
    loss. It is estimated that full compliance of the 8-hour ozone NAAQS 
    will result in about $500 million of prevented crop yield loss. Ozone 
    also causes noticeable foliar damage in many crops, trees, and 
    ornamental plants (i.e., grass, flowers, shrubs, and trees) and causes 
    reduced growth in plants. Studies indicate that current ambient levels 
    of ozone are responsible for damage to forests and ecosystems 
    (including habitat for native animal species).
    
    C. Section 126
    
        As discussed below in Section II.A., section 126 of the CAA 
    authorizes a downwind State to petition EPA for a finding that major 
    stationary sources or groups of sources upwind of the State emit in 
    violation of the prohibition of section 110(a)(2)(D)(i) because, among 
    other reasons, their emissions contribute significantly to 
    nonattainment, or interfere with maintenance, of a NAAQS in the State. 
    If EPA grants the requested finding, the existing sources must shut 
    down in 3 months unless EPA directly regulates the sources by 
    establishing emissions limitations and a compliance period extending 
    beyond 3 months but no later than 3 years from the finding.
    
    D. Summary of Section 126 Petitions
    
        As discussed in detail in the NPR, the petitions vary as to the 
    type and geographic location of the source categories identified as 
    significant contributors. All the petitions identified source 
    categories; some petitions also provided lists of sources within the 
    specified categories. The source categories include electric generating 
    plants, fossil fuel-fired boilers and other indirect heat exchangers, 
    and certain other related stationary sources that emit NOX. 
    All the petitions target sources in the Midwest; some also target 
    sources in the South and Northeast. The geographic area covered by each 
    petition is shown in Figures F2-F9 of appendix F of part 52.
        The petitions also vary as to the level of controls they recommend 
    be applied to the sources to mitigate the transport problem. Several 
    recommend EPA establish a 0.15 lb/mmBtu NOx emission limitation and 
    several recommend that controls be implemented through a cap-and-trade 
    program.
        All of the petitions rely, in part, on OTAG analyses for technical 
    support. In addition, the States submitted a variety of other technical 
    analyses which include computerized urban airshed modeling, wind 
    trajectory analyses, results of a transport study by the Northeast 
    States for Coordinated Air Use Management, and culpability analyses.
        Table I-1 shows, by petitioner, the named source categories, the 
    named geographic areas, and the requested remedy sought by the 
    petitioning States. The named source categories are worded as they 
    appear in the petitions. A map of the OTAG Subregions is provided in 
    part 52, Appendix F, Figure 1, promulgated as part of this rule.
    
                TABLE I-1. EPA's Summary of Section 126 Petitions
    ------------------------------------------------------------------------
                          Named source
           State           categories       Named States    Requested remedy
    ------------------------------------------------------------------------
    CT................  Fossil fuel-      Sources in OTAG   Establish, at a
                         fired boilers     Subregions 2,     minimum,
                         or other          6, and 7 and      emission
                         indirect heat     portion of OTR    limitations and
                         exchangers with   extending west    a schedule of
                         a maximum gross   and south of      compliance
                         heat input rate   CT. Includes      consistent with
                         of 250 mmBtu/hr   all or parts of   the OTC NOX MOU
                         or greater and    IN, KY, MI, NC,   a, and a cap-
                         electric          OH, TN, VA, WV.   and-trade
                         utility           And OTR States    program. Does
                         generating        DC, DE, MD, NJ,   not request
                         facilities with   NY, PA.           remedy for OTR
                         a rated output                      States because
                         of 15 MW or                         of OTC NOX MOU.
                         greater.
    ME................  Electric          Sources within    Establish
                         utilities and     600 miles of      compliance
                         steam-            Maine's ozone     schedule and
                         generating        nonattainment     emissions
                         units with a      areas. Includes   limitation of
                         heat input        all or parts of   0.15 lb/mmBtu
                         capacity of 250   NC, OH, VA, WV,   for electric
                         mmBtu/hr or       and OTR States    utilities and
                         greater.          CT, DE, DC, MD,   the OTC NOX MOU
                                           MA, NJ, NY, NH,   level of
                                           PA, RI, VT.       control for
                                                             steam
                                                             generating
                                                             units, in a
                                                             multi-state cap-
                                                             and-trade NOX
                                                             market system.
    MA................  Electricity       Sources in        Establish
                         generating        region within 3   emissions
                         plants.           counties on       limitation of
                                           either side of    0.15 lb/mmBtu
                                           the Ohio River    or 1.5 lb/MWh
                                           in IN, KY, OH,    and a
                                           WV.               compliance
                                                             schedule.
    
    [[Page 28255]]
    
     
    NH................  Fossil fuel-      Sources in OTR    Establish
                         fired indirect    States and OTAG   compliance
                         heat exchange     Subregions 1      schedule and
                         combustion        through 7.        emission
                         units and         Includes all or   limitations no
                         fossil fuel-      parts of IL,      less stringent
                         fired electric    IN, IA, KY, MI,   than:
                         generating        MO, NC, OH, TN,  (a) Phase III
                         facilities        VA, WV, WI.       OTC NOX MOU
                         which emit ten    Also OTR States   reductions; and/
                         tons of NOX or    CT, DE, DC, MD,   or
                         more per day.     MA, ME, NJ, NY,  (b) 85%
                                           PA, RI, VT.       reductions from
                                                             projected 2007
                                                             baseline; and/
                                                             or
                                                            (c) An emission
                                                             rate of 0.15 lb/
                                                             mmBtu.
    NY................  Fossil fuel-      Sources in OTAG   Establish, at a
                         fired boilers     Subregions 2,     minimum,
                         or indirect       6, and 7 and      emission
                         heat exchangers   portion of OTR    limitations and
                         with a maximum    extending west    a schedule of
                         heat input rate   and south of      compliance
                         of 250 mmBtu/hr   NY. Includes      consistent with
                         or greater and    all or parts of   the OTC NOX
                         electric          IN, KY, MI, NC,   MOU, and a cap-
                         utility           OH, TN, VA, WV.   and-trade
                         generating        And OTR States    program. Does
                         facilities with   DC, DE, MD, NJ,   not request
                         a rated output    PA.               remedy for OTR
                         of 15 MW or                         States because
                         greater.                            of OTC NOX MOU.
    PA................  Fossil fuel-      AL, AR, GA, IL,   Establish
                         fired indirect    IN, IA, KY, LA,   emission
                         heat exchange     MI, MN, MS, MO,   limitations and
                         combustion        NC, OH, SC, TN,   a compliance
                         units with a      VA, WV, WI.       schedule for a
                         maximum rated                       cap-and-trade
                         heat input                          program
                         capacity of 250                     requiring:
                         mmBtu/hr or                        (a) Seasonal
                         greater, and                        reductions of
                         fossil fuel-                        the less
                         fired electric                      stringent of
                         generating                          55% from 1990
                         facilities                          baseline
                         rated at 15 MW                      levels, or 0.20
                         or greater.                         lb/mmBtu,
                                                             beginning by
                                                             May 1999;
                                                            (b) If
                                                             necessary,
                                                             seasonal
                                                             reductions of
                                                             the less
                                                             stringent of
                                                             75% from 1990
                                                             baseline
                                                             levels, or 0.15
                                                             lb/mmBtu,
                                                             beginning by
                                                             May 2003;
                                                            (c) Such
                                                             additional
                                                             reductions as
                                                             necessary
                                                             beginning in
                                                             2005.
    RI................  Electricity       Sources in        Establish
                         generating        region within 3   emissions
                         plants.           counties on       limitation of
                                           either side of    0.15 lb/mmBtu
                                           Ohio River in     or 1.5 lb/MWh
                                           IN, KY, OH, WV.   and a
                                                             compliance
                                                             schedule.
    VT................  Fossil fuel-      Sources located   Establish
                         fired electric    within a          emissions
                         utility           geographic area   limitation of
                         generating        extending 1000    0.15 lb/mmBtu
                         facilities with   miles southwest   or 1.5 lb/MWh
                         a maximum gross   from              and a
                         heat input rate   Bennington, VT.   compliance
                         of 250 mmBtu/hr  Includes all or    schedule. Does
                         or greater and    parts of IL,      not request
                         potentially       IN, KY, MI, NC,   remedy for OTR
                         other             OH, TN, VA, WV.   States because
                         unidentified      Also AL, GA,      of OTC NOX MOU.
                         major sources.    IA, MO, SC, WI.
                                           Also OTR States
                                           CT, DE, DC, MD,
                                           MA, NJ, NY, PA.
    ------------------------------------------------------------------------
    a The OTC NOX MOU is an agreement among the States in the Ozone
      Transport Region to reduce ozone season NOX emissions from large
      utility and industrial combustion sources through implementation of a
      phased-in regionwide cap-and-trade program. It is described in detail
      in the NPR.
    
        Section 126 allows States to petition EPA for a finding against 
    sources and groups of sources that ``emit'' or ``would emit'' pollution 
    in violation of the section 110(a)(2)(D) prohibition on emissions that 
    significantly contribute to nonattainment problems in the petitioning 
    State. Thus, a finding could potentially apply not only to existing 
    sources within a particular source category, but also to sources that 
    would be built in the future. In the NPR, EPA stated it believed the 
    section 126 petitions are ambiguous as to whether the requested 
    findings are intended to include new sources. For the reasons discussed 
    in the NPR, EPA proposed to interpret all eight section 126 petitions 
    to encompass both existing and new sources. Therefore, if any final 
    findings were triggered for source categories in a particular 
    geographic area, new sources in those source categories locating in 
    that area would also be subject to the section 126 control remedy. The 
    EPA requested that if any of the petitioning States disagreed with this 
    interpretation of its petition, the State submit clarifying comments on 
    this issue. New York and New Hampshire submitted comments that EPA had 
    correctly interpreted their petitions to cover both existing and new 
    sources. The State of Massachusetts commented that it was not seeking a 
    finding with respect to new sources. Therefore, in today's rule, the 
    EPA is concluding that all of the petitions, except the petition from 
    Massachusetts, cover both existing and new sources.
    
    E. Litigation on Rulemaking Schedule
    
        As discussed in the NPR, on February 25, 1998, the eight 
    petitioning States filed a complaint in the U.S. District Court for the 
    Southern District of New York to compel EPA to take action on the 
    States' section 126 petitions. State of Connecticut v. Browner, No. 98-
    1376. The EPA and the eight States filed a proposed consent decree that 
    would establish a schedule for EPA to act on the petitions. Pursuant to 
    CAA section 113(g), the EPA solicited comments on the proposed consent 
    decree, by notice dated March 5, 1998 (63 FR 10874). The comment period 
    closed April 6, 1998. On August 21, 1998, after considering the 
    comments received in the section 113(g) process, EPA requested the 
    Court to enter a slightly modified version of the consent decree. The 
    Court entered the slightly modified consent decree on October 26, 1998.
        The schedule in the consent decree requires EPA to take final 
    action on at least the technical merits of the petitions by April 30, 
    1999. The schedule requires the full disposition of the petitions by 
    that date or an alternative final action by that date that would defer 
    the granting or denial of the petitions to certain later dates 
    extending to as late as May 1, 2000.
        In formulating the consent decree, EPA developed the alternative 
    approach to harmonize the section 126 and NOX SIP call 
    actions. Specifically, paragraphs 5.b. and c. state that:
    
        b. Unless EPA takes the final action described in paragraph 6, 
    as to each
    
    [[Page 28256]]
    
    individual petition, EPA's final action will be to--
        (i) Grant the requested finding, in whole or part; and/or
        (ii) Deny the petition, in whole or part.
        c. Unless EPA denies a petition in whole, its final action will 
    include promulgation of a remedy under CAA section 126(c) for 
    sources to the extent that a requested finding is granted with 
    respect to those sources.
        Then paragraph 6 states:
        6. EPA shall be deemed to have complied with the requirements of 
    paragraph 5(a) if it instead takes a final action by April 30, 1999, 
    that--
        a. makes an affirmative determination concerning the technical 
    components of the ``contribute significantly to nonattainment'' or 
    ``interfere with maintenance'' tests under CAA section 
    110(a)(2)(D)(i), 42 U.S.C. section 7410(a)(2)(D)(i);
        b. further provides that:
        (i) If EPA does not issue a proposed approval of the relevant 
    Upwind State's SIP revision (submitted in response to the 
    NOX SIP call) by November 30, 1999, then the finding will 
    be deemed to be granted as of November 30, 1999, without any further 
    action by EPA;
        (ii) If EPA issues a proposed approval of said SIP revision by 
    November 30, 1999, but does not issue a final approval of said SIP 
    revision by May 1, 2000, then the finding will be deemed to be 
    granted as of May 1, 2000, without any further action by EPA;
        (iii) If EPA issues a final approval of said SIP revision by May 
    1, 2000, EPA must take any and all further actions, if necessary to 
    complete its action under section 126, no later than May 1, 2000; 
    and
        c. Promulgates a remedy under CAA section 126(c) for sources to 
    the extent that an affirmative determination is made with respect to 
    those sources.
    
        As discussed in the NPR, EPA believes that sources in an upwind 
    State should not be considered to be emitting an air pollutant in 
    violation of the section 110 prohibition, and hence EPA should not 
    grant a petition naming such sources, if the State is adhering to the 
    NOX SIP call rule's schedule for submission of an approvable 
    SIP revision, and EPA is acting speedily to approve the SIP--or, 
    failing that, if EPA has promulgated a SIP for the State. After all, if 
    EPA's rule provides a particular path for the development of a plan 
    calling on sources to reduce interstate pollution by May 1, 2003, and 
    under that rule either the upwind State or EPA is moving forward to 
    develop, take action on or promulgate a satisfactory plan meeting that 
    rule and achieving attainment as expeditiously as practicable, it would 
    be difficult to conclude that an affected source in the upwind State 
    ``emits or would emit in violation'' of the prohibition that the plan 
    is not yet required to contain.1
    ---------------------------------------------------------------------------
    
        \1\ Moreover there does appear to be tension between section 
    110(a)(2)(D), which does not establish the timing as to when the SIP 
    prohibition needs to be effective against sources (i.e., when 
    sources need to implement controls to reduce emissions) and the 
    timing in section 126, which requires implementation no later than 3 
    years following a section 126(b) determination. The EPA does not 
    believe that Congress intended section 126 to be used to shorten 
    timeframes for action that EPA has previously determined are 
    approvable for purposes of eliminating significant contribution to 
    nonattainment areas in other States.
    ---------------------------------------------------------------------------
    
        For these reasons, EPA is following the alternative described in 
    paragraph 6 of the consent decree. Thus, EPA is structuring its final 
    action to contain: (1) A series of ``technical determinations'' as to 
    which sources in which States named in the petitions would emit in 
    violation of the section 110 prohibition if the State or EPA were to 
    fall off track in putting a timely and satisfactory plan in place; (2) 
    determinations that the petitions will automatically be deemed granted 
    or denied on the basis of the events set forth in paragraph 6; and (3) 
    the remedial requirements that will apply to the sources receiving 
    affirmative technical determinations if a petition naming those sources 
    is ultimately deemed granted.
        The EPA received comments on the NPR that the section 126 petitions 
    were inappropriately driving the timetable for submission of the SIPs 
    required under the NOX SIP call; that is, that upwind States 
    were not given adequate time to develop and submit their SIP revision, 
    but that if they failed to do so on the mandated schedule, a section 
    126 finding would be deemed to be made. For the reasons discussed 
    below, EPA does not believe that the link between the section 126 
    petitions and the NOX SIP call SIPs is inappropriate. 
    Further, as stated in the final NOX SIP call, while EPA 
    believes it is advantageous to coordinate the section 126 and 
    NOX SIP call actions, EPA disagrees that this constrained 
    EPA from being responsive to public comments and considering 
    alternative compliance dates.
    
    F. Advance Notice of Proposed Rulemaking on Petitions
    
        In accordance with the schedule in the then proposed consent 
    decree, on April 30, 1998, EPA published in the Federal Register (63 FR 
    24058) an advance notice of proposed rulemaking (ANPR) on the section 
    126 petitions. The ANPR provided EPA's preliminary identification of 
    source categories named in the petitions that emit NOX in 
    amounts that significantly contribute to nonattainment problems in the 
    petitioning States, provided EPA's preliminary assessment of the types 
    of recommended emissions limitations and compliance schedules, provided 
    EPA's preliminary assessment of the remedy the Agency would propose for 
    approvable petitions, discussed legal and policy issues raised under 
    section 126, and outlined the rulemaking schedule for the petitions. 
    The ANPR solicited comment on all of the issues and preliminary 
    assessments. The EPA received a number of comments on the ANPR from 
    industry, States, and environmental groups. These comments covered the 
    full spectrum of issues discussed in the ANPR and were carefully 
    considered in the development of the section 126 NPR. The EPA indicated 
    in the ANPR that it would respond to the ANPR comments, if any response 
    were appropriate, when EPA responded to comments on the section 126 
    NPR.
        The EPA established the informal comment period for the ANPR to 
    solicit information that would be helpful in the deliberative process 
    for the rulemaking proposal. The EPA appreciates the early, thoughtful 
    input from the commenters. In the NPR, EPA noted that its proposed 
    positions superseded the preliminary positions taken in the ANPR. The 
    majority of commenters on the ANPR submitted new comments on the NPR to 
    specifically address EPA's detailed proposal. The EPA has responded to 
    all significant comments on the proposal either in this preamble or in 
    the Response to Comments document that accompanies this rulemaking.
    
    G. Comment Periods and Availability of Key Information
    
        The EPA provided a 60-day comment period on the NPR and a 40-day 
    comment period on the SNPR. As discussed below, in response to 
    commenter's requests, EPA reopened the NPR comment period on two 
    occasions, to take further comment on source-specific emissions 
    inventory data and on the impacts of the proposed revocations of the 1-
    hour standard on the section 126 rulemaking. Some commenters requested 
    that the NPR comment period be extended on all issues. The very limited 
    amount of time allowed in the consent decree between the deadline for 
    the proposed rule and the deadline for the final rule constrained EPA 
    from providing longer comment periods for every issue. However, EPA 
    received a number of comments after the close of the comment periods 
    which EPA considered in developing the final rule.
        Commenters representing the interests of upwind sources and States 
    stated that they had not been given a meaningful opportunity to comment 
    on various aspects of today's rulemaking, either because important 
    documents had not been made available to them, or
    
    [[Page 28257]]
    
    because, in the commenters' view, EPA has not been open-minded to the 
    perspective of the upwind sources and States. For the reasons described 
    in the Response to Comments document, EPA believes that the appropriate 
    information was timely made available to the public, and that EPA has 
    been open-minded to the views of, and has carefully reviewed the 
    comments of, all commenters concerning today's rulemaking.
        The major issues raised in the comments are responded to throughout 
    the preamble of this final rule. A comprehensive summary of all other 
    significant comments, along with EPA's response, is provided in the 
    Response to Comments document, that has been placed in the docket for 
    this rulemaking (Docket No. A-97-43).
    1. Emissions Inventory Corrections
        By action dated January 13, 1999 (64 FR 2416), EPA reopened the 
    comment period on source-specific emission inventory data. This comment 
    period was established in conjunction with the extended period for the 
    public to submit emissions inventory revisions for the purpose of the 
    NOX SIP call. The EPA received numerous requests to allow 
    more time to submit revisions to the source-specific data used to 
    establish each State's base inventory and budget in the NOX 
    SIP call. By action dated December 24, 1998, (63 FR 71220), EPA 
    extended the opportunity for submitting emission inventory corrections 
    for the NOX SIP call until February 22, 1999. Because the 
    section 126 action and the NOX SIP call rely on the same 
    emissions inventory information, EPA extended the comment period for 
    the section 126 action as well. The EPA committed to revise the 
    emissions inventory to reflect the new data, as appropriate, by the end 
    of April 1999. The EPA will use the revised inventory in identifying 
    the individual sources subject to today's affirmative technical 
    determinations and in assigning their NOX allowance 
    allocations for purposes of the Federal NOX Budget Trading 
    Program. This information will be provided in the July notice of final 
    rulemaking.
    2. Impacts of 1-Hour Standard Revocation
        By action dated March 2, 1999 (64 FR 10118), EPA reopened the NPR 
    comment period to allow comment on how the proposed section 126 action 
    may be affected by a separate proposed action by EPA (63 FR 69598, 
    December 17, 1998) to revoke the 1-hour ozone standard for certain 
    areas in States that had submitted section 126 petitions. The affected 
    areas are Boston-Lawrence-Worcester, Massachusetts-New Hampshire; 
    Portland, Maine; Portsmouth-Dover-Rochester, New Hampshire; and 
    Providence, Rhode Island. The comment period was reopened in response 
    to two requests. In that notice, EPA indicated its position that if EPA 
    promulgates a final determination that the 1-hour standard no longer 
    applies for those designated nonattainment areas, the contributions 
    from sources in upwind States to those areas would no longer constitute 
    a basis for EPA to approve the petitioning States' requested findings 
    as to the 1-hour standard for those areas. The EPA is finalizing action 
    on the revocation notice in the same timeframe as today's final action. 
    In addition, EPA is in the process of proposing to revoke the 1-hour 
    standard in another area in one of the petitioning States, Pittsburgh, 
    Pennsylvania, because the area has achieved clean air based on 1996-
    1998 monitoring data. In today's rulemaking, EPA confirms its position 
    that the areas in the petitioning States for which EPA is revoking the 
    1-hour standard no longer provide a basis for EPA to make positive 
    findings under section 126 for the 1-hour standard.
    3. Timing of Petition for Review
        Commenters stated that if EPA takes action to approve the technical 
    merits of a section 126 petition by April 30, 1999, but findings on the 
    petitions are not deemed made until some later date, then the April 30 
    action should be deemed ``final action'' reviewable by a court of law 
    regardless of the fact that EPA would not be making findings on the 
    petitions until some later date.
        Section 307(b) of the CAA identifies which court has venue to hear 
    a petition for review of final agency action and the timing by which 
    any such petition must be filed. For the reasons described in section 
    VI of this preamble, EPA is determining that final action regarding the 
    section 126 petitions is nationally applicable and of nationwide scope 
    or effect for purposes of section 307(b)(1). Therefore, venue lies with 
    the U.S. Court of Appeals for the D.C. Circuit. With respect to timing, 
    section 307(b)(1) generally provides that any petition for review must 
    be filed within sixty days of publication of agency final action in the 
    Federal Register. Whether a petition to review the decisions in this 
    rule would be properly reviewable at this time by the Court of Appeals 
    is a question to be addressed and decided by the court, not EPA.
    
    H. Summary of Major Changes Between Proposals and Final Rule
    
        This summary describes the major changes that have occurred since 
    publication of the NPR and SNPR.
    Section 126 Control Remedy
        In the NPR, EPA proposed to implement as the section 126 remedy a 
    new Federal NOX Budget Trading Program. That program would 
    consist of a capped, market-based trading system applicable to all 
    sources for which a final affirmative finding is ultimately granted. 
    The Agency intended to finalize all aspects of the section 126 remedy 
    by April 30, 1999. In today's notice, EPA finalizes the general 
    parameters of the remedy--including the decision to implement a capped, 
    market-based trading program, identification of the sources subject to 
    the program, specification of the basis for the total tonnage cap, and 
    specification of the compliance date. The details of the trading 
    program, including unit-by-unit allocations, will be finalized in a 
    separate action no later than July 15, 1999. As part of today's action, 
    the EPA is also establishing interim final emissions limitations that 
    will be imposed in the event a finding under section 126 is made and 
    the Administrator does not promulgate the Federal NOX Budget 
    Trading Program regulations before such finding.
    1-Hour Standard Attainment
        In the section 126 NPR, EPA proposed which upwind States contain 
    sources of emissions named in the petitions that contribute 
    significantly to nonattainment problems in the petitioning States under 
    the 1-hour ozone standard, and where petitions were based on it, the 8-
    hour ozone standard.
        After publication of the section 126 NPR on October 21, 1998, EPA 
    preliminarily determined that proposed to determine that the 1-hour 
    ozone standard no longer applied to certain nonattainment areas, 
    including several areas in the petitioning States based on 1996-1998 
    air quality monitoring data. These areas, however, continue to monitor 
    violations of the 8-hour standard.
        Because EPA believes, preliminarily, that these areas no longer 
    have 1-hour nonattainment problems based on the 1996-1998 data, they 
    can no longer provide a basis for EPA to make affirmative findings 
    under section 126 that upwind sources are significantly contributing to 
    nonattainment with respect to the 1-hour standard. Therefore, EPA is 
    denying portions of
    
    [[Page 28258]]
    
    the 1-hour petitions related to these areas. The determination to 
    delete these areas as 1-hour receptor areas has no impact on the 
    determinations of which sources are significantly contributing to 
    downwind nonattainment.
    Maine's 8-Hour Petition and North Carolina Sources
        In the section 126 NPR, the upwind States that were named by the 
    petitioners and which were proposed to contain sources that make a 
    significant contribution to 8-hour nonattainment problems in the 
    petitioning States were based on the upwind-downwind linkages found to 
    be significant in the NOX SIP call. The exception to this in 
    today's rule is Maine's petition for relief from emissions sources in 
    North Carolina. In its petition, Maine requested relief from large 
    stationary sources within a 600-mile radius of the southwestern-most 
    nonattainment area in Maine. This radius includes several counties in 
    the extreme northeastern portion of North Carolina that do not contain 
    sources of the type and size identified in Maine's petition. Thus, even 
    though EPA found in the NOX SIP call that emissions in North 
    Carolina contribute significantly to 8-hour nonattainment in Maine, EPA 
    is denying Maine's petition relative to North Carolina because there 
    are no section 126 sources located in the portion of North Carolina 
    covered by Maine's petition.
    
    II. EPA's Analytical Approach
    
        The EPA described its analytical approach in the NPR, (63 FR 
    56299). The EPA received numerous comments on various aspects of its 
    approach. After considering these comments, EPA has determined to 
    maintain the principal elements of its approach. The major comments are 
    summarized below.
    
    A. EPA's Interpretation of Section 126: Authorization of the Petitions
    
        This section lays out EPA's legal interpretation of sections 126 
    and 110(a)(2)(D), the key statutory provisions that authorize today's 
    action. First, EPA describes how these provisions authorize EPA to 
    address interstate transport problems and how they relate to sections 
    176A and 184, which are the other two main interstate transport 
    provisions under the Act. Second, EPA explains its interpretation that 
    the reference in section 126 to section 110(a)(2)(D)(ii) is a 
    scrivener's error and the correct reference is to section 
    110(a)(2)(D)(i). Third, EPA discusses its interpretation of the phrase 
    ``emits in violation of the prohibition'' of section 110 and explains 
    how this interpretation provides direction for coordinating EPA's 
    actions on the section 126 petitions and the NOX SIP call.
    1. Relationship Among Sections 110(a)(2)(D), 126, and 176A/184
        Subsection (a) of section 126 requires, among other things, that 
    SIPs require major proposed new (or modified) stationary sources to 
    notify nearby States for which the air pollution levels may be affected 
    by the fact that such sources have been permitted to commence 
    construction. Subsection (b) provides:
    
        Any State or political subdivision may petition the 
    Administrator for a finding that any major source or group of 
    stationary sources emits or would emit any air pollutant in 
    violation of the prohibition of section 110(a)(2)(D)(ii) * * * or 
    this section.
        Subsection (c) of section 126 states that--
        [I]t shall be a violation of this section and the applicable 
    implementation plan in such State [in which the source is located or 
    intends to locate]--
        (1) For any major proposed new (or modified) source with respect 
    to which a finding has been made under subsection (b) of this 
    section to be constructed or to operate in violation of the 
    prohibition of section 110(a)(2)(D)(ii) * * * or this section, or
        (2) for any major existing source to operate more than three 
    months after such finding has been made with respect to it.
    
    However, subsection (c) further provides that EPA may permit the 
    continued operation of such major existing sources beyond the 3-month 
    period, if such sources comply with EPA-promulgated emissions limits 
    within 3 years of the date of the finding.
        Section 110(a)(2)(D) provides the requirement that a SIP contain 
    adequate provisions--
    
        (i) Prohibiting, consistent with the provisions of this title, 
    any source or other type of emissions activity within the State from 
    emitting any air pollutant in amounts which will--
        (I) Contribute significantly to nonattainment in, or interfere 
    with maintenance by, any other State with respect to [any] national 
    * * * ambient air quality standard, or
        (II) Interfere with measures required to be included in the 
    applicable implementation plan for any other State under part C to 
    prevent significant deterioration of air quality or to protect 
    visibility.
        (ii) Insuring compliance with the applicable requirements of 
    sections 126 and 115 (relating to interstate and international 
    pollution abatement) * * *
    
        In the 1990 Clean Air Act Amendments, Congress added section 184, 
    which delineates a multistate ozone transport region (OTR) in the 
    Northeast, requires specific additional controls for all areas (not 
    only nonattainment areas) in that region, and establishes the Ozone 
    Transport Commission (OTC) for the purpose of recommending to EPA 
    regionwide controls affecting all areas in that region. At the same 
    time, Congress added section 176A, which authorizes the formation of 
    transport regions for other pollutants and in other parts of the 
    country.
        In the NPR, EPA proposed the view that, with respect to existing 
    stationary sources, sections 126(b)-(c) and 110(a)(2)(D), read 
    together, authorize a downwind State to petition EPA for a finding that 
    major stationary sources or groups of sources upwind of the State emit 
    in violation of the prohibition of section 110(a)(2)(D)(i) because, 
    among other reasons, their emissions contribute significantly to 
    nonattainment, or interfere with maintenance, of a NAAQS in the State. 
    If EPA grants the requested finding, the existing sources must shut 
    down in 3 months unless EPA directly regulates the sources by 
    establishing emissions limitations and a compliance period extending 
    beyond 3 months but no later than 3 years from the finding. In 
    accordance with section 302(j) of the CAA, the term major stationary 
    source means ``any stationary facility or source which directly emits, 
    or has the potential to emit, one hundred tons per year or more of any 
    air pollutant. . . .'' For the purpose of this rulemaking the relevant 
    pollutant is NOX emissions.
        The EPA received numerous comments arguing that section 126(b) 
    should not be read to authorize the petitions, which ask EPA to 
    implement controls on upwind sources on grounds that, under section 
    110(a)(2)(D), they contribute significantly to nonattainment problems 
    downwind. According to these commenters, Congress, in the 1990 Clean 
    Air Act Amendments, dealt with interstate ozone transport by 
    establishing sections 176A and 184 as the key provisions, and revising 
    section 110(a)(2)(D) to assure that it did not apply outside the 
    context of section 184.
        For the reasons discussed below, EPA believes that following the 
    1990 Clean Air Act Amendments, section 126(b) and 110(a)(2)(D) retain 
    independent effect and authorize the petitions. Please note that the 
    discussion below assumes that the references in section 126 to section 
    110(a)(2)(D)(ii) are a scrivener's error and instead should be read to 
    refer to section 110(a)(2)(D)(i). See section II.A.2. below for further 
    explanation of the error.
        Background: The CAA, as amended in 1990, has four key provisions 
    that relate to the issue of interstate transport of air pollution and 
    air pollution precursors:
    
    [[Page 28259]]
    
    sections 110(a)(2)(D), 126, 176A, and 184. In attempting to resolve 
    disputes over specific interpretations of these provisions, it makes 
    sense to consider these provisions together as the set of statutory 
    requirements that carry out Congress' desired approach to the problem 
    of interstate transport. The provisions should be read in a manner that 
    will best bring meaning to each provision and allow it to fit 
    rationally into the overall statutory context.
        A stated purpose of the CAA is ``to protect and enhance the quality 
    of the Nation's air resources so as to promote the public health and 
    welfare and the productive capacity of its population.'' CAA, section 
    101(b)(1). To understand how the interstate transport provisions 
    interact with one another and fit into the CAA's overall scheme to 
    achieve its clean air purposes, it is useful to step back and consider 
    how these provisions came into being in their current forms. Relevant 
    information includes earlier draft and adopted versions of the 
    provisions themselves, statements by Congress regarding the provisions, 
    and judicial rulings on EPA interpretations of the provisions. It is 
    also useful to recognize the larger factual context in which Congress 
    was operating while developing these provisions, both in terms of the 
    current understandings of the environmental problems that Congress was 
    attempting to remedy and of the political context for Congressional 
    action. The relevant legislative history is largely that of the 1970, 
    1977 and 1990 CAA Amendments, although the pre-1970 provisions are 
    useful to indicate the approach that Congress rejected in adopting the 
    first version of the current section 110(a)(2)(D).
        As with most environmental policy issues, our understanding of the 
    problem of interstate transport of pollutants and pollution precursors, 
    our ability to measure it, and the legal means employed to address it 
    have become increasingly sophisticated over time. Prior to the adoption 
    of the 1970 CAA, conflicts between states over air pollution most 
    frequently concerned the relatively local air quality effects inflicted 
    on inhabitants of one state by a facility located on the other side of 
    the state border. The 1970 CAA contained an interstate pollution 
    provision that could potentially have been applied to long distance 
    transport disputes, but those did not appear to be Congress' main 
    concern. See S. Comm. on Public Works, National Air Quality Standards 
    Act of 1970, S. Rep. No. 91-1196, 91st Cong., 2d Sess., 13 (1970) 
    reprinted in 1 Committee on Public Works, 93d Cong., 2d Sess., A 
    Legislative History of the Clean Air Act Amendments of 1970, 413 (1974) 
    (hereinafter 1970 Legislative History). By the time Congress passed the 
    1977 Amendments, however, both the federal and state governments and 
    the general public had become increasingly aware that a significant 
    portion of certain air pollution problems in some states likely derived 
    from activities in other states, including more distant states. In 
    fact, the provisions of the 1970 CAA, as implemented, had exacerbated 
    long-range interstate transport problems by implicitly encouraging 
    dispersion through tall smoke stacks as a remedy for local air quality 
    problems. By 1990, our increasing awareness of the long-range transport 
    problem was bolstered by more sophisticated measurement and modeling 
    techniques.
        As understanding of the problem became more sophisticated over 
    time, so did Congress' approach to ameliorating the problem. From 1970 
    to 1990, Congress steadily increased the number and power of the tools 
    available to both EPA and the states to address interstate pollution 
    transport. This expansion of authority under the CAA was driven by an 
    ongoing situation in which increased recognition of the problem was 
    accompanied by no actual reduction in transport over a 20-year period. 
    In fact, the set of actions comprised by the NOx SIP call 
    and the proposed FIP is EPA's first significant attempt to require 
    reduction of interstate transport of pollutants. While certain downwind 
    states affected by the problem have made serious attempts to impel 
    reductions by upwind states, none of these attempts has been effective 
    to date. This factual context, both in terms of the extent of the 
    effects of interstate pollutant transport on downwind states' citizens' 
    health, environments, and economies, and in terms of the continued 
    failure of the federal or state governments to have any direct effect 
    on the problem, is critical to understanding Congress' intent in 
    adopting the 1990 CAA provisions on interstate transport.
        In addressing interstate pollution transport, there are several 
    central issues with which Congress has had to grapple. In its simplest 
    form, interstate transport raises questions of how to provide recourse 
    for a state experiencing health or welfare impacts from sources beyond 
    the state's control. To the extent that we have decided that there are 
    certain minimum national standards for air pollutants that must be met 
    to protect health and welfare, this first issue is a matter of creating 
    a mechanism for the downwind state to impel emission reductions in the 
    upwind state. The issue becomes more complicated in the more common 
    situation where both the upwind and downwind states contribute 
    pollutants causing the exceedance of the national standards. This 
    situation adds the need to allocate responsibility (and therefore cost) 
    for making the reductions necessary to meet the standards, which 
    involves both economic and equity aspects. Where the air in the 
    downwind area is cleaner than the standards require, it also raises the 
    issue of the extent to which the downwind state can ``reserve'' its 
    cleaner air either for environmental purposes or to provide a margin 
    for future economic growth. All of these questions are further 
    complicated where there are multiple upwind and downwind states 
    contributing to and experiencing an air pollution problem. With each of 
    these situations, there is also the continuing question of the extent 
    to which these issues should be resolved by the states involved and the 
    extent to which solutions may or must be imposed by the federal 
    government.
        Pre-1970 Provisions: The Clean Air Act of 1963 and the Air Quality 
    Act of 1967 both included provisions to address interstate air 
    pollution, but neither had much effect on the problem. See generally, 
    Clean Air Act, Public Law 88-206, 77 Stat. 392, (1963); Air Quality Act 
    of 1967, Public Law 90-148, 81 Stat. 485 (1967). These early statutes 
    generally provided for far less of a federal role in pollution control 
    than the 1970 CAA. On interstate pollution, they took the approach that 
    it was an issue between states, and hence that states needed to 
    cooperate to develop a solution. See Vickie L. Patton, The New Air 
    Quality Standards, Regional Haze, and Interstate Air Pollution 
    Transport, 28 Envtl. L. Rep. 10155, 10157-10160 (1998); Geoffrey L. 
    Wilcox, New England and the Challenge of Interstate Ozone Pollution 
    Under the Clean Air Act of 1990, 24 Boston College Envtl. Affairs L. 
    Rev. 1, 13-14 (1996). The federal government would facilitate such 
    cooperation, but would not force it and would rarely step in to impose 
    a solution in the absence of state resolution. Over time, as the 
    approach of state cooperation has consistently failed to produce 
    reductions from upwind states, Congress has given more authority to the 
    federal government to break the deadlock between upwind and downwind 
    states, although a strong political and policy interest in letting 
    states solve state problems has produced continued attempts at driving 
    consensus solutions.
        The CAA of 1963 provided that either a downwind state or Department 
    of Health, Education, and Welfare (HEW) could convene an 
    intergovernmental
    
    [[Page 28260]]
    
    conference on a particular interstate pollution issue. Section 
    5(c)(1)(A), (c)(1)(C), 77 Stat. at 396. The conference would make 
    findings, and HEW could recommend on that basis that the upwind state 
    take certain actions to reduce emissions. Section 5(d), 77 Stat. at 
    397. If the upwind state failed to act, HEW could hold a public hearing 
    to decide whether to recommend abatement measures again. Section5(e), 
    77 Stat. at 397. Finally, if the upwind state failed again to implement 
    the recommended measures, HEW could refer the issue to the U.S. 
    Attorney General who could bring an enforcement action. Section 5(f), 
    77 Stat. at 397-398. While they produced progress on a few interstate 
    pollution problems, the provisions were generally criticized as 
    ineffectual, particularly due to the long burdensome process required 
    before the upwind state could be forced to act. Patton, supra at 10157. 
    The Air Quality Act of 1967 added a regional air quality planning 
    approach, which was appropriate for addressing interstate pollution 
    issues, but still lacked a mechanism to force action. See Air Quality 
    Act of 1967, Public Law 90-148, 81 Stat. 485 (1967).
        1970 Clean Air Act: In the face of a widespread lack of progress 
    addressing the nation's air pollution problems, Congress significantly 
    changed its approach in adopting the 1970 CAA. Congress moved from a 
    decentralized approach dependent on state action to a cooperative 
    federalism approach, with uniform minimum standards and federal 
    authority to step in where the states failed to act. In the 1970 CAA, 
    in then section 110(a)(2)(E), Congress first adopted language embodying 
    the concept that sources located in one state should not be allowed to 
    interfere with attainment or maintenance of a NAAQS in another state. 
    See Clean Air Act Amendments of 1970, Public Law 91-604, 84 Stat. 1676. 
    EPA was to approve a state implementation plan if, among other 
    requirements, ``it contains adequate provisions for intergovernmental 
    cooperation, including measures necessary to insure that emissions of 
    air pollutants from sources located in any air quality control region 
    will not interfere with the attainment or maintenance of such primary 
    or secondary standard in any portion of such region outside of such 
    State or in any other air quality control region.'' Public Law 91-604 
    section 110(a)(2)(E). While the final statutory language and the Senate 
    Committee Report (discussing almost identical language) emphasized 
    intergovernmental cooperation as the mechanism, the intent was that 
    states develop air quality programs that ``at the minimum must prevent 
    facilities in one State from contributing to the violation of ambient 
    air quality standards in an adjacent State * * *.'' S. Rept. No. 91-
    1196 at 13, reprinted in 1970 Legislative History at 413. Although the 
    statutory language was sufficiently broad to encompass the long-range 
    transport issues that have emerged as the more difficult problem, it 
    appears that Congress initially conceptualized the problem as more of a 
    short-range transport issue, with pollution from a facility on one side 
    of a state border affecting a community on the other side.2
    ---------------------------------------------------------------------------
    
        \2\ See, e.g., H.R. 17255, which would have amended section 
    108(c) of the CAA to provide that state plans should contain 
    ``adequate provisions for intergovernmental cooperation, including, 
    in the case of any area covering part or all of more than one State 
    and designated as an air quality control region . . . appropriate 
    provisions for dealing with interstate air pollution problems, . . 
    .'' (limiting the interstate pollution provisions to states that are 
    part of a single air quality control region). H.R. 17255, 91st 
    Cong., 2d Sess. Sec. 4(a)(1) (1970), reprinted in 2 1970 Legislative 
    History at 914. Note also that most of the abatement conferences 
    held at that time, which addressed the more contentious interstate 
    air pollution issues, concerned conflicts between adjacent states. 
    See Air Pollution--1970: Hearings Before the Subcomm. on Air and 
    Water Pollution of the Senate Comm. on Public Works, 91st Cong., 2d 
    Sess. (March 17, 1990), reprinted in 2 1970 Legislative History at 
    1098-1103.
    ---------------------------------------------------------------------------
    
        The EPA implemented sections 110(a)(2)(E) of the 1970 CAA through 
    regulations focusing on information exchange rather than requirements 
    to control emissions. Patton, supra, at 10162; Wilcox, supra, at 15-16. 
    The regulations required only that the SIP assure that the state will 
    transmit information to other states regarding factors, such as 
    construction of new plants, that may significantly affect air quality 
    in the same or adjoining air quality regions. 40 CFR 51.21(c) (1977) 
    (superseded). In a challenge by NRDC, the Eighth Circuit upheld the 
    regulations as a ``legitimate means to attain ``intergovernmental 
    cooperation'' as contemplated by Congress in the statute.'' Wilcox, 
    supra, at 15, quoting NRDC v. EPA, 483 F.2d 690, 692 (8th Cir. 1973). 
    The result of EPA's approach was that the states made virtually no 
    progress on control of interstate pollution under the 1970 Act. See 
    Patton, supra, at 10161, 19; Wilcox, supra, at 18; S. Comm. on Envt. 
    and Public Works, Clean Air Act Amendments of 1977, S. Rept. 95-127, 
    95th Cong., 1st, Sess. 41 (1977), reprinted in S. Comm. on Envt. and 
    Public Works, 95th Cong. 2d. Sess., 3 A Legislative History of the 
    Clean Air Act Amendments of 1977, 1415 (1978) (hereinafter 1977 
    Legislative History) (noting that the 1970 Act failed to specify any 
    abatement procedure if a source in one state emitted air pollutants 
    that adversely affected another state, and ``[a]s a result, no 
    interstate enforcement actions have taken place, resulting in serious 
    inequities among several States, where one State may have more 
    stringent implementation plan requirements than another State.'').
        1977 Clean Air Act: In developing the 1977 Amendments to the CAA, 
    both Houses of Congress focused on interstate pollution as a major area 
    of concern, and the 1977 Amendments made significant changes to the 
    statute intended to address the problem. See S. Rept. 95-127 at 41, 
    reprinted in 3 1977 Legislative History at 1415. The Report of the 
    House Committee on Interstate and Foreign Commerce provided an 
    extensive discussion of the interstate pollution problem, a portion of 
    which ran as follows:
        In the committee's view, however, the existing law (as 
    interpreted by the Administrator) is an inadequate answer to the 
    problem of interstate air pollution. This is so for five basic 
    reasons. First, an information exchange without adequate procedures 
    to act on that information is simply insufficient. Second, an 
    effective interstate air pollution control program must include not 
    only prevention of interstate air pollution from new sources but 
    also abatement of pollution from existing sources. Third, an 
    effective program must also be designed to prevent significant 
    deterioration * * * of air quality and to protect visibility under 
    section 116 of the bill from interstate air pollution. Fourth, an 
    effective program must not rely on prevention or abatement action by 
    the State in which the source of the pollution is located, but 
    rather by the State * * * which receives the pollution and the harm, 
    and thus which has the incentive and need to act. Fifth, an 
    effective program must include a Federal mechanism for resolving 
    disputes which cannot be decided through cooperation and 
    consultation between the States or persons involved * * *. The 
    problem of interstate air pollution remains a serious one that 
    requires a better solution * * *.
    
        H. Comm. on Interstate and Foreign Commerce, 95th Cong., 1st Sess., 
    Clean Air Act Amendments of 1977, H. Rept. 95-294, 330 (1977) reprinted 
    in 4 1977 Legislative History at 2797.
        The Senate Committee on the Environment and Public Works also 
    viewed the 1970 provisions as inadequate, particularly in their failure 
    to ``specify any abatement procedure'' if a source in one state emitted 
    air pollutants that ``adversely affected the air quality control 
    efforts of another State.'' S. Rept. 95-127 at 41 reprinted in 3 1977 
    Legislative History at 1415. The Committee noted that ``[a]s a result,
    
    [[Page 28261]]
    
    no interstate enforcement actions have taken place, resulting in 
    serious inequities among several States, where one State may have more 
    stringent implementation plan requirements than another State.'' Id. 
    This put plants in the states with more stringent control measures ``at 
    a distinct economic and competitive disadvantage.'' Id. at 42, 1416. 
    The revisions were ``intended to equalize the positions of the States 
    with respect to interstate pollution by making a source at least as 
    responsible for polluting another State as it would be for polluting 
    its own ``State.'' Id.
        To address the interstate pollution problem, the 1977 Amendments 
    modified section 110(a)(2)(E) and added a new section 126. See Clean 
    Air Act Amendments of 1977, Public Law 95-95, 91 Stat. 685. The House 
    Committee Report discussed how these provisions together incorporated 
    ``the five elements for an effective program for control of interstate 
    pollution.'' H. Rept. 95-294 at 330, reprinted in 4 1977 Legislative 
    History at 2797. The most critical strengthening elements were a direct 
    requirement that SIPs prohibit emissions in amounts that would prevent 
    attainment or maintenance by any other state of a NAAQS, and a 
    mechanism for downwind states to petition EPA to bar emissions from any 
    major source in violation of that prohibition. The revised section 
    110(a)(2)(E) required SIPs to contain:
        Adequate provisions (i) prohibiting any stationary source within 
    the State from emitting any air pollutant in amounts which will (I) 
    prevent attainment or maintenance by any other State of any such 
    national primary or secondary ambient air quality standard, or (II) 
    interfere with measures required to be included in the applicable 
    implementation plan for any other State under part C to prevent 
    significant deterioration of air quality or to protect visibility, 
    and (ii) insuring compliance with the requirements of section 126, 
    relating to interstate pollution abatement.
        Public Law 95-95. While overall this made the SIP requirements for 
    interstate pollution more stringent, the provision was limited to 
    emissions from stationary sources, and Congress later removed this 
    limitation in the 1990 Amendments.
        The new section 126 included both notification requirements and a 
    petition process. First, each SIP had to require notice to all nearby 
    States in which the air pollution levels might be affected of each 
    major existing or proposed new source that ``may significantly 
    contribute to levels of air pollution in excess of the national ambient 
    air quality standards in any air quality control region outside the 
    State.'' Public Law 95-95. Second, section 126 provided that a state 
    could petition EPA for a finding that any new or existing ``major 
    source emits or would emit any air pollutant in violation of the 
    prohibition of section 110(a)(2)(E).'' Public Law 95-95. EPA had to act 
    on the petition within 60 days, and if EPA made the finding, it would 
    be a violation of the SIP for the source either to be constructed or 
    operate in violation of section 110(a)(2)(E) or for the source to 
    operate for more than three months after the finding. The EPA could 
    allow the source to continue to operate beyond that period if it 
    complied with ``such emission limitations and compliance schedules'' 
    set by EPA ``to bring about compliance with * * * section 110(a)(2)(E) 
    as expeditiously as practicable,'' but the source would have to comply 
    by three years from the date of the finding, at the latest. Public Law 
    95-95.
        Congress made clear that it intended section 126 to provide an 
    additional means of attacking interstate pollution that would 
    supplement, not replace, the SIP requirement under section 
    110(a)(2)(e).
        This petition process is intended to expedite, not delay, 
    resolution of interstate pollution conflicts. Thus, it should not be 
    viewed as an administrative remedy which must be exhausted prior to 
    bringing suit under section 304 of the act. Rather, the committee 
    intends to create a second and entirely alternative method and basis 
    for preventing and abating interstate pollution. The existing 
    provision prohibiting any stationary source from causing or 
    contributing to air pollution which interferes with timely 
    attainment or maintenance or [sic] a national ambient air standard 
    (or a prevention of significant deteriorating [sic] or visibility 
    protection plan) in another State is retained. A new provision 
    prohibiting any source from emitting any pollutant after the 
    Administrator has made the requisite finding and granted the 
    petition is an independent basis for controlling interstate air 
    pollution.
        H. Rep. 95-294 at 331, reprinted in 4 1977 Legislative History at 
    2798.
        A commentator summarizes the significance of and inter-relationship 
    between these two provisions in the following manner:
    
        New section 126 had several remarkable features. Importantly, it 
    enabled downwind states to initiate action against interstate 
    pollution. While section 126 required upwind states to identify 
    sources potentially contributing to interstate pollution thereby 
    informing potential petitions, the petitions themselves were not 
    dependent on the cooperation of the upwind state. States suffering 
    from interstate pollution could independently obtain information and 
    petition EPA for abatement action.
        Section 126 also provided a powerful federal remedial tool. It 
    authorized direct, expeditious federal abatement of pollution. 
    Additionally, it allowed objection to and corresponding remediation 
    of transported pollution at any time, not just when EPA was 
    reviewing an upwind state plan for compliance with the transport 
    prohibition.
        The petition process together with the SIP prohibition on transport 
    provided reinforcing checks on interstate transport. The section 110 
    provisions restricted the source state from adopting, and prohibited 
    EPA from approving, state plans allowing interstate air pollution. 
    Section 126 provided a backstop in the event prohibited pollution 
    nevertheless occurred. It created a formal process for downwind states 
    to enforce the section 110 prohibition by bringing interstate pollution 
    concerns to EPA's attention and thereby enabling injured states to 
    safeguard their interests.
    
    Patton, supra, at 10165-10166.
        Despite Congress' provision of significantly improved tools to 
    address interstate pollution, in implementing these 1977 CAA provisions 
    EPA did not require reduction of interstate pollution. While EPA has 
    received a number of petitions under section 126, it has granted none 
    of them prior to this action. Nor had the Agency found a SIP inadequate 
    on the basis of interstate transport, until the OTC LEV SIP call. See 
    60 FR 4712 (January 24, 1995). See Patton, supra, 10166-10172; Wilcox, 
    supra, at 21-27 for detailed discussion of EPA's rejection of downwind 
    states' efforts to obtain relief under these provisions.
        Clean Air Act Amendments of 1990: Congress adopted the CAA 
    Amendments of 1990 in the context of our continued failure to make 
    significant progress on several air pollution fronts, including 
    tropospheric ozone and acid rain, both of which are caused at least in 
    part by interstate transport of pollutants. See Lieberman, S. Debate on 
    H. Conf. Rep. 101-952, 101st Cong., 2d Sess., 10/27/90, reprinted in S. 
    Comm. on Envt. and Public Works, I A Legislative History of the Clean 
    Air Act Amendments of 1990, 103d Cong., 1st Sess., 1055 (1993) 
    (hereinafter 1990 Legislative History) (``In the years since the Clean 
    Air Act was amended--back in 1977--the air has become dirtier and more 
    dangerous. Our uphill climb against the ravages of pollution has turned 
    into a downhill fall, and only now are we realizing the real impact of 
    our failure to act.''). By 1990, there was also a greater awareness 
    that problems such as ozone pollution of the eastern U.S. were unlikely 
    ever to be successfully addressed without controlling interstate 
    pollution transport. As stated in the Senate Committee Report, 
    ``[a]reas in some States may be unable to attain the ozone
    
    [[Page 28262]]
    
    standard despite implementation of stringent emissions control because 
    of pollution transported into such areas from other States * * *. The 
    transport problem in the northeast, and perhaps other regions as well, 
    is serious enough that additional efforts must be made on an interstate 
    basis to control emissions, including emissions from attainment 
    areas.'' S. Comm. on Env't and Public Works, Clean Air Act Amendments 
    of 1989, S. Rep. 101-228, 101st Cong., 1st Sess., 48 (1989) reprinted 
    in V 1990 Legislative History at 8388. See also Lautenberg, S. Debate 
    on H. Conf. Rep. 101-952, 101st Cong., 2d Sess., 10/26/90, reprinted in 
    I 1990 Legislative History at 1106 (``In New Jersey, the Department of 
    Environmental Protection says that on some days even if we shut down 
    the entire State, we would be in violation of some health standards 
    because of pollution coming over from other states.''); S. Rep. 101-
    228, 101st Cong., 1st Sess. at 49 (1989), reprinted in V 1990 
    Legislative History at 8389 (``The model suggests that even if all 
    emissions sources were eliminated within the tri-state area [New York, 
    New Jersey and Connecticut], violations of the ozone standard would 
    still occur. This means substantial reductions in emissions from areas 
    upwind from the New York metropolitan area must be achieved if this 
    area is to attain the air quality standards.'').
        The CAA Amendments of 1990 are widely viewed as one of the most 
    detailed, complex, and prescriptive pieces of environmental legislation 
    yet adopted. See Wilcox, supra, at 27. In light of EPA's lack of 
    progress on several major air pollution problems under the 1977 
    provisions, including interstate pollution, Congress responded by 
    strengthening existing federal tools and adding new ones that could be 
    used to achieve emissions reductions, and by establishing numerous new 
    mandates and deadlines to force action by states and EPA. See, e.g., 
    sections 169B, 172, 174, 175A, 176, 176A, 179, 181, 182, 183, 184, 185, 
    186, 187, 188, 191, 192, and 401-416. See also, Lieberman, Senate 
    Debate on S. 1630, 1/31/90, reprinted in IV 1990 Legislative History at 
    5077 (``Indeed, it is in part the lack of support of EPA which in the 
    past has prevented the effort to institute regional controls from being 
    successful.''). The provisions that were either new or strengthened 
    included several targeting interstate pollution--the acid rain 
    provisions, the regional haze provisions, the eastern ozone transport 
    commission provisions, and general provisions for interstate transport. 
    Congress strengthened the existing interstate pollution transport 
    provisions in sections 110(a)(2)(D) (the successor to section 
    110(a)(2)(E)) and 126, and added two new interstate pollution 
    provisions in sections 176A and 184. See H. Debate, 5/21/90, Clean Air 
    Facts, reprinted in II 1990 Legislative History at 2558 (``Stronger 
    interstate transport provisions.--The Swift/Eckart amendment includes 
    stronger provisions for emission controls in interstate ozone transport 
    regions, as sought by many Northeast and Mid-Atlantic states.''). All 
    of the descriptions of the amendments in the legislative history refer 
    to the changes made to strengthen and supplement the provisions. See 
    discussion below.
        Congress made several changes to sections 110(a)(2)(E) and 126 to 
    overcome EPA's limiting interpretations under the 1977 language, making 
    them easier to apply and more effective in controlling interstate 
    pollution. The Chafee-Baucus Statement of Senate Managers states that 
    the bill ``amends section 126 and section 302(h) of the Clean Air Act 
    to strengthen to [sic] prohibitions on emissions that result in 
    interstate pollution.'' Chafee-Baucus Statement of Senate Managers 
    reprinted in I 1990 Legislative History at 886. In describing the 
    changes to section 110, the Senate Committee Report states that 
    ``[p]rovisions in existing law requiring SIPs to take into account the 
    effect of emissions on other States are strengthened.'' S. Comm. on 
    Envt. and Public Works, Clean Air Act Amendments of 1989, S. Rept. 101-
    228, 101st Cong., 1st Sess. 19 (1989), reprinted in V 1990 Legislative 
    History at 8359. The Senate Committee Report further states ``[s]ection 
    110(a)(2)(E) is replaced by new section 110(c)(4), which, together with 
    changes made to section 126 * * * , improve the effectiveness of the 
    Act as a means of dealing with interstate air pollution.'' 3 
    Id. at 21, 8361.
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        \3\ Section 110(c)(4) was largely identical to the final version 
    of section 110(a)(2)(D), except that it contained one additional 
    provision and did not contain the clause ``consistent with the 
    provisions of this title.'' See S. 1630, 101st Cong., 2d Sess. 
    Sec. 101(c) (1990), reprinted in III 1990 Legislative History at 
    4140-4141.
    ---------------------------------------------------------------------------
    
        One significant change to section 110(a)(2)(E), which became 
    section 110(a)(2)(D), was that Congress extended the prohibition beyond 
    stationary sources to cover other emissions activities, thereby 
    allowing downwind states to obtain relief from an upwind state's 
    pollution emanating from any source. The 1977 version of section 110 
    required the SIP to contain adequate provisions ``prohibiting any 
    stationary source within the State * * *,'' (emphasis added) which was 
    replaced with ``prohibiting, consistent with the provisions of this 
    title, any source or other type of emissions activity within the State 
    * * *'' (emphasis added). Congress also changed the language of the 
    criteria for showing that the downwind state is harmed by pollution 
    transport. Rather than barring emissions of air pollutants ``in amounts 
    which will (I) prevent attainment or maintenance by any other State'' 
    (emphasis added), Congress modified section 110(a)(2)(D) to bar 
    emissions of air pollutants ``in amounts which will-- (I) contribute 
    significantly to nonattainment in, or interfere with maintenance by, 
    any other State'' (emphasis added). Finally, Congress expanded the 
    prohibition to require SIPs to insure compliance with international 
    pollution abatement requirements under section 115, as well as 
    interstate pollution abatement requirements under section 126. In 
    describing the amendments to section 110(a)(2)(E), the Senate Committee 
    Report stated:
        Where prohibitions in existing section 110(a)(2)(E) apply only 
    to emissions from a single source, the amendment includes ``any 
    other type of emissions activity,'' which makes the provision 
    effective in prohibiting emissions from, for example, multiple 
    sources, mobile sources, and area sources. For interstate pollution 
    to violate current law, it must ``prevent attainment.'' Since it may 
    be impossible to say that any single source or group of sources is 
    the one which actually prevents attainment, the bill changes 
    ``prevent attainment or maintenance'' to ``contribute significantly 
    to nonattainment or interfere with maintenance by,'' thus clarifying 
    when a violation occurs.
    
    Id. at 21, 8361. The only other change discussed in the Report was an 
    additional strengthening provision that was not included in the adopted 
    amendments.
        Congress also made it easier for downwind states to use section 126 
    by allowing downwind states to petition based on pollution derived from 
    ``any major source or a group of stationary sources'' (emphasis added), 
    not just from a major source, as under the previous version. As there 
    are usually multiple sources in the upwind state contributing to 
    transported pollution, it is far more difficult to prove that any one 
    particular source, rather than the entire set of contributing upwind 
    sources, prevents attainment or maintenance (or contributes 
    significantly to nonattainment or interferes with maintenance) in the 
    downwind state. In describing the amendment to section 126 contained in 
    H.R. 3030, which was identical to the adopted language, the House 
    Committee
    
    [[Page 28263]]
    
    Report mentions only the strengthening effect of the changes. ``Section 
    126 of the Clean Air Act, concerning interstate air pollution, is 
    amended to provide that when evaluating the impact of one State's 
    emissions on another State under this section, it is not necessary to 
    focus only on the impacts of a single major source. The evaluation of 
    whether pollution from one State is having a greater than permissible 
    impact on another State is to extend as well to a group of stationary 
    sources.'' H. Comm. on Energy and Commerce, Clean Air Act Amendments of 
    1990, H. Rept. 101-490, 101st Cong., 2d Sess. 274 (1990), reprinted in 
    II 1990 Legislative History at 3298.4
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        \4\ Note that this is the sum total description of the section 
    126 amendment in the House Committee Report. This version of the 
    House bill also contained in the 176A and 184 provisions, which the 
    House Committee Report did not describe at all. See H. Rep. 101-490, 
    101st Cong., 2d Sess. at 274, reprinted in II 1990 Legislative 
    History at 3298.
    ---------------------------------------------------------------------------
    
        Congress also strengthened section 126 by adding ``this section'' 
    in several places in section 126(b) and (c). This addition explicitly 
    allowed a finding that a source would emit or is emitting in violation 
    of section 126, in addition to a finding that the source would emit or 
    is emitting in violation of the prohibition of section 110(a)(2)(D). 
    The amendments also made continued operation after a section 126 
    finding a violation of section 126 itself, in addition to being a 
    violation of the applicable SIP.
        In addition, Congress adopted changes to the definitions of ``air 
    pollutant'' and ``welfare'' that made the interstate transport 
    provisions clearly applicable to emissions of precursors to air 
    pollution, not just emissions of the NAAQS pollutants. This overrode 
    EPA's previous limiting interpretation that when reviewing a SIP 
    revision, EPA could only consider the impacts on interstate pollution 
    of the particular pollutant controlled under the SIP, not any other 
    pollution impacts that result from transformation of the pollutant. 
    See, e.g., Connecticut v. U.S. EPA, 696 F.2d 147, 162 (2d Cir. 1982); 
    Connecticut Fund for the Env't v. U.S. EPA, 696 F.2d 169, 177 (2d Cir. 
    1982); Patton, supra, at 10166.
        Congress also adopted provisions to establish interstate transport 
    commissions, giving states and EPA a new tool to use to tackle the 
    intractable interstate pollution problem. Section 176A provides general 
    provisions for the creation and functioning of interstate transport 
    regions and interstate transport commissions, while in section 184 
    Congress directly established the Northeast Ozone Transport Region. The 
    transport commission approach is based on a recognition that regional 
    problems require regional, rather than state-by-state, solutions, and a 
    good way to achieve regional solutions may be for the affected states 
    to develop them and the federal government to require their 
    implementation. This maximizes information for decision-making, 
    generates political support for the outcome, and increases the 
    likelihood that states will implement identified solutions.
        Under section 176A(a), EPA may establish by rule a transport region 
    for a pollutant whenever the interstate transport of air pollutants 
    from one or more states contributes significantly to a violation of a 
    NAAQS in one or more other states. The transport region would include 
    both the contributing and affected states. EPA may establish the 
    transport region on its own, or may act upon a petition from a Governor 
    of any state. Section 176A(b) requires establishment of a transport 
    commission for each transport region. The commission is to be comprised 
    of a representative of the Governor and an air pollution control 
    official from each state in the transport region, an EPA Headquarters 
    representative, and a representative of each affected EPA Region. The 
    transport commission is to assess interstate pollution transport 
    throughout the region, assess strategies for mitigating the transport, 
    and recommend to EPA measures necessary for SIPs to meet the 
    requirements of section 110(a)(2)(D). Under section 176A(c), the 
    transport commission may request EPA to find under section 110(k)(5) 
    that the SIPs for one or more of the states in the region are 
    inadequate to meet the requirements of section 110(a)(2)(D). The EPA 
    must act to approve, disapprove or partially approve and partially 
    disapprove the recommendations within eighteen months of receipt.
        Section 184 contains additional provisions applicable specifically 
    to ozone transport regions and establishes the northeastern ozone 
    transport region by operation of law. Section 184(b) requires each 
    state in an ozone transport region to adopt SIP revisions containing 
    specified control measures related to motor vehicle inspection and 
    maintenance programs, reasonably available control technology for 
    control of VOCs, and vehicle refueling controls. Section 184(c) lays 
    out a process for an ozone transport commission to develop and EPA to 
    act on recommendations for additional control measures necessary to 
    bring any area in the region into attainment. EPA must approve, 
    disapprove, or partially approve and partially disapprove the 
    recommendations within nine months of their receipt. Upon full or 
    partial approval of the recommendations, EPA must issue a SIP call 
    under section 110(k)(5) requiring the relevant states to revise their 
    SIPs to include the recommended measures to meet the requirements of 
    section 110(a)(2)(D). If EPA disapproves the recommendations, EPA must 
    explain why the disapproved measures are not necessary to bring any 
    area in the region into attainment and must recommend equal or more 
    effective actions that the commission could take to conform the 
    recommendations to the section 184 requirements. Section 184(d) 
    requires EPA to promulgate criteria requiring that the best available 
    air quality monitoring and modeling techniques be used to determine the 
    contribution of sources in one area to concentrations of ozone in a 
    nonattainment area.
        Comments: A number of commenters argue that Congress modified 
    section 126 and section 110(a)(2)(D) in the 1990 Amendments to 
    eliminate EPA's authority to take action against upwind sources, except 
    upon a recommendation from a transport commission established under 
    section 176A or section 184. They argue that the adoption of sections 
    176A and 184, combined with the addition of the language ``consistent 
    with the provisions of this title'' in section 110(a)(2)(D) and the 
    amended cite to section 110(a)(2)(D)(ii) in section 126, eliminates 
    EPA's authority to act under section 126(b) and (c), except with 
    respect to failures to notify under section 126(a). One commenter also 
    cites section 110(k)(5) to support the argument that EPA may not act to 
    address interstate transport problems except upon the recommendation of 
    an interstate transport commission established under section 176A or 
    section 184.
        Response: Congress viewed the creation of interstate transport 
    commissions as a valuable new approach to resolving interstate 
    pollution problems that would encourage the affected states to help 
    design a solution. As stated by Senator Lieberman, ``[t]he creation of 
    a regional air quality commission is an important and creative part of 
    the bill. It recognizes that it is impossible to put a cleanup bubble 
    over an individual State. It puts some responsibility on the States to 
    be good neighbors.'' S. Debate on H. Conf. Rep. 101-952, 10/27/90, 
    reprinted in I 1990 Legislative History at 1053. Commenters argue that 
    these new interstate transport commission provisions are the exclusive 
    means for
    
    [[Page 28264]]
    
    EPA to address interstate pollution transport. However, nothing in the 
    structure or language of the interstate pollution provisions 
    themselves, their discussion in the legislative history, or the 
    historical development of the statutory authorities to address 
    interstate pollution through successive versions of the CAA, supports 
    the assertion that the new provisions were intended to replace, rather 
    than supplement, EPA's existing authority to address interstate 
    pollution problems under section 110(a)(2)(D) and section 126.
        First, a straightforward interpretation of the CAA language and 
    structure leads to the conclusion that there are four fully effective 
    provisions providing multiple tools for EPA and states to use to 
    address interstate pollution problems. It is a canon of statutory 
    construction that statutes should be interpreted, if possible, to give 
    full effect to all of the statutory language. See Alabama Power Co. v. 
    EPA, 40 F.3d 450, 455 (D.C. Cir. 1994) (a statute ``is to be 
    interpreted to give consistent and harmonious effect to each of its 
    provisions.'') (Emphasis added, citation omitted). The simplest 
    interpretation of the inter-relationship of these four provisions 
    addressing interstate transport is that each one plays a role in a 
    rational system for upwind states, downwind states and EPA to work 
    together to develop and implement solutions for interstate pollution 
    transport.
        Section 110(a)(2)(D) establishes one of the basic requirements that 
    each state must address in its air pollution planning efforts--the SIP 
    must contain adequate provisions prohibiting emissions that contribute 
    significantly to nonattainment in, or interfere with maintenance by, 
    any other state. This provision places the primary responsibility to 
    prohibit such emissions on the upwind state, but requires EPA to 
    evaluate the adequacy of a state's SIP submission in this respect and 
    potentially to disapprove the SIP on these grounds. A SIP disapproval 
    will eventually trigger sanctions against the state if it does not 
    revise the submission to contain adequate provisions for control of 
    interstate transport. While the downwind states are the parties with 
    the greatest incentive to obtain emissions reductions upwind, section 
    110(a)(2)(D) only provides a limited role for downwind states. They may 
    object to EPA's proposed approval of a SIP submission on the grounds 
    that it fails to control interstate transport as required by section 
    110(a)(2)(D), but cannot initiate action on interstate pollution 
    transport under this provision. 5 See, e.g., State of New 
    York v. U.S. EPA, 710 F.2d 1200 (6th Cir. 1983) (upholding EPA's 
    approval of a SIP revision for Tennessee and rejecting New York's claim 
    that the revision violated the requirements of section 110(a)(2)(E)).
    ---------------------------------------------------------------------------
    
        \5\ Under section 553(e) of the Administrative Procedure Act, a 
    downwind state could petition EPA to issue a SIP call under section 
    110(k)(5) on the grounds that an upwind state's SIP failed to meet 
    section 110(a)(2)(D). See 5 U.S.C. 553(e). However, EPA would have 
    discretion to decide when to act on the petition, subject only to a 
    lawsuit for unreasonable delay under section 304(a) of the CAA. In 
    contrast, section 126 establishes a nondiscretionary duty and 
    deadlines for EPA to act on a petition under that section, which a 
    state may enforce through a citizen suit under section 304.
    ---------------------------------------------------------------------------
    
        Congress adopted section 126 to give downwind states a stronger 
    tool to impel action by EPA and upwind states. First, section 126(a) 
    gives downwind states access to emissions information that may be 
    necessary for them to identify the upwind sources of their 
    nonattainment or maintenance problems. Second, section 126(b) and (c) 
    allows downwind states to petition EPA directly to make a finding that 
    upwind sources are emitting air pollutants in violation of the section 
    110(a)(2)(D)(i) prohibition on emissions that contribute significantly 
    to nonattainment in, or interfere with maintenance by, any other state. 
    If EPA makes a finding under section 126, EPA must directly regulate 
    the sources of the upwind emissions. Relief does not depend upon any 
    action by the upwind states, as is necessary for a SIP revision. Thus, 
    where currently approved SIPs do not contain adequate provisions 
    protecting downwind states from pollution transport, section 126 
    provides powerful recourse to the entities most motivated to reduce 
    transport. It allows the downwind states to initiate action and gives 
    EPA authority to implement a solution directly, without requiring 
    additional state response.
        The sections 176A and 184 provisions on interstate transport 
    commissions supplement this scheme in two key respects. These sections 
    provide a stronger action-forcing tool for a situation where a majority 
    of upwind and downwind states have developed a compromise solution to 
    pollution transport in a region, but EPA has not acted to support 
    implementation of that solution. See S. Rep. 101-228, 101st Cong., 1st 
    Sess. at 51 (1989), Leg. Hist V. at 8391 (``A regional ozone transport 
    commission is one important way to address these problems identified by 
    modeling and monitoring. State air quality directors in the northeast 
    have been cooperating for several years to develop a regional solution 
    to the ozone problem. Lack of support by EPA and lack of authority to 
    institute needed regional controls (both in attainment and 
    nonattainment areas) have prevented this effort from being more 
    successful.'') The transport commission approach contemplates that all 
    affected states in an interstate transport region will come together 
    with EPA and identify emission control measures supported by at least a 
    majority of the states. Under the more specific provisions of section 
    184, the transport commission will forward the recommended emission 
    control measures to EPA, which then must take action to approve or 
    disapprove the recommended measures pursuant to criteria contained in 
    section 184.
        Establishment of an interstate transport commission also may help 
    improve the political viability of potential solutions to interstate 
    transport problems, and hence increase the likelihood that such 
    solutions will be implemented through state and EPA actions. Bringing 
    the states together as a body to develop solutions emphasizes the 
    shared responsibility for the problem and the need to address it 
    through compromise and mutual agreement. Access to a shared body of 
    information increases the likelihood of reaching similar conclusions, 
    although, of course, the same information will always be analyzed 
    somewhat differently in light of different state interests. 
    Participation in a formal analysis and decision-making process 
    increases the parties' investment in the outcomes, thereby enhancing 
    political support for the recommended actions. Finally, enhanced 
    political support for the recommendations makes it easier for EPA to 
    require implementation of those recommendations. See Section I.B. for 
    discussion of how the OTAG process has fulfilled some of these 
    functions in this proceeding.
        While Congress clearly saw the opportunities provided by a state 
    process for developing regional solutions, the process is designed to 
    promote consensus solutions where those are possible, but has no 
    mechanism for forcing action where states remain strongly divided. 
    Recommendations may only be made by vote of the majority of the states 
    represented. Where the transport commission approach works and produces 
    recommendations to EPA, the solutions developed may well be optimal in 
    terms of effectiveness and acceptability. However, there is simply no 
    forcing function to ensure that the transport commission process will 
    ever identify any, let alone an adequate, solution to any particular 
    interstate
    
    [[Page 28265]]
    
    transport problem. In fact, the northeast ozone transport commission 
    established by operation of law under section 184 has produced only one 
    recommendation to EPA, which was approved by EPA but overturned in 
    litigation. Moreover, apart from the establishment of the northeast 
    ozone transport commission by operation of law, EPA has discretion as 
    to whether even to establish a transport region, and hence transport 
    commission, to address a given interstate transport problem. See CAA, 
    section 176A (``Whenever, on the Administrator's own motion or by 
    petition from the Governor of any State, the Administrator has reason 
    to believe that the interstate transport of air pollutants from one or 
    more States contributes significantly to a violation of a national 
    ambient air quality standard in one or more other States, the 
    Administrator may establish, by rule, a transport region * * *.'') 
    (emphasis added). Thus, the regional transport commissions provide a 
    potentially useful tool, but by no means a panacea, for the interstate 
    pollution problem.
        Despite the inherent limitation in the transport commission 
    approach--a structure that builds in a significant possibility that it 
    may never actually act to reduce any interstate pollution--commenters 
    argue that Congress intended to rely solely upon this one potential 
    approach and strip from EPA and downwind states the existing 
    alternative tools to address the problem that Congress had so carefully 
    developed in the 1970 and 1977 Amendments. It is hardly logical to 
    presume from the adoption of these transport commission provisions (in 
    the absence of any statutory language to that effect) that Congress 
    intended them also to divest EPA of authority to act at all in the 
    absence of a formal recommendation from a majority of affected states. 
    Such a presumption is inconsistent with both Congress' expressions of 
    concern about the effect of interstate transport on downwind states and 
    Congress' support for unilateral federal action if states continued to 
    fail to address the problem. See, e.g., Lieberman, S. Debate on H. 
    Conf. Rep. 101-952, 101st Cong., 2d Sess., 10/27/90, reprinted in I 
    1990 Legislative History at 1053 (``Another provision of the bill which 
    is an important part of our effort to control air pollution transported 
    from other areas is the requirement that the Federal Government 
    intervene and promulgate a plan of emission controls in an area where 
    the State fails to act. This provision guarantees that if States 
    sending pollution to Connecticut are not doing their jobs in 
    controlling pollution, Connecticut will be assured that the Federal 
    Government will step in and do the job.'')
        Commenters claim that allowing EPA to act on interstate transport 
    problems without a recommendation from a transport commission reads 
    section 176A and 184 out of the CAA. This is nonsense. The transport 
    commission provisions provide a structure, authority and incentive for 
    state-driven solutions to regional pollution problems. The EPA has 
    strong legal and policy-based reasons to encourage such consensus-based 
    solutions and implement them where they emerge. Providing EPA 
    independent authority to act in the absence of a transport commission 
    or where the commission has failed to produce any recommendations does 
    not undermine the transport commission's authority, much less render 
    those provisions meaningless. Rather, by increasing the likelihood of 
    some action even in the absence of a recommendation, EPA's authority 
    may well encourage states to develop their own consensus-based 
    solutions in preference over imposition of requirements developed by 
    EPA. The logical interpretation of the structure of the Act is that the 
    transport commission provisions complement, but do not replace, the 
    other interstate pollution provisions contained in section 
    110(a)(2)(D)(i) and section 126 specifying requirements for SIPs and 
    providing for direct reductions from sources, even in the absence of 
    any regional agreement.
        Second, the language of the provisions simply does not support the 
    commenters' arguments. Section 126 states that ``[a]ny state * * * may 
    petition the Administrator for a finding that any major source or group 
    of stationary sources emits or would emit any air pollutant in 
    violation of the prohibition of section 110(a)(2)(D)(ii) or this 
    section.'' Sections 176A and 184 provide authority to establish, and 
    for the northeastern ozone transport region directly establish, 
    transport regions and transport commissions. There is no language in 
    either section 126, or the sections that supposedly largely negate 
    section 126(b) and (c), suggesting that section 126 is superseded by 
    sections 176A and 184 or that all three provisions do not remain in 
    effect.
        Moreover, in the 1990 legislation, Congress amended section 126 to 
    strengthen its effectiveness by broadening its scope without any 
    indication that it intended to simultaneously dramatically curtail 
    EPA's authority under that provision. See Chafee-Baucus Statement of 
    Senate Managers, reprinted in I 1990 Legislative History at 886 
    (stating that the bill ``amends section 126 and section 302(h) of the 
    Clean Air Act to strengthen to [sic] prohibitions on emissions that 
    result in interstate pollution.''). The amendments made it a 
    prohibition of section 126 itself, as well as of the applicable SIP (as 
    the previous version provided), for a source to continue to operate for 
    more than three months after EPA makes a finding under section 126. 
    They also explicitly allowed a finding that a source would emit or is 
    emitting in violation of section 126, in addition to the pre-existing 
    language allowing a finding that the source would emit or is emitting 
    in violation of the prohibition of section 110(a)(2)(D).
        Under the commenters' interpretation of the amended version of 
    section 126, Congress strengthened the petition process while limiting 
    its applicability to violations of notification requirements. This 
    interpretation necessarily presumes that Congress intended to enhance 
    EPA's power to enforce through source shut-downs a requirement with no 
    direct environmental impacts, while removing EPA's pre-existing 
    independent authority to reduce the actual emissions. The commenters 
    claim that the petition process under section 126(b) and (c) is now 
    limited to petitions claiming that an upwind state has violated section 
    126(a) by failing to provide information to a downwind state regarding 
    certain sources of emissions in the upwind state. Section 126(a) 
    requires a SIP to include a requirement to provide information to 
    downwind states for each major new or existing source regarding 
    emissions ``which may significantly contribute to levels of air 
    pollution in excess of the national ambient air quality standards' in 
    those downwind states. Commenters are arguing that EPA could shut down 
    a source under section 126 because it had failed to comply with the 
    notification requirements, but could not shut down such a source 
    because it was emitting prohibited quantities of air pollution. 
    Moreover, the notification requirement applies to each major proposed 
    new or modified source that (a) is subject to part C of title I 
    (relating to prevention of significant deterioration of air quality) or 
    (b) may significantly contribute to levels of air pollution in excess 
    of the NAAQS downwind. Thus, under the commenters' interpretation, the 
    notification requirement, and hence the shut down remedy for its 
    violation, potentially applies to sources that do not actually 
    significantly contribute to downwind air pollution, while no
    
    [[Page 28266]]
    
    longer applying to sources because they do so contribute. The language 
    of the statute does not indicate that Congress intended this result, 
    and its inherent irrationality strongly suggests the contrary.
        Commenters also rely on the revised language of section 
    110(a)(2)(D) and the new section 110(k)(5) to argue that sections 176A 
    and 184 are now the sole authorities for addressing interstate 
    pollution transport. The commenters point to the new language in 
    section 110(a)(2)(D)(i), which requires SIPs to prohibit, ``consistent 
    with the provisions of this title'' (emphasis added), emissions that 
    contribute significantly to nonattainment or interfere with 
    maintenance. They also note that section 110(k)(5), which Congress 
    added in the 1990 Amendments, gives EPA authority to call for a SIP 
    revision when a plan fails ``to mitigate adequately the interstate 
    pollutant transport described in section 176A or section 184.'' The 
    commenters argue that together, these provisions bar EPA from acting 
    under section 110(k)(5) and section 110(a)(2)(D)(i) (whether or not in 
    conjunction with section 126) in the absence of recommendations from an 
    interstate transport commission established under section 176A or 
    section 184.
        The revision to section 110(a)(2)(D)(i) adds a general clause 
    requiring adopted SIP provisions to be consistent with title I 
    requirements. Nowhere in the statute is there language indicating that 
    sections 176A and 184 provide the sole mechanisms to address interstate 
    pollution transport. In the absence of such language, it is unclear how 
    the requirement for consistency with other provisions can be 
    bootstrapped into establishing the supremacy of certain provisions over 
    others. Since nothing in sections 176A or 184 states that those 
    provisions override other statutory provisions which establish other 
    means of addressing interstate pollution transport, it is perfectly 
    consistent with the language sections 176A and 184 for EPA to exercise 
    the authority directly established under sections 126 and 
    110(a)(2)(D)(i).
        Under EPA's interpretation, the language ``consistent with the 
    provisions of this title'' serves the purpose of ensuring that in 
    requiring a SIP to contain adequate provisions for interstate 
    transport, EPA may not require states to take, and states may not take 
    on their own initiative, actions that are barred by or in conflict with 
    other requirements under title I. Title I establishes a multitude of 
    detailed requirements for states to adopt and submit SIP revisions 
    adequate to achieve and maintain each of the NAAQS in different areas 
    on various timetables. The 1990 Amendments greatly increased the detail 
    and complexity of the state planning requirements in title I. Thus, it 
    is perfectly reasonable that, in strengthening the section 
    110(a)(2)(D)(i) interstate transport requirements, Congress wanted to 
    make certain that these new more stringent requirements would not 
    override or interfere with other title I provisions. This is what the 
    language on its face requires. Had Congress intended to allow EPA to 
    act under section 110(a)(2)(D)(i) only upon the recommendation of an 
    interstate transport commission, it presumably would have said that 
    instead.
        The legislative history supports EPA's interpretation that the 
    language ``consistent with the provisions of this title'' was intended 
    to be a catch-all safety clause, rather than a significant substantive 
    change. The language was introduced in H.R. 3030 as approved by the 
    House Committee on Energy and Commerce, and was included in the version 
    approved by the House. The version approved by the full Senate did not 
    contain the language, but it was retained in the Conference Committee 
    version approved by both Houses. In all of the discussions of the 
    changes made to sections 110(a)(2)(D)(i) and 126 and the addition of 
    sections 176A and 184 by both Houses, there is no mention of this 
    language. It is implausible that Congress intended the language to 
    dramatically reduce the scope of section 110(a)(2)(D)(i) without 
    mention, while discussing all of the strengthenings of these 
    provisions.
        The language of section 110(k)(5) also does not limit EPA's 
    authority to act under section 110(a)(2)(D)(i) only upon the 
    recommendations of a transport commission. Section 110(k)(5) allows EPA 
    to call for a SIP revision ``to otherwise comply with any requirement 
    of this Act.'' The fact that section 110(k)(5) also identifies two 
    specific instances where a SIP would be inadequate does not narrow the 
    scope of the last catch-all clause. In adopting the interstate 
    transport commission provisions in the 1990 Amendments, Congress 
    established an entirely new additional mechanism for addressing 
    interstate pollution, which did not depend solely on EPA action. 
    Concurrent with establishing a new mechanism under the statute, it 
    makes sense that Congress would specifically identify a SIP call under 
    section 110(k)(5) as a key element in implementing that mechanism. It 
    does not follow, however, that Congress intended to remove EPA's 
    authority to call for a SIP revision in other circumstances related to 
    interstate transport. See also 63 FR at 57368, NOX SIP Call 
    Response to Comments Document, 39-43.
        Third, the legislative history supports EPA's interpretation that 
    all four provisions remain fully effective. The legislative history 
    contains numerous descriptions of the amendments as strengthening the 
    authority to address the problem of interstate pollution. See, e.g., 
    Chafee-Baucus Statement of Senate Managers, reprinted in I 1990 
    Legislative History at 886 (stating that the bill ``amends section 126 
    and section 302(h) of the Clean Air Act to strengthen to [sic] 
    prohibitions on emissions that result in interstate pollution.''); S. 
    Rep. 101-228, 101st Cong., 1st Sess. at 19 (1989), reprinted in V 1990 
    Legislative History at 8359 (in describing the changes to section 110, 
    states that ``[p]rovisions in existing law requiring SIPs to take into 
    account the effect of emissions on other States are strengthened.''); 
    House Committee on Energy and Commerce, H. Rep. 101-490, 101st Cong., 
    2d Sess. at 274 (1990), reprinted in II 1990 Legislative History at 
    3298 (full text of the description of the amendments to section 126 
    follows: ``Section 126 of the Clean Air Act, concerning interstate air 
    pollution, is amended to provide that when evaluating the impact of one 
    State's emissions on another State under this section, it is not 
    necessary to focus only on the impacts of a single major source. The 
    evaluation of whether pollution from one State is having a greater than 
    permissible impact on another State is to extend as well to a group of 
    stationary sources.'').
        In addition to the specific discussions in the legislative history 
    identified above, the legislative history is informative through what 
    it does not mention. The substantive changes to section 110(a)(2)(D) 
    are discussed in the Senate Committee Report, and the House Committee 
    Report. The substantive changes to section 126 are discussed in both 
    Committee Reports and the Chafee-Baucus Statement of Senate Managers. 
    The addition of sections 176A and 184 are discussed in all of these 
    sources plus statements on the House and Senate floors. None of these 
    discussions states or implies that in addition to the strengthening 
    changes identified, Congress also intends to sharply restrict EPA's 
    pre-existing authority under sections 110(a)(2)(D)(i) and 126 and to 
    establish sections 176A and 184 as the sole sources of authority to 
    address interstate pollution transport. Rather, the references in the 
    legislative history to sections 176A and 184 suggest
    
    [[Page 28267]]
    
    that interstate transport commissions provide one, rather than the only 
    means by which to address the problem. See, S. Rep. 101-228, 101st 
    Cong., 1st Sess. at 51 (1989), reprinted in V 1990 Legislative History 
    at 8391 (``A regional ozone transport commission is one important way 
    to address these problems identified by modeling and monitoring.'' 
    (emphasis added); Baucus, S. Debate on H. Conf. Rep. 101-952, 101st 
    Cong., 2d Sess., 10/27/90, reprinted in I 1990 Legislative History at 
    1003 (``We believe that the transport commissions can play a vital role 
    in abating interstate air pollution control problems.'')
        Fourth, as discussed extensively above, Congress adopted the 1990 
    Amendments in the context of continued lack of progress on the 
    interstate pollution problem and the failure of many areas affected by 
    interstate pollution transport to meet the NAAQS, and with the goal of 
    strengthening the CAA to produce results in the form of cleaner air. 
    The commenters argue that Congress intended to remove a primary 
    mechanism for reducing interstate transport and leave downwind states 
    with no recourse should upwind states fail to agree to recommend a 
    solution. They claim that Congress recognized ``that the adversarial 
    approaches of the past--pitting one state against another and pitting 
    EPA against one of those states--had not worked and would not work.'' 
    Therefore, they argue that Congress ``restricted EPA's authority to 
    create the kind of confrontation and controversy that had existed in 
    the past.'' This is revisionist history, uninformed by the historical 
    development of the CAA and the factual and political context in which 
    Congress acted. The legislative history contains numerous references to 
    the problem of interstate pollution, the failure to make progress in 
    reducing pollution transport, and the effects on downwind 
    states.6 The legislative history expresses concern about the 
    lack of EPA and state action, but nowhere evinces a concern about 
    conflict between the states or adversarial relationships. (Note that 
    commenters do not cite any support for their characterization of 
    Congress' motivations).
    ---------------------------------------------------------------------------
    
        \6\ See, e.g., Lieberman, S. Debate on H. Conf. Rep. 101-952, 
    101st Cong., 2d Sess., 10/27/90, reprinted in I 1990 Legislative 
    History at 1055 (``In the years since the Clean Air Act was 
    amended--back in 1977-the air has become dirtier and more dangerous. 
    Our uphill climb against the ravages of pollution has turned into a 
    downhill fall, and only now are we realizing the real impact of our 
    failure to act.''); S. Rep. 101-228, 101st Cong., 1st Sess. at 48 
    (1989), reprinted in V 1990 Legislative History at 8388 (``[a]reas 
    in some States may be unable to attain the ozone standard despite 
    implementation of stringent emissions control because of pollution 
    transported into such areas from other States. . . . The transport 
    problem in the northeast, and perhaps other regions as well, is 
    serious enough that additional efforts must be made on an interstate 
    basis to control emissions, including emissions from attainment 
    areas.''); Lautenberg, S. Debate on H. Conf. Rep. 101-952, 101st 
    Cong., 2d Sess., 10/26/90, reprinted in I 1990 Legislative History 
    at 1106 (``In New Jersey, the Department of Envirionmental 
    Protection says that on some days even if we shut down the entire 
    State, we would be in violation of some health standards because of 
    pollution coming over from other states.''); Lieberman, S. Debate on 
    S. 1630, 1/31/90, reprinted in IV 1990 Legislative History at 5077 
    (``Indeed, it is in part the lack of support of EPA which in the 
    past has prevented the effort to institute regional controls from 
    being successful.''); H. Debate, 101st Cong., 2d Sess., 5/21/90, 
    Clean Air Facts, reprinted in II 1990 Legislative History at 2558 
    (``Stronger interstate transport provisions.--The Swift/Eckart 
    amendment includes stronger provisions for emission controls in 
    interstate ozone transport regions, as sought by many Northeast and 
    Mid-Atlantic states.''); Lieberman, S. Debate on H. Conf. Rep. 101-
    952, 101st Cong., 2d Sess., 10/27/90, reprinted in I 1990 Legisltive 
    History at 1053; Baucus, S. Debate on H. Conf. Rep. 101-952, 101st 
    Cong., 2d Sess., 10/27/90, reprinted in I 1990 Legislative History 
    at 1004 (``[] EPA bears a heavy burden on demonstrating that the 
    additional control measure(s) is not necessary to bring any area of 
    the region into attainment by the dates provided and to recommend 
    equal or more effective actions that could be taken designed [sic] 
    to replace the recommendation. Any recommendations by EPA under this 
    section, designed to replace the recommendations of the Commission, 
    shall not place an unfair burden on any state which is the victim of 
    the transported air pollution.''); Lieberman, S. Debate, 101st 
    Cong., 2d Sess., 1/31/90, reprinted in IV 1990 Legislative History 
    at 5076 (``So there is a basic point here that Connecticut cannot 
    clean its air itself because so much of its problems comes from 
    outside of the State of Connecticut, and therefore if we are going 
    to have clean air in Connecticut [sic] in so many other States in 
    the country, but particularly in the Northeast, we need help from 
    the Federal Government.'').
    ---------------------------------------------------------------------------
    
        The commenters' interpretation is that Congress made section 126(b) 
    and (c) no longer effective for petitions against sources of pollution. 
    For this interpretation to be correct, Congress must have revised the 
    CAA to drastically limit section 126(b) and (c): (1) Without repealing 
    the provisions; (2) without explicitly overriding them elsewhere in the 
    CAA; (3) while adding language to strengthen those provisions; (4) 
    without mentioning the change in the legislative history discussions of 
    any of these provisions; and (5) while pursuing a forcefully stated 
    intent to compel EPA and the states to make more progress on reducing 
    interstate pollution. The EPA finds this argument profoundly 
    unconvincing.
        For further discussion of EPA's position on these issues please see 
    the section 126 proposed rule, the NOX SIP Call final rule 
    and the NOX SIP Call Response to Comments Document. 63 FR 
    56292; 63 FR 57356.
    2. Scrivener's Error
        Section 126(b) provides that a State may petition EPA for a finding 
    that specified sources or groups of sources in other States emit or 
    would emit air pollutants ``in violation of the prohibition of section 
    110(a)(2)(D)(ii) of this title or this section.'' In turn, section 110 
    (a)(2)(D) requires that a SIP:
    
        Contain adequate provisions:
        (i) prohibiting, consistent with the provisions of this title, 
    any source or other type of emissions activity within the State from 
    emitting any air pollutant in amounts which will--
        (I) contribute significantly to nonattainment in, or interfere 
    with maintenance by, any other State with respect to [any] national 
    ambient air quality standard, or
        (II) interfere with measures required to be included in the 
    applicable implementation plan for any other State under part C to 
    prevent significant deterioration of air quality or to protect 
    visibility,
        (ii) ensuring compliance with the applicable requirements of 
    sections 126 and 115 (relating to interstate and international 
    pollution abatement).
    
        The EPA has concluded that the cross-reference in section 126(b) to 
    section 110(a)(2)(D)(ii) is a scrivener's error and that Congress 
    intended to refer to section 110(a)(2)(D)(i). Simply stated, the Agency 
    believes that Congress in the 1990 CAA Amendments meant to make a 
    conforming change in section 126(b) by replacing the pre-existing 
    cross-reference to section 110(a)(2)(E)(i) with the renumbered section 
    110(a)(2)(D)(i), but inadvertently referenced section 110(a)(2)(D)(ii). 
    As explained in greater detail below, this interpretation is based on 
    the statute's logic and structure, as well as the legislative history. 
    First, the reference to ``the prohibition of section 110(a)(2)(D)(ii)'' 
    is ambiguous at best, and arguably nonsensical, since section 
    110(a)(2)(D)(ii) contains no prohibition, yet section 110(a)(2)(D)(i) 
    does. Second, the statutory cross-reference contained in section 
    126(b), if taken on its face, would render section 126(b) largely 
    meaningless. Finally, the legislative history of the CAA Amendments 
    supports this interpretation. The EPA's interpretation is consistent 
    with the reading of the CAA prior to the 1990 Amendments and Congress 
    expressed no indication that it meant to substantively revise this 
    provision of the statute at the time it administratively renumbered the 
    provision.7
    ---------------------------------------------------------------------------
    
        \7\ The 1990 CAA Amendments revised section 110(a)(2)(D) by 
    dropping certain provisions not relevant here, and incorporating 
    other provisions previously contained in section 110(a)(2)(E). See 
    CAA Amendments of 1990, Pub. L. 101-549, 101(b), 104 Stat. 2404 
    (1990); S. Rep. No. 101-228, 101st Cong., 2d Sess. 20 (1989), 
    reprinted in 1990 U.S.C.A.A.N. 3385, 3406.
    
    ---------------------------------------------------------------------------
    
    [[Page 28268]]
    
        Many commenters agreed with EPA's interpretation (presented in the 
    proposal at 63 FR at 56299) that the cross-reference is a scrivener's 
    error and should be read as section 110(a)(2)(D)(i). However, the 
    Agency also received numerous comments taking exception to this view. 
    Such commenters argued that section 126(b) should be read literally, 
    such that the provision does not authorize EPA to issue a finding that 
    new or existing sources contribute significantly to nonattainment 
    downwind or interfere with measures to prevent significant 
    deterioration of air quality or to protect visibility. For the reasons 
    described below, EPA continues to believe that the cross-reference in 
    section 126(b) should be interpreted as referring to section 
    110(a)(2)(D)(i).
        The doctrine of scrivener's error recognizes that typographical and 
    other drafting errors occasionally occur in the legislative process. 
    The U.S. Supreme Court therefore has determined that such errors may be 
    corrected where the statute ``can't mean what it says,'' Green v. Bock 
    Laundry Machine Co., 490 U.S. 504, 511 (1989) (internal quotation marks 
    omitted), and that courts should ``repunctuate, if need be, to render 
    the true meaning'' of a statute. U.S. Nat'l Bank v. Independent Ins. 
    Agents, 508 U.S. 439, 462 (1993) (quoting from Hammock v. Loan & Trust 
    Co., 105 U.S. 77, 84-85 (1882)). Courts have applied this doctrine when 
    the literal text ``would lead to unintended and absurd results.'' In re 
    Chateaugay Corp., 89 F.3d 942, 954 (2nd Cir. 1996) (holding that courts 
    are empowered to correct an erroneous statutory cross-reference that 
    inadvertently results from legislative changes). The EPA's specific 
    authority to apply this doctrine was recently upheld in a case 
    involving other aspects of the Clean Air Act's SIP provisions. 
    Environmental Defense Fund v. EPA, 82 F.3d 451 (D.C. Cir. 1996) 
    (affirming EPA's authority to depart from the literal reading of 
    section 176(c) of the Clean Air Act where it would frustrate 
    congressional purposes).
        Some commenters argued that the cross-reference in section 126(b) 
    is not ``one of those rare cases where the statute as written will 
    produce a result demonstrably at odds with the intentions of the 
    drafters.'' Demarest v. Manspeaker, 498 U.S. 184, 190 (1991) (internal 
    quotations and citations omitted). At best, however, the cross-
    reference in section 126(b) is ambiguous. First, section 126(b) 
    authorizes EPA to find that any major source or group of stationary 
    sources emits or would emit any air pollutant ``in violation of the 
    prohibition of section (a)(2)(D)(ii) of this title or this section'' 
    (emphasis added). However, section 110(a)(2)(D)(ii) contains no 
    prohibition. Rather, it provides that SIPs must ``contain adequate 
    provisions insuring compliance with'' statutory sections relating to 
    interstate and international pollution abatement.
        By contrast, section 110(a)(2)(D)(i)--the provision that EPA 
    believes Congress intended to cross-reference in section 126(b)--does 
    contain a prohibition. It requires that SIPs contain adequate 
    provisions ``prohibiting'' any source or other type of emissions 
    activity within the State from emitting any air pollutant in amounts 
    that, among other things, will contribute significantly to 
    nonattainment in, or interfere with maintenance by, another State with 
    respect to the NAAQS. Thus, the textual interplay between sections 
    126(b) and 110(a)(2)(D) provides strong evidence that the CAA contains 
    a scrivener's error.8
    ---------------------------------------------------------------------------
    
        \8\ One commenter argued that Congress, in referring to sections 
    126(b) and 110, used the words ``prohibition'' and ``requirements'' 
    interchangeably. Based on the provisions' text, structure and 
    legislative history, EPA disagrees. Nevertheless, the fact that 
    reasonable people can disagree on this issue confirms that section 
    126(b) is, at the very least, ambiguous.
    ---------------------------------------------------------------------------
    
        As further support, reading section 126(b) as cross-referencing 
    section 110(a)(2)(D)(ii) essentially renders that provision redundant 
    and meaningless. Section 126(b) allows a party to petition EPA with 
    respect to a ``violation of the prohibition in section 110(a)(2)(D)(ii) 
    or this section.'' Section 110(a)(2)(D)(ii) states that SIPs must 
    contain adequate provisions to insure compliance with sections 126 and 
    115. To the extent section 110(a)(2)(D)(ii) cross-references back to 
    section 126, the statute is redundant. Reading the two provisions 
    together, section 126(b) would provide an opportunity for parties to 
    file a petition claiming that a major source violates the prohibition 
    of section 110(a)(2)(D)(ii) (i.e., section 126) or this section (i.e., 
    section 126).
        Moreover, to the extent that section 110(a)(2)(D)(ii) references 
    section 115, the provision is meaningless. There is no relief that can 
    be provided under section 126(b) for violations of section 115. Rather, 
    sections 126 and 115 create separate processes for different parties to 
    petition the Agency for a finding that a SIP is inadequate. Under 
    section 115, the Administrator may issue a SIP call to a State based on 
    a request by an international agency or the Secretary of State that an 
    air pollutant or pollutants emitted in the United States ``cause or 
    contribute to air pollution which may reasonably be anticipated to 
    endanger public health or welfare in a foreign country.'' In contrast, 
    only ``States'' or ``political subdivisions''--entities under the 
    jurisdiction of the United States--may request relief under section 
    126(b). If Congress intended to provide States or political 
    subdivisions in the United States with the opportunity to seek relief 
    for pollution transported to foreign countries, Congress could have 
    provided so in a much clearer fashion in section 115. It is highly 
    doubtful that Congress would have used such a cryptic reference to 
    grant political entities within the United States the power to address 
    pollution being transported out of the country from other States.
        Further textual evidence that section 126(b) contains a scrivener's 
    error is found by examining section 126(c). Amended at the same time as 
    section 126(b), Congress modified section 126(c) by replacing the two 
    references to the original State petition process, section 
    110(a)(2)(E)(i), with the renumbered section ``110(a)(2)(D)(ii) or this 
    section.'' 9 As amended, the new cross-references are 
    ambiguous because they conflict with the structure and text of section 
    126(c). Read literally, section 126(c) would provide for enforcement of 
    violations of section 110(a)(2)(D)(ii), which requires SIPs to insure 
    compliance with section 126 (the interstate pollution provisions) and 
    section 115 (the international pollution abatement provisions). As 
    discussed above, these cross-references are redundant with respect to 
    section 126 and meaningless with respect to section 115. In addition, 
    section 126(c) again refers to the non-existent ``prohibitions'' of 
    110(a)(2)(D)(ii). There is also no legislative history indicating that 
    Congress intended to make such substantive legal changes. In contrast, 
    the interpretation that Congress meant to renumber section 
    110(a)(2)(E)(i) as 110(a)(2)(D)(i) avoids these ambiguities and 
    restores the section 126 State petition process to the structure and 
    manner in which it was intended to function prior to the 1990 CAA 
    Amendments. As such, EPA believes that the text, structure and 
    legislative history of section 126(c) bolsters the
    
    [[Page 28269]]
    
    Agency's conclusion that section 126(b) contains a scrivener's 
    error.10
    ---------------------------------------------------------------------------
    
        \9\ As amended, section 126(c) states that it shall be a 
    violation for any major proposed new or modified source ``to be 
    constructed or to operate in violation of the prohibition of section 
    110(a)(2)(D)(ii) of this section.'' 42 U.S.C. 7426(c) (1995). The 
    provision also provides discretion to the Administrator to allow 
    sources to operate beyond three months after a finding of violation 
    where needed ``to bring about compliance with the requirements 
    contained in section 110(a)(2)(D)(ii) or this section.'' Id.
        \10\ EPA's interpretation that the cross-reference in section 
    126(b) is a scrivener's error is further supported by the existence 
    of two clear, non-controversial typographical errors in the same 
    provision. First, section 126(c) refers to ``enforcement orders 
    under section 113(d),'' which was amended by section 701 of the 1990 
    Clean Air Act Amendments (Pub. L. 101-549, 104 Stat. 2672) without 
    conforming this reference. Similarly, the Clean Air Act Amendments 
    (Pub. L. 101-549, section 109(a)(2)(A), 104 Stat. 2470) amended 
    section 126(c) in the first sentence by inserting ``this section 
    and'' after ``violation of'' without further specification. However, 
    the words ``violation of'' appear in two places in the sentence. 
    Thus, read literally, section 126(c)(1) prohibits construction or 
    operation ``in violation of this section and the prohibition of 
    110(a)(2)(D)(ii) or this section.'' These errors were noted by the 
    House Energy and Commerce Committee, 103d Congress, 1st Sess., 
    Committee Print 103-B, Compilation of Selected Acts Within the 
    Jurisdiction of the Committee on Energy and Commerce (Feb. 1993), at 
    124.
    ---------------------------------------------------------------------------
    
        The EPA received comments suggesting that there is no ambiguity in 
    section 126(b) because, on its face, it refers to section 
    110(a)(2)(D)(ii), not 110(a)(2)(D)(i). However, ``[t]he rule that 
    statutes are to be read to avoid absurd results allows an agency to 
    establish that seemingly clear statutory language does not reflect the 
    unambiguously expressed intent of Congress and thus overcome the first 
    step of the Chervon analysis.'' Mova Pharmaceutical Corp. v. Shalala, 
    140 F.3d 1060, 1068 (D.C. Cir. 1998) (internal citations omitted). See 
    also Chemical Manufacturers Association v. Natural Resources Defense 
    Council, 470 U.S. 116, 126-27 (1985) (finding that the word ``modify'' 
    has no plain meaning as used in section 301 of the Clean Water Act and 
    is properly subject to construction by EPA).
        The EPA's interpretation that there is a scrivener's error, and 
    that the reference should be to section 110(a)(2)(D)(i), fits with the 
    legislative history on this provision. See Public Citizen v. Department 
    of Justice, 491 U.S. 440, 454 (1989) (if apparently plain language 
    compels an ``odd result,'' evidence of legislative intent other than 
    the text itself, such as the legislative history, should be 
    considered). The Agency received comments contesting this conclusion 
    and arguing that the legislative history is, at best, inconclusive. The 
    EPA disagrees with this characterization. The Agency's review of the 
    legislative history indicates that Congress' broad aim was to 
    strengthen the section 126(b) State petition process and there is 
    nothing to suggest that Congress meant to substantively revise this 
    process when it administratively renumbered section 110.
        Several aspects of the legislative history are worth highlighting. 
    First, prior to the 1990 Amendments, section 126(b) could be used by 
    States to petition EPA for a finding about ``violation[s] of the 
    prohibition of section 110(a)(2)(E)(i),'' which required SIPs to 
    address interstate pollution. 42 U.S.C. 7410(a)(2)(E)(i) (1990). The 
    1990 Clean Air Act Amendments simply revised the text of former section 
    110(a)(2)(E)(i) and then renumbered it as section 110(a)(2)(D)(i). 
    Compare 42 U.S.C. 7410(a)(2)(E)(i) (1990) with 42 U.S.C. 
    7410(a)(2)(D)(i) (1995). In other words, EPA's interpretation that 
    section 126(b) contains a scrivener's error and that Congress intended 
    to cross-reference section 110(a)(2)(D)(i) is consistent with both the 
    structure of sections 126(b) and 110 and the way in which the section 
    126(b) State petition process was intended to function prior to the 
    1990 CAA Amendments.
        Second, the U.S. Supreme Court has noted that, ``[u]nder 
    established canons of statutory construction, it will not be inferred 
    that Congress, in revising and consolidating the laws, intended to 
    change their effect unless such intention is clearly expressed.'' 
    Finley v. U.S., 490 U.S. 545, 554 (1989) (internal quotation marks 
    omitted). Yet there is nothing in the legislative history to even 
    suggest that Congress intended to dramatically limit the State petition 
    process when it renumbered section 110(a)(2)(E)(i).
        Indeed, the evidence indicates the opposite. For starters, the 
    sponsors of the Senate legislation never considered restricting the 
    scope of the section 126(b) petition process. As introduced, the Senate 
    bill, S. 1630, maintained the original provision, section 
    110(a)(2)(E)(i), and section 126(b) without any modifications. S. 1630, 
    as introduced, reprinted in Comm. On Environment and Public Works, U.S. 
    Senate, 103d Congress, 1st Sess., Legislative History of the Clean Air 
    Act Amendments of 1990 (1993) [hereinafter ``Legislative History of 
    1990 CAAA''], at 9060-61, 9148. The version of S. 1630 that was adopted 
    by the full Senate merely modified and renumbered section 
    110(a)(2)(E)(i) and changed the section 126(b) cross-reference 
    accordingly. S. 1630, as passed by Senate (April 3, 1990), reprinted in 
    Legislative History of 1990 CAAA,'' at 4139-41, 4270. Likewise, H.R. 
    3030, as introduced, was intended by its sponsors to simply modify and 
    renumber section 110(a)(2)(E)(i) and make a conforming change in the 
    section 126(b) cross-reference. H.R. 3030, as introduced, reprinted in 
    Legislative History of 1990 CAAA, at 3751-53, 3867.11
    ---------------------------------------------------------------------------
    
        \11\ The manner in which H.R. 3030, as introduced, changed 
    sections 110 and 126(b) helps clarify the intent of the bill's 
    sponsors. As introduced, H.R. 3030 renumbered section 
    110(a)(2)(E)(i) as 110(a)(2)(D)(4). H.R. 3030, as introduced, 
    reprinted in Legislative History of 1990 CAAA, at 3752-53. The 
    cross-reference in section 126(b) was modified to refer to section 
    111(a)(2)(D)(4), a provision (in the section addressing new source 
    performance standards) that was not in existing law nor proposed by 
    the bill. Id. at 3867. EPA believes that the most logical 
    interpretation of the bill's ambiguous cross-reference to section 
    111(a)(2)(D)(4) is that Congress meant to refer to 110(a)(2)(D)(4). 
    Based on this interpretation, EPA believes that the sponsors of H.R. 
    3030 did not intend to limit the section 126(b) State petition 
    process.
    ---------------------------------------------------------------------------
    
        The cross-reference to section 110(a)(2)(D)(ii) arose relatively 
    late in the congressional debate, as part of the version of H.R. 3030 
    passed by the House Energy and Commerce Committee. The House Committee 
    bill renumbered section 110(a)(2)(E)(i) as 110(a)(2)D)(i). H. Rep. No. 
    101-490, Pt. 1, 101st Cong. 2d Sess. 48 (1990), reprinted in 
    Legislative History of 1990 CAAA, at 3030. However, the cross-reference 
    in section 126(b) was amended to read section 110(a)(2)(D)(ii). Id. at 
    3072. Significantly, the Committee Report's discussion of sections 110 
    and 126 does not mention the cross-reference or provide any indication 
    that the Committee intended to fundamentally restrict the pre-existing 
    section 126(b) State petition process. Id. at 218, 274, reprinted in 
    Legislative History of 1990 CAAA'' at 3242, 3298.
        In contrast, Congress clearly indicated that the Amendments were 
    designed to increase EPA's ability to address interstate air pollution. 
    For example, S. 1630, as passed by the Senate, included various 
    amendments to section 110 that ``strengthened'' provisions in existing 
    law requiring SIPs to take into account the effect of emissions on 
    other States.12 S. Rep. No. 101-228, 101st Cong. 2d Sess. 19 
    (1989), reprinted in 1990 U.S.C.C.A.N. 3385, 3405. The House Conference 
    Report notes that the amendments sought to ``enhance the
    
    [[Page 28270]]
    
    enforcement authority of the Federal government under the Clean Air 
    Act,'' including ``EPA enforcement authority regarding violations of 
    State Implementation Plans.'' H. Rep. No. 101-952, 101st Cong. 2d Sess. 
    347 (1990), reprinted in 1990 U.S.C.C.A.N. 3385, 3879. Similarly, the 
    conference report from the Senate managers states that the bill amends 
    section 126 ``to strengthen to [sic] prohibitions on emissions that 
    result in interstate pollution.'' Chaffee-Baucus Statement of Senate 
    Managers, S. 1630, reprinted in Legislative History of 1990 CAAA, at 
    880, 886.
    ---------------------------------------------------------------------------
    
        \12\ S. 1630, as enacted by the Senate, expanded section 126(b) 
    by allowing States to petition about ``groups of sources'' in 
    addition to ``any major source.'' Similarly, the bill expanded the 
    scope of section 110 beyond stationary sources to include ``any 
    source or other type of emissions activity.'' The bill also modified 
    the standard for showing that the downwind state is harmed by 
    pollution transport by changing the language from amounts which will 
    ``prevent attainment or maintenance by any other State'' to amounts 
    which will ``contribute significantly to nonattainment in, or 
    interfere with maintenance by, any other State.'' Finally, Congress 
    expanded the prohibition to require SIPs to insure compliance with 
    international pollution abatement requirements under section 115, as 
    well as interstate pollution abatement requirements under section 
    126. See S. Rept. 101-228 (to accompany S. 1630), 22, reprinted in 
    Legislative History of 1990 CAAA, at 4140, 4270.
    ---------------------------------------------------------------------------
    
        Where Congress considered changes to the section 126(b) State 
    petition process, it did so explicitly. For example, Congress 
    specifically amended section 126(b) to add the phrase ``or group of 
    stationary sources'' after the phrase ``major source,'' thereby 
    expanding the scope of the State petition process. Public Law 101-549, 
    section 109, 104 Stat. 2469 (1990) reprinted in Legislative History of 
    CAAA, at 483. In contrast, EPA cannot find--and the commenters do not 
    point to--any discussion of the effect of the cross-reference to 
    section 110(a)(2)(D)(ii). In light of Congress' silence, EPA believes 
    that it is more reasonable to interpret the cross-reference as a 
    scrivener's error than to believe that Congress intended to make such a 
    significant change in the section 126(b) State petition process by 
    surreptitiously altering the cross-reference. See In re Chateaugay 
    Corp., 89 F.3d at 953 (``where it appears plain that an error in 
    drafting has occurred, so that a literal construction would make a 
    dramatic change in long-standing law, it is both sensible and 
    permissible for judges to consider, in conjunction with other factors, 
    Congress' complete silence on the literal effect of the change'').
        The EPA received several comments suggesting that other 
    interpretations of section 126(b)'s cross-reference to section 
    110(a)(2)(D)(ii) were plausible. As discussed below, EPA finds these 
    theories unpersuasive. Nevertheless, even if a possible explanation for 
    the cross-reference could be advanced, EPA retains the discretion to 
    determine what, in fact, Congress intended. See U.S. Nat'l Bank of 
    Oregon v. Independent Insurance Agents of America, 508 U.S. 439, 461 
    n.10 (1993) (holding that, although plausible reasons to explain 
    Congress' drafting choices can be developed, ``the best reading of the 
    [Federal Reserve] Act, despite the punctuation marks, is that Congress 
    did something else'').
        Some commenters suggested that Congress intended to replace the 
    section 126(b) State petition process with the new interstate transport 
    provisions of sections 176A and 184, or, alternatively, that Congress 
    required EPA to have a recommendation from a transport commission 
    established under sections 176A or 184 before acting on a section 
    126(b) petition. Proponents of this theory speculate that the cross-
    reference to section 110(a)(2)(D)(ii) may have been a deliberate step 
    to achieve this result. The EPA believes that the better reasoned view 
    is that Congress intended sections 176A and 184 to supplement the 
    existing authorities provided to address interstate transport in 
    sections 126(b) and 110. As discussed in greater detail above in 
    Section II.A.1, this interpretation gives full effect to all four 
    statutory provisions. See Alabama Power Co. v. EPA, 40 F.3d 450, 455 
    (D.C. Cir. 1994) (a statute ``is to be interpreted to give consistent 
    and harmonious effect to each of its provisions''). In addition, there 
    is no statutory language indicating that sections 126(b) and 
    110(a)(2)(D)(i) are superseded by sections 176A or 184 or that all four 
    provisions do not remain in effect. Rather, the legislative history 
    demonstrates that Congress intended to strengthen EPA's authority to 
    address the problem of interstate pollution and there is nothing to 
    indicate that Congress envisioned sections 176A or 184 as the exclusive 
    mechanism by which to address these issues. See S. Rpt. 101-228 (on S. 
    1630), Legislative History of 1990 CAAA, at 8391 (``A regional ozone 
    transport commission is one important way to address these problems 
    identified by modeling and monitoring''). As a result, EPA reads 
    section 176A and 184 as supplementing, rather than limiting, the 
    section 126(b) State petition process.
        The EPA also received a comment that, if there was a drafting 
    error, it is at least as plausible that Congress intended to refer to 
    section 110(a)(2)(D)(i)(II), which requires SIP provisions to prevent 
    significant deterioration of air quality or to protect visibility. 
    Another commenter argued that the cross-reference was a deliberate 
    statutory change to limit the section 126(b) petition process to 
    implementation of the notification requirements of section 126(a). The 
    legislative history, however, fails to provide any evidence to support 
    either theory. Rather, it is more plausible that Congress was silent on 
    the issue because the change in cross-reference was an unintended 
    scrivener's error. Further, EPA's interpretation that Congress did not 
    intend to limit the pre-existing section 126(b) State petition process 
    is a more narrow statutory interpretation than the theory that Congress 
    intended to limit section 126(b) to either the prevention of 
    significant deterioration and visibility provisions of section 
    110(a)(2)(D)(i)(II) or the notification requirements of section 126(a). 
    See Mova Pharmaceutical Corp., 140 F.3d at 1068-69 (remanding an FDA 
    rule for a ``more narrow solution'' because, ``when [an] agency 
    concludes that a literal reading of a statute would thwart the purposes 
    of Congress, it may deviate no further from the statute than is needed 
    to protect congressional intent''). Finally, as noted previously, even 
    if either theory were as plausible as EPA's interpretation, the Agency 
    remains responsible for determining what Congress actually meant. See 
    U.S. Nat'l Bank of Oregon v. Independent Insurance, 508 U.S. at 461 
    n.10.
        Other commenters observed that Congress has chosen to leave the 
    statute as enacted in 1990, rather than amend the cross-reference in 
    section 126(b). However, the post-enactment legislative history sheds 
    no light on whether the 101st Congress intended to restrict the section 
    126(b) State petition process. There could be a host of potential 
    explanations for congressional inaction, ranging from ignorance of the 
    mistaken cross-reference to concern about reopening the CAA and 
    unraveling the broad compromise reached in the 1990 Clean Air Act 
    Amendments. As a result, EPA finds this argument unpersuasive.
        The EPA received comments claiming that the Agency must obtain a 
    judicial ruling before interpreting section 126(b) as a scrivener's 
    error. Other commenters suggested that the only lawful route would be 
    for EPA to request that Congress revise the Act. The EPA does not 
    believe that either approach is required. Rather, based on the doctrine 
    of scrivener's error, courts have repeatedly affirmed interpretations 
    by federal agencies that deviate from a statute's literal text when 
    necessary to effectuate Congress' purpose. See Chemical Manufacturers 
    Ass'n v. Natural Resources Defense Council, 470 U.S. 116, 125-26 (1985) 
    (upholding EPA's interpretation that statutory language forbidding EPA 
    to ``modify'' national standards for the discharge of toxic water 
    pollutants did not preclude the Agency from issuing individualized 
    variances because a literalistic reading of the statute would ``make 
    little sense''); Environmental Defense Fund v. EPA, 82 F.3d at 468 
    (affirming EPA's interpretation of section 176(c) of the Clean Air Act 
    to avoid ``absurd or futile results'').
        The EPA also received comments arguing that the Agency unlawfully 
    prejudged this issue by adopting the
    
    [[Page 28271]]
    
    scrivener's error theory as the basis for the consent decree in State 
    of Connecticut v. Browner , No. 98-1376 (S.D.N.Y. 1998), which requires 
    EPA to take final action on at least the technical merits of the 
    section 126(b) petitions by April 30, 1999. However, paragraph 10 of 
    the consent decree expressly leaves open all ``issue[s] regarding the 
    substance and timing of any remedy that EPA may or should require in 
    response to the Section 126 petition,'' including EPA's final 
    interpretation of section 126(b). State of Connecticut v. Browner, No. 
    98-1376 (S.D.N.Y. Oct. 27, 1998) (stipulation and order approving 
    consent decree). Thus, under the consent decree, EPA retained the 
    discretion to deny the section 126(b) petitions on the ground that the 
    Agency lacked statutory authority to entertain them in the first place. 
    Accord Croning v. Browner, 898 F. Supp. 1052, 1062 (S.D.N.Y. 1995) 
    (language in consent decree requiring EPA to take final action on 
    regulations did not preclude EPA from determining that ``regulations 
    are not called for''). The Agency has undertaken a full notice and 
    comment rulemaking process and has appropriately considered the 
    comments submitted in reaching its final decisions. As a result, EPA is 
    entitled to the traditional ``presumption of regularity [that] supports 
    the official acts of public officers.'' United States v. Chemical 
    Foundation, Inc., 272 U.S. 1, 14 (1926).
        Some commenters suggested that EPA's proposed interpretation is 
    contrary to an Agency policy on typographical errors in the 1990 Clean 
    Air Act Amendments. The commenters cite to statements made during a 
    1993 rulemaking on acid rain allowance allocations.13 These 
    statements addressed only a narrow issue involving the statutory 
    interpretation of section 404(e) and did not purport to establish an 
    Agency-wide policy. Furthermore, unlike the issue at hand, EPA 
    determined that section 404(e) was ``clear'' for purposes of the 
    rulemaking. Acid Rain Allowance Allocations and Reserves Final Rule, 58 
    FR 15,634 15,642 (March 23, 1993). In contrast, EPA believes that the 
    literal text of section 126(b) and 110 is ambiguous and would create 
    absurd results. As a result, EPA's determination that section 126(b) 
    contains a scrivener's error is consistent with all relevant Agency 
    policy.
    ---------------------------------------------------------------------------
    
        \13\ EPA stated that the Agency ``acknowledged the redundancy in 
    section 404(e) [of the Clean Air Act] as enacted, but believes that 
    the section is clear as to the eligibility requirements. Therefore 
    the Agency must follow the statute as enacted.'' 58 FR 15,634 15,642 
    (March 23, 1993). In a background document, EPA further stated that 
    ``EPA accepts the statutory text as written and believes that it 
    does not have the authority to make the change suggested by the 
    commenter.'' EPA Response to Public Comment on Proposed Acid Rain 
    Allowance Allocation Rule, EPA Docket No. A-92-06, Doc. No. V-C-1, 
    at 124 (March 1993).
    ---------------------------------------------------------------------------
    
        In sum, the cross-reference to section 110(a)(2)(D)(ii) is 
    ambiguous at best. A literal reading of the cross-reference is 
    impossible since section 110(a)(2)(D)(ii) does not contain a 
    prohibition and such an interpretation would contradict the statute's 
    logic and structure. Further, there is no indication that Congress, in 
    renumbering sections 126(b) and 110, intended to change the section 
    126(b) State petition process. The evidence indicates, in contrast, 
    that Congress wanted to enhance EPA's ability to address interstate air 
    pollution. As a result, EPA believes that its interpretation is 
    permissible because it resolves the ambiguity in the interplay between 
    sections 126(b) and 110(a)(2)(D) in a manner that harmonizes and gives 
    meaning to all of their provisions and reasonably accommodates the 
    purposes of the provisions. See Chevron, U.S.A., Inc. v. Natural 
    Resources Defense Council, 467 U.S. 837, 844 (1984).
    3. Interpretation of Emits in Violation of the Prohibition of Section 
    110 and Integration of Section 126 Controls With SIPs/FIPs Under the 
    NOX SIP Call
    a. Interpretation of Emits in Violation of the Prohibition of Section 
    110
        In the section 126 proposed rule, EPA explained its position on how 
    section 126 should be interpreted in coordination with section 
    110(a)(2)(D), and specifically, how the Agency should act on the 
    section 126 petitions in light of the NOX SIP call. See 63 
    FR 56301-56303. As proposed, EPA is structuring its final action to 
    contain: (1) A series of ``technical determinations'' as to which 
    sources in which States named in the petitions would emit in violation 
    of the section 110 prohibition if the State or EPA were to fall off 
    track in putting a timely and satisfactory plan in place pursuant to 
    the NOX SIP call; (2) determinations that the petitions will 
    automatically be deemed granted or denied on the basis of certain 
    specified events and timing related to state submissions and EPA 
    approvals of SIP revisions submitted in response to the 
    NOX SIP call, as well as EPA promulgations of federal 
    implementation plan provisions; and (3) the remedial requirements that 
    will apply to the sources receiving affirmative technical 
    determinations if a petition naming those sources is ultimately deemed 
    granted.
        Numerous parties have commented on the relationship of the section 
    126 petitions to the NOX SIP call. One set of commenters 
    generally argues that action under the NOX SIP call does not 
    necessarily satisfy the requirements of section 126 and asserts that 
    EPA should not dismiss the section 126 petitions until sources have 
    actually reduced emissions. Several commenters assert that 
    implementation of the NOX SIP call rule either by the states 
    in their SIPs or by EPA in FIPs precludes a positive finding under 
    Sec. 126. Another commenter argues that it would be inconsistent with 
    the NOX SIP call for EPA to make any determinations 
    regarding the prohibition of section 110(a)(2)(D)(i) other than a 
    determination that the prohibition is not being violated by any source 
    in any state that is subject to the SIP call. The EPA continues to 
    believe that its approach, and the underlying interpretation of 
    sections 110(a)(2)(D)(i) and 126, is the most appropriate way to 
    interpret and reconcile the two provisions, for the reasons explained 
    in the proposal and further detailed below.
        Section 126 calls for relief where EPA finds that sources are 
    emitting ``in violation of the prohibition'' of section 
    110(a)(2)(D)(i). The language of section 126 on its face, however, is 
    ambiguous as to what it means for a source to emit in violation of the 
    prohibition of section 110(a)(2)(D)(i).
        Some commenters argue that there can be no violation of the 
    prohibition of section 110(a)(2)(D)(i) unless the upwind state SIP 
    contains an emission limit that implements the requirement of section 
    110(a)(2)(D)(i) and the source is violating that limit. In support of 
    this interpretation, the commenters point to section 126(c), which 
    states that ``it shall be a violation of this section and the 
    applicable implementation plan in such State'' for a source to operate 
    in violation of the prohibition of section 110(a)(2)(D) or section 126. 
    The commenters also argue that this interpretation makes sense in light 
    of the short time frame for EPA action under section 126, consistency 
    with section 110 and other provisions, and consistency with the remedy 
    under section 126(c).
        Other commenters appear to believe that the existence of an 
    emissions limit in a SIP implementing section 110 is irrelevant. They 
    (either explicitly or implicitly) take the position that EPA may find 
    that a source is emitting in violation of the prohibition of section 
    110(a)(2)(D)(i) for any source that is contributing significantly to 
    nonattainment or interfering with maintenance downwind if either: (a) 
    the
    
    [[Page 28272]]
    
    SIP fails to limit those emissions, or; (b) the SIP limits the 
    emissions, but the source is violating those limits.
        The EPA does not agree with either of these interpretations. 
    Rather, EPA interprets section 126 to provide that a source is emitting 
    in violation of the prohibition of section 110(a)(2)(D)(i) where the 
    applicable SIP fails to prohibit (and EPA has not remedied this failure 
    through a FIP) a quantity of emissions from that source that EPA has 
    determined contributes significantly to nonattainment or interferes 
    with maintenance in a downwind state. Several commenters support EPA's 
    approach.
        The ambiguity of the language of section 126 raises at least three 
    related questions. The meaning of ``emit in violation of the 
    prohibition'' is ambiguous. As a consequence, it is not clear how 
    Congress intended sections 110(a)(2)(D)(i) and 126 to work together 
    under the CAA, and specifically, it is unclear how an approved SIP 
    provision implementing section 110(a)(2)(D)(i) or compliance with a SIP 
    call to implement section 110(a)(2)(D)(i) affects section 126 petitions 
    alleging that sources are emitting in violation of the prohibition of 
    section 110(a)(2)(D)(i).
        The EPA believes that there are several key factors to consider in 
    attempting to resolve these questions. First, of course, is the 
    language of the provisions, to the extent that it can be read to 
    support one interpretation over another. A second key consideration is 
    the purpose of section 126 in light of the problem it was designed to 
    solve as indicated by the legislative history. Third, it is appropriate 
    to take into account the existence of other provisions in the CAA and 
    to interpret sections 126 and 110(a)(2)(D)(i) in a manner that gives 
    those sections full force and effect, without creating redundancy with 
    any other provision. Finally, in analyzing the role of direct controls 
    on sources through section 126 findings vis-a-vis controls on sources 
    through SIPs, it is useful to consider how these two different 
    mechanisms fit into the federal-state system for air pollution control 
    established under Title I. Taking all of these considerations into 
    account, EPA believes that the best interpretation of section 126 is 
    that it authorizes a downwind state to petition EPA to control 
    emissions from upwind sources where the upwind SIP is inadequate to 
    comply with the requirements of section 110(a)(2)(D)(i), but that where 
    the SIP establishes adequate controls on interstate transport and a 
    source is violating those requirements, the appropriate remedies are 
    provided in sections 113 and 304 of the Act, not section 126.
        Focusing first on the language of the provisions, EPA believes that 
    it is reasonable and appropriate to interpret the prohibition of 
    section 110(a)(2)(D)(i) as a prohibition on emission of a quantity of 
    pollutants that would contribute significantly to nonattainment in or 
    interfere with maintenance by another state. In essence, it is a 
    prohibition on excessive interstate transport of air pollutants. The 
    state is responsible for implementing the prohibition by barring such 
    excessive emissions in the SIP. Thus, EPA believes a reasonable 
    interpretation is that where the state has failed to implement the 
    prohibition, the SIP allows excessive transport of pollutants, the 
    prohibition is violated, and a source emitting such quantities of 
    pollutants is emitting in violation of the prohibition.
        Where the state has adopted SIP provisions barring such emissions, 
    but the source is violating those limits, it is less clear whether the 
    prohibition on excessive interstate transport has been violated and 
    hence whether the source is in violation of the prohibition. The EPA 
    believes it is most reasonable to read section 126 not to encompass 
    this situation, for the reasons explained below.
        The EPA also rejects the more restrictive interpretation that 
    section 126 only applies where a state has adopted SIP provisions to 
    control interstate transport of pollutants, EPA has approved those SIP 
    provisions, and sources are violating those provisions. Section 
    110(a)(2)(D)(i) itself does not directly establish any emissions 
    limitations applicable to a particular source. The emissions 
    limitations on which the commenters are focusing are the requirements 
    of the SIP, not of section 110(a)(2)(D)(i). Looking just at the 
    specific language of the two provisions, EPA believes that the better 
    interpretation of the language of section 126 is that it refers to the 
    actual functional prohibition of section 110(a)(2)(D)(i), which bars 
    impermissible interstate transport, rather than the specific provisions 
    through which states implement that prohibition, the emissions 
    limitations for individual sources contained in an approved SIP. As 
    explained above, a source would be in violation of the prohibition of 
    section 110 where the applicable SIP failed to bar excessive interstate 
    transport of air pollutants. EPA believes that its interpretation is a 
    reasonable reading of the reference in section 126 to emitting in 
    violation of the prohibition of section 110, and in light of the 
    ambiguity of the statutory language, EPA's interpretation is subject to 
    deference under Chevron.
        The clear purpose of section 126 is to provide a tool for downwind 
    states to achieve reductions in interstate pollution transport. See 
    discussion above in section II.A.1. The history and current 
    manifestation of interstate pollution problems emphasize that such a 
    tool is needed to address the situation where upwind states have not 
    designed their SIPs to account for the effects of emissions from 
    sources in those states on downwind areas. See discussion in Sections 
    II.A.1. and I.B. In short, as Congress recognized in adopting all of 
    the interstate transport provisions in the CAA, the interstate 
    pollution problem stems from inadequate SIPs, not inadequate compliance 
    with adequate SIP requirements. This characterization of the problem is 
    supported by the numerous descriptions of the interstate pollution 
    problem in the 1977 and 1990 legislative histories, all of which 
    explicitly or implicitly refer to the lack of upwind limitations and 
    none of which mentions sources' violation of upwind SIP 
    limits.14 Furthermore, it is reasonable to assume that 
    Congress intended to create a tool that would attack the problem 
    Congress recognized. This supports the conclusion that Congress 
    intended section 126 to apply where upwind states' SIPs are inadequate, 
    not (and certainly not only) where sources are violating adequate SIP 
    provisions.
    ---------------------------------------------------------------------------
    
        \14\ See, e.g., S. Comm. on Envt. and Public Works, Clean Air 
    Act Amendments of 1977, S. Rep. 95-127, 95th Cong., 1st Sess. 41 
    (1977), reprinted in 3 1977 Legislative History, 1415 (noting that 
    the 1970 Act failed to specify any abatement procedure if a source 
    in one state emitted air pollutants that adversely affected another 
    state, and ``[a]s a result, no interstate enforcement actions have 
    taken place, resulting in serious inequities among several States, 
    where one State may have more stringent implementation plan 
    requirements than another state;'' H. Rep. 95-294, 95th Cong., 1st 
    Sess. at 331 (1977), reprinted in 4 1977 Legislative History at 2798 
    (``This petition process is intended to expedite, not delay, 
    resolution of interstate pollution conflicts.''); S. Rep. 101-228 at 
    48, reprinted in V 1990 Legislative History at 8388 (``The transport 
    problem in the northeast, and perhaps other regions as well, is 
    serious enough that additional efforts must be made on an interstate 
    basis to control emissions, including emissions from attainment 
    areas.''); id. at 49, 8389 (``The model suggests that even if all 
    emissions sources were eliminated within the tri-state area [New 
    York, New Jersey and Connecticut], violations of the ozone standard 
    would still occur. This means substantial reductions in emissions 
    from areas upwind from the New York metropolitan area must be 
    achieved if this area is to attain the air quality standards.'').
    ---------------------------------------------------------------------------
    
        The EPA's interpretation is also consistent with Congress' 
    explanation of section 126 in the legislative history. In the course of 
    adopting the 1990 Amendments, the Senate Committee described section 
    126 as allowing a
    
    [[Page 28273]]
    
    downwind state to complain about ``a defect in the offending State's 
    SIP.'' Senate Committee Report, 75-76, Leg. Hist. V. 8415-8416. A 
    source's violation of adequate SIP requirements is certainly not 
    synonymous with a defect in the SIP itself.
        In addition, there is little or no purpose to establishing a 
    process for downwind states to petition EPA to find that upwind sources 
    are violating their SIP requirements because other sections of the 
    Clean Air Act provide ample authority for states, citizens and EPA to 
    directly enforce approved SIP provisions against sources violating 
    those provisions. This objection applies even more forcefully against 
    the most limited interpretation advocated by some commenters, in which 
    the sole purpose of the petition process under section 126(b) and (c) 
    is to allow states to petition EPA to find that a source is violating 
    its emissions limitations under an approved SIP. Upon making such a 
    finding, EPA could then allow the source up to three years to come into 
    compliance with its emissions limitations. Yet there is no need to have 
    a petition, public hearing, and EPA determination simply to enforce 
    existing SIP limits, as the CAA elsewhere provides a quite sufficient 
    and much simpler set of remedies for violation of an approved SIP 
    provision. Under section 113, upon finding that any person is in 
    violation of any requirement of an approved SIP, EPA has the authority 
    to enforce the requirement by issuing an order to comply, issuing an 
    administrative penalty order, or bringing a civil action. In addition, 
    any person (which includes states) may bring a citizen suit against any 
    person in violation of any requirement of an approved SIP. Section 
    304(a), (f); see also section 302. These provisions provide more direct 
    and likely quicker recourse against a source that is violating its SIP-
    imposed emission limits. In bringing suit under the citizen suit 
    provisions, a state could act independent of EPA action. Moreover, 
    these tools for enforcement of SIP requirements were available under 
    the 1977 Clean Air Act, which contained both sections 113 and 304 in 
    substantively similar form to the present versions. In adopting section 
    126 in 1977 and strengthening it in 1990, Congress clearly intended the 
    petition process to play a significant role in addressing the 
    interstate pollution problem. See discussion above in section II.A.1. 
    To the extent that section 126 is used to enforce SIP violations, the 
    petition process would not be serving such a role. Furthermore, under 
    the commenters' most limited interpretation, the petition process would 
    instead provide no authority at all to address interstate pollution 
    beyond what is already provided elsewhere in the Act through arguably 
    more effective mechanisms. In contrast, using the section 126 petition 
    process where a state has failed to adopt adequate SIP provisions 
    serves the unique role of allowing a downwind state to force EPA 
    consideration of the problem and potentially achieve emissions 
    reductions directly from sources, without the need to depend on action 
    by the upwind state.
        In determining how Congress intended section 126 to operate both in 
    the absence of an adequate SIP and when a state is complying with the 
    section 110 SIP requirements, it is also important to consider the role 
    under Title I of state planning and control efforts in the form of 
    SIPs, versus imposition of direct federal controls. In Title I of the 
    Act, Congress has established a cooperative federalism approach in 
    which air pollution planning and control occurs largely at the state 
    level. Under Title I, states are primarily responsible for determining 
    the mix of control measures necessary to achieve the NAAQS, while the 
    federal government sets the uniform national goals and ensures that 
    states act to meet them. Train v. NRDC, 421 U.S. 60 (1975). Section 126 
    is somewhat unusual in Title I in that it authorizes EPA to control 
    sources directly, rather than providing a means for EPA to encourage 
    states to control those sources. In that sense, it is similar to the 
    provisions for federal implementation plans in section 110(c). With 
    both of these provisions, Congress provided tools for direct federal 
    action to address serious failures of state action. Nevertheless, 
    Congress' clear preference throughout Title I is that states are to 
    decide and plan how they will control their sources of air pollution, 
    and the mechanism for imposing those controls at the state level is 
    SIPs. As noted above, states, EPA and citizens have the authority to 
    directly enforce violations of an approved SIP. Thus, where a SIP is 
    adequate but a source is violating its provisions, it would be counter 
    to the cooperative federalism structure of the Act and would serve no 
    purpose to essentially replace those adequate SIP limits with redundant 
    direct federal controls on a source. In contrast, where a state has 
    failed to adopt adequate SIP provisions in the first place, it makes 
    sense to provide an alternative mechanism to directly achieve the 
    necessary emissions reductions from the sources. A state would always 
    be free to regulate the sources itself in that instance by revising its 
    SIP to include the necessary emission limits. EPA believes that this 
    understanding of Congress' overall design for air pollution control 
    supports EPA's interpretation that section 126 is intended to be used 
    only to address the situation where the SIP fails to prohibit sources 
    from emitting impermissible amounts of transported air pollutants. 
    Thus, under this view, a source is emitting in ``violation of the 
    prohibition of'' section 110(a)(2)(D)(i) under section 126 when the 
    applicable SIP fails to limit the emissions prohibited under section 
    110(a)(2)(D)(i).
        In support of the most limited interpretation that there is no 
    violation of the prohibition absent an approved SIP provision limiting 
    the source's emissions, commenters point to the language of section 
    126(c), which states that ``it shall be a violation of this section and 
    the applicable implementation plan in such State'' for a source to 
    operate in violation of the prohibition of section 110(a)(2)(D) or 
    section 126. They claim that the reference to a violation of a SIP 
    supports the interpretation that section 126 only applies where there 
    is an approved SIP provision in place. However, if a source is emitting 
    in violation of an emission limitation in a SIP, there is no question 
    that the source is in violation of the SIP. The language in section 126 
    stating that ``it shall be a violation of * * * the applicable 
    implementation plan'' for a source to emit in violation of the 
    prohibition of section 110(a)(2)(D) serves no legal purpose where the 
    source is already directly violating a SIP requirement. In contrast, 
    under EPA's interpretation, section 126 deems a source's emissions to 
    be a violation of the applicable SIP (as well as of section 126) where 
    the SIP itself does not bar the source's emissions but the emissions 
    significantly contribute to nonattainment downwind. This interpretation 
    gives legal effect to the language in section 126 and is consistent 
    with Congress' purpose of providing a tool for downwind states and EPA 
    to use to impel upwind sources to reduce transported emissions.
        Nor does EPA agree with the commenter's argument that EPA's 
    interpretation is inconsistent with the remedy under section 126(c). 
    The commenter asserts that because a source must comply within three 
    months of a finding or cease operating, the remedy makes no sense in 
    the absence of an approved SIP provision. However, section 126(c) also 
    provides that the three month deadline only applies if
    
    [[Page 28274]]
    
    EPA does not establish an alternative schedule for the source to come 
    into compliance. EPA may give a source up to three years to comply with 
    the prohibition in section 110(a)(2)(D), as long as the source meets 
    emissions limitations and compliance schedules containing increments of 
    progress set by EPA. The commenter fails to explain why this scheme 
    ``makes no sense.'' In EPA's view, up to three years for compliance is 
    generally a reasonable amount of time that should not unduly burden 
    sources and is consistent with the timeframes for implementation of 
    many federal and state air pollution requirements. This is a perfectly 
    rational, if potentially stringent, means of assuring continued 
    progress on something that Congress viewed as a serious pollution 
    problem.
        Commenters also assert that their interpretation is the only 
    interpretation that is consistent with section 110(a)(2)(D)(i) and 
    other provisions of the Act. They argue that states have the primary 
    responsibility for regulating their sources under section 110, and if 
    the states fail to do so, EPA's recourse is provided in sections 110(k) 
    (allowing EPA to call for revision of an inadequate SIP), 110(m) 
    (allowing EPA to impose sanctions) and 110(c) (allowing EPA to 
    promulgate a Federal implementation plan). EPA emphatically agrees that 
    a SIP call under sections 110(a)(2)(D)(i) and 110(k)(5) is an 
    alternative means for EPA to address interstate pollution transport. 
    However, commenters overlook the unique role of section 126, which is 
    designed to provide recourse to downwind states where both upwind 
    states and EPA have failed to act. As discussed above, no progress had 
    been made on interstate transport problems at the time of enactment of 
    both the 1977 and 1990 Amendments. Section 126 provides a tool for 
    downwind states, the entities with most at stake, to force EPA to 
    confront the issue directly. It also sets up an abbreviated, and hence 
    potentially faster, process to achieve emission reductions. Under the 
    SIP process, EPA must direct a state to revise its SIP to comply with 
    110(a)(2)(D), and then perhaps find that the state has failed to 
    comply, impose sanctions, and finally promulgate a Federal 
    implementation plan, all of which could potentially stretch out for 
    many years. In contrast Congress required very expeditious EPA action 
    on a petition and from three months up to three years for sources to 
    comply. It is perfectly reasonable for Congress to have established 
    section 126 as an alternative mechanism under the Clean Air Act to 
    address the interstate pollution problem, just as it did again in 
    adopting sections 176A and 184. To provide alternatives, the various 
    interstate transport provisions are necessarily different from each 
    other and from other provisions of the Act, but that does not make them 
    inconsistent with other provisions of the Act.
        Finally, commenters argue that their interpretation makes sense 
    because Congress only gave the Agency 60 days after receipt of the 
    petition to hold a public hearing on the petition and act to grant or 
    deny the petition. They assert that this short time frame indicates 
    that Congress anticipated the decision would be a fairly simple 
    administrative task of determining whether a source is violating a SIP 
    requirement. EPA views the significance of these requirements 
    differently. First, the requirement to hold a hearing bolsters EPA's 
    interpretation of section 126 because a hearing would serve no purpose 
    here under the commenter's interpretation. Whether a source is 
    violating an emission limitation is a straightforward compliance 
    determination. EPA makes such determinations on a daily basis without 
    going through a public hearing process, and such a process would 
    provide no benefit. Second, the short time frame for a determination is 
    an indication of Congress' intent to produce action on the interstate 
    pollution issue. In section 307(d)(10) of the Act, Congress expressly 
    provided a generic time extension for EPA action on certain rules 
    listed under section 307 to address the possibility that some of the 
    deadlines under the Act might be too short to allow EPA to complete the 
    rulemaking process. This indicates that Congress did not necessarily 
    link short deadlines for action under section 307(d) with less complex 
    or substantive proceedings, and where a short deadline may threaten the 
    integrity of the rulemaking process, Congress was willing to extend the 
    deadline. A short deadline for EPA action corresponds better with 
    Congress' assessment of the urgency of the problem than the time needed 
    by EPA to carry out the mandate, and thus such a deadline should not be 
    assumed to signal a simple task for the Agency.
        A commenter also stated that ``[i]n the NPR, EPA acknowledges that 
    the section 126 language requires a violation of a SIP provision 
    implementing section 110(a)(2)(D)(i) before a section 126 finding can 
    be made. 63 Fed. Reg. at 56302.'' EPA is not certain to which 
    particular statement the commenter is referring. The commenter may be 
    referencing out of context the last clause of a sentence describing 
    EPA's rationale for not granting a petition if either the State is 
    adhering to the NOX SIP call schedule for submission of an 
    approvable SIP revision and EPA is acting speedily to approve the SIP, 
    or if EPA has promulgated a FIP for the State. EPA's statement 
    regarding whether a source ``emits or would emit in violation of the 
    prohibition'' alluded to how EPA should interpret section 126 in light 
    of the interplay with the NOX SIP call under section 
    110(a)(2)(D). EPA rejects the notion that any statement in the NPR 
    constitutes the ``acknowledgment'' claimed by the commenter.
        Overall, commenters advocating the most limited interpretation 
    would reduce what is perhaps the most powerful tool in the Clean Air 
    Act to address interstate pollution to a redundant mechanism to enforce 
    limitations that states have already included in their SIPs. Under 
    their interpretation section 126 is a tool to fix a nonexistent 
    problem. No commenter on the NOX SIP call or this section 
    126 rulemaking has claimed that the northeastern ozone problem is due 
    in any part to sources' noncompliance with emission limitations 
    contained in upwind states' SIPs. The commenters' interpretation of 
    section 126 does not comport with Congress' aim of establishing and 
    strengthening a means for downwind states to enlist EPA's assistance to 
    require the upwind reductions needed for the downwind states to meet 
    air quality standards.
    b. Integration of Section 126 Controls With SIPs/FIPs Under the 
    NOX SIP Call
        EPA's interpretation of ``emitting in violation of the 
    prohibition'' provides direction for how EPA should act on the section 
    126 petitions in light of the NOX SIP call, as for both 
    actions EPA is operating on basically the same set of facts regarding 
    the same pollutants and largely the same amounts of upwind reductions 
    affecting the same downwind states. First, it follows that if a state 
    had already adopted a SIP revision in response to the 
    NOX SIP call providing for sources to reduce their emissions 
    at a future date and EPA had approved the revision as adequate to meet 
    the requirements of section 110(a)(2)(D)(i), EPA would not find that a 
    source in that state was emitting in violation of the prohibition of 
    section 110(a)(2)(D)(i).15 Similarly, if a state had
    
    [[Page 28275]]
    
    failed to adopt a SIP revision in response to the NOX SIP 
    call and EPA had responded with a FIP, the FIP would bar the excessive 
    emissions of transported pollutants and hence sources in the state 
    would not be emitting in violation of the section 110 prohibition. EPA 
    believes it also follows that if states are currently subject to a 
    schedule for compliance with a SIP call to correct an inadequacy under 
    section 110(a)(2)(D)(i), and states have not yet slipped off track in 
    terms of compliance with the schedule, it is appropriate for EPA to 
    defer making a finding as to whether sources in the state are emitting 
    in violation of the prohibition of section 110(a)(2)(D)(i).
    ---------------------------------------------------------------------------
    
        \15\ Of course, compliance with a SIP call based on section 
    110(a)(2)(D)(i) only means that a state has adequately prohibited 
    excessive emissions of transported pollutants for the particular set 
    of facts analyzed under the SIP call. For example, if a downwind 
    state that had not been considered a recipient of an upwind state's 
    emissions subsequently brought a petition under section 126, or a 
    downwind state that had been considered a recipient under the SIP 
    call produced new data showing a different level of contribution or 
    other new facts, compliance with the earlier SIP call would not be 
    determinative regarding whether the upwind sources were emitting in 
    violation of the prohibition of section 110(a)(2)(D)(i).
    ---------------------------------------------------------------------------
    
        The premise of the NOX SIP call is that a number of 
    state SIPs fail to limit emissions to prevent the excessive interstate 
    pollution transport prohibited by section 110(a)(2)(D)(i). The purpose 
    of the NOX SIP call is to require the states to revise their 
    SIPs to comply with section 110(a)(2)(D). Pursuant to the 
    NOX SIP call, there is an explicit and expeditious schedule 
    for states to meet their section 110(a)(2)(D)(i) obligations. EPA has 
    also proposed a FIP to bar the excessive emissions of transported 
    pollutants for each state that fails to meet the schedule established 
    in the NOX SIP call, and EPA could finalize the FIP by 
    November 30, 1999. As long as both states and EPA are on track in terms 
    of complying with the substance and timing of the NOX SIP 
    call, EPA believes it is appropriate to interpret section 126 to allow 
    EPA to defer making a finding with respect to sources in those states.
        It further follows that once a state has missed a deadline under 
    the schedule and EPA has not corrected the SIP inadequacy with a FIP, 
    it is reasonable to find at that point that sources in the state are 
    emitting in violation of the prohibition because the applicable SIP 
    fails to limit interstate transport and the state has failed to correct 
    the inadequacy in the timeframe established under the SIP call. It also 
    follows that EPA could not find that sources in the state are not 
    emitting in violation of the prohibition of section 110(a)(2)(D)(i) and 
    deny the petitions now simply because EPA has issued a SIP call, as one 
    commenter suggests. The key criterion under EPA's interpretation of 
    sections 126 and 110(a)(2)(D)(i) is the existence of provisions in an 
    applicable implementation plan to control interstate transport. 
    Issuance of the SIP call with a schedule for correcting the deficiency 
    is sufficient to allow EPA to defer a final decision on granting or 
    denying the petitions as long as the states have not missed a deadline 
    under that schedule. It is not a sufficient basis, however, on which to 
    assume that the required provisions controlling interstate transport 
    will necessarily be adopted by the state or EPA within the required 
    timeframe, and hence to assume that sources are not emitting in 
    violation of the prohibition of section 110.
        EPA believes that it is reasonable to make technical determinations 
    at this time that absent timely action under the NOX SIP 
    call, sources covered by the petitions, which are in states subject to 
    the SIP call, will emit in violation of the prohibition of section 
    110(a)(2)(D)(i). Hence, if states or EPA fail to act on the schedule 
    established, the petitions will automatically be deemed granted, and if 
    states and EPA meet the schedule established, the petitions will 
    automatically be deemed denied. Specifically, today's action provides 
    that for each source for which EPA has made an affirmative technical 
    determination, EPA will be deemed to have found that the source emits 
    or would emit NOX in violation of the prohibition of section 
    110(a)(2)(D)(i) under the following circumstances.16 First, 
    the finding is deemed to be made for such sources in a state if by 
    November 30, 1999, EPA has not either (a) proposed to approve a state's 
    SIP revision to comply with the NOX SIP call or (b) 
    promulgated a FIP for the state. Second, the finding is deemed to be 
    made for such sources in a state if by May 1, 2000, EPA has not either 
    (a) approved a state's SIP revision to comply with the 
    NOX SIP call or (b) promulgated implementation plan 
    provisions meeting the section 110(a)(2)(D)(i) requirements. Upon EPA's 
    approval of a state's SIP revision to comply with the 
    NOX SIP call or promulgation of a FIP, the corresponding 
    portions of the petitions will automatically be deemed denied. Also, if 
    a finding is deemed to be made, it will be deemed to be withdrawn, and 
    the corresponding portions of the petitions will also be deemed to be 
    denied, upon EPA's approval of a state's SIP revision to comply with 
    the NOX SIP call or promulgation of a FIP. See Section II.B 
    for further discussion of the basis for EPA's technical determinations.
    ---------------------------------------------------------------------------
    
        \16\ While these findings would be made automatically without 
    further EPA action, EPA would promptly publish a notice in the 
    Federal Register notifying affected sources and other interested 
    parties that the findings had been made.
    ---------------------------------------------------------------------------
    
        This coordinated approach to addressing the overlapping section 126 
    petitions and the NOX SIP call is also a practical way to 
    implement both of these provisions in the same time period, as the 
    timing of the SIP call and the consent decree have required EPA to do 
    here. Several commenters have suggested that EPA address coordination 
    with the NOX SIP call through either retaining the section 
    126 petitions as a backstop until the SIP provisions are implemented 
    (possibly by ``staying'' action on the petitions), or treating timely 
    implementation of the FIP or SIP as alternative ``increments of 
    progress'' under section 126. However, each of these approaches would 
    raise practical problems by subjecting sources to differing emission 
    control requirements--e.g., one set from an approved SIP and the other 
    from the section 126 remedy. This would be particularly problematic for 
    sources in states that choose different control options from those 
    selected by EPA under the section 126 petitions and could potentially 
    significantly increase the overall burden of reducing interstate 
    transport of pollutants under the NOX SIP call and the 
    section 126 petitions.
        The practical problems with the commenters' suggested approaches 
    stem from the fact that the controls adopted by upwind states in their 
    SIPs may well not be identical to the controls identified by EPA under 
    section 126. The SIP may control different sources, and may impose 
    looser, or no, controls on at least some of the sources also covered by 
    section 126. Accordingly, it may not be feasible to treat the SIP 
    controls as increments of progress under section 126. In addition, if 
    the SIP controlled different sources or imposed looser controls on the 
    sources covered by section 126, the section 126 sources would still be 
    obliged to implement the section 126 controls in time for the May 1, 
    2003 deadline. The section 126 sources would need to take this action 
    because otherwise, if the sources covered under the SIP did not 
    implement their SIP controls, the section 126 sources would be 
    responsible for having their controls in place as soon as the SIP 
    sources were determined not to be in compliance. Under this scenario, 
    the overall burden of achieving the downwind reductions could be 
    significantly higher than necessary because to the extent that the 
    controls required under section 126 and the controls required under a 
    SIP were nonidentical, sources would need to
    
    [[Page 28276]]
    
    implement all of the nonidentical controls required by either section 
    126 or the SIP, even though implementation of either the set of section 
    126 controls or the set of SIP controls alone would be sufficient to 
    eliminate emissions that contribute significantly to nonattainment or 
    interfere with maintenance in downwind states. Furthermore, this 
    potential inefficiency might be viewed as effectively impermissibly 
    pressuring states to adopt in their SIPs controls identical to the 
    section 126 controls, as states might conclude that identical controls 
    are necessary to minimize the overall compliance burden. As described 
    elsewhere in today's notice, the courts have found that while EPA may 
    specify a quantity of emissions reductions that states must achieve 
    through SIP revisions, EPA may not specify the particular controls that 
    a state must adopt.
        A number of commenters have stated that EPA should not dismiss the 
    section 126 petitions unless and until the quantity of transported air 
    pollutants has been reduced, either through implementation of the SIP 
    revisions adopted in response to the NOX SIP call or through 
    implementation of a FIP. The commenters express the concern that under 
    EPA's approach, if the upwind states, EPA, or sources go off track in 
    terms of compliance with the NOX SIP call schedule, the 
    downwind states will be unable to enforce the three year deadline for 
    emissions reductions established by section 126. 
        For the reasons discussed above, EPA believes that the better 
    interpretation of sections 110(a)(2)(D)(i) and 126 is that sources emit 
    in violation of the prohibition of section 110(a)(2)(D)(i) only where 
    the applicable SIP, SIP submission, or federal plan fails to bar the 
    excessive emission of transported pollutants prohibited by section 
    110(a)(2)(D)(i). Nor does EPA agree that its approach raises the 
    problems cited by the commenters. First, EPA believes that it has 
    carefully structured its actions on the petitions to avoid any problems 
    associated with either the upwind states or EPA going off track with 
    respect to the NOX SIP call schedule for adoption and 
    approval of SIP revisions. By making technical determinations now and 
    specifying the exact dates and circumstances under which the petitions 
    would be deemed granted, EPA has structured today's action to ensure 
    that if either the upwind states or EPA do not submit or promulgate the 
    necessary plan provisions expeditiously under the NOX SIP 
    call, the section 126 remedy will automatically be activated without 
    any further action by EPA. Moreover, May 1, 2000 is the deadline for 
    the upwind states and EPA to complete their necessary actions to avoid 
    an automatic granting of the section 126 petitions. This provides ample 
    time for sources subject to the section 126 controls to come into 
    compliance by the May 1, 2003 deadline. Once the SIP revisions are 
    adopted and approved, no further action is needed from the upwind 
    states and EPA--from that point on, the only way that emissions 
    reductions would go off track is if the upwind sources failed to comply 
    with their SIP limitations.
        Moreover, the problem of potential bad actors exists regardless of 
    whether EPA grants, retains (and somehow stays action on), or denies 
    the section 126 petitions. Under any approach, it is possible that some 
    sources may not meet the May 1, 2003 deadline for compliance with the 
    SIP limitations, and thus, whether or not EPA has denied the section 
    126 petitions, there is a possibility that some portion of the upwind 
    emissions will not be reduced within the three year period specified in 
    section 126. If EPA has either retained or denied the petitions, the 
    remedy is the same--enforcement action against the source for failure 
    to comply with a regulatory requirement embodied in an approved SIP. As 
    discussed above, either downwind states or EPA could directly enforce 
    the SIP limits against the source under section 304 or 113, 
    respectively. If EPA grants the petitions, downwind states would 
    additionally be able to enforce against sources for violation of 
    section 126, as well as the SIP limits, but it is not clear that this 
    would make any practical difference. It is not necessary for EPA to use 
    the section 126 petitions as a backstop in case of potential bad 
    actors, and attempting to do so would raise the practical problems 
    discussed above. In addition to this analysis of the practical issues 
    associated with granting or retention versus denial of the petitions 
    upon approval of the SIP revisions, such an approach would be 
    inconsistent with what EPA believes to be the best reading of the 
    statute, as discussed above. Moreover, with respect to the argument 
    that EPA should retain the section 126 petitions as a backstop after 
    approval of a SIP revision or promulgation of a FIP, EPA is uncertain 
    as to what would constitute the statutory authority for such an 
    approach.
    c. Petitions Deemed Granted Upon Certain Events
        A number of commenters objected to EPA's proposal that the section 
    126 petitions for which it has made affirmative determinations would be 
    deemed granted under the circumstances specified above. Commenters 
    asserted that EPA should withhold decisions regarding the section 126 
    petitions until it has had sufficient time to determine the adequacy of 
    the SIPs submitted pursuant to the NOX SIP call, rather than 
    providing that the section 126 remedy would be automatically triggered 
    by certain dates. Commenters also argued that EPA must conduct a 
    rulemaking to evaluate the technical merits of the section 126 
    petitions rather than setting up a mechanism whereby failure to take a 
    final action by a deadline, and in particular, EPA's failure to act, 
    constitutes a default to some pre-arranged decision. Commenters opined 
    that EPA might delay its approval of SIP submissions in order to 
    trigger granting of the section 126 petitions without providing for 
    public comment on the section 126 finding in light of a state's SIP 
    submission. As discussed above, EPA is finalizing the proposed 
    approach, which EPA believes is based on the most reasonable 
    interpretation of the relationship between sections 110(a)(2)(D)(i) and 
    126, and best coordinates actions under the overlapping 
    NOX SIP call and section 126 petitions.
        The EPA has provided ample public notice and opportunity to comment 
    on the Agency's technical and legal determinations underlying today's 
    affirmative determinations on the section 126 petitions. The EPA is 
    determining through rulemaking that the sources subject to the 
    affirmative determinations will emit in violation of the prohibition of 
    section 110, absent timely state compliance with the NOX SIP 
    call or promulgation of a FIP. Today's rule provides that the petitions 
    will be granted if the Agency does not act to propose approval of and 
    finally approve a SIP revision or promulgate federal implementation 
    plan provisions satisfying the NOX SIP call. There is no 
    legal requirement for EPA to conduct rulemaking to determine that the 
    Agency has not proposed, approved, or promulgated implementation plan 
    provisions by a given date, and such a rulemaking would serve no 
    purpose. There is no benefit to providing for public comment on whether 
    EPA has published a specified notice by a specified date. EPA has 
    established easily verified, purely objective criteria for triggering 
    the granting of the petitions. Because EPA has provided for notice and 
    comment on every aspect of the finding on the section 126 petitions, 
    including on establishment of an
    
    [[Page 28277]]
    
    objective criteria for when petitions are deemed to be granted, EPA has 
    fully complied with the Clean Air Act and the Administrative Procedure 
    Act requirements for notice-and-comment rulemaking.
        EPA also rejects commenters' allegations that the Agency may 
    deliberately or inadvertently miss the deadlines for proposed or final 
    approval of SIP revisions submitted under the NOX SIP call. 
    In the proposal and in the Response to Comments Document for this rule, 
    EPA explains why it believes the schedule for action on the SIP 
    revisions is reasonable and achievable. See 63 FR 56302-56303. Given 
    achievable deadlines, there is no reason why EPA would deliberately 
    miss them to impose the section 126 remedy in preference over states' 
    plans. As discussed above, EPA believes that Congress generally 
    intended states, not EPA, to be primarily responsible for imposing the 
    controls required under Title I of the Act to meet the NAAQS. Moreover, 
    EPA has attempted to coordinate its proceedings on the section 126 
    petitions and the NOX SIP call to provide the maximum 
    opportunity, consistent with EPA's interpretation of the statutory 
    provisions, for states to address the interstate transport problem 
    through their SIPs, rather than having EPA impose controls directly 
    through a FIP or under section 126. Commenters argue that the section 
    126 petitions should not be granted if states have submitted a SIP 
    revision purporting to comply with the NOX SIP call and EPA 
    has either not acted on the revision, or has proposed approval but not 
    acted to finally approve the revision. Yet such an approach would 
    provide no assurance that there would be timely emission reductions 
    either through an approved SIP, a FIP, or direct controls on sources. 
    EPA's interpretation provides states and EPA a reasonable opportunity 
    to address the interstate transport problem through approved SIP 
    revisions, but ensures that the opportunity is not open-ended. Instead, 
    EPA interprets the interplay of the two provisions to ensure that under 
    one approach or the other, reductions will be achieved as expeditiously 
    as practicable. EPA believes that this interpretation is reasonable and 
    best achieves Congressional intent regarding the purpose and function 
    of sections 126 and 110(a)(2)(D)(i).
    
    B. EPA's Interpretation of Section 126: Significant Contribution
    
    1. Significant Contribution Standard
    a. NPR
        In the NPR, EPA relied on the same multi-factor, weight-of-evidence 
    test used in the NOX SIP call final rulemaking for 
    determining whether emissions from upwind sources contribute 
    significantly to nonattainment problems downwind.
        As described in the NOX SIP call final rule, section 
    110(a)(2)(D)(i)(I)--provides that the SIP must ``prohibit[]'' sources 
    from ``emitting any air pollutant in amounts which will contribute 
    significantly to nonattainment in, or interfere with maintenance by, 
    any other State * * * [This provision requires] the elimination of * * 
    * those amounts of [upwind] emissions that, based on a multi-factor 
    test, significantly contribute to downwind air quality problems.
    63 FR 57376.17
    ---------------------------------------------------------------------------
    
        \17\ As indicated in the NOX SIP Call final 
    rulemaking, EPA views the interfere-with-maintenance test to 
    incorporate the same standards as the contribute-significantly-to-
    nonattainment test.
    ---------------------------------------------------------------------------
    
        The EPA further stated, in the NOX SIP call final rule, 
    that the multi-factor test, in turn, weighs together seven factors. The 
    first four were the ``primary components in EPA's consideration,'' and 
    EPA specifically considered them with respect to each upwind State:
         The overall nature of the ozone problem (i.e., 
    ``collective contribution'')
         The extent of the downwind nonattainment problems to which 
    the upwind State's emissions are linked, including the ambient impact 
    of controls required under the CAA or otherwise implemented in the 
    downwind areas
         The ambient impact of the emissions from the upwind 
    State's sources on the downwind nonattainment problems
         The availability of highly cost effective control measures 
    for upwind emissions.
    
    63 FR 57376.
        In the NOX SIP call final rule, in the context of 
    applying the weight-of-evidence test to the New York City nonattainment 
    area as an example, EPA further indicated the manner in which these 
    primary factors were combined and considered:
        The extent of New York City's nonattainment problem and the nature 
    of the contributions from upwind States were considered in determining 
    whether the values of the metrics indicate large and/or frequent 
    contributions for individual upwind States. Specifically, additional 
    controls beyond the local and upwind NOX reductions which 
    are part of the regional NOX strategy may be needed to solve 
    New York City's 1-hour nonattainment problem. Also, the total 
    contribution from all upwind States is large and there is no single 
    State or small number of States which comprise this total upwind 
    portion. In this regard, the contributions to New York City from some 
    States may not appear to be individually ``high'' amounts. However * * 
    * these contributions, when considered together with the contributions 
    from other States (i.e., the collective contribution) produce a large 
    total contribution to nonattainment in New York City.
    63 FR 57392.
        In addition, EPA stated, in the NOX SIP call final rule, 
    that the multi-factor test included three other factors, as follows:
        In addition, EPA generally reviewed several other considerations 
    before concluding that upwind emissions contribute significantly to 
    downwind nonattainment. The EPA did not consider it necessary, or did 
    not have adequate information, to apply each these factors with 
    specificity with respect to each upwind State's emissions. In addition, 
    in some instances, EPA did not have quantitative information to assess 
    certain of these factors, and instead relied on qualitative 
    information. These considerations were secondary aspects of EPA's 
    analysis. They include:
         The consistency of the regional reductions with the 
    attainment needs of the downwind areas with nonattainment problems.
         The overall fairness of the control regimes required of 
    the downwind and upwind areas, including the extent of the controls 
    required or implemented by the downwind and upwind areas.
         General cost considerations, including the relative cost-
    effectiveness of additional downwind controls compared to upwind 
    controls.
    63 FR 57376.
    b. Final Action
    i. General Meaning of the ``Contribute Significantly'' Provision
        The significant contribution test of section 126(b)/110(a)(2)(D) 
    represents Congress's effort to determine how the various users of the 
    downwind air basin should share that valuable resource when the air 
    basin has, or may have, a nonattainment problem. The sharing occurs 
    through a determination by EPA that the appropriate upwind entities are
    
    [[Page 28278]]
    
    emitting pollutants in amounts that ``contribute significantly'' to a 
    downwind nonattainment problem, or interfere with maintenance.
        Under EPA's favored interpretation of section 110(a)(2)(D)(i) 
    (although, as described below, not the only reasonable interpretation), 
    the amounts of emissions that contribute significantly must be 
    prohibited. The remaining amounts of emissions--those that do not 
    contribute significantly--need not be controlled under section 
    110(a)(2)(D)(i). Under section 126(c), if EPA grants a petition on 
    grounds that the indicated sources violate the prohibition of section 
    110(a)(2)(D), EPA may promulgate a remedy that has the effect of 
    requiring the elimination of the amount of emissions that contribute 
    significantly to nonattainment, or that interfere with maintenance, 
    downwind.
        The CAA does not define the term ``contribute significantly,'' nor 
    specify any of the factors that should be considered in applying the 
    term. That is, Congress did not provide that a specified amount of 
    contribution from upwind sources to a downwind nonattainment problem 
    should be considered to be ``significant,'' nor did Congress 
    specifically direct EPA to determine that a particular amount of 
    contribution should be considered ``significant.'' Certainly, Congress 
    knew well how to draft the provision to include a specific standard or 
    a set of criteria, had Congress chosen to do so. Compare section 183(e) 
    (requiring EPA to establish controls on the set of consumer and 
    commercial products that EPA determines account for at least 80% of VOC 
    emissions in areas that violate the NAAQS) and section 107(d)(4)(A)(v) 
    (establishing criteria for EPA to consider in determining whether to 
    grant a State's request to exclude certain portions from ozone or 
    carbon monoxide nonattainment areas classified as serious or higher).
        Nor does the statute require the downwind petitioner or EPA to 
    demonstrate that the upwind reductions, with or without other 
    reductions from local, national, or other regional measures, will 
    result in attainment and maintenance of the downwind problem. By 
    comparison, in other provisions, Congress did require the downwind 
    nonattainment area or EPA to specify an attainment plan and 
    demonstration. See sections 182(c)(2)(A), 182(d)(flush language at 
    beginning), and section 182(e) (flush language at beginning) (downwind 
    states designated nonattainment for ozone and classified as serious, 
    severe, or extreme, must submit attainment demonstrations on specified 
    schedules); and section 110(c)(1) (EPA must promulgate a Federal 
    Implementation Plan under certain circumstances).18 
    Similarly, in other sections, Congress required compliance with SIP 
    requirements before a State with a nonattainment area would be eligible 
    for certain benefits. See section 107(d)(3)(E)(ii) and (v) 
    (nonattainment area may be redesignated to attainment only if, among 
    other things, SIP has been approved and State has met applicable 
    requirements); section 181(a)(5)(A) (nonattainment area may receive an 
    extension of attainment date if, among other things, State has complied 
    with all SIP requirements). Congress did not establish such strictures 
    with respect to the downwind State under section 110(a)(2)(D)(i)(I).
    ---------------------------------------------------------------------------
    
        \18\ It is true that section 110(a)(2)(I) requires SIPs for 
    nonattainment areas to meet the nonattainment requirements found in 
    part D, which include requirements to submit an attainment 
    demonstration. However, failure by a downwind State to submit an 
    attainment demonstration would not have any direct effect on EPA's 
    decision whether to grant the downwind State's section 126 petition.
    ---------------------------------------------------------------------------
    
        Rather, Congress provided simply that upwind contributions must be 
    eliminated if they are ``significant''. According to the dictionary, 
    the term ``significant'' means, among other things, ``(1) ``Having or 
    expressing a meaning; meaningful * * * (3) Having or likely to have a 
    major effect; important; (4) Fairly large in amount or quantity * * 
    *.'' American Heritage Dictionary of the English Language (3d ed. 1992) 
    1679. Thus, the term appears to permit of various meanings, ranging 
    from the more general ``meaningful'' or ``important,'' which would 
    permit consideration of more factors or circumstances; to a 
    sufficiently large air quality contribution. Under these circumstances, 
    EPA has discretion under Chevron U.S.A., Inc. v. Natural Resources 
    Defense Council, 468 U.S. 1227 (1984) (Chevron), to an interpretation 
    of the statutory test of ``contribute significantly'' that reflects a 
    reasonable accommodation with the purposes of the statute.19
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        \19\ The term ``contribute significantly'' or variations of that 
    term is found in various other Clean Air Act provisions concerning 
    various pollutants, including, among others section 169B(c)(1) 
    (visibility impairment), section 187(c) (carbon monoxide), and 
    section 189(e) (particulate matter). The term has been defined 
    differently under those various sections. Indeed, in section 188(f), 
    relating to particular matter, the term ``contribute significantly'' 
    is used twice, and EPA has concluded that it should be given a 
    different meaning for each of the two uses. ``Addendum to General 
    Preamble for Future Proposed Rulemakings: State Implementation Plans 
    for Serious PM-10 Nonattainment Areas, and Attainment Date Waivers 
    for PM-10 Nonattainment Areas Generally,'' 59 FR 419998, 42004 
    (August 16, 1994).
    ---------------------------------------------------------------------------
    
    ii. Varied Circumstances of Air Pollutant Transport
        It was wise for Congress to authorize discretion to EPA because 
    defining the significant contribution test amounts to determining how 
    the downwind air basin should be shared among upwind and downwind 
    claimants, a task that necessarily involves making judgments as to the 
    extent and manner in which that basin may be shared under the specific 
    circumstances presented. Because there are many different contexts in 
    which air pollution transport may occur, the basin may be shared 
    differently, and the significant contribution test may be applied 
    differently, in those contexts. For example, the types of pollutants 
    may vary, ranging from direct pollutants such as SO2, to secondary 
    pollutants, such as NOX. The numbers of areas (both upwind 
    and downwind) may vary. The numbers of sources and amounts of 
    pollutants may vary. The status of both upwind and downwind control 
    implementation efforts, and of air quality planning efforts, may also 
    vary.
        To illustrate the practical importance of these variations:
        At one extreme, a relatively simpler transport problem may arise 
    involving a direct pollutant, such as SO2, and one upwind State with 
    one or a few sources, and one downwind State with one or a few 
    sources. Under these circumstances, the sharing of the air basin 
    presents important and complex decisions, but it need occur only as 
    among several sources. Moreover, a clear path to attainment may be 
    determined (although choosing among several alternative control 
    schemes to reach attainment may be necessary). This scenario is 
    similar to some of the past EPA rulemakings. See Air Pollution 
    Control District of Jefferson County, Kentucky v. EPA, 739 F.2d 1071 
    (6th Cir. 1984).
        The opposite extreme is similar to the circumstances of the 
    NOX SIP call and today's rulemaking. These actions involve 
    the greater technical complexity of a pollution problem caused by a 
    secondary pollutant, ozone. There are numerous downwind areas with 
    nonattainment problems, and numerous upwind sources in numerous upwind 
    States. Upwind sources have varying impacts on the different downwind 
    receptors. Downwind States are at varying stages in ozone planning 
    efforts; some do not yet have approved attainment demonstrations. In 
    addition, varying control levels may have already been implemented by 
    similar sources.
        These variables may profoundly affect the type of control efforts 
    on upwind sources that may be considered to be reasonable. For example: 
    Assume that Downwind State exceeds its NAAQS by 10 percent. The amount 
    of pollution is
    
    [[Page 28279]]
    
    determined to be created in 90 percent part by sources in Downwind 
    State, and in 10 percent part by sources in Upwind State. In this 
    example, were the Upwind Sources to eliminate their contribution, the 
    Downwind State would experience attainment of the NAAQS.
        If the air basin in Downwind State is viewed as the resource of 
    solely the citizens of Downwind State, then the Upwind Sources may be 
    obliged to eliminate 100 percent of their contribution. However, if the 
    air basin is viewed as a resource to be shared in some manner among the 
    citizens of Upwind and Downwind States, then a different pattern of 
    control obligations may emerge.
        Further, different results may seem reasonable depending on 
    existing control levels. For example, in Scenario-1, assume that Upwind 
    State has always enjoyed attainment air quality, and Upwind Sources 
    have never implemented any controls, but that Downwind State has long 
    experienced nonattainment air quality, and Downwind Sources have 
    already implemented extensive controls. Under these circumstances, at 
    least some level of controls on Upwind Sources may seem reasonable.
        On the other hand, under Scenario-2, assume, that Upwind State is 
    itself a nonattainment area, and that Upwind Sources have already 
    implemented extensive controls to improve air quality in Upwind State. 
    Assume further that Downwind State has long experienced attainment air 
    quality, Downwind Sources have never implemented any controls, and only 
    recently, growth in Downwind State has led to sufficiently more 
    emissions from Downwind Sources to tip air quality into nonattainment. 
    Under these circumstances, a control level on Upwind Sources that is 
    lesser than under Scenario-1, or even a zero control level on Upwind 
    Sources, may seem reasonable.
    iii. Definition of the Significant Contribution Test and Legislative 
    History
        The EPA believes that Congress provided in section 126/110(a)(2)(D) 
    the flexibility to determine the upwind control obligations under these 
    varying circumstances. As indicated above, the term ``significant[]'' 
    may be construed broadly, to mean ``important'' or ``meaningful''. The 
    Senate Report accompanying the CAA Amendments of 1977, which added 
    section 126, offered the following description of the purpose of the 
    addition of section 126:
        The [1970 version of the Clean Air Act] did not specify any 
    abatement procedure in the event that a stationary source on [sic: 
    in] one State did emit air pollutants which adversely affected the 
    air quality control efforts of another State. As a result, no 
    interstate enforcement actions have taken place, resulting in 
    serious inequities among several States, where one State may have 
    more stringent implementation plan requirements than another State. 
    For example, an implementation plan for the State of Ohio was not 
    even proposed until 1976. It has now been challenged and has not yet 
    been effectively implemented. As a result, there are no enforceable 
    control requirements applicable to most of the significant major 
    stationary sources of sulfur oxides in Ohio. The emissions from 
    plants in Ohio are transported across the Ohio River to West 
    Virginia, which must then cope with pollution not generated by a 
    source under its own control; and must require more stringent 
    control of West Virginia sources to attain the ambient air quality 
    standards.
        In the absence of interstate abatement procedures, those plants in 
    States with more stringent control requirements are at a distinct 
    economic and competitive disadvantage. This new provision is intended 
    to equalize the positions of the States with respect to interstate 
    pollution by making a source at least as responsible for polluting 
    another State as it would be for polluting its own State. S. Rep. 95-
    127 (95th Cong. 1st Sess.) at 41-42.
        Clearly, the legislative history of section 126 indicates that this 
    provision, which of course relies on the significant contribution test, 
    is intended to take into account relative control requirements upwind 
    and downwind. Congress's focus on this specific factor--which concerns 
    costs and equity, and not air quality--coupled with the fact that the 
    term ``significant'' may be read broadly, has led EPA to conclude that 
    the term should be defined broadly to take account of all the important 
    aspects of the interstate pollution problem. In the context of ozone, 
    EPA applies this approach through a multi-factor formula discussed 
    below.
        It should also be noted that the statutory provisions contain no 
    constraint that would indicate that the downwind States must have 
    developed attainment demonstrations before upwind controls may be 
    imposed. On the contrary, section 126(c) establishes a 3-year period 
    for implementation of controls that applies by its terms, without any 
    reference to the timing of attainment needs downwind. This provision 
    indicates that Congress intended section 126 controls to apply even in 
    the absence of downwind attainment demonstrations.
    iv. Application of Significant Contribution Test to Ozone Problems
    (1) Nature of the Ozone Problem
        The ozone transport problem in the part of the United States 
    covered by the section 126 petitions that EPA is considering in today's 
    action may be characterized as follows: There are several downwind 
    areas that have nonattainment air quality under the 1-hour ozone NAAQS, 
    and numerous more that have nonattainment air quality under the 8-hour 
    ozone NAAQS. These ozone problems are caused by the collective 
    emissions from numerous downwind and upwind sources. As EPA stated in 
    the NOX SIP Rule final rulemaking:
        Unhealthful levels of ozone result from emissions of NOX 
    and VOCs from thousands of stationary sources and millions of mobile 
    sources and consumer products and other sources across a broad 
    geographic area. Each source's contribution is a small percentage of 
    the overall problem; indeed, it is rare for emissions from even the 
    largest single sources to exceed one percent of the inventory of ozone 
    precursors even for a single metropolitan area. Under these 
    circumstances, even complete elimination of any given source's 
    emissions may well have no measurable impact in ameliorating the 
    nonattainment problem. Rather, attainment requires controls on numerous 
    sources across a broad area. Ozone is a regional scale problem that 
    requires regional scale reductions. 63 FR 57375-57376 (quoting 
    NOX SIP call NPR).
        Further, UAM-V air quality models show that the major areas in the 
    northeast, with respect to which section 126 petitions have been 
    submitted, have 1- and 8-hour nonattainment air quality problems that 
    will continue even after all areas implement all controls specifically 
    required under the CAA. These model runs assume that the amount of 
    emissions will continue to grow at certain rates, and that meteorology 
    will recur that replicates the types of weather episodes that since 
    1988 have been conducive to ozone transport and to a high level of 
    exceedances of the ozone NAAQS.
        Further, many States do not yet have SIPs approved as demonstrating 
    attainment for each of the downwind areas at issue that have 
    nonattainment problems.
        In addition, the areas with one-hour ozone NAAQS problems have, by 
    and large, implemented more controls over a longer period than have 
    their upwind contributors. While some downwind
    
    [[Page 28280]]
    
    nonattainment areas have not yet fully implemented all of their 
    required measures, the UAM-V modeling shows that even when these 
    measures are fully implemented, certain areas with nonattainment 
    problems would continue to show nonattainment.
    (2) Reasonable Step in Ameliorating Ozone Nonattainment
        Under the circumstances presented concerning the ozone problem, EPA 
    believes it reasonable to interpret section 126(b)/110(a)(2)(D)(i) to 
    authorize a step in the direction of ameliorating the downwind 
    nonattainment problem by achieving cost-effective reductions to 
    eliminate an important component of the upwind contribution. Additional 
    reductions may be necessary from, for example, sources in the downwind 
    area itself or from national measures that EPA may promulgate. However, 
    again, these sections do not require an overall plan for attainment 
    prior to action to eliminate significant upwind contributions.
        This interpretation treats section 126(b)/110(a)(2)(D)(i) as a 
    control mechanism that is similar to numerous other provisions in the 
    CAA in which Congress mandated cost-effective or technologically 
    achievable reductions in ozone precursors from a particular group of 
    sources for the purpose of ameliorating ozone nonattainment problems, 
    but without any requirement for some overall attainment plan.
        For example, in promulgating various mobile source rules to control 
    ozone precursors, EPA generally examines the need for further 
    reductions of those precursors based on the expected attainment or 
    nonattainment status of areas nationwide. The EPA then examines whether 
    further regulation of the mobile sources is appropriate, based on the 
    amount of emissions from those sources as well as the feasibility and 
    cost-effectiveness of such regulation.\20\ The resulting rules are not 
    designed, by themselves, to lead to attainment in all areas; and in 
    promulgating these rules, EPA does not specify any particular strategy 
    for reductions from additional sources designed to reach attainment in 
    all areas. As additional examples, EPA recently promulgated standards 
    for nonroad diesel engines. EPA first noted the level of contribution 
    from such engines to total nationwide NOX and PM emissions 
    and stated that without further controls, the contribution from these 
    engines would increase. EPA then developed standards based on the 
    feasibility of controls, the amount of emission reductions (in tons of 
    NOX, VOC and PM reduced), and the cost of the controls or 
    control levels. Although EPA did compare the cost-effectiveness of 
    these standards against that of other standards, EPA did not attempt to 
    integrate these standards into any specific strategy for achieving 
    attainment based on reductions from all sources. 63 FR 56968 (Oct. 23, 
    1998). See 62 FR 54694 (Oct. 21, 1997) (promulgation of standards 
    requiring emission reductions from heavy duty motor vehicles based on 
    feasibility, taking into consideration cost-effectiveness, without 
    specifying any particular overall strategy for overall attainment).
    ---------------------------------------------------------------------------
    
        \20\ Different types of mobile sources are regulated based on 
    different specific sections of the CAA, with some sections placing 
    more emphasis on one or more of the criteria mentioned above. E.g., 
    section 202(i)(3)(c) (Tier 2 light-duty standards based on need for 
    further reductions, availability of technology, and cost-
    effectiveness); section 202(a)(3)(A) (Heavy-duty on-highway 
    standards reflect greatest reduction achievable through available 
    technology, considering cost, energy, and safety factors).
    ---------------------------------------------------------------------------
    
        Similarly, under section 183(e), Congress directed EPA to determine 
    the categories of consumer and commercial products that account for at 
    least 80 percent of the VOC emissions from such products in areas that 
    violate the ozone NAAQS. After doing so, EPA must proceed to regulate 
    those categories of sources by requiring ``best available controls.'' 
    Again, the statute does not specify the need for any particular link to 
    demonstrations of attainment downwind.
        For these reasons, EPA disagrees with the commenters who argued 
    that EPA should deny the section 126 petitions because a number of 
    nonattainment areas may be brought into attainment without transport 
    controls. Although this may be true, EPA's modeling shows areas with 
    nonattainment problems that are not expected to be brought into 
    attainment even with transport controls.
        The EPA also disagrees with the commenters who stated that the 
    section 126 petitions should be denied because implementation of the 
    NOX SIP call (and, presumably, the section 126 control 
    program) will not by itself achieve attainment. These commenters 
    suggested that this failure to achieve attainment indicates that upwind 
    controls have no use for attainment purposes, and that only local 
    controls should be implemented.
        The EPA agrees that regional controls may not by themselves result 
    in attainment in all downwind areas, but modeling shows that these 
    controls ameliorate nonattainment problems. In addition, EPA does not 
    believe that Congress mandated an overall demonstration of attainment 
    as a prerequisite to requiring even initial reductions from upwind 
    States whose emissions clearly are part of the nonattainment problem. 
    All that is necessary is an indication that these reductions ameliorate 
    the nonattainment problem.
    (3) Factors in Weight of Evidence Test
        Further, EPA believes that the weight-of-evidence test that 
    considers a series of factors is an appropriate means to define the 
    significant contribution standard.
    (a) Collective Contribution
        One of the principal factors that EPA examined was the collective 
    contribution aspect of ozone formation, described above. That ozone is 
    caused by the collective contribution of numerous sources across a 
    broad geographic area is universally true, and thus is true for each of 
    the downwind receptors. This factor pushes in the direction of 
    recognizing that even relatively small (in an absolute sense) 
    contributions must be recognized as a meaningful part of the problem 
    and thus potentially as part of the solution.
    (b) Extent of Downwind Problem
        A second principal factor that EPA recognized was the extent of the 
    downwind problems. As noted above, for each downwind area with 
    nonattainment air quality under either or both the 1- and 8-hour NAAQS, 
    EPA used computer modeling to determine that certain of these 
    nonattainment areas would continue to have nonattainment problems in 
    the future, even assuming the implementation by all areas of 
    specifically required CAA obligations. These circumstances indicate 
    that additional controls will be necessary for the downwind areas to 
    attain. This factor also pushes in the direction of recognizing that 
    even relatively small (in an absolute sense) upwind contributions must 
    be recognized as a meaningful part of the problem and thus potentially 
    as part of the solution.
    (c) General Factors
        EPA also examined some factors more generally, without applying 
    them to each downwind (or upwind) contributor. First, EPA recognized 
    that in general, as part of the Ozone Transport Commission (OTC), the 
    section 126 petitioners have agreed to implement NOX 
    controls pursuant to a Memorandum of Understanding,--the OTC 
    NOX MOU--which requires controls similar to those that EPA 
    would mandate were the section 126 petitions approved. Moreover, 
    virtually all of the downwind areas are themselves upwind
    
    [[Page 28281]]
    
    contributors, and thus would be subject to the controls placed on 
    upwinds. As a result, sources in the section 126 petitioning States may 
    be expected to be subjected to at least the same level of control as 
    upwind sources targeted by those petitions. Indeed, in general, the 
    SIPs in downwind areas with one-hour NAAQS ozone nonattainment problems 
    have already required ozone precursor controls over a longer period of 
    time than have the upwind areas. This factor, which is related to 
    equity, also generally argues in favor of controls on upwind sources. 
    As noted above, the legislative history of the 1977 CAA Amendments 
    notes that one of the purposes of section 126 was to ensure this type 
    of equity.
        Moreover, because downwind areas under the one-hour NAAQS are 
    already fairly vigorously controlled, the cost-per-ton removed for 
    additional downwind controls is generally higher than the cost-per-ton 
    removed for upwind controls. As EPA stated in the NOX SIP 
    call final rule--
        [I]n general, areas that currently have, or that in the past have 
    had, nonattainment problems under the 1-hour NAAQS, or that are in the 
    Northeast Ozone Transport Region (OTR), have already incurred ozone 
    control costs. The controls already implemented in these areas tend to 
    be among the less expensive of available controls * * *. EPA has 
    determined that, in general, the next set of controls identified as 
    available in the downwind nonattainment areas under the 1-hour NAAQS 
    would cost approximately $4,300 per ton removed. By comparison, EPA has 
    determined that the cost of the regional reductions required [in the 
    NOX SIP Call final rule] would approximate $1,500 per ton 
    removed. Thus, it appears that the upwind reductions required by [the 
    NOX SIP Call final rule] are more cost-effective per ton 
    removed than reductions in the downwind nonattainment areas.
    
    63 FR 57379. This factor of relative cost-effectiveness points towards 
    controls on even relatively small (in absolute terms) upwind 
    contributions.
    (d) Air Quality Metrics
        The factors described above informed EPA's judgment about the size 
    of upwind contributions that should be considered to be a meaningful 
    part of downwind attainment problems. EPA employed two air quality 
    models--UAM-V and CAMx--which each generated a set of modeling runs to 
    measure the amount of contribution generated by the upwind State's 
    entire inventory of ozone precursors to the downwind area's 
    nonattainment problem. Commenters have questioned EPA's evaluation of 
    the impact of the full amount of the statewide inventory, as opposed to 
    evaluating the impact of only the amount of emissions required to be 
    reduced by the rulemaking. EPA believes it appropriate to evaluate the 
    impact of the entire inventory because this amount causes the upwind 
    State's contribution to ambient ozone levels downwind.
        The EPA evaluated this impact on the basis of a set of metrics for 
    the UAM-V modeling runs, and a separate set of metrics for the CAMx 
    modeling runs. The EPA determined that, in light of the collective 
    contribution nature of the ozone problem and the extent of the downwind 
    ozone nonattainment problems, even relatively small (in absolute terms) 
    upwind contributions to those nonattainment problems should be 
    considered to be meaningful components of the problems and thus as 
    potentially subject to controls. Only if the statewide contribution was 
    extremely small did EPA conclude that none of the emissions from the 
    State's sources could be considered to contribute significantly to the 
    downwind nonattainment problems. The EPA's specific evaluation of these 
    metrics, including its response to comments received, is discussed 
    below.
    (e) Cost-Effectiveness Factor
        After determining which upwind State emissions should be considered 
    part of the downwind nonattainment problem, EPA considered whether the 
    portion of those emissions from section 126 sources could be reduced in 
    a highly cost-effective manner. EPA determined the amounts that could 
    be so reduced to be the amounts that significantly contribute to 
    downwind nonattainment, and that therefore must be prohibited.\21\ In 
    theory, if all of the upwind State's emissions came from section 126 
    sources and could be eliminated through highly cost-effective controls, 
    EPA would conclude that all of those emissions should be considered to 
    contribute significantly to nonattainment downwind, and EPA would 
    require their elimination. On the other hand, in theory, if EPA 
    determined that no highly cost-effective controls were available, EPA 
    would determine that none of the emissions contribute significantly, 
    and therefore than none need be eliminated.
    ---------------------------------------------------------------------------
    
        \21\ Strictly speaking, only the amount of emissions that may be 
    eliminated through highly cost-effective controls should be 
    considered the amount that contributes significantly to downwind 
    nonattainment. For convenience, throughout the notices and 
    supporting documents for today's action, as well as the notices and 
    supporting documents for the NOX SIP call final 
    rulemaking, EPA occasionally refers to the entire amount of 
    emissions from the upwind State as contributing significantly to 
    nonattainment downwind.
    ---------------------------------------------------------------------------
    
        The EPA received comments that it does not have authority to use 
    cost as a factor, or that if EPA could consider cost, EPA did not 
    formulate its consideration of cost in a rational manner. These 
    comments are discussed below. The EPA also received comment that it 
    should not apply a uniform level of control to all affected upwind 
    sources. These comments are also discussed below.
    (f) Air Quality Modeling of Amount of Reductions
        Finally, as a general consideration, EPA modeled the upwind 
    reductions and determined that they generally were consistent with the 
    attainment needs of the downwind areas with nonattainment problems. 
    That is, the reductions from affected sources in each upwind State, 
    combined with reductions from affected sources in the other upwind 
    States, resulted in meaningful ambient improvement downwind, and did 
    not result in any situation in which upwind sources were required to 
    reduce more than necessary to achieve attainment in each of the 
    downwind areas that they impact. This consideration further supports 
    EPA's determination as to significant contribution.
    c. Comments and EPA Responses
    i. Vagueness
        Some commenters considered the significant-contribution test as EPA 
    defined it in the NPR to be vague or unclear.
        Other commenters did not appear to consider the test to be vague, 
    and EPA believes that its discussion of the test in the NOX 
    SIP Call rulemaking (referenced in the section 126 NPR) adequately 
    explained the Agency's interpretation and methodology. In any event, 
    EPA believes that the description above of the multifactor test further 
    elaborates on the connection of each of the primary and secondary 
    factors to the conclusions drawn.
    ii. Collective Contribution
        In the NPR, EPA incorporated the determination in the 
    NOX SIP call that whether the upwind sources' contribution 
    to nonattainment downwind rises to the level of significance is 
    determined, in part, by reference to the ambient impact of all of the 
    ozone precursor emissions in the upwind sources' state, as indicated by 
    the state-by-state UAM-V and CAMx modeling runs. In addition, EPA 
    evaluated the impact of the reductions in emissions by modeling the 
    impact of
    
    [[Page 28282]]
    
    all upwind reductions on downwind receptors.
    (1) Comments
        Commenters argued that EPA erred in considering collective 
    contribution as a factor in the determination of significant 
    contribution. According to the commenters, EPA employs the collective 
    contribution approach to evaluate the downwind air quality impact of 
    emissions from sources in each upwind State by considering those 
    emissions to be part of the entire set of multi-upwind-state emissions. 
    According to the commenters, EPA then determines that because the 
    entire set of multi-upwind-state emissions collectively contributes 
    significantly to nonattainment downwind, each upwind State's emissions, 
    and emissions from all the targeted sources in each upwind State, 
    should be considered to contribute significantly to nonattainment 
    downwind. According to the commenters, sections 126(b) and 
    110(a)(2)(D)(i) should be read to require evaluation of the downwind 
    air quality impact of emissions from only the particular sources 
    targeted by the section 126 petitions, or at most from each upwind 
    State on a State-by-state basis, and not on any geographically larger 
    basis. Some commenters stated that the terms of section 126(b), which 
    limit EPA's possible finding to ``any major source or group of 
    sources,'' requires EPA to make the determination of significant 
    contribution on the basis of each source or group of sources targeted 
    by the section 126 petitions, and not on a state-wide basis.
        Commenters further stated that reliance on broader modeling results 
    based on collective contribution failed to evidence the precise 
    contribution from the targeted upwind sources or their individual 
    states, and allowed EPA to claim that the small contributions from the 
    targeted sources were in fact larger because they were linked to 
    contributions from other sources. The commenters further expressed 
    concern that the collective contribution approach proves too much 
    because it could be used to combine any particular set of emissions 
    with a much larger set of emissions that have a large impact downwind, 
    and thereby support the claim that the initial set of emissions is 
    partly responsible for that large impact downwind. Similarly, EPA 
    received comments that it should evaluate the petitions on a petition-
    by-petition basis.
    (2) Responses
    (a) Petition-by-Petition
        The EPA agrees that with respect to each section 126 petition, EPA 
    must make a determination as to whether the sources identified in that 
    petition contribute significantly to nonattainment in the petitioning 
    state. EPA believes that it may rely on the collective contribution 
    factor to inform its judgment as to the level of contribution that it 
    may consider to be significant. That is, as explained above, even 
    relatively small amounts of contribution (in an absolute sense) may be 
    considered to be significant in light of the collective contribution of 
    many sources of the ozone problem.
    (b) Statewide Groups of Sources
        Further, section 126 authorizes EPA to grant a petition with 
    respect to either ``any major source'' or ``group of stationary 
    sources.'' The EPA believes it is reasonable to treat all section 126 
    sources in a single upwind State as a ``group[] of sources,'' \22\ 
    rather than to treat sources individually or to treat smaller sets of 
    sources as a ``group''. As noted elsewhere, ozone results from 
    emissions of numerous sources over a broad geographic area; in many 
    cases, even the largest source comprises less than 1% of the inventory. 
    Accordingly, attempting to quantify the impact of individual sources, 
    or even small groups, may prove futile.
    ---------------------------------------------------------------------------
    
        \22\ The term ``group of sources'' is not defined, and does not 
    exclude other reasonable methods of combining sources, such as 
    combining all targeted sources in a particular geographic region.
    ---------------------------------------------------------------------------
    
        EPA believes it is reasonable to confine its analysis of the 
    section 126 sources to a state-by-state basis, so that the impact of 
    emissions from sources in one upwind State is analyzed separately from 
    the impact of emissions from sources in another upwind State (except, 
    as described below, for analyzing the impact of the reductions from the 
    section 126 controls). That is, EPA did not combine emissions from more 
    than one upwind State in its UAM-V zero-out or CAMx apportionment 
    modeling. EPA agrees that it is sensible to demarcate sets of upwind 
    emissions along some lines, and evaluate those sets separately.
        The EPA believes that in the context of section 126 action, 
    demarcating sources by state lines is reasonable. Although emissions 
    and the ozone they generate of course do not respect state boundaries, 
    those boundaries are important for regulatory purposes.23 As 
    discussed elsewhere in today's rulemaking, under EPA's interpretation 
    of section 126, sources subject to that provision may not emit in 
    excess of the amounts that would be authorized under SIP provisions 
    that meet the requirements of section 110(a)(2)(D)(i)(I). In the case 
    of ozone precursors, the section 110(a)(2)(D)(i)(I) requirements are 
    applied on the basis of state-wide emissions. If State-wide emissions 
    contribute significantly to nonattainment downwind, then the State's 
    section 126 sources may be subject to SIP controls; if state-wide 
    emissions do not contribute significantly, then the State's section 126 
    sources would not be subject to SIP controls. For these reasons, it is 
    appropriate to evaluate the impact of State-wide emissions from all 
    source categories in order to determine whether the emissions from the 
    section 126 sources should be considered to contribute significantly.
    ---------------------------------------------------------------------------
    
        \23\ In general, under the CAA, States are given the primary 
    responsibility for air pollution prevention and control. Section 
    101(a)(3).
    ---------------------------------------------------------------------------
    
        By the same token, if EPA finds that emissions from a State's 
    section 126 sources contribute significantly to nonattainment downwind 
    because State-wide emissions contribute significantly, the State may 
    promulgate SIP controls that would achieve sufficient emissions 
    reductions so that EPA may conclude that the section 126 sources in 
    that State should no longer be considered to contribute significantly 
    to nonattainment. The State may place these SIP controls on any sources 
    it chooses, and is not limited to imposing controls on the section 126 
    sources. Under these circumstances, as discussed elsewhere in today's 
    rulemaking, EPA may rescind the section 126 finding. This 
    determination--that in light of the SIP controls, the section 126 
    sources no longer contribute significantly--is possible if the initial 
    finding that the section 126 sources do contribute significantly was 
    made in the context of examining the emissions from the upwind State 
    itself.
        This analysis leads EPA to conclude that in determining whether the 
    sources targeted in each petition make a significant contribution to 
    the petitioning state, EPA may rely on the results of the State-by-
    State UAM-V zero-out modeling and the state-by-state CAM-X modeling as 
    the primary basis for that determination. These models allow a 
    determination that state-wide emissions do or do not contribute 
    significantly to nonattainment downwind, and therefore--under EPA's 
    interpretation of section 126, as described immediately above--whether 
    the emissions from the section 126 sources contribute significantly to 
    nonattainment.
    
    [[Page 28283]]
    
        The EPA also believes that the collective contribution aspect of 
    ozone formation provides a separate basis for relying on the 
    determination of whether State-wide emissions contribute significantly 
    as the basis for the determination that emissions from section 126 
    sources contribute significantly. That is, because an ozone 
    nonattainment results from the emissions of numerous sources across a 
    broad geographic area, and because the State-wide emissions from a 
    particular upwind State contribute significantly to that problem, then 
    the various emitters within the upwind State should be considered to 
    contribute significantly to that problem.
        Both of the above bases for relying on State-wide emissions impacts 
    to determine whether section 126 source emissions contribute 
    significantly--EPA's interpretation of the relationship of section 
    126(b) to section 110(a)(2)(D)(i), and the collective contribution 
    aspect of ozone formation--are consistent with certain facts concerning 
    the NOX emissions inventories for the upwind States 
    associated with ozone transport problems. Specifically, as discussed 
    below, for each upwind State subject to today's rulemaking, the section 
    126 sources are a substantial portion of the State-wide NOX 
    inventory. Thus, it is more readily apparently, that because the entire 
    upwind State emissions contribute significantly, the portion of those 
    emissions from the section 126 sources contribute significantly.
        The EPA is well aware that the metrics for determining the air 
    quality component of the significant contribution test are based on the 
    entire set of emissions from the upwind State, not only the emissions 
    from the section 126 sources. It is conceivable that modeling only the 
    emissions from the section 126 sources would result in smaller ambient 
    impacts downwind, and that those smaller impacts, if analyzed on the 
    basis of the metrics and thresholds developed for State-wide emissions, 
    may not exceed those thresholds.
        The EPA believes it sensible to link its determinations to the 
    state-by-state modeling of emissions of all ozone precursors in each 
    state. For certain upwind States, this modeling indicates that all 
    ozone precursors in the State contribute significantly to nonattainment 
    downwind. A group of sources that represents a substantial portion of 
    those emissions should be considered to contribute significantly to 
    nonattainment downwind as well. Otherwise, the determination that all 
    of a State's emissions contribute significantly could in effect be 
    defeated by the simple expedient of dividing those emissions among 
    various source categories, and determining that the emissions from each 
    source category are too few to constitute a significant 
    contribution.24
    ---------------------------------------------------------------------------
    
        \24\ EPA acknowledges that it is theoretically possible for 
    there to be two adjoining upwind States, one of which has a 
    NOX inventory that contributes significantly downwind, 
    but that has only a few emissions from section 126 sources; and the 
    second of which has a NOX inventory that does not 
    contribute significantly downwind, but that has a large percentage 
    of emission from section 126 sources. These theoretical 
    circumstances could lead to the anomaly that the relatively few 
    emissions from section 126 sources in State-1 may be subject to 
    section 126 controls, but the greater emissions from section 126 
    sources in State-2 may not be subject to section 126 controls. These 
    factual circumstances are not present in this or related 
    rulemakings. All the States for which actions are being taken 
    contain both substantial amounts of emissions from utilities and 
    from other sources. No upwind States contain an exceptionally high 
    percentage of emissions from section 126 sources, but do not 
    contribute significantly.
    ---------------------------------------------------------------------------
    
        Additional data sets support EPA's technical determination that 
    emissions from the section 126 sources contribute significantly 
    downwind. For the NOX SIP call rulemaking, EPA conducted air 
    quality modeling runs indicating the impact of emissions reductions, 
    comparable to those required today, in certain of the upwind States. 
    These model runs indicate that ambient ozone reductions occur in 
    northeastern nonattainment areas as a result of these reductions. It 
    should be noted that some of the section 126 petitioning States do not 
    target sources in all of the upwind States that EPA determined during 
    the NOX SIP call rulemaking to contribute significantly to 
    those States. Even so, EPA believes that the sources targeted by the 
    section 126 petitions overlap sufficiently with this NOX SIP 
    call modeling so that the conclusions of this modeling--that upwind 
    NOX reductions improve ambient ozone concentrations 
    downwind--apply as well in today's action. This modeling is described 
    in Air Quality Modeling Technical Support Document for the 
    NOX SIP Call, Docket A-96-56, No. VI-B-11, p. 70.
        In addition, the U-runs performed by EPA, described below, confirm 
    that the amount of emissions reductions from each upwind State's 
    section 126 sources has a meaningful downwind impact. Although EPA did 
    not complete these U-runs on a state-by-state basis, the results 
    indicate an impact from each upwind State's sources. In some cases, 
    these impacts are small in an absolute sense, a result that is to be 
    expected when the amount of emissions reductions from sources in a 
    particular upwind State required through the highly cost effective 
    controls is relatively small, and when those sources are distant from 
    the downwind receptors.
        However, the reduction in downwind ozone levels is meaningful, and 
    thus supports the affirmative technical determination made today 
    concerning the section 126 sources in that upwind State, because ozone 
    nonattainment problems are caused by emissions from numerous sources 
    over a broad geographic area, and those problems must be solved by 
    achieving emissions reductions from numerous sources over a broad 
    geographic area. Both the U-runs and the modeling described immediately 
    above that EPA conducted for the NOX SIP call indicate that 
    the ambient impact of the emissions reductions from sources in a 
    particular upwind State are more discernible when they are combined 
    with comparable reductions from sources in other upwind States.
    iii. Bright Line
        Commenters argued that EPA should have established a bright line 
    test based on air quality impact alone. Under this view, EPA would 
    determine that a specified frequency and/or magnitude of ambient ozone 
    impact would constitute a significant contribution, so that amounts of 
    NOX emissions that cause an impact higher than the specified 
    amount would have to be reduced to the point where the remaining 
    emissions caused an impact less than the specified amount. Proponents 
    of this approach have pointed out that EPA's approach results in a 
    situation in which Upwind State-1 that is near to a downwind 
    nonattainment area may continue to contribute a substantially higher 
    amount of ozone to the downwind area even after it implements the 
    highly cost effective controls than Upwind State-2 that is further away 
    from the nonattainment area contributes even before Upwind State-2 
    implements any controls.
        The EPA rejected the bright-line approach because EPA considers it 
    reasonable, in the context of the ozone nonattainment problems under 
    both the 1- and 8-hour NAAQS, to interpret the significant contribution 
    standard as mandating the elimination of the portion of NOX 
    emissions from sources in states upwind of the nonattainment problems 
    that may be eliminated through highly cost-effective controls, when 
    those emissions cause even a relatively small (in an absolute sense) 
    ozone impact. Interpreted and applied in this manner, section 126(b)/
    110(a)(2)(D) authorize a useful step towards ameliorating ozone 
    nonattainment problems. As discussed
    
    [[Page 28284]]
    
    above, in many other instances, Congress has directly mandated, or has 
    authorized EPA to require, a cost-or technology-based control scheme 
    designed to reduce ozone precursors for the purpose of ameliorating 
    nonattainment problems.
        The EPA recognizes that this interpretation and application of the 
    significant contribution test diminishes the importance of the fact 
    that ozone precursors have a greater impact the closer they are emitted 
    to the nonattainment problem. However, all of the sources subject to 
    the affirmative technical findings contribute to the nonattainment 
    burdens in an amount that, considering the collective contribution 
    nature of the ozone problem, must be viewed as meaningful. Moreover, 
    nothing in sections 126/110(a)(2)(D) indicate that Congress intended 
    that sources in upwind States closer to a nonattainment problem bear a 
    proportionately larger burden of emissions reduction. Compare by 
    section 211(c)(4)(C) (EPA may approve state fuel controls, and thereby 
    waive Federal preemption of such rules, only after finding that ``no 
    other measures that would bring about timely attainment exist, or if 
    other measures exist and are technically possible to implement, but are 
    unreasonable or impracticable;'' this provision indicates Congress knew 
    how to require that control schemes be prioritized).
    iv. Other Factors
        In addition, some commenters stated that it was unlawful to include 
    certain factors in the significant contribution test, including the 
    secondary factors concerning (1) the overall fairness of the control 
    regimes required of the downwind and upwind areas (including the extent 
    of the controls required or implemented by the downwind and upwind 
    areas), and (2) general cost considerations, including the relative 
    cost-effectiveness of additional downwind controls compared to upwind 
    controls.
        The commenters argued that these factors are invalid because 
    section 110 does not by its terms authorize consideration of cost and 
    economic fairness. They further argued that EPA has overlooked the fact 
    that some States in the South and Midwest have already incurred 
    significant control costs and have attained compliance with the 1-hour 
    NAAQS.
        As discussed below, EPA believes that the significant contribution 
    test does permit consideration of cost factors. Indeed, the Senate 
    Report explaining passage of section 126 in the CAA Amendments of 1977 
    made clear that one purpose of the provision was to enable downwind 
    sources that were subject to controls because located in nonattainment 
    areas to assure that their upwind competitors that contributed to the 
    nonattainment problem would not reap the competitive advantages of 
    lighter control burdens. S. Rep. 95-127 (95th Cong. 1st Sess.) at 41-
    42.
        Further, evidence available to EPA indicates that in general, 
    sources in the one-hour nonattainment areas have incurred greater 
    control obligations than sources in the upwind areas.
    2. Cost Factor
        Summary: In the NPR, EPA proposed to follow the interpretation of 
    the significant contribution test set forth in the SIP Call Final Rule. 
    In particular, EPA proposed to use the cost of available controls in 
    upwind areas as a factor in the significant contribution test.
        In today's action, EPA has concluded that the proposed 
    determination of significant contribution is appropriate. Thus, after 
    determining the degree to which NOX emissions from named 
    source categories contribute to downwind nonattainment or maintenance 
    problems in the petitioning States, the Agency determined whether any 
    amounts of the NOX emissions from those source categories 
    may be eliminated through controls that are highly cost effective on a 
    cost-per-ton basis. EPA has concluded that the amount of NOX 
    emissions from named source categories that can be eliminated through 
    application of highly cost-effective control measures contributes 
    significantly to nonattainment or maintenance problems downwind for 
    purposes of sections 110(a)(2)(D) and 126.
        The EPA received many comments critical of the use of the 
    availability of cost-effective control measures in any way in the test 
    for determining significant contribution. These comments generally fell 
    into two categories. Commenters in the first category typically 
    asserted that the existence of a ``significant contribution'' to 
    nonattainment should be based merely on the quantitative amount of 
    ozone transported from sources in one State to another and that cost 
    should be irrelevant to the inquiry. These commenters argued that a 
    significant contribution should not be any less significant simply 
    because it is uneconomic to control, and that an insignificant 
    contribution should not become significant simply because it is 
    economical to control. Rather than an element of the significant 
    contribution analysis, the commenters suggested that the cost of 
    controls should only be relevant for purposes of selecting controls 
    once the Agency found that the amount of contribution in fact met some 
    bright line quantitative measurement for significance.
        By comparison, commenters in the second category argued that EPA 
    should not utilize the cost of controls as an element of the 
    significant contribution determination because it would unduly limit 
    relief from ozone transport from upwind sources. These commenters 
    suggested that by linking the determination of significant contribution 
    to the availability of highly cost-effective controls, upwind sources 
    could continue to emit NOX that has an adverse transport 
    impact simply because of the cost of emissions control, whereas the 
    finding of significant contribution should be based simply on the 
    actual amount of ozone transport in the downwind State without regard 
    to the cost of controls upwind.
        Response: EPA disagrees with the commenters' assertions that the 
    relative cost of controls has no place in the determination of 
    significant contribution. EPA believes that cost of controls in 
    general, and the consideration of the availability of highly cost-
    effective controls in particular, is an appropriate factor for 
    consideration in making the determination of significant contribution. 
    The EPA notes that the term ``significant contribution'' is not defined 
    in the statute and that neither the statute nor the legislative history 
    provides meaningful guidance for interpreting the term. As explained 
    elsewhere in this document, EPA contends that Congress modified the Act 
    in the 1990 Amendments to incorporate the concept of significant 
    contribution as applied by the Agency and the courts to provide a de 
    minimis exception for pollutant transport across State boundaries. EPA 
    had formerly interpreted section 110(a)(2)(E) of the 1977 Act to 
    include this concept because otherwise the Agency arguably had to 
    reject SIPs that allowed for any amount of cross-boundary transport, no 
    matter how minute. See, e.g., Connecticut v. EPA, 696 F.2d at 164.
        In prior determinations of significant contribution, whether in the 
    context of section 126 petitions or in partial SIP revisions, EPA has 
    generally utilized a multi-factor test to assess the presence or 
    absence of a significant contribution to nonattainment. See, e.g., 
    Proposed Determination Under Section 126 of the Clean Air Act 
    (Interstate Pollution Abatement), 49 FR 34851, 34859 (September 4, 
    1984). The determinations included consideration
    
    [[Page 28285]]
    
    of a variety of factors addressing issues similar to the issues 
    addressed by the factors in the significant contribution test utilized 
    by EPA for today's Section 126 determinations. EPA has previously 
    included the relative cost of controls as one consideration in the 
    determination of the existence of a significant contribution. Id., 
    (including as a factor ``the relative costs of pollution abatement 
    between source that contribute to a violation''). EPA has made these 
    determinations on a case by case basis and has stated that the 
    enumerated factors are not exclusive. See Final Determination Under 
    Section 126 of the Clean Air Act (Interstate Pollution Abatement), 49 
    FR 48152 , ________ (December 10, 1984) (``EPA enumerated a 
    nonexhaustive list of factors which the Administrator may take into 
    account in determining whether a contribution is significant'') . Given 
    the lack of a statutory definition of what emissions ``contribute 
    significantly to nonattainment,'' EPA believes that it has discretion 
    to decide what factors would best accomplish the statutory goal of 
    eliminating upwind emissions that comprise a significant contribution 
    to downwind nonattainment.
        Through modeling, EPA has determined that the sources covered by 
    this section 126 action significantly contribute to downwind ambient 
    concentrations of ozone in one or more petitioning States. Because of 
    the pervasive problem of ozone transport across a large geographic 
    area, many upwind sources covered by today's action may be the source 
    of ozone for several downwind States. It does not necessarily follow, 
    however, that EPA should force the sources to halt all emissions 
    activities to eliminate the contribution to downwind States. EPA 
    believes that a definition of significant contribution that required 
    the elimination of all emissions that contribute to downwind 
    nonattainment is not a practical or appropriate method to address the 
    complex overlapping transport problems posed by ozone. Therefore, EPA 
    must utilize a workable method to determine when a contribution is 
    significant for purposes of section 110(a)(2)(D).
        EPA has concluded that it is appropriate to utilize a multi-factor 
    approach to assess whether there is a significant contribution and to 
    take into account the availability of highly cost effective control 
    measures to the named sources as one factor in that analysis. EPA 
    believes that whether some amount of emissions is significant depends, 
    in part, upon the availability of highly cost-effective controls.
        In 1990 Congress amended section 110(a)(2)(D) to make clear that 
    contribution must be ``significant'', i.e., not de minimis, while 
    remaining silent on the criteria EPA should use to make a determination 
    of significant contribution. Especially in light of EPA's past practice 
    of using a multi-factor approach--including cost--to assess 
    contribution, Congress' action affirms that EPA retains discretion 
    under the CAA to consider factors other than air quality when making a 
    determination of significant contribution.
        The EPA's approach is consistent with case law concerning the CAA, 
    as well as other statutes. See Warren Corp. v. EPA, 159 F.3d 616, ____ 
    (D.C. Cir. 1998), amended on other grounds, 164 F.3d 676 (1999) 
    (deferring to EPA's interpretation that CAA section 211(k)(8) allows 
    EPA to consider economic factors as well as air quality in promulgating 
    gasoline anti-dumping provisions), citing NRDC v. EPA, 824 F.2d 1146, 
    1157 (D.C. Cir. 1987) (en banc) (interpreting CAA section 112 and 
    rejecting the view that ``as a matter of statutory interpretation, cost 
    and technological feasibility may never be considered under the Clean 
    Air Act unless Congress expressly so provides''); International 
    Brotherhood of Teamsters v. United States, 735 F.2d 1525, 1529 
    (D.C.Cir. 1984) (``In the absence of clear congressional direction to 
    the contrary, we will not deprive the agency of the power to fine-tune 
    its regulations to accommodate worthy nonsafety interests'' under a 
    statute focused on safety); Grand Canyon Air Tour Coalition v. FAA, 154 
    F.3d 455, 475 (D.C.Cir. 1998) (FAA properly considered effects of rule 
    on air tourism industry where statute did not forbid such consideration 
    and required not total but only ``substantial restoration of the 
    natural quiet.''). When Congress intends to exclude consideration of 
    all issues other than air quality concerns, it has used decidedly 
    different statutory language than appears in sections 126 and 
    110(a)(2)(D). See Lead Indus. Ass'n v. EPA, 647 F.2d 1130, 1148-50 
    (D.C.Cir. 1980) (Congress' directive to promulgate primary national 
    ambient air quality standards which ``allow [] an adequate margin of 
    safety * * * to protect the public health'' precluded consideration of 
    cost and technology factors). Where, as here, the statute is silent 
    regarding the factors EPA may or may not consider, it is generally 
    permissible for the Agency to consider other relevant factors or policy 
    objectives in carrying out the statutory goal, absent some indication 
    to the contrary in the statutory text, structure or history. NRDC v. 
    EPA, 824 F.2d at 1157, 1158; see also International Brotherhood, 735 
    F.2d at 1528-29.
        Some commenters point to a Supreme Court case, Union Electric v. 
    EPA, 427 U.S. 246 (1976) for the proposition that EPA may not include 
    costs considerations in the interpretation of ``significant 
    contribution.'' In Union Electric, the Supreme Court found that the 
    1970 version of section 110(a)(2) did not allow EPA to disapprove an 
    attainment sulfur dioxide (SO2) SIP on the ground that the SIP's 
    control measures for complying with the SO2 NAAQS would be so stringent 
    as to be technologically or economically infeasible. Id. at 265. The 
    Supreme Court made it clear that Congress left States free to choose 
    technology forcing measures to achieve attainment within what was then 
    a three-year deadline. Id. at 268-69. This holding is simply inapposite 
    to EPA's interpretation of ``significant contribution.'' With respect 
    to the separate question, whether EPA can take cost into account in 
    interpreting the minimum that State SIPs are required to include, the 
    Supreme Court expressly states that ``the Administrator may consider 
    whether it is economically or technologically possible for the state 
    plan to require more rapid progress than it does.'' Id. at 264, fn. 13. 
    This language from the case supports EPA's interpretation of 
    ``significant contribution'' rather than the views of commenters.
        Finally, EPA notes that the 1977 legislative history of the CAA 
    demonstrates that Congress was clearly concerned about the relative 
    cost of pollution control in upwind and downwind states when it added 
    section 126 to the CAA. The Senate Report accompanying the Clean Air 
    Act Amendments of 1977, which added section 126, offered the following 
    description of the purpose of the new section's addition:
        In the absence of interstate abatement procedures those plants 
    in States with more stringent control requirements are at a distinct 
    economic and competitive disadvantage. This new provision is 
    intended to equalize the positions of the States with respect to 
    interstate pollution by making a source at least as responsible for 
    polluting another State as it would be for polluting its own State.
    
    S. Rep. 95-127 (95th Cong. 1st Sess.) at 41-42. This legislative 
    history evinces Congressional concern about economic equity and 
    supports EPA's consideration of cost-effectiveness as a factor in 
    determining significant contribution.
    
    [[Page 28286]]
    
    C. EPA's Interpretation of Section 126: 8-Hour NAAQS Summary
    
        In the NPR, EPA proposed to make a finding that certain sources and 
    categories of sources identified in the Sec. 126 petitions 
    significantly contribute to attainment in, or interfere with 
    maintenance by, one or more of the petitioning States. EPA proposed to 
    make this finding based upon evidence that upwind sources contribute 
    significantly to violations of the ozone NAAQS under both the pre-
    existing 1-hour standard and the new 8-hour standard which EPA recently 
    promulgated. EPA's proposed approach was consistent with that of the 
    NOX SIP Call in which the Agency concluded that 22 States 
    and the District of Columbia must submit State Implementation Plan 
    (``SIP'') revisions to prohibit specified amounts of NOX 
    emissions in order to reduce NOX and ozone transport across 
    State boundaries in the eastern half of the United States. See, 
    ``Finding of Significant Contribution and Rulemaking for Certain States 
    in the Ozone Transport Assessment Group Region for Purposes of Reducing 
    Regional Transport of Ozone; Rule,'' 63 FR 57356 (Oct. 27, 1998). In 
    the latter action, EPA extensively discussed the Agency's authority and 
    rationale for finding that violations of the 8-hour ozone standard are 
    appropriate for consideration in the assessment of interstate transport 
    of ozone in violation of CAA section 110(a)(2)(D). Id., 63 FR at 57370-
    57374. In the NPR for today's action, EPA also proposed to make the 
    finding of significant contribution for purposes of Sec. 126 based, in 
    part, upon violation of the 8-hour standard in full recognition that 
    the Agency has not yet formally designated any areas as nonattainment 
    under the 8-hour standard.
        EPA received numerous comments on this issue, either directly or 
    through cross references to earlier comments on the NOX SIP 
    Call. Those commenters critical of EPA's use of the 8-hour standard 
    raised four specific arguments: (i) that EPA cannot base the finding of 
    significant contribution on violations under the 8-hour standard before 
    the Agency has designated any areas as nonattainment under such 
    standard; (ii) that EPA cannot use modeling to establish nonattainment 
    of the 8-hour standard as a basis for the finding of significant 
    contribution; (iii) that EPA cannot base the finding of significant 
    contribution on the 8-hour standard now and must wait until after 
    completion of SIPs to implement that standard under CAA section 172; 
    and (iv) that EPA's reliance upon violations of the 8-hour standard for 
    purposes of the NOX Sip Call or this finding under section 
    126 is inconsistent with President Clinton's stated implementation plan 
    for that standard.
        Response: Although EPA has previously replied to these comments in 
    connection with the NOX SIP Call as noted above, it wishes 
    to reiterate and expand upon those responses here.
        (a) Use of the 8-hour standard before designation of nonattainment 
    areas for that standard. The commenters noted that EPA will not 
    formally designate nonattainment areas for the 8-hour ozone standard 
    until the year 2000. The commenters argued that until such formal 
    designation, EPA cannot make any determination concerning significant 
    contribution of a pollutant from a State to any such future 
    nonattainment area in another State. According to the commenters, until 
    EPA designates areas for nonattainment under the 8-hour standard, the 
    Agency has no authority either to require SIP submissions under section 
    110(a)(1) or to make findings of significant contribution under 
    Sec. 126 with respect to the 8-hour standard. The heart of the 
    commenters' argument is that Sec. 110 may empower EPA to rectify 
    interstate pollutant transport, but that EPA must read the term 
    ``area'' into section 110(a)(2)(D)(i)(I) so that EPA has no authority 
    to do so absent formally designated nonattainment areas. As further 
    evidence of their position, the commenters alleged that the new source 
    review requirements and other ozone nonattainment provisions of the 
    1990 CAA apply only to areas designated as nonattainment.
        EPA disagrees that it must have designated 8-hour standard 
    nonattainment areas prior to taking today's action under section 
    126(b). First, section 110(a)(2)(D)(i)(I) provides, inter alia, that a 
    SIP must prohibit emissions that ``contribute significantly to 
    nonattainment in * * * any other State.'' The provision does not, by 
    its terms, indicate that this downwind ``nonattainment'' must already 
    be formally designated under section 107 as a nonattainment ``area.'' 
    Because the provision does not include the term ``area'' in conjunction 
    with the term ``nonattainment,'' EPA believes that the express terms of 
    the statute do not support the claim of the commenters. Similarly, 
    section 126 as a whole also makes no reference to nonattainment 
    ``areas'' and instead pointedly refers only to air pollution which can 
    contribute to violation of the relevant NAAQS. In section 126(a)(1)(B), 
    the provision states, inter alia, that States must provide notice of 
    new or modified sources ``which may significantly contribute to levels 
    of air pollution in excess of the [NAAQS] in any air quality control 
    region outside of the State'' (emphasis added). Likewise, section 
    126(c) contains no restrictions upon violations or remedies based upon 
    the existence of nonattainment areas. Most importantly for today's 
    action, section 126(b) provides that any State may petition EPA for a 
    finding that sources in another State are making a significant 
    contribution, but does not tie that finding to the existence of a 
    formally designated ``nonattainment area'' in the petitioning State.
        EPA contends that it would be unreasonable to read into section 126 
    a requirement that States must wait until formal designation of 
    nonattainment areas before they may petition the Agency for relief or 
    before the EPA may take action to alleviate transport. Such an approach 
    would permit upwind States to inundate downwind States with emissions 
    for extended periods of time before downwind States could seek relief. 
    Given that section 126(a) clearly contemplates advance notice of 
    construction or modification of sources before they begin to contribute 
    to downwind levels of air pollution, regardless of whether the downwind 
    area is designated nonattainment or not, EPA believes that Congress did 
    not intend to preclude States from seeking recourse through section 
    126(b) prior to official designation of nonattainment status. As 
    explained elsewhere, EPA contends that the statutory reference in 
    section 126(b) should read ``Sec. 110(a)(2)(D)(i),'' thereby 
    establishing that Congress intended that States have the right to 
    petition for a finding that sources in a State contribute significantly 
    to nonattainment in, or interfere with maintenance by, another State.
        By contrast, EPA notes that other provisions of the CAA do 
    explicitly employ the term ``area'' in conjunction with the term 
    ``nonattainment,'' and that these provisions clearly refer to areas 
    designated as nonattainment. See, e.g., sections 107(d)(1)(A)(i), 
    181(b)(2)(A), 211(k)(10)(D). Similarly, the provisions to which the 
    commenters appeared to refer, section 172(b) and section 172(c)(5)(new 
    source review) and section 181(a)(1) and section 182 (classified ozone 
    nonattainment area requirements), by their terms apply to a designated 
    nonattainment ``area.'' EPA finds it unremarkable that provisions which 
    explicitly impose requirements on nonattainment areas apply to 
    nonattainment ``areas.'' Rather than supporting the commenters' claim, 
    EPA believes that the difference between the
    
    [[Page 28287]]
    
    explicit wording of the provisions illustrates the distinction Congress 
    intended in the statute. The sections at issue, section 110(a)(2)(D) 
    and section 126, do not make reference to nonattainment ``areas,'' but 
    rather to ``nonattainment'' or to levels of air pollution in excess of 
    the NAAQS.
        As further evidence of the distinction in the provisions, EPA notes 
    that section 176A(a) authorizes EPA to establish a transport region 
    whenever ``the Administrator has reason to believe that the interstate 
    transport of air pollutants from one or more States contributes 
    significantly to a violation of a [NAAQS] in one or more other 
    States.'' This reference to ``a violation of a [NAAQS]'' makes clear 
    that EPA is authorized to form a transport region when an upwind State 
    contributes significantly to downwind area with nonattainment air 
    quality, regardless of whether the downwind area is designated 
    nonattainment. EPA also notes that the remedy under section 176A is a 
    SIP call under section 110(a)(2)(D), thereby shedding light on the 
    meaning of section 110(a)(2)(D) and confirming that the Agency may use 
    that provision as a tool to alleviate interstate transport. The EPA 
    believes that section 110(a)(2)(D) and section 126 should be read the 
    same way because of the parallels between those provisions and section 
    176A(a). All of the provisions address transport and all are triggered 
    when emissions from an upwind area ``contribute significantly'' to air 
    pollutants downwind. EPA believes that it is appropriate in light of 
    these related provisions to apply a consistent approach to interpreting 
    and implementing the provisions. Thus, EPA contends that the term 
    ``nonattainment'' in section 110(a)(2)(D) is synonymous with ``a 
    violation of the [NAAQS]'' in section 176A. Section 126(b), in EPA's 
    opinion, refers to section 110(a)(2)(D)(i), thereby incorporating that 
    standard by reference. None of the three provisions at issue here make 
    reference to nonattainment ``areas,'' and EPA believes that this common 
    fact is significant.
        EPA also notes that the CAA contains other provisions that refer to 
    the actual air quality status of a particular area rather than to the 
    area's formally designated status. These provisions include: (i) 
    sections 172(c) and 171(1), the reasonable further progress 
    requirements which require nonattainment SIPs to provide for ``such 
    annual incremental reductions in emissions * * * as * * * may * * * be 
    required * * * for the purpose of ensuring attainment of the [NAAQS]; 
    and (ii) section 182(c)(2), the attainment demonstration requirement, 
    which mandates a ``demonstration that the [SIP] * * * will provide for 
    attainment of the [NAAQS].'' These provisions refer to air quality 
    status rather than to the designated status of the area in question. In 
    a series of notices in the Federal Register, EPA has relied on these 
    references to air quality status, rather than designated status, in 
    determining that areas seeking to redesignate from nonattainment to 
    attainment did not need to complete Rate Of Progress SIPs or attainment 
    demonstrations, even though those requirements generally apply to areas 
    designated as nonattainment. EPA took these actions because the air 
    quality for those areas seeking redesignation was, in fact, in 
    attainment notwithstanding their formal designation as nonattainment 
    areas. See ``State Implementation Plans: General Preamble for the 
    Implementation of Title I of the Clean Air Act Amendments of 1990; 
    Proposed Rule,'' 57 FR 13498, 13564 (April 16, 1992); ``Determination 
    of Attainment of Ozone Standard for Salt Lake and Davis Counties, Utah, 
    and Determination Regarding Applicability of Certain Reasonable Further 
    Progress and Attainment Demonstration Requirements; Direct Final Rule,: 
    60 FR 30189, 30190 (June 8, 1995); and ``Determination of Attainment of 
    Ozone Standard for Salt Lake and Davis Counties, Utah, and 
    Determination Regarding Applicability of Certain Reasonable Further 
    Progress and Attainment Demonstration Requirements; Final Rule,'' 60 FR 
    36723, 36724 (July 18, 1995). The EPA's interpretation was upheld by 
    the Court of Appeals for the 10th Circuit in Sierra Club v. EPA, 99 
    F.3d 1551, 1557 (10th Cir. 1996).
        EPA has concluded that it may take today's action before formal 
    designation of nonattainment areas under the 8-hour standard. EPA 
    believes that it is clear that the reference in section 
    110(a)(2)(D)(i)(I) to ``nonattainment'' refers to actual air quality, 
    not the formal designation status of an area. EPA believes that it is 
    also clear that section 126(b) is tied to actual air quality rather 
    than to designation status. The explicit terms of section 110(a)(2) and 
    section 126 do not refer to nonattainment ``areas.'' Such a reading 
    would not be reasonable in light of the purpose of the provisions to 
    halt emissions of pollutants which significantly contribute to 
    nonattainment or maintenance of attainment in other States. 
    Accordingly, EPA believes that this issue is controlled by the clear 
    terms of the statute and is resolvable under the first step of Chevron. 
    If, however, the provisions were ambiguous on this point, then EPA 
    believes that, under the second step in the Chevron analysis, a court 
    should give EPA deference for its reasonable interpretation. EPA 
    contends that interpreting ``nonattainment'' to refer to air quality is 
    reasonable for the reasons described above. Additional arguments based 
    upon the structure of the Act are detailed in EPA's action on the 
    NOX SIP Call. See, 63 FR 57356, 57372.
        (b) Use of modeling to support a finding of significant 
    contribution to nonattainment of the 8-hour standard. The commenters 
    also argued that EPA cannot use ``modeled nonattainment areas'' for 
    purposes of section 126 to determine whether the emissions of sources 
    in one State contribute significantly to nonattainment of the 8-hour 
    ozone standard in another State. By the commenters' reasoning, EPA must 
    first define such nonattainment areas in accordance with the applicable 
    regulations for determining violations of the ozone standard. Thus, the 
    commenters argued that EPA can only make the determination of 
    significant contribution to nonattainment of the 8-hour standard in 
    accordance with monitoring requirements of 40 CFR 50.10. In particular, 
    the commenters objected to EPA using modeled nonattainment areas in 
    advance of developing a procedure for States to perform attainment 
    demonstration modeling for the new 8-hour standard.
        EPA disagrees with the commenters on the appropriateness of using 
    modeling to establish nonattainment. First, EPA disagrees that it may 
    not generally use modeling to assess the likelihood of a future 
    significant contribution to nonattainment or interference with 
    maintenance as contemplated by section 126. The provision does not 
    direct the Agency as to the particular method it must use to make the 
    finding. Historically, however, EPA has used modeling to determine the 
    presence or absence of such an impact. See, e.g., Air Pollution Control 
    District of Jefferson County, 739 F.2d at 1077-79 (Agency reliance on 
    modeling); New York v. EPA, 852 F.2d at 580 (Agency criticism of 
    insufficient modeling). Moreover, EPA notes that section 126 implicitly 
    contemplates that EPA may use modeling to assess significant 
    contribution. In particular, section 126(b) provides that any State may 
    petition for a finding that any source or group of sources ``emits or 
    would emit'' in violation of section 110. This construction indicates 
    that EPA may determine whether sources would
    
    [[Page 28288]]
    
    violate the provision now or in the future, thereby requiring that the 
    Agency would have to model to determine whether there would be a future 
    significant contribution to nonattainment or interference with 
    maintenance in the petitioning State. This anticipation of prospective 
    significant contribution is likewise implicit in section 126(a) which 
    provides for notice in advance of construction of major new sources or 
    the modification of existing sources that would have the same effect. 
    Thus, section 126 not only does not preclude EPA from modeling to make 
    a finding, it logically requires it in the case of petitions alleging 
    future significant contributions to nonattainment or interference with 
    maintenance. To interpret section 126 to forbid the use of modeling to 
    predict future air quality conditions would be inconsistent with the 
    statute and absurd.
        Second, EPA notes that the commenters appear to misunderstand how 
    the Agency did use both monitoring data and modeling to project whether 
    areas will be in nonattainment of the 8-hour standard in the future for 
    purposes of this action. EPA did obtain monitoring data which 
    demonstrated that many areas in the petitioning States are currently 
    violating the 8-hour standard At the outset of the process, EPA thus 
    relied on actual monitored data of the type desired by the commenters. 
    As described in more detail in the NPR, EPA then utilized modeling to 
    determine which areas currently violating the 8-hour standard would be 
    likely to continue to violate the 8-hour standard in 2007, factoring in 
    expected ozone reductions and concomitant air quality improvements from 
    Federal and State control measures. Significantly, EPA used modeling 
    not to add areas to the list of nonattainment areas, but rather to 
    subtract from the list of areas already shown through monitoring data 
    to be in violation of the 8-hour standard at this time. EPA believes 
    that this conservative approach is a reasonable means to anticipate 
    which areas will continue to be in nonattainment of the 8-hour standard 
    unless sources in upwind States undertake additional control measures. 
    By contrast, the commenters imply that EPA cannot possibly determine 
    which areas will be in nonattainment in a future year unless EPA waits 
    until that year for actual monitored data showing that nonattainment. 
    Such an approach would be inconsistent with the provisions of section 
    126 as discussed above, and would be illogical because it would 
    preclude EPA from encouraging upwind States to obtain emission 
    reductions that the Agency can now reasonably identify through modeling 
    as necessary for downwind States to achieve attainment of the 8-hour 
    standard as expeditiously as practicable.
        (c) Finding of significant contribution to nonattainment under the 
    8-hour standard before submissions of SIPs in accordance with section 
    172. The commenters also argued that EPA cannot make a finding under 
    section 126(b) using the 8-hour ozone standard because of timing 
    issues. In the NOX SIP Call, EPA concluded that States must 
    submit SIPs for the new 8-hour standard in accordance with the schedule 
    in section 110(a)(1), i.e., within three years after promulgation of a 
    new or revised NAAQS. The commenters claimed that such a timetable is 
    unauthorized under the CAA and that EPA must follow the schedule set 
    forth in section 172(b), which provides that SIPs required to satisfy 
    nonattainment areas are due three years after the designation of an 
    area as nonattainment pursuant to section 107(d). Because EPA has 
    stated that it intends to complete the designation process for 
    nonattainment areas under the 8-hour standard in 2000, the commenters 
    reason that SIPs to address that nonattainment would not be due until 
    2003. Following that reasoning, the commenters argued that because of 
    the schedule set forth in section 172(b), EPA cannot now use violations 
    of the 8-hour standard in connection with petitions under section 126.
        For the reasons detailed in the NOX SIP Call, EPA 
    disagrees with the contentions of the commenters concerning the timing 
    of the NOX SIP Call and SIPs to implement the 8-hour 
    standard. See, 63 FR 57356, 57372-57374. With respect to today's action 
    under section 126(b), EPA reiterates that sections 110(a)(1) and (2) 
    authorize the Agency to require SIP revisions to address SIP 
    requirements in section 110(a)(2)(D) on the schedule set forth in the 
    NOX SIP Call.
        EPA also notes that section 126 itself contains no reference to 
    section 172 as a timeline for requiring SIP revisions or implementation 
    of necessary emission reduction requirements as a result of a finding 
    under section 126(b). In fact, section 126(c) specifically stipulates 
    that existing sources may not continue to operate longer than three 
    months after a section 126(b) finding unless the source ``complies with 
    such emission limitations and compliance schedules * * * as may be 
    provided by the Administrator.'' If EPA extends the compliance period, 
    section 126(c) provides that the source must comply ``as expeditiously 
    as practicable, but in no event longer than three years after such 
    compliance.'' EPA believes that the explicit provisions of section 126 
    refute the commenters' implication that the Agency cannot take action 
    under section 126(b) until after the designation of nonattainment areas 
    and submission of SIPs for the 8-hour standard and the ultimate 
    potential compliance date, i.e., potentially as much as ten years after 
    designation. Having established that sources in upwind jurisdictions 
    will significantly contribute to ozone nonattainment or interfere with 
    maintenance in the petitioning States, EPA has authority to take action 
    and to require compliance in the time frame that the Agency believes 
    will allow attainment as expeditiously as practicable.
        Although the commenters claimed that it is absurd to grant the 
    section 126 petitions now because this action will require upwind 
    emission reductions prior to forcing downwind areas to implement all 
    statutorily required or necessary controls, EPA disagrees. As explained 
    in connection with the NOX SIP Call, downwind nonattainment 
    areas have historically borne the brunt of controls designed to reduce 
    ozone and ozone precursors for many years. In spite of these efforts, 
    many areas have had difficulty meeting the 1-hour ozone standard 
    because of the influx of ozone and ozone precursors from upwind 
    jurisdictions. Under the new 8-hour standard, monitoring data indicate 
    that more and larger areas will potentially be in nonattainment. EPA 
    therefore believes that it is even more important to implement regional 
    control strategies to mitigate interstate pollution in order to assist 
    downwind areas in achieving attainment. As such, the granting of the 
    section 126 petitions is not an effort ``to enforce the 8-hour 
    standard'' prematurely as alleged by the commenters, but rather the 
    exercise of appropriate authority to begin to alleviate emissions that 
    are already contributing to ambient air conditions which exceed that 
    standard. This action will help meet the statutory objective of 
    achieving attainment as expeditiously as practicable.
        (d) Finding of significant contribution under the 8-hour standard 
    in light of President Clinton's implementation plan for the standard. 
    Commenters also claimed that EPA's use of the 8-hour ozone standard for 
    purposes of the proposed section 126 finding was inconsistent with 
    President Clinton's Memorandum of July 16, 1997, entitled 
    ``Implementation of Revised Air Quality Standards for Ozone and 
    Particulate
    
    [[Page 28289]]
    
    Matter'' (the ``Implementation Memo''). See, 62 FR 38421 (July 18, 
    1997). That document accompanied EPA's promulgation of the new 8-hour 
    NAAQS for ozone. The commenters noted that the Implementation Memo made 
    explicit reference to the statutory timeline for implementation of the 
    new 8-hour standard and indicated that there would be up to three years 
    to designate nonattainment areas under the new 8-hour standard, up to 
    three more years to develop SIPs for the new 8-hour standard, and up to 
    a total of ten years from designation to comply with the new 8-hour 
    standard. The commenters implied that the presence of the ``general 
    timeline'' in the Implementation Memo precludes EPA from making a 
    finding of significant contribution under section 126 using the 8-hour 
    standard at this time.
        EPA disagrees that today's finding is inconsistent with the 
    Implementation Memo. EPA believes that the commenters have overlooked 
    key passages of the Implementation Memo which make clear that the 
    Agency is to take action to alleviate regional transport of ozone and 
    ozone precursors immediately, rather than to wait until formal 
    designation of nonattainment areas under the 8-hour standard.
        Contrary to the commenters' implications, the Implementation Memo 
    does not state that EPA is to do nothing to implement the 8-hour ozone 
    standard until after designation of nonattainment areas and submission 
    of SIPs. The document explicitly discussed the need for a regional 
    strategy to address ozone nonattainment and the investigation of 
    strategy options by the Ozone Transport Assessment Group (OTAG) to 
    alleviate interstate transport of ozone. See, 62 FR at 38425. In 
    particular, the Implementation Memo stated ``that EPA will propose a 
    rule requiring States in the OTAG region that are significantly 
    contributing to nonattainment or interfering with maintenance of 
    attainment in downwind States to submit SIPs to reduce their interstate 
    pollution.'' Id. This was a clear reference to the NOX SIP 
    Call. The Implementation Memo promised issuance of the NOX 
    SIP Call final rule in September of 1998, well in advance of 
    designation of nonattainment areas for the 8-hour standard. 
    Significantly, the Implementation Memo did not indicate that EPA would 
    restrict the NOX SIP Call to nonattainment areas under the 
    old 1-hour standard. To the contrary, the document stated, inter alia, 
    that : ``Most important, based on the EPA's review of the latest 
    modeling, a regional approach, coupled with implementation of already 
    existing State and Federal Clean Air Act requirements, will allow the 
    vast majority of areas that currently meet the 1-hour standard but 
    would not otherwise meet the new 8-hour standard to achieve healthful 
    air without additional local controls.'' Id. In other words, the 
    Implementation Memo contemplated that control measures under the 
    NOX SIP Call would help alleviate nonattainment of the 8-
    hour standard. Rather than suggesting that EPA is to defer any action 
    to ensure reductions in emissions that contribute to regional ozone 
    transport to achieve the 8-hour standard, the Implementation Memo 
    clearly contemplated that EPA should and would take appropriate action 
    in advance of designations.
        Similarly, with regard to the ``transitional classification,'' the 
    Implementation Memo provided that: ``Because many areas will need 
    little or no additional new local emission reductions to reach 
    attainment, beyond those reductions that will be achieved through the 
    regional control strategy, and will come into attainment earlier than 
    otherwise required, the EPA will exercise its discretion under the law 
    to eliminate unnecessary local planning requirements for such areas.'' 
    Id. The referenced ``regional control strategy'' is the NOX 
    SIP Call. Again, the Implementation Memo not only does not direct 
    inaction on the 8-hour standard, it specifically presumes that EPA will 
    take action on a regional basis to mitigate ozone transport without 
    regard to whether or not it has formally designated areas as 
    nonattainment for the 8-hour standard.
        In short, EPA believes that the Implementation Memo reflected the 
    intention that EPA is to take appropriate advance action to ensure 
    future compliance with the 8-hour standard, and that such action should 
    specifically include a regional strategy to reduce ozone and ozone 
    precursors such as NOX. It is not reasonable to assume that 
    EPA must wait up to three years for formal designation of nonattainment 
    areas, much less the additional three years for development of 
    nonattainment SIPs or up to twelve years for full compliance, before it 
    may take appropriate action to address interstate transport under 
    section 110(a)(2)(D)(i), whether in the form of the NOX SIP 
    Call, as specifically contemplated in the Implementation Memo, or 
    otherwise under section 126. At the time of the Implementation Memo, 
    EPA had not yet proposed to take action on the section 126 petitions 
    and thus the absence of references to those petitions is not 
    significant. Like the NOX SIP Call, EPA's action under 
    section 126 is based upon a finding of significant contribution by 
    sources in upwind States. Like the NOX SIP Call, EPA's 
    action on the section 126 petitions is premised on the need to achieve 
    regional reductions in ozone and ozone precursors in order to enable 
    all States to achieve the 8-hour standard expeditiously. EPA's finding 
    under section 126 is consistent with the Implementation Memo.
    
    D. EPA's Interpretation of Section 126: Remedy
    
        In the NPR, EPA proposed a set of controls that would apply if any 
    of the petitions were granted. The EPA further proposed the maximum of 
    the 3 years allowed by the statute from the date of the final approval 
    of a section 126 petition to the date that the affected upwind sources 
    must implement controls that EPA may promulgate. The EPA further 
    proposed that if the petitions were granted during the fall of 1999, 
    EPA would grant a maximum of 3 years from the beginning of the next 
    ozone season. The EPA received numerous comments on this aspect of the 
    rulemaking.
    1. Three-Year Period
        Some commenters sought a longer-than-3-year period, but EPA 
    continues to believe that the section 126(c) provisions that establish 
    this period should be interpreted as establishing a ceiling of no more 
    than 3 years for implementation.
    2. Uniform Level of Controls
    a. Comments
        Commenters argued that EPA has not justified uniform control levels 
    on upwind sources in light of the varying impacts among the different 
    upwind sources and the downwind receptors. These commenters stressed 
    that in general, the greatest part of a downwind area's nonattainment 
    problem results from emissions local to the downwind area; that the 
    next greatest part of the problem results from emissions in adjoining 
    States; and that emissions from further upwind States are a relatively 
    small part of the problem. According to these commenters, it would be 
    more cost-effective in terms of ambient impact to focus more controls 
    on sources in the local and adjoining areas.
        The commenters further stated that the fact that the section 126 
    petitions present fewer downwind receptors (compared to the 
    NOX SIP call) that are concentrated in the northeast renders 
    the uniform remedy particularly suspect. Commenters added that EPA 
    concerns about the difficulty of establishing a remedy with state-by-
    state
    
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    variations was not a valid reason if state-by-state variations were 
    otherwise justifiable.
    b. Response
        The EPA's response to these comments is similar to EPA's response 
    to comments that EPA should establish a bright-line approach for 
    determining significant contribution. That is, EPA believes its uniform 
    approach to the remedy is reasonable, regardless of whether other 
    approaches would also be considered reasonable.
        Moreover, EPA's approach to the remedy stems directly from its 
    interpretation of the significant contribution test. EPA's 
    interpretation incorporates the application of cost-effective controls 
    to determine the amount of emissions considered to contribute 
    significantly. This application is, by its terms, uniform among all 
    upwind sources.
        EPA believes that this approach to the significant contribution 
    determination, and thus to the remedy, is reasonable. As noted above, 
    sections 126(b)/110(a)(2)(D)(i)(I) do not include criteria for defining 
    and applying the significant contribution test. In addition, section 
    126(c) does not include criteria for determining the level of controls 
    that EPA is authorized to promulgate (except for the general 
    requirement that the controls must be designed to ``bring about 
    compliance with the requirements contained in'' section 
    110(a)(2)(D)[(i)] as expeditiously as practical, but in no case later 
    than three years after the date of such finding).
        In particular, Congress did not provide any requirement that local 
    sources or adjoining sources are obligated to implement reductions 
    sooner, or to a greater degree, than sources further away. Congress has 
    included comparable provisions under other requirements. For example, 
    the Clean Air Act Amendments of 1990 included section 182, which 
    established a five-step set of graduated controls on ozone 
    nonattainment areas. The level of control requirements for 
    nonattainment areas increase with the severity of their nonattainment 
    problem. At the lower and upper boundaries of this scheme, areas with 
    ``marginal'' problems are required to implement a lighter level of 
    controls, section 182(a); and areas with ``extreme'' problems are 
    required to implement a much higher level of controls, section 182(e). 
    By comparison, in sections 126/110(a)(2)(D), Congress did not indicate 
    more stringent sets of controls on upwind areas that immediately adjoin 
    downwind states with nonattainment problems, and a lower level of 
    controls on the further upwind areas.
        As an additional example, section 211(c)(4)(C) provides the test 
    for granting a waiver of Federal preemption for State fuel controls. 
    Under this test, EPA may approve the state fuel controls only after 
    finding that ``no other measures that would bring about timely 
    attainment exist, or if other measures exist and are technically 
    possible to implement, but are unreasonable or impracticable.'' This 
    provision illustrates that Congress knew how to require that control 
    schemes be prioritized, and Congress chose not to include such a 
    requirement in sections 126/110(a)(2)(D)(i)(I).
        As noted above, under these circumstances, EPA believes that it has 
    discretion under Chevron to develop a reasonable interpretation that 
    gives effect to the statutory purposes of ameliorating air pollution 
    transport.
        For the reasons described above, EPA believes it has a valid basis 
    for establishing controls that are highly cost-effective on section 126 
    sources in States whose overall NOX emissions contribute 
    significantly to nonattainment downwind. As noted above, this approach 
    is fully consistent with the approach Congress and EPA have taken in 
    many other instances in which controls have been imposed on other 
    sources. The EPA's approach results in controls on sources whose 
    emissions have a meaningful impact on nonattainment downwind, in light 
    of the collective contribution nature of ozone nonattainment problems.
        In addition, as noted above, imposing a lower--or even a zero--
    level of controls on sources that are further away, yet still emit into 
    the same air basin as the more highly controlled sources, would give 
    the lesser controlled sources a competitive advantage. This competitive 
    advantage runs contrary to one of the purposes of section 126, as 
    expressed by the legislative history, described above, of eliminating 
    the competitive advantages enjoyed by upwind sources at the expense of 
    downwind sources.
        Further, for the NOX SIP call rulemaking, EPA conducted 
    air quality modeling that assumed lower levels of controls on sources 
    in certain upwind States. The results of this modeling generally 
    indicated that lower levels of controls in the further-away upwind 
    States resulted in fewer ozone reductions in the northeast 
    nonattainment areas, compared to a uniform, higher level of control. 
    See Air Quality Modeling Technical Support Document for the 
    NOX SIP call, Docket A-96-56, No. VI-B-11, p. 69.
        The EPA believes that the above-described reasons fully justify its 
    decision to adopt, as the remedy, a uniform set of highly cost-
    effective controls. As additional reasons, EPA notes that a non-uniform 
    remedy would create substantial administrative complexities, as 
    described in the NOX SIP call rulemaking. In addition, in 
    the NOX SIP call NFR, EPA determined that emissions in each 
    upwind state--including the section 126 sources in those states--
    generally contribute to several downwind nonattainment problems under 
    the 1-hour NAAQS, and numerous downwind nonattainment problems under 
    the 8-hour NAAQS. For some of these downwind nonattainment problems, 
    the downwind states have submitted a section 126 petition for which EPA 
    is today granting an affirmative technical determination; for others, 
    the downwind State has recently submitted a section 126 petition; and 
    for others, the downwind States have not submitted a section 126 
    petition. Regardless, EPA believes that in determining whether a 
    contribution is significant, including assessing the cost-effectiveness 
    of the upwind controls, it is reasonable to recognize that in general, 
    those controls will result in benefits throughout several downwind 
    areas under the one-hour NAAQS, and numerous downwind areas under the 
    eight-hour NAAQS. This issue is further discussed in the NOX 
    SIP Call final rule, 63 FR 57404-57405. As a result, EPA believes that 
    the controls for each upwind State should be considered as providing 
    benefits for at least several, and in some cases many, downwind areas. 
    As a qualitative matter, the fact that the controls provide benefits in 
    numerous downwind areas significantly improves the efficacy of the 
    controls.
    
    E. Obligations of Downwind States
    
    1. Comments
        Numerous commenters representing the interests of upwind sources 
    and States stressed that in many cases, the petitioning States have not 
    completed all of the SIP requirements to which they are subject under 
    the CAA Amendments of 1990. These commenters argued that the section 
    126 petitions should be denied on this basis.
    2. Response
        The EPA disagrees that incomplete SIPs would preclude EPA from 
    issuing findings requested by the section 126 petitioners concerning 
    upwind sources.
        The EPA responded at length to comparable comments in the 
    NOX SIP call final rule, 63 FR 57380, and EPA incorporates 
    those responses into
    
    [[Page 28291]]
    
    today's action. In addition, EPA has included in the rulemaking docket 
    for today's action a set of tables identifying the SIP submittal 
    requirements applicable to various downwind nonattainment areas under 
    the 1990 CAA Amendments, and summarizing the progress made by the 
    downwind states in completing their requirements. Although the downwind 
    States have not yet complied with some SIP submittal requirements, they 
    have complied with the vast majority of those requirements.
        In addition, neither section 126(b)-(c) nor section 110(a)(2)(D) 
    contains any requirements that the section 126 petitioners or other 
    downwind states complete their SIP requirements before they become 
    entitled to the section 126/110(a)(2)(D) protections. By comparison, in 
    other CAA provisions, Congress required compliance with SIP 
    requirements before a State with a nonattainment area would be eligible 
    for certain benefits. See section 107(d)(3)(E)(ii) and (v) 
    (nonattainment area may be redesignated to attainment only if, among 
    other things, SIP has been approved and State has met applicable 
    requirements); section 181(a)(5)(A) (nonattainment area may receive an 
    extension of attainment date if, among other things, State has complied 
    with all SIP requirements). Congress did not establish such strictures 
    with respect to the downwind State under sections 126(b)-(c) or 
    110(a)(2)(D)(i)(I).
        In addition, as EPA pointed out in the NOX SIP call 
    final rule, 63 FR 57380, air quality modeling shows that even if the 
    downwind states were to comply fully with all of the specifically 
    required CAA controls, they would continue to experience nonattainment 
    problems to which emissions from sources in the upwind States are 
    contributing.
    
    F. Effect of 1-Hour Attainment
    
        In the section 126 NPR, EPA proposed which upwind States contain 
    sources of emissions named in the petitions that contribute 
    significantly to nonattainment problems in the petitioning States under 
    the 1-hour ozone standard, and where petitions were based on it, the 8-
    hour ozone standard that EPA promulgated to replace the 1-hour ozone 
    standard. These linked upwind States, which are identified in Tables 
    II-1 and II-2 in the section 126 NPR (63 FR 56303), were based on 
    determinations made in the NOX SIP call. After the 
    publication of the section 126 NPR, two additional states, Maine and 
    New Hampshire, submitted petitions under the 8-hour ozone standard. EPA 
    published a supplemental proposal regarding those petitions on March 3, 
    1999 (64 FR 10342).
        After publication of the section 126 NPR on October 21, 1998, EPA 
    preliminarily determined that the air quality data for 1996-1998 for 
    certain areas in the petitioning states indicated that those areas--
    which were still violating the 8-hour ozone standard--were no longer in 
    violation of the 1-hour ozone standard. These areas were: Boston-
    Lawrence-Worcester, Massachusetts-New Hampshire; Portland, Maine; 
    Portsmouth-Dover-Rochester, New Hampshire; and Providence, Rhode Island 
    (63 FR 69598, December 17, 1998).25 In addition, EPA 
    believes that the 1996-98 air quality data for Pittsburgh, 
    Pennsylvania, indicates that Pittsburgh has attained the 1-hour ozone 
    standard. If EPA reaches a final determination that these areas have 
    attained the 1-hour standard, EPA will conclude that the 1-hour 
    standard will no longer apply anywhere in Maine, New Hampshire, and 
    Rhode Island. The 1-hour standard will still apply to certain areas in 
    Massachusetts and Pennsylvania. Moreover, all of these areas currently 
    violate the new 8-hour standard that EPA promulgated to replace the 1-
    hour standard.
    ---------------------------------------------------------------------------
    
        \25\ Based on these data, EPA published a notice of proposed 
    rulemaking on December 17, 1998 (63 FR 69598), in which the Agency 
    proposed to determine that the 1-hour standard had been achieved in 
    these areas and would no longer apply to those areas.
    ---------------------------------------------------------------------------
    
        Because EPA has preliminarily determined that these areas no longer 
    have air quality in violation of the 1-hour standard, EPA believes it 
    would not be appropriate for EPA to consider them as downwind receptor 
    areas for purposes of determining whether upwind areas are 
    significantly contributing to 1-hour nonattainment in these areas. 
    While EPA has not yet made a final determination that these areas are 
    attaining the 1-hour standard, EPA believes that, in light of the air 
    quality monitoring data for 1996-98 for these areas, it is prudent to 
    delete them as receptor areas for purposes of this action under section 
    126.
        It is important to note that the more protective 8-hour ozone 
    standard applies in all of these areas. Pennsylvania, Maine, 
    Massachusetts, and New Hampshire all petitioned EPA under both the 1-
    hour and 8-hour ozone standards. A determination that any of the areas 
    in these States has air quality meeting the 1-hour standard does not 
    affect EPA's significant contribution determinations under the 8-hour 
    standard with regard to 8-hour nonattainment and maintenance problems 
    in these States. Indeed, the deletion of these areas as receptor areas 
    for the 1-hour standard has no impact whatsoever on which States EPA 
    has identified as contributing to ozone problems in the petitioning 
    States. In fact, more upwind States were identified as contributors 
    based on the 8-hour standard than on the 1-hour standard. As no upwind 
    States were identified as contributors based solely on Rhode Island's 
    1-hour petition, the deletion of Rhode Island as a 1-hour receptor does 
    not affect the conclusions as to the identification of which sources 
    are significant contributors.
        The original comment period on the section 126 NPR closed on 
    November 30, 1998, prior to EPA's preliminary determination that these 
    areas had monitored attainment of the 1-hour standard based on 1996-98 
    monitoring data. As discussed in Section I.G.2, at the request of two 
    commenters, EPA reopened the section 126 NPR comment period to take 
    comment on the impacts of the 1996-98 air quality data on the section 
    126 rulemaking.
        The majority of the commenters agreed that EPA should deny 
    petitions based on the 1-hour standard that seek findings against 
    upwind sources with regard to downwind areas where the 1-hour standard 
    is met.
        Several of the petitioning States commented that a determination 
    that an area had attained the 1-hour standard should not alter EPA's 
    proposed findings of significant contribution related to those specific 
    areas. The States argued that such a determination does not guarantee 
    that the 1-hour standard will be maintained in the future. Two of the 
    States suggested that favorable meteorology may have been a large 
    factor in the current attainment conditions and that the upwind sources 
    are still significantly impacting the areas.
        As discussed in Section I.B., the 8-hour ozone standard is intended 
    to fully replace the 1-hour standard. However, when EPA promulgated the 
    8-hour standard, it decided that the 1-hour standard would continue to 
    apply in an area for an interim period until the area achieved 
    attainment of that standard. Once EPA makes a final determination that 
    the 1-hour standard is attained, the standard will be revoked and 
    States are expected to focus their planning efforts on developing 
    strategies for attaining the 8-hour standard. As mentioned previously, 
    attainment of the 1-hour standard does not impact EPA's action on a 
    petition under the more stringent 8-hour standard. To the extent that a 
    State has 8-hour ozone problems, a State may seek a finding under that 
    standard. In this rulemaking, a finding under the 8-hour standard 
    yields the same
    
    [[Page 28292]]
    
    requirements for upwind emissions reductions as a finding under the 1-
    hour standard.
        Several commenters said that the 1996-98 air quality data 
    indicating attainment of the 1-hour standard in some areas in the 
    Northeast indicates that there is a trend in air quality improvement, 
    even without the section 126 control measures and, therefore, the 
    petitions should all be denied. The EPA agrees that there are general 
    downward trends in ozone concentrations in the Northeast. The EPA has 
    reported the air quality changes over the 10-year period 1988 to 1997 
    in the document, ``National Air Quality and Emissions Trends Report, 
    1997'' (Trends Report) (EPA 454/R-98-016). However, EPA cautions that 
    the air quality trends are historical records of what has occurred and 
    alone do not indicate future trends. Ambient ozone trends are 
    influenced by year-to-year changes in meteorological conditions, 
    population growth, VOC to NOX ratios, and changes in 
    emissions from ongoing control measures. The EPA does not agree that 
    current trends indicate that new NOX control programs are 
    not necessary. Rather, the data help show that NOX and VOC 
    controls can be very effective in reducing ozone. Since passage of the 
    CAA Amendments in 1990, States have implemented many new VOC and 
    NOX emissions control programs which have helped to reduce 
    ozone levels. However, for many areas, these reductions have not been 
    sufficient to provide for attainment of the 1-hour and/or 8-hour 
    standard. In addition, the majority of the areas in the Northeast do 
    not show significant downward trends in emissions (See Trends Report 
    maps, pages 58-59). For example, New York City and Philadelphia show no 
    significant downward (or upward) trends for the 1-hour and 8-hour 
    standards over the past few years (See Trends Report, pages 160 and 
    162). In order to see future air quality improvements, EPA believes 
    additional control measures are necessary to reduce emissions and 
    offset growth. The section 126 petitions are one way in which States 
    are seeking to ensure that their transported emissions are reduced.
        Furthermore, there is no basis for denying all of the petitions on 
    the basis of any such trend. All of the petitioning States contain 
    areas that violate the 8-hour standard and there are many areas in the 
    Northeast that still violate the 1-hour standard.
        The EPA received comments that the modeling is flawed because it 
    projects 1-hour nonattainment for 2007 in areas for which the 1-hour 
    NAAQS is proposed to be revoked based on current monitoring data. The 
    most recent three years had meteorological conditions in the Northeast 
    such that the emissions during this time period did not result in 
    nonattainment in the identified areas. The extent to which 
    meteorological conditions are conducive to ozone exceedences in a 
    particular area varies from year to year. As noted above, several 
    commenters suggested that the meteorology during 1996-1998 in the 
    Northeast was not particularly conducive to high ozone. Thus, if 
    meteorological conditions similar to those modeled by OTAG and used for 
    the SIP Call occur in the future, it is expected that ozone 
    concentrations >=125 ppb would recur in these areas, which is 
    consistent with what the modeling predicts. The fact that 
    meteorological conditions vary is one of the reasons EPA relied on both 
    current monitoring and projected future modeled predictions to 
    determine which areas should be considered to be downwind nonattainment 
    receptors to provide a more robust test for that determination.
    
    G-H. Weight of Evidence Determination of Named Upwind States
    
    1. General Approach
        The EPA proposed to rely on the conclusions it drew in the final 
    NOX SIP call rulemaking to determine whether the emissions 
    in named upwind States contribute significantly to the 1-hour and 8-
    hour nonattainment and maintenance problems in the petitioning States. 
    26 In the final NOX SIP call rulemaking, EPA used 
    a weight-of-evidence approach involving various factors, including air 
    quality impacts. To determine this latter factor, EPA relied on three 
    sets of modeling information: the OTAG subregional modeling together 
    with other information such as emission density and transport distance, 
    confirmed by the State-by-State UAM-V zero-out modeling and the State-
    by-State CAMx source apportionment modeling. The upwind State-to-
    downwind nonattainment linkages in the final NOX SIP call 
    rulemaking were used as the basis for the proposed section 126 
    findings.
    ---------------------------------------------------------------------------
    
        \26\ The maintenence standard does not apply in the case of the 
    1-hour NAAQS because, under the regulation EPA promulgated in 
    connection with the 8-hour NAAQS, once an area attains the 1-hour 
    NAAQS, EPA determines that the area is no longer subject ot it. For 
    convenience, references to nonattainment problems under the 8-hour 
    NAAQS also include the maintenance standard.
    ---------------------------------------------------------------------------
    
        The EPA is using this same information and reaffirming these 
    linkages as the basis for the related affirmative technical 
    determinations in today's rulemaking, as well as the denials of parts 
    or all of certain petitions. Specifically, EPA evaluated the petitions 
    in terms of which upwind States named in each petition were found in 
    the NOX SIP call to contribute significantly to 
    nonattainment in the petitioning State. Separate determinations were 
    made for the 1-hour and 8-hour NAAQS. The technical details of the 
    modeling information are described in the final NOX SIP call 
    rulemaking. Except as noted below, EPA is today making affirmative 
    technical determinations concerning emissions from identified sources 
    found in upwind States whose overall emissions were determined in the 
    NOX SIP call final rule to contribute significantly to the 
    petitioning State's nonattainment problems. In making these affirmative 
    technical determinations, and in denying part or all of certain 
    petitions, EPA is reaffirming the findings it made in the 
    NOX SIP call final rulemaking concerning the upwind-State 
    downwind-nonattainment area linkages related to those determinations, 
    on the basis of the same technical data relied on in that rulemaking. 
    For this, EPA is primarily relying on the UAM-V State-by-state zero-out 
    modeling runs and the CAMX modeling runs.
        The EPA received a number of comments on the modeling and other 
    technical information relied on in the proposal. Those comments which 
    are most relevant to the technical aspects of this rulemaking are 
    addressed below or in the RTC document.
    2. Collective Contribution
        The EPA received comments that it is inappropriate to use modeling 
    that evaluates the downwind contribution from all manmade emissions in 
    an entire State for the purposes of evaluating the section 126 
    petitions since these petitions request relief from large stationary 
    sources which are only a portion of the States' total emissions and/or 
    from sources located in only a portion of the upwind State. This 
    comment, and EPA's response, is discussed above.
        As noted above, part of EPA's response to this comment refers to 
    the collective contribution approach. Under this approach, if the total 
    NOX emissions from an upwind State contribute significantly 
    to a downwind petitioning State, then each large stationary source's 
    emissions in the upwind State or portion of the upwind State covered by 
    the petition, is considered to be a significant contributor to 
    nonattainment. The EPA noted above that even though large point 
    sources, like those covered by the
    
    [[Page 28293]]
    
    126 petitions, are only a portion of the total NOX emissions 
    in each State, they comprise a sizable portion of the NOX 
    inventory. For 17 of the 20 jurisdictions (Connecticut, Rhode Island 
    and the District of Columbia are the exceptions) NOX 
    emissions from electricity generating units and non-electricity 
    generating point sources comprise at least one third of Statewide 
    NOX emissions. Thus, EPA continues to believe that the full 
    State modeling is appropriate to establish whether the named sources in 
    specific upwind States contribute significantly to nonattainment in the 
    petitioning State.
    3. U-Runs
        The EPA received comments that it is necessary to specifically 
    evaluate the downwind contributions of large stationary sources. 
    Although, as noted above, EPA does not think this evaluation is 
    critical for today's rulemaking, EPA has performed a set of modeling 
    runs in which emissions from all utility point sources and large non-
    utility point sources with boilers greater than 250 mmBTU were zeroed 
    out for select groups of States. All four OTAG episodes were modeled. 
    These model runs are referred to as the ``U runs.'' Further details 
    concerning these model runs are contained in the RTC document and in 
    the docket for this rulemaking (see Docket item number VI-D-23).
        The EPA has reviewed the results of these runs which indicate that 
    sources covered by section 126 petitions provide meaningful ozone 
    reductions in downwind petitioning States. For example, in model run 
    ``U-10,'' large stationary sources in Michigan, Indiana, Ohio, 
    Kentucky, West Virginia, and Virginia were zeroed-out. These States 
    closely approximate the non-OTR States petitioned by New York. The 
    results for run U-10 show contributions to nonattainment in New York of 
    >= 2 parts per billion (ppb) to 39 percent of the 1-hour exceedances, 
    >= 5 ppb to 14 percent of the 1-hour exceedances, and >= 10 ppb to 1 
    percent of the 1-hour exceedances.
    4. UAM-V and CAMx Modeling and Metrics
        A number of commenters said that zero-out modeling was flawed. 
    Several of these commenters submitted modeling based on CAMx. Other 
    commenters said that the CAMx source apportionment technique was flawed 
    and submitted modeling based on zero-out runs. The comments concerning 
    the technical adequacy of these modeling techniques are addressed in 
    the RTC document. The EPA relied on both UAM-V zero-out modeling and 
    CAMx source apportionment modeling in order to identify the significant 
    upwind-downwind linkages. In the evaluation by EPA of contributions for 
    individual linkages, both modeling techniques had to indicate a 
    significant contribution in order for the linkage to be found 
    significant. After reviewing the comments submitted by proponents and 
    opponents of each of these two modeling techniques, EPA has concluded 
    that the most technically credible approach is to continue to rely on 
    both techniques and not base its decisions of the significance of 
    individual linkages on one technique or the other. This is discussed in 
    further detail in the RTC document.
        Several commenters submitted a technical report intended to 
    quantify the uncertainty in the UAM-V model predictions. These 
    commenters argued that the contributions which EPA found significant 
    are within the ``noise'' of the modeling. The EPA has reviewed that 
    study and determined that (1) the results do not indicate any bias in 
    the model predictions as being either too high or too low and (2) there 
    is no indication of any bias in the model's response to emissions 
    reductions or the ability of the model to predict the contribution of 
    emissions in upwind States to downwind nonattainment. This is discussed 
    in further detail in the RTC document.
        Several commenters made general assertions that EPA was not clear 
    in its definition of significant contribution, and was inconsistent, 
    subjective, or arbitrary in its determination that certain States do 
    not make a significant contribution, but that other States do. EPA 
    believes that its definition of significant contribution is reasonably 
    clear and consistently applied. EPA's examination of the linkages 
    raised by the commenters does not reveal inconsistencies. This issue is 
    discussed further in the RTC.
        In the proposal EPA requested comment on the individual upwind-
    downwind linkages and, in particular, the linkages between some of the 
    more distant States, such as Alabama to Pennsylvania and Missouri to 
    Pennsylvania.
        Several commenters were critical of EPA's finding that emissions 
    from Missouri contribute significantly to 8-hour nonattainment in 
    Pennsylvania. One of these commenters submitted an analysis of 
    contribution using many of the metrics EPA calculated from the State-
    by-State zero-out and source apportionment modeling. In this analysis, 
    the commenter applied numerical criteria, used as a bright-line test, 
    to judge the significance of the contributions indicated by each 
    metric. The commenter then applied a numerical scoring system to 
    evaluate the overall significance of each individual linkage. The 
    commenter used the results of this analysis to argue that Missouri does 
    not contribute significantly to Pennsylvania. The EPA agrees that the 
    scoring system concept provides a way to quantify and numerically 
    compare the significance of individual linkages. However, the commenter 
    provided no technical justification for the criteria used in this 
    analysis or for selecting the cut-off value used to determine whether 
    or not the final score for each linkage indicates a significant 
    contribution. The EPA disagrees that using a single final cutoff value 
    is the appropriate way to distinguish between significant and 
    insignificant contributions. In this regard, EPA believes that 
    technical judgement, based on an evaluation of all of the metrics for 
    each linkage, as described elsewhere in today's rulemaking, is 
    necessary for decisions on which linkages are significant.
        Regarding the linkage between Alabama and Pennsylvania under the 8-
    hour NAAQS, several commenters submitted an independent study of EPA's 
    modeling of Alabama's contribution to 8-hour nonattainment in 
    Pennsylvania. These commenters concluded from this study that the 
    largest contributions from Alabama occur in Pennsylvania on a single 
    day in one episode. The study also includes a limited comparison of the 
    observed winds at 7 a.m. each day against the corresponding wind data 
    used in the modeling. For some wind observation stations between 
    Alabama and Pennsylvania, the data presented in the study indicate that 
    the observed winds are more westerly and/or northwesterly than those 
    used in the modeling. The commenter also notes uncertainties in the 
    modeled wet deposition calculations and modeled ozone overpredictions. 
    The commenter concludes from these data that in light of ``improper 
    model assumptions'', a determination of a significant impact on 8-hour 
    nonattainment in Pennsylvania is arbitrary.
        The EPA has reviewed the data submitted by the commenters along 
    with the transport pattern of ozone from Alabama predicted by both the 
    UAM-V zero-out and the CAMx source apportionment modeling together with 
    the full set of data concerning observed and modeled winds aloft. Based 
    upon a comprehensive review of observed and modeled data, EPA concludes 
    that (1) the winds used in the model adequately represent the transport 
    pattern between
    
    [[Page 28294]]
    
    Alabama and Pennsylvania during this time period, (2) model performance 
    was acceptable for the full domain and the Southeast and Midwest OTAG 
    regions (3) EPA is not aware of errors in the modeling due to wet 
    deposition calculations and (4) the ozone ``plume'' from Alabama is 
    geographically extensive, covering a large portion of Pennsylvania, as 
    indicated by both the zero-out and source apportionment modeling. Thus, 
    there is no basis for EPA to change its conclusion relative to the 
    significance of Alabama's contribution to 8-hour nonattainment in 
    Pennsylvania. This is discussed further in the RTC document.
        Several commenters stated that EPA's modeling indicates that much 
    of the downwinds' ozone problem is due to local emissions. The EPA 
    agrees that local emissions are a large part of the overall ozone 
    problem in most major cities in the OTAG region. However, the 
    collective contribution from upwind sources to ozone in these areas is 
    also quite large. For example, the average contribution from upwind 
    manmade emissions to 1-hour nonattainment in New York City is 45 
    percent (28 percent from States outside the Northeast), 83 percent in 
    Greater Connecticut (21 percent from States outside the Northeast), and 
    32 percent in the Philadelphia nonattainment area (all from States 
    outside the Northeast).
        Some commenters questioned why the available modeling information 
    was not sufficient for EPA to make a final decision on whether certain 
    States in the OTAG domain (e.g., New Hampshire, Maine, and Vermont) 
    contribute significantly to nonattainment in downwind States. As stated 
    above, EPA primarily relied on two types of modeling for making a 
    determination of significant contribution. This included State-by-State 
    UAM-V zero-out and CAMx source-apportionment modeling. For an upwind-
    downwind linkage to be significant, contributions from both of the 
    State-by-State techniques had to show significant contributions. For 15 
    States in the OTAG domain, including those identified by these 
    commenters, EPA does not have a complete set of modeling comparable to 
    that relied on for those States found to be significant. Thus, as part 
    of the NOX SIP call, EPA deferred taking final action on 
    these States. This is discussed further in the RTC document.
        The upwind States that were named by the petitioners and which are 
    found to contain sources that make a significant contribution to 
    nonattainment in the petitioning States are based on the upwind-
    downwind linkages found to be significant in the NOX SIP 
    call. The exception to this is Maine's petition for relief from 
    emissions in North Carolina. In its petition, Maine requested relief 
    from large stationary sources within a 600 mile radius of the 
    southwestern most nonattainment area in Maine. This radius includes 
    several counties in the extreme northeastern portion of North Carolina 
    that do not contain sources of the type and size identified in Maine's 
    petition. Thus, even though EPA found that emissions in North Carolina 
    contribute significantly to 8-hour nonattainment in Maine, EPA is 
    denying Maine's petition relative to North Carolina because there are 
    no section 126 sources located in the portion of North Carolina covered 
    by Maine's petition.
        The significant upwind-downwind linkages applicable to the section 
    126 petitions are listed in Tables II-1 for the 1-hour NAAQS and Table 
    II-2 for the 8-hour NAAQS. The linkages in Table II-1 take into account 
    the recent revocations of the 1-hour NAAQS for certain 1-hour 
    nonattainment areas. All of the information contained in the docket of 
    the NOX SIP call rulemaking that is relevant to the 
    determination of significant contribution is incorporated by reference 
    into today's rulemaking.
    
     
     Table II-1.--Named Upwind States Which Contain Sources That Contribute Significantly to 1-Hour Nonattainment in
                                                   Petitioning States
    ----------------------------------------------------------------------------------------------------------------
     Petitioning state (nonattainment area)                            Named upwind states
    ----------------------------------------------------------------------------------------------------------------
    New York (New York City)...............  DC, DE, IN, KY, MD, MI, NC, NJ, OH, PA, VA, WV.
    Connecticut (Greater Connecticut)......  DC, DE, IN*, KY*, MD, MI*, NC*, NJ, NY, OH, PA, VA, WV.
    Pennsylvania (Philadelphia)............  NC, OH, VA, WV.
    Massachusetts (Western Massachusetts)..  WV.
    Rhode Island...........................  None.*
    Maine..................................  None.**
    New Hampshire..........................  None.**
    Vermont................................  None.**
                                            ------------------------------------------------------------------------
        Total..............................  DC, DE, IN, KY, MD, MI, NC, NJ, NY, OH, PA, VA, WV.
    ----------------------------------------------------------------------------------------------------------------
    * Upwind States marked with an asterisk are considered to significantly contribute because they contribute to an
      interstate nonattainment area that includes part of the petitioning State. Part of Connecticut is included in
      the New York City nonattainment area.
    ** Based on 1996-1998 air quality monitoring data, EPA cannot now determine that areas in these States continue
      to be in nonattainment for the 1-hour NAAQS.
    
    
     
     Table II-2.--Named Upwind States Which Contain Sources That Contribute Significantly to 8-hour Nonattainment in
                                                   Petitioning States
    ----------------------------------------------------------------------------------------------------------------
               Petitioning state                                       Named upwind states
    ----------------------------------------------------------------------------------------------------------------
    Pennsylvania...........................  AL, IL, IN, KY, MI, MO, NC, OH, TN, VA, WV.
    Maine..................................  CT, DC, DE, MA, MD, NJ, NY, PA, RI, VA.
    Massachusetts..........................  OH, WV.
    New Hampshire..........................  CT, DC, DE, MD, MA, NJ, NY, PA, RI.
    
    [[Page 28295]]
    
     
    Vermont................................  None.
                                            ------------------------------------------------------------------------
        Total..............................  AL, CT, DC, DE, IL, IN, KY, MA, MD, MI, MO, NJ, NY, NC, OH, PA, RI, TN,
                                              VA, WV.
    ----------------------------------------------------------------------------------------------------------------
    
        The EPA concluded from all of the information considered that the 
    20 jurisdictions listed below contain sources that make a significant 
    contribution to nonattainment in, or interfere with maintenance by, one 
    or more petitioning States under the 1-hour and/or the 8-hour NAAQS:
        Alabama,
        Connecticut,
        Delaware,
        District of Columbia,
        Illinois,
        Indiana,
        Kentucky,
        Maryland,
        Massachusetts,
        Michigan,
        Missouri,
        New Jersey,
        New York,
        North Carolina,
        Ohio,
        Pennsylvania,
        Rhode Island,
        Tennessee,
        Virginia, and West Virginia.
    
    I. Identifying Sources
    
        As discussed previously in Section I.D., all of the petitions named 
    specific upwind source categories as significantly contributing to 
    nonattainment in, or interfering with maintenance by, the petitioning 
    State. Four petitioning States (Massachusetts, New Hampshire, New York, 
    and Rhode Island) also attempted to identify the existing sources in 
    the targeted source categories. However, the petitioners cautioned EPA 
    that the lists might not be complete and that any omissions were 
    unintentional. In addition, the EPA has received several comments from 
    sources on the State lists saying that they do not meet the source 
    category definitions provided in the petitions.
        In the final NOX SIP call (63 FR at 57427), EPA provided 
    the opportunity for comment on source-specific inventory data revisions 
    for the data used to establish each State's base inventory and budget. 
    Furthermore, EPA extended that comment period to February 22, 1999 (63 
    FR 71221). At the same time, EPA reopened the comment period for the 
    proposed section 126 and the proposed FIP for the same source-specific 
    inventory data revisions. Based on these comments, EPA will be 
    finalizing a list of existing sources in the source categories for 
    which EPA is making an affirmative technical determination. These 
    sources will be included in the Federal NOX Budget Trading 
    Rule which EPA intends to promulgate in July. The source categories 
    named in the petitions that EPA is making affirmative technical 
    determinations are large EGU boilers and turbines and large non-EGU 
    boilers and turbines. The EPA's methodology for determining if a boiler 
    or turbine fits in the EGU or the non-EGU category and whether it is 
    large or small are explained below. The EPA's rationale for determining 
    that large EGU boilers and turbines and large non-EGU boilers and 
    turbines contribute significantly is explained in Section II.J below.
    1. Proposed EGU Source Classification
        The section 126 NPR proposed the same two-step approach as used in 
    the final NOX SIP call for determining which of the 
    following categories a boiler or turbine fits into: large EGU, small 
    EGU, large non-EGU, or small non-EGU. In the final NOX SIP 
    call, EPA first determined if a boiler or turbine should be classified 
    into the category of EGU or non-EGU. The EPA then determined if the 
    boiler or turbine should be classified as large or small.
        The EPA used three sources of data for determining if an existing 
    generator's purpose included generation of electricity for sale and 
    thus qualified the unit connected to the generator as an EGU. First, 
    EPA treated as EGUs all units that are currently reporting under title 
    IV of the CAA. Second, EPA included as EGUs any additional units that 
    were serving generators reporting to the Energy Information 
    Administration using Form 860 in 1995. Form 860 is submitted for 
    utility generators. Third, EPA included units serving generators that 
    reported to Energy Information Administration using Form 867 in 1995. 
    Since Form 867 is submitted by non-utility generators, including 
    generators ``which consume all of their generation at the facility,'' 
    EPA excluded any units for which EPA had information indicating that 
    the unit was not connected to any generators that sold any electricity. 
    This was determined by excluding units that were not listed as sources 
    that sell power under contract to the electric grid using the electric 
    generation forecasts of the North American Electric Reliability 
    Council.
        Once EPA determined that a boiler or turbine should be classified 
    as an EGU, EPA considered that unit to be a large EGU if it served a 
    generator greater than 25 MWe and considered it a small EGU if it 
    served a generator less than or equal to 25 MWe.
        The EPA explained that there are two important reasons that the 
    methodology outlined above is not appropriate to use on an ongoing 
    basis for new boilers or turbines. First, EPA was concerned about the 
    completeness of data using this methodology. The EPA had this concern 
    because there are limited consequences to not reporting to Energy 
    Information Administration and because EPA has no assurance that 
    sources will continue to be required to report to Energy Information 
    Administration using the same forms. Second, because of changes in the 
    electric generation industry and because of regulatory developments 
    such as the NOX SIP call, owners and operators of units may 
    have an incentive to install, operate and sell electricity from small 
    (25 MWe or less) generators connected to larger boilers or turbines 
    that are primarily used for industrial processes and not electricity 
    generation. Such sources could have significant NOX 
    emissions.
        To ensure that owners and operators of such units did not install a 
    small generator and sell small amounts of electricity merely to 
    circumvent the requirements of this rule, EPA established a slightly 
    different process for categorizing units that commenced operation on or 
    after January 1, 1996. First, EPA explained it would classify as an EGU 
    any boiler or turbine that is connected to a generator greater than 25 
    MWe from which any electricity is sold. This would be based on 
    information reported directly to the State under the SIP (or EPA in the 
    case of a FIP or
    
    [[Page 28296]]
    
    section 126 action). The EPA stated that this addresses the first 
    concern about completeness of data, as discussed in the previous 
    paragraph. Second, if a boiler or turbine is connected to a generator 
    equal to or less than 25 MWe from which any electricity is sold, it 
    would be considered a small EGU if it has the potential to use more 
    than 50.0 percent of the usable energy from the boiler or turbine to 
    generate electricity. For example, this means that a 260 mmBtu boiler 
    connected to a 20 MWe generator that is used to generate some 
    electricity for sale would be considered a small EGU. On the other 
    hand, a 600 mmBtu boiler connected to a 20 MWe generator that is used 
    to generate some electricity for sale would be considered a large non-
    EGU. This addressed EPA's second concern (discussed in the previous 
    paragraph) about owners or operators of large boilers and turbines that 
    have small generators.
        All other boilers and turbines (including boilers and turbines 
    connected to generators equal to or less than 25 MWe from which any 
    electricity is sold and which have the potential to use 50.0 percent or 
    less of the usable energy from the boiler or turbine to generate 
    electricity) were considered non-EGUs. The EPA stated that it will use 
    the process described below to classify those units as large or small. 
    The EPA stated that, once a unit had been classified in the base 
    inventory, EPA did not intend to reclassify that unit, but explained 
    that it might reconsider unit classification in 2007 along with the 
    2007 transport reassessment.
    2. Proposed Non-EGU Boiler and Turbine Source Classification
        In the section 126 NPR, the non-EGU point source categories that 
    EPA determined to be subject to the section 126 reduction requirements 
    are large boilers and turbines. The EPA proposed in the section 126 NPR 
    to use the same method to identify ``large'' and ``small'' non-EGU 
    boilers and turbines that was used in the final NOX SIP call 
    (for more detailed information refer to ``Development of Modeling 
    Inventory and Budgets for Regional SIP Call,'' September 24, 1998). The 
    methodology is as follows:
        1. Where boiler heat input capacity data were available for a 
    unit, EPA used that data. Units with such data that are less than or 
    equal to 250 mmBtu are ``small'' and units greater than 250 mmBtu/hr 
    are ``large.''
        2. Where boiler heat input capacity data were not available for 
    a unit, EPA estimated that data, as described in the NOX 
    SIP call NPR and SNPR. Units estimated to be greater than 250 mmBtu/
    hr are ``large.''
        3. Where boiler heat input capacity data were not available for 
    a unit and where the boiler capacity was estimated to be less than 
    250 mmBtu/hr, EPA checked 1995 point-level emissions for each unit. 
    If the 1995 average daily ozone season emissions were greater than 
    one ton, the unit was categorized as a ``large'' source; otherwise, 
    the unit was categorized as a ``small'' source.
    3. Issues Raised by Commenters on EGU/Non-EGU Classification
        One commenter, representing the pulp and paper industry, argued 
    that small cogeneration units should not be treated as EGUs and EPA 
    should continue to apply the exemption from treatment as utility units 
    established under new source performance standards (NSPS) and the Acid 
    Rain Program for cogeneration units that produce an annual amount of 
    electricity for sale less than one-third of their potential electrical 
    output capacity or equal to or less than 25 MWe. (Note that the 
    regulations implementing title IV converted the annual 25 MWe threshold 
    to 129,000 MWe hrs of electricity which is equivalent to 25 MWe per 
    hour times 8760 hours per year.) The commenter also noted that section 
    112 of the CAA defines ``electricity steam generating unit'' excluding 
    cogeneration units using the same thresholds. The commenter made 
    several assertions to support its argument. First, the commenter said 
    the classification of small cogeneration units would be contrary to 20 
    years of Agency precedent under the NSPS and Acid Rain programs. The 
    CAA encourages cogeneration by exempting small cogenerators below the 
    one-third/25 MWe trigger from the Acid Rain program and from section 
    112. Deviating from this historical precedent was not a logical 
    outgrowth of the proposed NOX SIP call since the proposed 
    NOX SIP call did not discuss that EPA would treat small 
    cogeneration units as EGUs or differently than under the NSPS and Acid 
    Rain programs. Second, the commenter argued the uniqueness of boiler 
    design, fuel type, and operations of individual industrial boilers 
    makes these units less amenable to achieving the utility standards.
        Another commenter expressed concerns that defining ``electrical 
    generating units solely on the basis of electrical generating capacity 
    without regards to boiler size is patently unfair to a number of 
    industrial boilers.'' They explained that ``from a practical 
    standpoint, emissions from a 250 mmBTU/hr coal-fired industrial boiler 
    are the same whether it is used to generate electrical power or not.'' 
    The commenter continued that EPA should treat all industrial boilers 
    alike whether or not they generate electrical power.
        Several other commenters expressed concerns that the definition in 
    the trading rule was more inclusive than the definition used for 
    setting forth the control requirements. One commenter suggested 
    specific language to remedy this concern.
        As EPA explained in a clarification notice published on December 
    24, 1998 (See 63 FR at 71223), EPA used two classification methods to 
    determine whether a unit should be classified as an EGU or a non-EGU. 
    One method (based on whether a unit served a generator from which 
    electricity was sold under a firm contract) applied to units that were 
    in existence in 1995 and were part of the base year emission inventory, 
    and the other method (based on whether a unit serves a generator from 
    which any electricity is sold) applies to units that came into 
    existence on or after January 1, 1996. Both of these methodologies are 
    explained above (in sections II.I.C1 and C.2 ). In addition, the 
    methodology used to classify units in the base-year inventory was 
    explained in the document, ``Development of Modeling Inventory and 
    Budgets for Regional NOX SIP call.'' A draft of this 
    document was issued on March 23, 1998 and a final document was issued 
    on September 24, 1998, and is available in the NOX SIP call 
    docket.
        The methodology used to classify existing units as EGUs or non-EGUs 
    was based upon whether or not a unit was connected to a generator that 
    produced electricity for sale under firm contract to the grid. Since 
    most industrial units are not currently involved in sales under firm 
    contract to the grid, this leads to most industrial cogeneration units 
    being classified as non-EGUs. The EPA has several concerns about 
    changing from this methodology to a methodology based upon a one-third 
    potential capacity/25 MWe threshold, as suggested by the commenter. The 
    first is that EPA has not used that threshold in the rulemaking to 
    date, and does not have information on all existing units necessary to 
    apply that threshold to all the units. For example, EPA does not have 
    information to identify all the units that actually cogenerate and the 
    information on how much electricity is sold from these units. The 
    commenter did not even identify the units owned by its members, much 
    less provide that information for identified units.
        Second, if EPA did have the information for each unit to determine 
    if the unit's classification should be changed, EPA is concerned that 
    the classification for a number of units would change, apparently none 
    of
    
    [[Page 28297]]
    
    which are owned or operated by the commenter's members. The commenter 
    noted that changing the definition to be based upon a one-third 
    potential capacity/25 MWe threshold ``would not alter the Agency's 
    baseline emissions inventory.'' Since the commenter never identified 
    any existing units where classification is different in the inventory 
    under the Agency's classification method than under the commenter's 
    classification method, EPA concludes that changing the methodology 
    would not change the inventory classification of any units owned or 
    operated by the commenter's members. The EPA believes that this is 
    because using the criteria of selling under firm contract to the grid 
    classifies most industrial units that generate small amounts of 
    electricity as non-EGUs rather than EGUs.
        However, EPA maintains that there is the potential that a number of 
    other units could be reclassified if EPA applied the one-third 
    potential capacity/25 MWe threshold. This could change the 
    classification of a large EGU to a large non-EGU, the classification of 
    a large non-EGU to a large EGU or the classification of a small EGU to 
    a large non-EGU. For example, a unit that is currently classified as a 
    large EGU could become a large non-EGU if, even though the unit was 
    selling electricity under a firm contract, it sold less than one third 
    of its potential electrical output capacity. An independent power 
    producer unit that is connected to a generator greater than 25 MWe and 
    that cogenerates and provides both steam and electricity could fit into 
    this category. A unit that is currently classified as a large non-EGU 
    could become a large EGU if it did not sell power under a firm 
    contract, but did sell more than one third of its potential electrical 
    output capacity. An industrial boiler that cogenerates and is connected 
    to a generator greater than 25 MWe could fit into this category. A unit 
    that is currently classified as a small EGU and sells under firm 
    contract, but less than one-third of its potential electrical output 
    capacity, could become a large non-EGU if the unit was greater than 250 
    mmBtu and the generator to which it was connected was less than 25 MWe. 
    An independent power producer unit that cogenerates could fit into this 
    category. In short, the adoption of the commenter's classification 
    methodology could result in reclassification leading to more stringent, 
    rather than less stringent, regulation of some cogeneration facilities
        The EPA also does not agree with the commenter's arguments: (1) 
    That deviating from the classification that EPA has used for 
    cogeneration units for 20 years was not a logical outgrowth of the 
    proposed NOX SIP call and that no discussion was included in 
    the proposal that small cogeneration units would be treated as EGUs or 
    differently than under the NSPS and Acid Rain programs; or (2) that the 
    uniqueness of boiler design, fuel type, and operations of individual 
    industrial boilers makes these units less amenable to achieving the 
    reduction requirements for large EGUs.
        In prior regulatory programs, EPA has used the criteria of 
    producing an annual amount of electricity for sale less than one-third 
    of a unit's potential electrical output capacity or less than 25 MWe. 
    However, these criteria were not applied in the same way in each of 
    these prior programs and recent, ongoing changes in the electric power 
    industry undermine the basis for the criteria, and justify using 
    different criteria for the new units, in today's action. The Agency 
    began using the one-third potential capacity/25MWe cutpoint in 1978, in 
    40 CFR part 60, subpart Da, setting forth new source performance 
    standards for ``electric utility steam generating units.'' In that 
    case, the cutpoint was not used to exempt units entirely from NSPS. 
    Rather, it was used to classify them as either ``electric utility steam 
    generating units'' that would be subject to the new standards under 
    subpart Da or to classify them as non-utility steam generating units 
    that would continue to be subject to the requirements under subpart D 
    and would subsequently become subject to more stringent standards for 
    ``Industrial-Commercial-Institutional Steam generating units'' under 
    subpart Db. As the commenter noted, this distinction between utility 
    and non-utility units continued under the Clean Air Act Amendments of 
    1990, in both title IV and section 112. This cutpoint applied to all 
    steam generating units, not just cogeneration facilities. The cutpoint 
    was used as a proxy for utility vs. non-utility ownership of the units, 
    the assumption being that a unit involved in electricity sales at or 
    below the cutpoint was owned by a company that was in a business other 
    than electric generation and so was a utility.
        Since 1990 there have been dramatic changes in the electric power 
    industry associated with the emergence of competitive markets for 
    electricity generation where non-utility generators compete to an 
    increasingly significant extent with traditional utilities. As these 
    changes occur, it becomes less and less appropriate to differentiate 
    between utilities and non-utilities that produce electricity. The 
    Energy Policy Act of 1992 reflected these types of changes in the 
    electric power industry by recognizing a whole new category of non-
    utility generators, wholesale generators that directly compete with 
    utility generators. The Federal Energy Regulatory Commission's 1996 
    order adopting open transmission access and the actions of many States 
    (currently at least 18 States) that are in the process of deregulating 
    electric power generation have further blurred the distinction between 
    utilities and non-utilities. Other federal agencies that deal with the 
    power industry have realized that historical categorizations of the 
    industry are no longer appropriate. For instance, the Energy 
    Information Agency is in the process of streamlining its reporting 
    requirements so that there will no longer be a distinction between 
    reporting by utility generators and by non-utility generators.
        In the NOX SIP call rulemaking, that EPA expressed 
    concern that, under a deregulated electricity market, it is important 
    to consider all NOX emissions sources that generate 
    electricity. For instance, in the supplemental notice of proposed 
    rulemaking under the NOX SIP call, EPA explained that:
        Additionally, with deregulation of electric utilities, it is not 
    clear how ownership of the electricity generating facilities will 
    evolve. Therefore, EPA proposes to include all large electricity 
    generating sources, regardless of ownership, in the trading program. 
    As there is no relevant physical or technological difference between 
    utilities and other power generators, the same monitoring provisions 
    and the size cut-off of greater than 25 MWe are applicable to all 
    units which serve generators. 63 FR at 25923.
        With regard to the feasibility of meeting the ``utility'' 
    standards, the above commenter made several technical arguments about 
    why non-utility units are fundamentally different from utility sources. 
    In particular, the commenter argued that because of the need to vary 
    loads significantly, many industrial boilers cannot operate at the 
    conditions required to obtain maximum NOX reduction using 
    combustion controls. In addition, the commenter argued that pulp and 
    paper mill boilers have technical limitations on the installation of 
    selective catalytic reduction (SCR) and selective non-catalytic 
    reduction (SNCR), due to wide and rapid load and lower operating 
    temperatures. Furthermore, the commenter does not believe there will be 
    a significant number of allowances available or that the assumption of 
    allowance availability should be used to justify higher costs for 
    industrial sources. Moreover, the commenter argues that some affected 
    States have expressed hesitancy to participate in
    
    [[Page 28298]]
    
    interstate or even intrastate NOX trading programs.
        The EPA continues to believe that industrial cogeneration units can 
    achieve similar NOX emission reductions as utility units. 
    Post-combustion NOX control technologies, like SNCR and SCR, 
    are available to industrial units that cannot achieve NOX 
    reductions using combustion controls. Both SCR and SNCR are proven 
    technologies demonstrated on industrial and utility units, including 
    paper and pulp industry units. See White Paper--Selective Catalytic 
    Reduction (SCR) for Controlling NOX Emissions, ICAC, 1997 
    and White Paper--Selective Non-Catalytic Reduction (SNCR) for 
    Controlling NOX Emissions, ICAC, 1997. At the same time, 
    this rulemaking provides for multiple compliance options including 
    trading of allowances. The Agency believes that a significant number of 
    allowances will be available for trading. The Integrated Planning Model 
    (IPM) analysis shows a significant number of allowances will be 
    available in 2003 when trading begins (see the Regulatory Impact 
    Analysis for further discussion). The compliance supplement pool also 
    provides further allowances in the trading market (see compliance 
    supplement pool discussion in Section III below). In addition, EPA is 
    aware of several States in the process of developing a trading program 
    under the NOX SIP call. Furthermore, a trading program will 
    be promulgated for this section 126 rulemaking.
        For all of these reasons, EPA believes that it is appropriate to 
    consider all units that generate electricity for sale as one source 
    category, regardless of whether the owners and operators of the units 
    are traditional utilities, independent power producers, or industrial 
    companies. (Indeed, it may be appropriate at some time in the future to 
    consider all units generating electricity, whether for sale or internal 
    use, as a single category). However, for purposes of this rulemaking, 
    EPA is continuing to apply to existing units the definition of EGU 
    based on firm-contract sales, essentially as clarified in the December 
    24, 1998 correction notice. This definition does not classify either 
    all existing or new units that generate electricity, or all existing or 
    new units that generate electricity for sale, as EGUs. For example, 
    industrial units that generate electricity only for internal use will 
    be considered non-EGUs. Furthermore, most existing industrial units 
    that sell small amounts of electricity will also not be considered 
    EGUs, because most of these units do not sell electricity under firm 
    contract. Even though EPA is not basing the EGU and non-EGU definitions 
    on the one-third potential capacity/25 MWe threshold supported by the 
    commenters, EPA believes that the definition for existing units 
    classifies the units of the commenter's members in a way that is 
    consistent with the way the commenters have suggested those units 
    should be classified, i.e., as non-EGUs.
        The EGU and non-EGU definitions based on any sales of electricity 
    will apply to units that commence operation on or after January 1, 
    1999. These definitions will not apply to any of the units referenced 
    by the commenter (e.g., the units referenced, but not identified, in 
    the commenter's April 7, 1999 comments for which the commenter provided 
    information on actual, annual electricity sales). Thus, in general, any 
    new units that serve generators involved in electricity sales will be 
    EGUs. The EPA intends to make parallel clarifications to the definition 
    of EGU under the NOX SIP call rulemaking. The EPA believes 
    that the definition of EGU needs to be consistent across the 
    NOX SIP call, section 126, and FIP rulemakings because it is 
    possible that at one time a source might be subject to control 
    requirements under one of these mechanisms, while at another time a 
    source might be subject to control requirements under another one of 
    these mechanisms. Changing the category that a source has been placed 
    in because of this change in regulatory structure could be confusing 
    and burdensome for the source.
        While EPA is not including all sources that generate electricity 
    for sale or internal use as EGUs at this time, EPA may for all of the 
    reasons explained above, consider whether this would be appropriate in 
    future rulemakings.
    4. Final Rule EGU/Non-EGU Classification
        In summary under today's final rule, EPA will take a three-step 
    approach to determining which of the following categories a boiler or 
    turbine fit into: large EGU, small EGU, large non-EGU, or small non-
    EGU. First, EPA will determine the date upon which a unit commenced 
    operation. Second, EPA will determine if a boiler or turbine should be 
    classified into the category of EGU or non-EGU by applying the 
    appropriate criteria depending on the date on which the boiler or 
    turbine commenced operation. Finally, EPA will determine if the boiler 
    or turbine should be classified as large or small.
        For units that commenced operation before January 1, 1999, EPA will 
    classify as an EGU any boiler or turbine that sells any electricity to 
    the grid under firm contract. For units that commenced operation on or 
    after January 1, 1999, EPA intends, in general, to classify as an EGU 
    any boiler or turbine that produces any amount of electricity for sale.
        Once EPA determines that a boiler or turbine should be classified 
    as an EGU, EPA then will classify the unit as a small or large EGU. For 
    a unit that commenced operation before January 1, 1999, EPA will 
    consider the unit a small EGU if it serves a generator less than or 
    equal to 25 MWe and a large EGU if it serves a generator greater than 
    25 MWe. For a unit that commenced operation on or after January 1, 1999 
    and sells any electricity, EPA will consider the unit a small EGU if it 
    serves a generator that is less than or equal to 25 MWe and that has 
    the potential to use more than 50 percent of the potential electrical 
    output capacity of the unit. Units that serve generators greater than 
    25 MWe and that sell any electricity will be considered large EGUs.
        All other boilers and turbines will be considered non-EGUs. This 
    includes boilers and turbines that commence operation on or after 
    January 1, 1999 connected to generators equal to or less than 25 MWe 
    from which any electricity is sold and that have the potential to use 
    50 percent or less of the potential electrical output capacity of the 
    boiler or turbine. This also includes any unit that commenced operation 
    before January 1, 1999 that did not produce electricity for sale under 
    firm contract.
        Non-EGUs will be considered large if their maximum rated heat input 
    capacity is greater than 250 mmbtu/hour and will be considered small if 
    their maximum rated heat input capacity is equal to or less than 250 
    mmbtu/hour.
        The EPA intends to address comments related to inconsistencies 
    between this definition and the applicability requirements of part 97, 
    when EPA promulgates part 97 in July.
    
    J. Cost Effectiveness of Emissions Reductions
    
        As described in Section II.A, above, one part of the significant-
    contribution interpretation that EPA applied in the NOX SIP 
    call rule, and that EPA applies for purposes of today's final rule, is 
    the extent to which ``highly cost-effective'' NOX control 
    measures are available for the types of stationary sources named in the 
    petitions27. As in the NOX SIP call
    
    [[Page 28299]]
    
    rule (63 FR at 57399) and the proposed section 126 rule (63 FR at 
    56304), the EPA has selected these highly cost-effective measures by 
    examining the technological feasibility, administrative feasibility and 
    cost-per-ton-reduced of various multi-state ozone season NOX 
    control measures in light of other actions taken by EPA and States to 
    control NOX.
    ---------------------------------------------------------------------------
    
        \27\ As discussed in this section, the highly cost-effective 
    NOX controls happen to apply only to large stationary 
    sources. Under section 126, EPA can make a finding for ``any major 
    source or group of stationary sources.'' In other words, even if not 
    all sources subject to this action were major, they would be part of 
    a group of stationary sources that contribute significantly to 
    nonattainment and hence could potentially be subject to a finding.
    ---------------------------------------------------------------------------
    
    1. Identifying Highly Cost Effective NOX Controls Levels
        The first step in the process of determining cost effectiveness was 
    to identify the types of sources named in the various petitions. The 
    petitioning States have identified the source categories that they 
    believe significantly impact their ability to achieve attainment of the 
    ozone standard. These categories are listed in Table I-1 earlier in 
    this preamble. The EPA has determined that the named source categories 
    can be combined into one general category--fossil fuel-fired indirect 
    heat exchangers. This term applies to boilers and turbines used for the 
    production of steam, electricity, and in some cases mechanical work, 
    and to process heaters. To assure equity among the various 
    subcategories of such sources and the industries they represent, EPA 
    considered the cost effectiveness of controls for each subcategory 
    separately throughout the affected 20-jurisdiction region described in 
    Section II.B above. The EPA further subdivided the category of boilers 
    and turbines into two categories, those used to generate electricity 
    for sale and those used for all other purposes. Therefore, the EPA 
    split the population of indirect heat exchangers into the following 
    four subcategories, consistent with the approach EPA took in the final 
    NOX SIP call and the section 126 proposal: (1) Boilers and 
    turbines serving generators greater than 25 MWe that produce 
    electricity for sale to the grid (``large EGUs''); (2) boilers and 
    turbines with a heat input greater than 250 mmBtu/hr that exclusively 
    generate steam, produce mechanical work (e.g., provide energy to an 
    industrial pump), or produce electricity for internal use (``large non-
    EGUs''); (3) process heaters with a heat input greater than 250 mmBtu/
    hr (``large process heaters''); and (4) smaller indirect heat 
    exchangers, i.e., all such sources not included in the first three 
    subcategories (``small sources'').
        As mentioned above, in evaluating the cost effectiveness of 
    NOX control levels for indirect heat exchangers, the EPA has 
    taken the same approach as that taken in the final NOX SIP 
    call (see 63 FR at 57399). In short, for each subcategory, the amounts 
    of emissions that cause subcategories in the covered upwind States to 
    contribute significantly to a petitioning State's nonattainment were 
    determined based on the application of NOX controls that 
    achieve the greatest feasible emissions reduction while still falling 
    within a cost-per-ton-reduced range that EPA considers to be highly 
    cost effective. The NOX control levels for this rulemaking 
    were considered highly cost effective for the purposes of reducing 
    ozone transport to the extent they achieve the greatest feasible 
    emissions reduction but still cost no more than $2,000 per ton of ozone 
    season NOX emissions removed (in 1990 dollars), on average, 
    for each subcategory. The discussion below further describes the basis 
    for this cost amount and the techniques used for each subcategory. The 
    EPA believes that certain control levels that cost more than $2,000 per 
    ton of NOX reduced are reasonably cost effective in reducing 
    ozone transport or in achieving attainment with the ozone NAAQS in 
    specific nonattainment areas. However, EPA is basing the significant-
    contribution determination only on highly cost-effective reductions. In 
    addition, as discussed further below, in determining whether to assume 
    reductions from the small source subcategory, EPA considered 
    administrative burden.
        More specifically, to determine what level of control can be 
    considered highly cost effective, EPA considered other recently 
    undertaken or planned NOX control measures. Table II-3 
    provides a reference list of measures that EPA and States have 
    undertaken to reduce NOX and their average annual costs per 
    ton of NOX reduced. Most of these measures fall below $2,000 
    per ton. The average cost effectiveness of these measures is 
    representative of the average cost effectiveness of the types of 
    controls EPA and States have needed to adopt most recently, since their 
    previous planning efforts have already taken advantage of opportunities 
    for even cheaper controls. The EPA believes that the cost effectiveness 
    of measures that it or States have adopted, or have proposed to adopt, 
    forms a good reference point for determining which of the available 
    additional NOX control measures are among the most cost-
    effective measures that can be implemented by the sources considered in 
    today's action.
    
     Table II-3.--Average Cost Effectiveness of NOXControl Measures Recently
                                   Undertaken
                                    (1990 $)
    ------------------------------------------------------------------------
                                                                   Cost per
                          Control measure                         ton of NOX
                                                                   removed
    ------------------------------------------------------------------------
    NOX RACT...................................................    150-1,300
    Phase II Reformulated Gasoline.............................      a 4,100
    State Implementation of the Ozone Transport Commission         950-1,600
     Memorandum of Understanding...............................
    New Source Performance Standards for Fossil Steam Electric         1,290
     Generation Units..........................................
    New Source Performance Standards for Industrial Boilers....       1,790
    ------------------------------------------------------------------------
    a Average cost representing the midpoint of $2,180 to $6,000 per ton.
      This cost represents the projected additional cost of complying with
      the Phase II reformulated gasoline NOX standards, beyond the cost of
      complying with other standards for Phase II RFG.
    
        The EPA notes that there are also a number of less expensive 
    measures recently undertaken by the Agency to reduce NOX 
    emission levels that do not appear in Table II-3. These actions include 
    the title IV NOX reduction program. Though these actions are 
    very cost effective, the Agency is focusing on what other measures 
    exist, at a potentially higher (though still not the highest 
    reasonable) cost effectiveness, that can further reduce NOX 
    emissions. Table II-3 is thereby useful as a reference of the next 
    higher level of NOX reduction cost effectiveness that the 
    Agency considers among the most reasonable to undertake. As a result, 
    the Agency concludes that NOX controls that can feasibly be 
    achieved and have an average subcategory-specific cost effectiveness 
    less than $2,000 per ton of NOX removed are highly cost 
    effective. The subcategories that EPA intends to control are those 
    major stationary sources in the named categories for which EPA finds 
    that these highly cost-effective controls are available.
    2. Determining the Cost Effectiveness of NOX Controls
        In an effort to determine what, if any, highly cost-effective mix 
    of controls is available for each subcategory (i.e., large EGUs, large 
    non-EGUs, large process heaters, and small sources) the Agency 
    considered the average cost effectiveness of alternative levels of 
    controls for each subcategory as described in the final NOX 
    SIP call (see 63 FR at 57400). That analysis is summarized below.
    
    [[Page 28300]]
    
        For purposes of this final rule, EPA is using cost-effectiveness 
    numbers developed for the final NOX SIP call. When EPA 
    finalizes its source-specific inventory data (as discussed in section I 
    above), EPA will revise the cost estimates for this action in 
    conjunction with promulgation of the trading portion of this section 
    126 rulemaking. The EPA does not anticipate that the revised cost-
    effectiveness numbers will be significantly different from those in 
    today's action. This is due to the fact that unit-specific changes on 
    the inventory should be minimal. For example, EGU units should not 
    change significantly because the information used for NOX 
    SIP call inventory was based on CEM data. For non-EGUs, EPA anticipates 
    a small decrease in the number of affected sources as units move from 
    the large to small category. In addition, EPA concludes that the cost 
    of controls and reductions achievable do not vary significantly across 
    the region and removing the three States that are in the NOX 
    SIP call, but not in today's section 126 action, should not impact the 
    regionwide average cost effectiveness. This is due to the fact that 
    cost-effectiveness numbers assume trading among sources. Therefore, 
    today's rule will use the cost-effectiveness numbers developed for the 
    NOX SIP call.
        As part of today's action, the Agency is describing the interim 
    final emission limitations that will be imposed in the event that a 
    section 126 finding is made and the Agency does not promulgate the 
    Federal NOX Budget Trading Program before such finding (see 
    Section IV.D below for further discussion). The EPA notes that the 
    cost-effectiveness analysis summarized below applies to the Federal 
    NOX Budget Trading Program and not the interim final 
    emission limitations. EPA is committed to establishing final 
    allocations and trading program provisions by July 15, 1999, well 
    before the date that sources need to comply with this action (May 
    1 ,2003), and thus, the cost-effectiveness analysis presented is 
    appropriate for today's rulemaking.
        The average cost effectiveness of the controls was calculated from 
    a baseline level that included all currently applicable Federal or 
    State NOX control measures for each subcategory. The 
    baseline did not include Phase II and Phase III of the OTC 
    NOX MOU since those measures are not Federally required and 
    they have not yet been adopted by all the involved States;28 
    if the OTC NOX MOU were included in the baseline, the 
    overall costs would be lower. In determining the cost of NOX 
    reductions from large EGUs, EPA assumed a multi-state cap-and-trade 
    program. As discussed in the final NOX SIP call (see 63 FR 
    at 57400), EPA evaluated and compared the likely air quality impacts 
    both with and without a multi-state NOX cap-and-trade 
    program for electricity generating sources. This analysis showed that a 
    multi-state trading program causes no significant adverse air quality 
    impacts. Because such a program would result in significant cost 
    savings, EPA's cost-effectiveness determination for large EGUs (i.e., 
    the majority of the core group of sources in the trading program) 
    assumes sources will participate in a multi-state trading 
    program.29 For non-EGU sources, EPA used a least-cost method 
    which is equivalent to an assumption of an intrastate trading program. 
    Under this method, the least costly controls, in terms of total annual 
    cost per ozone season ton removed, across the entire set of possible 
    source-control measure combinations are selected in order until the 
    required NOX emission budget is achieved. Inclusion of non-
    EGU sources in a multi-state trading program would provide further cost 
    savings.
    ---------------------------------------------------------------------------
    
        \28\ In the Regulatory Impact Analysis of the final 
    NOX SIP call, EPA evaluates an additional option of the 
    economic impact of including the Phase II and III OTC NOX 
    MOU in the baseline for the electric power industry.
        \29\ Large EGUs in States covered by (1) the NOX 
    Budget Trading program under the section 110 NOX SIP 
    call, (2) the section 110 FIP, or (3) section 126, will be able to 
    trade among each other.
    ---------------------------------------------------------------------------
    
        Table II-4 summarizes the control options investigated for each 
    subcategory covered by the petitions and the resulting average, multi-
    state cost effectiveness as presented in EPA's final NOX SIP 
    call (see 63 FR at 57401). Additionally, the cost effectiveness 
    analysis included a consideration of each subcategory's growth, 
    including new sources. Thus, the control levels arrived at are also 
    cost-effective for new sources.
    
          Table II-4.--Average Cost Effectiveness of Options Analyzed a
                             [1990 dollars in 2007]
    ------------------------------------------------------------------------
                                                              Average cost
                                                           effectiveness  ($/
                       Source category                     ozone season ton)
                                                            for each control
                                                                 option
    ------------------------------------------------------------------------
    Large EGUs:
      0.20 lb/mmBtu......................................             $1,263
      0.15 lb/mmBtu......................................              1,468
      0.12 lb/mmBtu......................................              1,760
    Large Non-EGUs:
      50% reduction......................................              1,235
      60% reduction......................................              1,467
      70% reduction......................................              2,140
    Process Heaters b:
      $3,000/ton maximum per source......................              2,860
      $4,000/ton maximum per source......................              2,896
      $5,000/ton maximum per source......................              2,896
    ------------------------------------------------------------------------
    a The cost-effectiveness values in Table II-4 are regionwide averages.
      The cost-effectiveness values represent reductions beyond those
      required by title IV or title I RACT, where applicable.
    b For process heaters, the table indicates that the same control
      technology (at the same cost) would be selected whether the cost
      ceiling for each source is $3,000, $4,000, or $5,000 per ton; thus the
      average cost-effectiveness number for this source category is the same
      in each column.
    
        The following discussion explains the control levels determined by 
    EPA to be highly cost effective for each subcategory.
    a. Large EGUs
        As proposed (63 FR at 56306), for large EGUs, the control level was 
    determined by applying a uniform NOX emissions rate across 
    the 23 jurisdictions of the NOX SIP call which includes the 
    jurisdictions potentially subject to section 126 findings. The cost 
    effectiveness for each control level was determined using the IPM. 
    Details regarding the methodologies used can be found in the Regulatory 
    Impact Analysis. Table II-4 summarizes the control levels and resulting 
    cost effectiveness of three levels analyzed.
        A regionwide level of 0.20 lb/mmBtu was rejected because, though it 
    resulted in an average cost effectiveness of less than $2,000 per ton, 
    the air quality benefits were less than those for the 0.15 lb/mmBtu 
    level, which was also less than $2,000 per ton.
        Some commenters supported a control level based on 0.12 lb/mmBtu. 
    The EPA estimates that a control level based on 0.12 lb/mmBtu has a 
    cost effectiveness of $1,760 per ozone season ton removed, which is 
    within the upper range of cost effectiveness. This estimate is based on 
    the Agency's best estimates of several key assumptions on the 
    performance of pollution control technologies and electricity 
    generation requirements in the future. While the record strongly 
    supports EPA's
    
    [[Page 28301]]
    
    determination that a 0.15 lb/mmBtu trading program beginning in 2003 
    will not lead to installation of SCR technology at a level and in a 
    manner that will be difficult to implement or that will result in 
    reliability problems for electric power generation, the record is not 
    as clear with regard to a trading program based on a 0.12 lb/mmBtu 
    level (see Section II.K below for discussion of reliability and section 
    III.C for discussion of compliance date). Although 0.12 lb/mmBtu is 
    technically achievable, the record had data from only one boiler 
    achieving that level, Birchwood Unit I in Virginia. (See Performance of 
    Selective Catalytic Reduction on Coal-Fired Steam Generating Units, 
    EPA, June 25, 1997.)
        With a strong need to implement a program by 2003 that is 
    recognized by the States as practical, necessary, and highly cost 
    effective, the Agency has decided to base the emissions budgets for 
    EGUs on a 0.15 lb/mmBtu trading level of control. This control level 
    has an average cost effectiveness of $1,468 per ozone season ton 
    removed 30. This amount is consistent with the range for 
    cost effectiveness that EPA has derived from recently adopted (or 
    proposed to be adopted) control measures.
    ---------------------------------------------------------------------------
    
        \30\ It should be noted that in the final NOX SIP 
    call, EPA also investigated the regionwide cost effectiveness of 
    NOX reductions if each State individually met the budget 
    component for large electricity generting boilers and turbines 
    (i.e., through intra-State trading). In the case of the 0.15 lb/
    mmBtu strategy, intra-State trading resulted in a regionwide cost 
    effectiveness of $1,499/ton compared to $1,468/ton for regionwide 
    trading.
    ---------------------------------------------------------------------------
    
    b. Large Non-EGUs
        As proposed (63 FR at 56306), EPA determined a highly cost-
    effective control level for large non-EGUs by applying a uniform 
    percent reduction in increments of 10 percent. Details regarding the 
    methodologies used are in the Regulatory Impact Analysis. Table II-4 
    summarizes the control levels and resulting cost effectiveness for non-
    EGUs.
        For large non-EGUs, the cost-effectiveness determination includes 
    estimates of the additional emissions monitoring costs that sources 
    would incur in order to participate in a trading program. Some non-EGUs 
    already monitor their emissions. These costs are defined in terms of 
    dollars per ton of NOX removed so that they can be combined 
    with the cost-effectiveness figures related to control costs. 
    Monitoring costs for large non-EGU boilers and turbines are about $160 
    per ton of NOX removed.
        Based on this information, the EPA determines that for large non-
    EGUs, a control level corresponding to 60 percent reduction from 
    baseline levels is highly cost effective (this percent reduction 
    corresponds to a regionwide average control level of about 0.17 lb/
    mmBtu).
    c. Large Process Heaters
        For large process heaters, the control level was determined by 
    applying various cost-effectiveness thresholds, because trading was not 
    assumed to be readily available for this subcategory. Details regarding 
    the methodologies used are in the Regulatory Impact Analysis. Table II-
    4 summarizes the control levels and resulting cost effectiveness for 
    each option under this subcategory.
        At proposal (see 63 FR at 56306), EPA determined that controlling 
    process heaters, though reasonably cost effective, is not highly cost 
    effective because all the options analyzed for these source categories 
    cost more than $2,000 per ton of NOX removed. Thus, EPA 
    concluded that these sources do not emit in amounts that significantly 
    contribute to petitioning States' nonattainment or maintenance 
    problems.
        One commenter objected to EPA's proposed denial of section 126 
    petition with respect to large process heaters. The commenter argued 
    that implementation of the regional NOX budget program 
    adopted by the OTC indicates that a trading program is readily 
    available for such sources within the OTC. If such a program is 
    available in the OTC, the commenter questions why such a program is not 
    being imposed on sources under section 126.
        Although a trading program is available for process heaters under 
    the OTC, EPA has determined that controlling process heaters across the 
    entire region covered by section 126 is not highly cost effective. If 
    EPA were to include monitoring costs in its cost-effectiveness number 
    and assume that a trading program would achieve a 30 percent reduction 
    in the cost-effectiveness number, controlling process heaters would 
    still cost more than $2,000 per ton of NOX removed. Thus, 
    for today's final rule, EPA concludes that process heaters do not emit 
    in amounts that significantly contribute to petitioning States' 
    nonattainment or maintenance problems.
    d. Small Sources
        At proposal (see 63 FR at 56306), for the subcategory of small 
    sources, EPA has determined that additional control measures or levels 
    of control are not highly cost effective and appropriate to mandate. 
    For the purposes of this rulemaking, EPA generally considers the 
    following sizes of point sources to be small: (1) electricity 
    generating boilers and turbines serving generators 25 MWe or less, and 
    (2) other indirect heat exchangers with a heat input of 250 mmBtu/hr or 
    less (see section I above for further discussion).
        One commenter objected to EPA's denial of section 126 petitions 
    with respect to EGUs between 15 and 25 MWe. The commenter advocated 
    capping such sources at 1990 levels consistent with the OTC 
    NOX MOU. The commenter argued that this action would not 
    require additional controls in a market driven NOX control 
    program.
        In the NOX SIP call (see 63 FR at 57402), EPA found that 
    the collective emissions from small sources were relatively small (in 
    the context of that rulemaking) and the administrative burden, to the 
    permitting authority and to regulated entities, of controlling such 
    sources was likely to be considerable. Even if EPA were not to apply 
    additional controls beyond capping small sources at 1990 levels, there 
    would be administrative costs that would be considerable in comparison 
    to the emissions reductions gained. Thus, this level of control is not 
    highly cost effective and appropriate to mandate. Furthermore, EPA 
    notes that the 25 MWe is approximately equivalent to 250 mmBtu/hr used 
    for small non-EGUs.
        In today's action, for the same reasons as described in the final 
    NOX SIP call, EPA concludes that small sources do not emit 
    in amounts that significantly contribute to petitioning States' 
    nonattainment or maintenance problems.
    e. Summary of Control Measures
        Table II-5 summarizes the controls that are assumed for each 
    subcategory.
    
       Table II-5.--Summary of Feasible, Highly Cost-Effective NOX Control
                                    Measures
    ------------------------------------------------------------------------
                    Subcategory                       Control measures
    ------------------------------------------------------------------------
    Large EGUs................................  State-by-State ozone season
                                                 emissions level (in tons)
                                                 based on applying a NOX
                                                 emission rate of 0.15 lb/
                                                 mmBtu on all applicable
                                                 sources assuming historic
                                                 ozone season heat input and
                                                 adjusting for growth to
                                                 year 2007.
    
    [[Page 28302]]
    
     
    Large Non-EGUs............................  State-by-State ozone season
                                                 emissions level (in tons)
                                                 based on applying a 60
                                                 percent reduction from
                                                 uncontrolled emissions on
                                                 all applicable sources
                                                 assuming uncontrolled ozone
                                                 season emissions and
                                                 adjusting for growth to
                                                 year 2007.
    Large Process Heaters.....................  No additional controls
                                                 highly cost effective.
    Small Sources.............................  No additional controls
                                                 highly cost effective.
    ------------------------------------------------------------------------
    
    K. Feasibility of NOX Control Implementation Date
    
        Some commenters asserted that a compliance deadline of May 2003 is 
    infeasible for completing the installation of the assumed 
    NOX controls. Some commenters argued that there are not 
    enough materials and suppliers to install NOX controls by 
    the May 2003 deadline. Other commenters expressed concern that 
    utilities will not have sufficient time to install NOX 
    controls without causing electrical power outages; these commenters 
    stated that such power outages would have adverse impacts on the 
    reliability of the electricity supply. Commenters also expressed 
    concern about the technologies EPA assumed could be used to meet the 
    2003 deadline and the cost assumptions for NOX control 
    technology.
        As part of the NOX SIP call, the Agency conducted a 
    detailed examination of the feasibility of installing the 
    NOX controls that EPA assumed in developing the emissions 
    budgets for the affected States. See Feasibility of Installing 
    NOX Control Technologies By May 2003, EPA, Office of 
    Atmospheric Programs, September 1998. The Agency's findings are 
    summarized in the NOX SIP call final rule (63 FR at 57447). 
    Based on these findings, EPA believes that the compliance date of May 
    1, 2003 for NOX controls to be installed to comply with this 
    section 126 rulemaking is a feasible and reasonable deadline.
        Furthermore, several utility plants have already begun installation 
    of SCR retrofits, indicating the ability of electric utilities to meet 
    the compliance date for the NOX SIP call without system 
    reliability concerns. These projects are summarized in Table II-6 
    below. For instance, the Tennessee Valley Authority (TVA) has publicly 
    announced its schedule to have all its units comply with the 
    NOX SIP call by 2003. This is quite significant, since TVA 
    operates more than 7 percent of the coal-fired capacity in the 
    NOX SIP call Region.
    
                                       Table II-6.--Planned SCR Retrofit Projects
    ----------------------------------------------------------------------------------------------------------------
                                                                Unit size
                  Utility                       Plant              (MW)            Fuel              Outage date
    ----------------------------------------------------------------------------------------------------------------
    TVA...............................  Allen 1..............          300  Coal..............  Spring 2001.
                                        Allen 2..............          300  Coal..............  Spring 2002.
                                        Allen 3..............          300  Coal..............  Fall 2001.
                                        Bull Run.............          900  Coal..............  Spring 2003.
                                        Cumberland 1.........         1300  Coal..............  Spring 2003.
                                        Cumberland 2.........         1300  Coal..............  Fall 2002.
                                        Paradise 1...........          700  Coal..............  Fall 2000.
                                        Paradise 2...........          700  Coal..............  Spring/Fall 1999.
                                        Widows Creek 2.......          141  Coal..............  Spring 2003.
                                        Widows Creek 7.......          575  Coal..............  Spring 2002.
    AES...............................  Kintigh..............          655  Coal..............  Before 2003.
    Associated Electric Cooperative...  New Madrid 1.........          600  Coal..............  Before 2003.
                                        New Madrid 2.........          600  Coal..............  Fall 1999.
    Edison Mission Energy.............  Homer City 1.........          660  Coal..............  Before 2003.
                                        Homer City 2.........          660  Coal..............  Before 2003.
                                        Homer City 3.........          692  Coal..............  Before 2003.
    ----------------------------------------------------------------------------------------------------------------
    
        In addition, one commenter agrees that the controls are feasible in 
    terms of their supply, the time available for the needed installation 
    and the availability of vendors to effectively install them. The 
    commenter has assessed the feasibility of NOX SIP call 
    compliance by the affected sources in the context of electric system 
    reliability, as explained in a report Electric System Reliability--A 
    Red Herring to Delay Clean Air Progress, Ozone Attainment Coalition, 
    September 1998. This report shows that, even with conservative 
    assumptions about outage periods for the installation of SCR controls, 
    compliance with the SIP call can be achieved in aggregate by the 
    affected sources. Furthermore, the commenter has completed additional 
    analysis that concludes that SIP call compliance is a manageable 
    situation that will be accomplished during the non-peak periods of 
    electricity demand. The analysis estimates that SCR can be installed on 
    255 electric utility units as compared to EPA's estimate of 142 units 
    (see Electric System Reliability and the NOX SIP Call, Ozone 
    Attainment Coalition, Draft Report, April 1999).
        The Agency is also providing compliance flexibility to sources for 
    the 2003 and 2004 ozone seasons by establishing State compliance 
    supplement pools. (See section IV.C.1.c for further discussion of 
    compliance supplement pool.)
        The EPA also concludes from the German experience that reliability 
    should not be a problem. In the mid-1980s, West Germany required every 
    plant to meet a NOX emission rate of about 0.16 lb/mmBtu, 
    every half-hour all year long. Within a 3-year period, West Germany 
    retrofitted more than 80 percent of its coal-fired power plants with 
    SCR. The retrofitted, coal-fired plants represented about 33 percent of 
    the overall generation capacity of Germany, compared to 27 percent of 
    the U.S. in the final NOX SIP call (under section 126 this 
    percentage will be less since the rule covers three less States). 
    During this time, no brownouts are known to have occurred as a result 
    of the SCR retrofits, even though West German plants tend to have more 
    space restrictions than U.S. plants and it was
    
    [[Page 28303]]
    
    much more difficult for West Germany to import power from other 
    countries.
    1. Cost Assumptions for SCR
        One commenter has argued that the costs for installation of SCR are 
    50 percent greater than EPA's estimate and that SCR does not achieve 
    NOX removal greater than 83 percent. The commenter did not 
    provide the basis for its estimates.
        The EPA maintains that SCR systems are achieving 90 percent or 
    greater NOX removal in applications demonstrated worldwide. 
    The SCR is a proven technology used to significantly reduce 
    NOX emissions from more than 300 sources in the U.S., and 
    more than 500 sources worldwide. By proper catalyst selection and 
    system design, NOX removal efficiencies exceeding 90 percent 
    can be achieved. In practice, commercial SCR systems often meet control 
    targets of over 90 percent. For further discussion see White Paper--
    Selective Catalytic Reduction (SCR) for Controlling NOX 
    Emissions, ICAC, 1997.
        The SCR control assumptions used by EPA are supported by actual SCR 
    applications. The Northeast States for Coordinated Air Use Management 
    (NESCAUM) and the Mid-Atlantic Regional Air Management Association 
    (MARAMA) prepared a comprehensive report on the status of technologies 
    to reduce emissions of NOX from electric utility boilers. 
    The report relied on real-world cost and operating experience from 
    actual installations of advanced NOX control technologies 
    (including SCR) at fourteen U.S. facilities involving 52 coal and gas/
    oil-fired boilers. The report results demonstrate that available 
    technologies can achieve significant NOX emissions 
    reductions both cost effectively and reliably. The report states that 
    NOX emission rates of 0.15 and as low as 0.08 lb/mmBtu were 
    achieved at a cost of $400 to about $1500/ton. (See Status Report on 
    NOX Control Technologies and Cost Effectiveness for Utility 
    Boilers, Staudt, James E., NESCAUM/MARAMA Report, June 1988.) Note that 
    capital costs reported are comparable to EPA capital costs which were 
    given at $50-70/kW (in 1997 dollars). (See Analyzing Electric Power 
    Generation Under the CAAA, EPA, March 1998.)
        The EPA used the information available from the existing retrofit 
    at Merrimack Unit 2 to corroborate its costing methodology. For this 
    330 MW cyclone-fired installation, designed for a 65 percent 
    NOX removal efficiency, the total capital cost was reported 
    to be $55/kW and cost effectiveness was $400/ton of NOX 
    removed (see NESCAUM/MARAMA Report, June 1988). This cost included the 
    addition of a significant amount of additional ductwork and support 
    steel required for this retrofit because of unusual space limitations. 
    The baseline NOX emission rate for this unit was also 
    unusually high (2.66 lb/mmBtu), thus requiring a relatively large and 
    expensive ammonia handling system. The capital cost estimate for the 
    Merrimack Unit 2 retrofit using EPA's cost model was $68.53/kW, which 
    was over 20 percent higher than the $55/kW actual cost reported. Thus, 
    this comparison confirms the conservatism of the EPA's cost methodology 
    and contingencies built into it.
    2. Technology Deployment
        Commenters maintained that EPA has overestimated the amount of SCNR 
    that will be installed as a result of the section 126 action. First, 
    commenters argued that SNCR NOX removal is between 15 and 35 
    percent, as opposed to EPA's estimate of 40 percent. Second, commenters 
    disagreed with EPA's assertion that there are no limits to the unit 
    capacity for commercial application of SNCR. Commenters maintained that 
    SNCR is limited to units with capacities no higher than 325 MW.
        The EPA maintains that SNCR NOX reduction of 40 percent 
    is attainable and represents the mid-range efficiency achieved in 
    current utility boiler applications. The SNCR has been commercially 
    used on electric utility boilers to achieve in excess of 60 percent 
    NOX reduction while maintaining ammonia slip below 10 ppm. 
    (See NESCAUM and MARAMA, June 1998, Attachment C, p. 42.) Although this 
    performance may not be possible for every boiler, careful assessment of 
    factors impacting boiler performance (such as initial NOX 
    level, furnace temperature, flue gas flow and NOX 
    distribution profiles at various operating load conditions, and access 
    for injection of reagent) can result in increased NOX 
    reduction efficiency and reduced ammonia slip from SNCR systems. 
    Reported literature indicates that SNCR control efficiency on the 
    installed utility boilers ranges predominantly from 30 to 60 percent. 
    (See White Paper--Selective Non-Catalytic Reduction (SNCR) for 
    Controlling NOX Emissions, ICAC, 1997, p. 18.) Based on the 
    demonstrated experience in the electric utility and other industry, EPA 
    has suggested use of SNCR as a cost-effective option to achieve desired 
    emissions reductions. The EPA does not require use of SNCR and 
    acknowledges that some of the affected facilities may choose to install 
    SCR instead of SNCR and reduce emissions over and above what is 
    required by the NOX SIP call, as part of their compliance 
    and economic strategies.
        The EPA also maintains that there are no limits to the unit 
    capacity for commercial application of SNCR. The size of the boiler 
    does not limit the ability to inject SNCR reagent into the combustion 
    gas flow to achieve NOX reductions, as demonstrated by 
    applications worldwide. The SNCR is a fully commercial NOX 
    reduction technology, with application of ammonia and urea-based 
    processes at approximately 300 installations worldwide, ranging up to 
    822 MW in size and covering a wide array of stationary combustion units 
    firing a variety of fuels. (See White Paper--Selective Non-Catalytic 
    Reduction (SNCR) for Controlling NOX Emissions, ICAC, 1997, 
    pp. 17-26.) Industrial boilers, process units, and municipal combustors 
    make up the largest share of commercial SNCR installations in the U.S. 
    This distribution appears to be a result of NOX control 
    regulations in place rather than SNCR's technical limitations. In the 
    U.S., the largest urea-based SNCR has been commercially applied to a 
    320 MWe pulverized coal-fueled, wall-fired electric utility boiler. 
    However, there are various commercial urea-based SNCR contracts in 
    place for larger units (e.g., one unit is as large as 620 MWe). (See 
    NESCAUM/MARAMA Report, June 1998, Attachment C, p. 44.) Additionally, 
    literature shows that one technology vendor has conducted a computer 
    simulation of SNCR application on some large size boilers and is 
    extending commercial performance guarantees for the same. (See CFD 
    Modeling of Urea-Based SNCR and Hybrid Performance on Large Utility 
    Boilers, Comparato, J.; Boyle, J.; and Michaels, W., ICAC Forum 1998, 
    pp. 1-8.) Based on this information, it is reasonable to conclude that 
    commercially available SNCR technology can be applied to large boilers, 
    and therefore, costs for utility NOX reductions have not 
    been underestimated.
        To further address concerns on the potential size limitations for 
    SNCR raised by the commenters, EPA conducted a sensitivity analysis 
    using the IPM as part of the final NOX SIP call. In this 
    analysis, SNCR was applied to boilers 200 MWe or smaller only. This is 
    a conservative assumption considering application of SNCR on a boiler 
    as large as 320 MW has already been demonstrated. Additionally, it was 
    assumed that SNCR NOX reduction efficiency would be 35 
    percent for sources which emit NOX (prior to the
    
    [[Page 28304]]
    
    application of SNCR) at levels of equal to or more than 0.5 lb/mmBtu. 
    The SNCR efficiency was assumed to be limited to 30 percent for sources 
    which emit NOX (prior to the application of SNCR) at levels 
    less than 0.5 lb/mmBtu (i.e., low-emitting sources).
        Results of the IPM sensitivity simulation, showed less of SNCR and 
    more of SCR is needed to achieve the required NOX budget 
    contributions. Specifically, there is a decrease of 33.3 gigawatts (GW) 
    of SNCR on coal-fired units and an increase of 24.7 GW of SCR 
    installation on coal-fired units. Cost of compliance for EGUs under the 
    sensitivity scenario are estimated to be about $1746 (1990 dollars) per 
    ton of NOX removed in 2007. Thus, even with reduced use and 
    effectiveness of SNCR, it is highly cost effective for EGUs to comply 
    with the section 126 requirements.
        In addition to the cost of compliance, EPA examined the feasibility 
    of implementing the retrofits by September 2002 for the sensitivity 
    scenario. The IPM projections revealed that, in general, one to three 
    SCR or SNCR installations per plant would be expected. However, at one 
    plant a maximum of six SCR systems may be required. Based on these 
    projections and EPA's analysis of control technology retrofitting 
    schedules, it is reasonable to conclude that all of the necessary 
    engineering and air permitting activities can be accomplished by 
    September 2002.
        Based on the above discussion, limiting SNCR applicability and 
    NOX control efficiency would not affect the feasibility of 
    implementing the controls by May 2003. Moreover, compliance with the 
    section 126 requirements would still be cost effective.
    3. Catalyst Supply
        One commenter has argued that EPA's estimates on the availability 
    of SCR catalyst are flawed because the Agency is underestimating the 
    number of EGUs that will be employing SCR technology.
        The EPA has determined that ample supply of catalyst exists. One 
    major catalyst vendor has recently announced its plans to build a new 
    catalyst manufacturing plant by mid-year 2000, thus increasing the 
    current supply of available catalyst. In addition, a study of catalyst 
    availability during the NOX SIP call had concluded that 
    adequate capacity of SCR catalyst supply is believed to be available to 
    satisfy the demand that may result from the projected SCR 
    installations. (See Feasibility of Installing NOX Control 
    Technologies by May 2003, EPA, September 1998.) In addition, as 
    discussed above, EPA conducted a sensitivity analysis limiting SNCR 
    applicability and assuming a lower SNCR NOX reduction 
    efficiency. Even with the increase in projected SCR capacity under the 
    sensitivity scenario, the excess capacity in catalyst supply would be 
    sufficient to meet the demand over an implementation period of less 
    than 3 years. Given the findings of the sensitivity analysis and the 
    plans for building an additional catalyst plant, EPA infers there will 
    be sufficient catalyst supply for increased SCR installations.
    4. Outage Periods
        One commenter has submitted information reflecting that SCR 
    retrofits expected to result from the final rule could be placed in 
    three categories: cases with modest retrofit difficulty, cases with 
    intermediate retrofit difficulty, and cases with challenging retrofit 
    difficulty. The commenter suggested that a modestly difficult retrofit 
    will require about 4-6 weeks of outage for completing SCR installation; 
    a retrofit with intermediate difficulty will need 8-12 weeks; and a 
    challenging retrofit will need more than 14 weeks of outage.
        The EPA has examined the information submitted by the commenter and 
    determined that this information is unsupported and speculative. The 
    commenter asserts that the length of the outage periods to install SCR 
    will vary, depending upon the size of the affected units and the degree 
    of access. According to the commenter, small units with reasonable 
    access will be modestly difficult retrofits. The commenter fails to 
    show a logical connection between the size of a unit and the degree of 
    retrofit difficulty in the case of an SCR installation, where the 
    emission controls are in a separate structure adjacent to the unit 
    itself. In EPA's view, a large unit with relatively unconstrained plant 
    layout may be easier to retrofit compared to a small unit with a 
    relatively constrained layout.
        The commenter provides an example of a hypothetical ``intermediate 
    retrofit difficulty case'' in which access to the unit is constrained. 
    In this example, the commenter lists the activities to be completed and 
    the volume of material needed but does not provide any data relating 
    these activities to the time needed to complete them. In the absence of 
    this data, the commenter's claimed outage period for the example is 
    unsupported. However, EPA notes that in any construction project (such 
    as SCR retrofit), multiple activities can be conducted concurrently 
    and, if needed, more personnel can be deployed to expedite the project. 
    Therefore, even assuming, for the sake of argument, the commenter's 
    categorization of retrofit difficulty has some merit, the relationship 
    of this categorization to outage requirement is unsupported. The 
    commenter's assertion that the vast majority of SCR retrofits will be 
    of intermediate retrofit difficulty also is unsupported.
        The EPA also notes that a large utility in Germany, which also 
    supplies SCR systems, completed each of its SCR retrofits in about 4 
    weeks. This utility also has informed EPA that SCR retrofit-related 
    work can be spread over two or three outages. (See Feasibility of 
    Installing NOX Control Technologies By May 2003, September 
    1998.) By spreading retrofit work over a few outages, if necessary, 
    plants would be able to avoid causing any impacts on the reliability of 
    electricity supply.
        The EPA used IPM to look into the sensitivity of a number of the 
    model's assumptions, as discussed in Feasibility of Installing 
    NOX Control Technologies by May 2003. One of the sensitivity 
    runs considered the installation of 63 GW in 1 year and an increase of 
    the planned outage period to 9 weeks. This run can also be considered a 
    representation of the installation of 189 GW of SCR at coal-fired units 
    over a 3-year period (more than the commenter assumes will occur) with 
    9 weeks of planned outages each year (10 percent less than what the 
    commenter assumes will occur on average). In this sensitivity scenario, 
    increasing the amount of planned outage did not threaten the stability 
    of the power supply (deduced from the fact that no new units were built 
    in IPM simulations). What does occur is some shifting of power between 
    regions in and around the SIP call region, decisions for later existing 
    unit retirement, and increased use of gas-fired units and an overall 
    result of some increased cost of electricity production, but no 
    conditions that would necessitate a blackout. The total costs over 3 
    years amount to a small increase of about 1.3 percent in overall costs. 
    The increase in costs were found to be related to the need to 
    substitute available, idle power plants for those units taken off line, 
    which are more expensive to run.
    
    L. Air Quality Assessment
    
        In the proposal, EPA relied on air quality modeling in the final 
    NOX SIP call to evaluate the ozone benefits in the 
    petitioning States of NOX controls proposed in today's 
    action. That modeling was performed for the 23 jurisdictions covered in 
    the NOX SIP call to confirm that those States
    
    [[Page 28305]]
    
    collectively contribute significantly to downwind nonattainment. The 
    collective contribution of all the upwind States is one factor that 
    went into EPA's decision that each individual upwind State contributes 
    significantly to downwind nonattainment. The results of this modeling 
    indicate that the NOX controls applied to the sources in the 
    upwind States which make a significant contribution to nonattainment in 
    one or more of the petitioning States will provide substantial ozone 
    benefits in each of the petitioning States. As discussed below, the EPA 
    continues to believe that the results of that modeling analysis are 
    valid for the purpose of today's rulemaking, as well.
        The modeling cited at proposal was based on UAM-V model runs for a 
    2007 Base Case and a control scenario designed to evaluate the effects 
    of NOX controls very similar to those in today's rulemaking 
    on nonattainment in downwind States, including each of the petitioning 
    States. The details of this modeling are described in the final 
    NOX SIP call rulemaking. Several commenters stated that this 
    modeling does not isolate the effects on ozone in the petitioning 
    States of controls applied outside the Northeast. As part of the 
    NOX SIP call rulemaking, EPA performed model runs which 
    provide the type of assessment similar to that requested by the 
    commenters. This modeling included a comparison of two control 
    scenarios. One scenario is identified above as having NOX 
    controls applied across all 23 jurisdictions. The other scenario 
    included the application of these same NOX controls in the 
    Northeast only. The difference in ozone predictions between these two 
    scenarios shows the effects in the Northeast of NOX controls 
    applied outside this region. A full description of this modeling and 
    the metrics used to evaluate the results are described in the final 
    NOX SIP call rulemaking.
        The results indicate that controls similar to those in today's 
    rulemaking will produce large reductions in ozone concentrations in the 
    petitioning States. For example, the number of modeled exceedences of 
    the 1-hour NAAQS that are reduced by upwind controls include a 16 
    percent reduction in New York City, a 38 percent reduction in 
    Philadelphia, and 43 percent reduction in western Massachusetts. Also, 
    for the 8-hour NAAQS, the number of exceedences reduced by upwind 
    controls is 7 percent in New York, 10 percent in Massachusetts, and 32 
    percent in Pennsylvania. Thus, the results of this modeling indicate 
    that the proposed NOX controls applied to the sources in the 
    upwind States proposed as making a significant contribution to 
    nonattainment in one or more of the petitioning States will provide 
    substantial ozone benefits downwind in the petitioning States.
        The EPA recognizes that the amount of emissions reduction in the 
    modeled strategy is not identical to the amount of emissions reduction 
    in today's rulemaking. There are three additional upwind States (i.e., 
    Georgia, South Carolina, and Wisconsin) which are controlled in the 
    modeled strategy that are not covered by today's rulemaking. The 
    difference in the total NOX emission reductions for the 20 
    jurisdictions covered by today's rule between what was assumed in the 
    23 jurisdiction modeling is 11 percent. These three States were covered 
    in the NOX SIP call because of their contributions to States 
    other than the petitioning States. Since EPA believes that emissions 
    from sources in these States do not contribute significantly to 
    nonattainment in any of the petitioning States, it is reasonable to 
    assume that emissions reductions in these States will not have any 
    appreciable impact on nonattainment in any of the petitioning States.
    
    III. EPA's Final Action on Granting or Denying the Petitions
    
        The EPA is taking final action on the section 126 petitions based 
    on the outcome of the multi-step process described in the preceding 
    section. The EPA's action consists of three components: (1) Technical 
    determinations of whether upwind sources or source categories named in 
    each of the petitions significantly contribute to nonattainment (of the 
    1-hour or 8-hour standard) or interfere with maintenance (of the 8-hour 
    standard) in the relevant petitioning State; (2) for those sources or 
    source categories for which EPA is making an affirmative technical 
    determination, action specifying when a finding that those sources emit 
    or would emit in violation of the section 110(a)(2)(D)(i)(I) 
    prohibition will be deemed made or not made (or made but subsequently 
    withdrawn) if certain events occur for purposes of section 126(b); and 
    (3) the specific emissions-reduction requirements that will apply when 
    such a finding is deemed made. Each of these actions is described 
    below. Under this final action, new and existing large EGUs and large 
    non-EGUs in 19 upwind States and the District of Columbia are 
    potentially subject to a future section 126(b) finding and therefore to 
    the requirements set forth in this final rule.
    
    A. Technical Determinations
    
        First, EPA is making final affirmative technical determinations as 
    to which of the new (or modified 31) or existing major 
    sources or groups of stationary sources named in each petition emit or 
    would emit NOX in amounts that contribute significantly to 
    nonattainment of the 1-hour or 8-hour standard in (or interfere with 
    maintenance of the 8-hour standard by) each petitioning State. The 
    regulatory text of today's rule sets forth each of the affirmative 
    technical determinations for sources named in each petition.
    ---------------------------------------------------------------------------
    
        \31\ Whenever the word ``new'' is used in relation to sources 
    affected by this rule, it includes both new and modified sources.
    ---------------------------------------------------------------------------
    
        In short, for each petition, with respect to each ozone standard 
    (as specifically requested in the petition), EPA is making affirmative 
    technical determinations of significant contribution (or interference) 
    for those large EGU and large non-EGU sources for which highly cost-
    effective controls are available (as described in Section II.J.), to 
    the extent those sources are located in one of the ``Named Upwind 
    States'' corresponding to that petition in Tables II-1 and II-2. Thus, 
    to illustrate, for the petition from New York, EPA is making an 
    affirmative technical determination that large EGUs and large non-EGUs 
    that are located or would be located in the named portions of Delaware, 
    the District of Columbia, Indiana, Kentucky, Maryland, Michigan, New 
    Jersey, North Carolina, Ohio, Pennsylvania, Virginia, and West Virginia 
    emit, or would emit, NOX in amounts that contribute 
    significantly to nonattainment of the 1-hour standard in the State of 
    New York. (By contrast, EPA is determining that such sources located in 
    Tennessee, which New York also named in its petition, do not emit 
    NOX in amounts that significantly contribute to 
    nonattainment problems in the State of New York.) The result is that 
    EPA is determining that the large EGUs and large non-EGUs in at least 
    some upwind States named in every petition except Vermont's and Rhode 
    Island's contribute significantly to nonattainment of at least one of 
    the standards (or interfere with maintenance of the 8-hour standard) in 
    the petitioning State. The EPA refers the reader to the regulatory text 
    for a full description of the final affirmative technical 
    determinations for each petition.
        The EPA notes that the Agency is not making final affirmative 
    technical determinations as to any sources located in Arkansas, Iowa, 
    Louisiana, Maine, Minnesota, Mississippi, New
    
    [[Page 28306]]
    
    Hampshire, and Vermont. For the States of Maine, New Hampshire, and 
    Vermont EPA has not completed sufficient modeling and other assessments 
    to enable the Agency to conclude that sources in any of those States 
    contribute significantly to nonattainment (or interfere with 
    maintenance) of an ozone standard in any downwind petitioning 
    State.32 In the final NOX SIP call, EPA stated 
    that it planned to conduct State-by-State modeling for these and 
    certain other States for which EPA does not currently have adequate 
    information. The EPA indicated it intended to begin the modeling in the 
    fall of 1998. However, in letters dated March 10, 1999, EPA notified 
    these States that, given the Agency's current resource contraints, it 
    would not be able to conduct the additional air quality modeling at 
    this time. Accordingly, for the present, EPA is denying, on the grounds 
    of inadequate information, the portions of the petitions from Maine, 
    New Hampshire, and Pennsylvania that request a finding of significant 
    contribution with regard to sources located in any of these three 
    States.
    ---------------------------------------------------------------------------
    
        \32\ Maine's petition named sources in Vermont and New 
    Hamsphire; New Hampshire's petition named sources in Maine, Vermont, 
    and Iowa; and Pennsylvania's petition named sources in Arkansas, 
    Iowa, Louisiana, Minnesota, and Mississippi.
    ---------------------------------------------------------------------------
    
        The EPA is also not making any affirmative technical determinations 
    regarding sources located in Georgia, South Carolina, Wisconsin, 
    Minnesota, Mississippi, Louisiana, Arkansas, and Iowa. For these 
    States, EPA has sufficient modeling results (and other technical 
    assessments) to enable it to conclude that these States do not 
    significantly contribute to downwind nonattainment or maintenance 
    problems in any of the petitioning States.33 Although, EPA 
    does not believe that sources in Georgia, South Carolina, and Wisconsin 
    are significantly contributing to nonattainment problems in any of the 
    petitioning States, EPA notes that it has determined in the NOx SIP 
    call rule that sources in these States are significantly contributing 
    to other States in the eastern half of the nation.
    ---------------------------------------------------------------------------
    
        \33\ As part of EPA's evaluation of contributions, two screening 
    criteria were used to identify those linkages that were definitely 
    not significant (i.e., a 4-episode average contribution <1 percent="" or="" a="" maximum="" contribution=""><2ppb). a="" linkage="" is="" considered="" insignificant="" if="" at="" least="" one="" of="" the="" two="" screening="" criteria="" is="" not="" met.="" the="" results="" of="" the="">x modeling are described in 
    the Air Quality Modeling Technical Support Document for the 
    NOx SIP Call. The CAMx modeling indicates that 
    the 1-hour and 8-hour contributions from Iowa to both New Hampshire 
    and Pennsylvania are below the 1 percent screening criteria for the 
    4-episode average contribution metric. Also, the CAMx 
    modeling for Louisiana and Mississippi and the multi-state group 
    containing Arkansas and Minnesota indicates that contributions from 
    these States to 1-hour nonattainment in Pennsylvania are below the 1 
    percent screening criteria. Given that EPA's significant 
    contribution test requires that an upwind area be determined to 
    significantly contribute based on both the CAMx and UAM-V 
    models, the fact that these States do not significantly contribute 
    based on CAMx modeling means that they could not be found 
    to significantly contribute even if they are found to be significant 
    under the UAM-V modeling. Thus, even though EPA has not conducted 
    State-specific UAM-V zero-out modeling for each of these States, the 
    1-hour and 8-hour linkages from Iowa to New Hampshire and 
    Pennsylvania and the 1-hour linkages from Arkansas, Louisiana, 
    Minnesota, and Mississippi to Pennsylvania are not significant 
    because these linkages do not pass the screening criteria for the 
    CAMx 4-episode average contribution metric. Note that the 
    contributions from Louisiana, Mississippi, and the multi-state 
    grouping containing Arkansas and Minnesota to 8-hour nonattainment 
    in Pennsylvania exceed the screening criteria. Thus, we are not 
    making affirmative technical findings on these States under the 8-
    hour standard because, without the State-by-State UAM-V zero-out 
    modeling, EPA does not have sufficient information to determine 
    whether they contribute significantly to Pennsylvania.
    ---------------------------------------------------------------------------
    
    B. Action on Whether To Grant or Deny Each Petition
    
    1. Portions of Petitions for Which EPA Is Making an Affirmative 
    Technical Determination
        For the reasons described in Section II.E., EPA is issuing the 
    alternative type of final action provided for in the consent decree. 
    Under that alternative approach, for sources for which EPA is today 
    making an affirmative technical determination of significant 
    contribution, the section 126(b) finding that certain sources emit or 
    would emit in violation of the prohibition in section 
    110(a)(2)(D)(i)(I) will be deemed made as of certain specified dates if 
    certain events do not occur by those dates. More specifically, a 
    finding that new or existing sources, for which EPA has made an 
    affirmative technical determination, do emit in violation of section 
    110(a)(2)(D)(i)(I) will be deemed made:
    
         As of November 30, 1999, if by such date EPA does not 
    issue either a proposed approval, under section 110(k) of the CAA, 
    of a SIP revision submitted by such State to comply with the 
    requirements of the NOX SIP call; or a final FIP meeting 
    such requirements for such State in which the affected sources are 
    or will be located,
         As of May 1, 2000, if by November 30, 1999, EPA 
    proposes to approve the SIP revision described above for such State, 
    but, by May 1, 2000, EPA does not fully approve the SIP revision or 
    promulgate a FIP meeting the requirements of the NOx SIP 
    call for such State.
    
    The EPA also is determining that any such finding as to any such major 
    source or group of stationary sources would be considered a finding 
    under section 126(b) and, therefore, would trigger the remedial 
    requirements of this final rule. At such time as a finding is deemed 
    made, EPA intends to publish a notice in the Federal Register 
    announcing the source categories and locations affected by the finding.
        Furthermore, any portion of a petition for which EPA is making an 
    affirmative technical determination (as described above) shall be 
    deemed denied as of May 1, 2000, if a section 126(b) finding has not 
    been deemed to have been made by that date. In other words, if EPA has 
    taken final action putting into place a SIP or FIP meeting the 
    requirements of the NOX SIP call, any outstanding portions 
    of petitions will be deemed denied as of the date of approval of the 
    SIP or promulgation of the FIP. In addition, after a section 126(b) 
    finding has been deemed made as to sources or groups of stationary 
    sources in an upwind State, that finding will be deemed withdrawn, and 
    the corresponding part of the relevant petition(s) denied, if the 
    Administrator either approves a SIP or promulgates a FIP which complies 
    with the requirements of the NOX SIP call for such upwind 
    State. This would minimize any overlap between an effective section 
    126(b) finding, on one hand, and the application of satisfactory SIP or 
    FIP provisions, on the other.
    2. Portions of Petitions for Which EPA Is Not Making an Affirmative 
    Technical Determination
        Consistent with this overall approach, for the sources for which 
    EPA is not making an affirmative technical determination, EPA is 
    concluding that they do not or would not emit in violation of the 
    section 110(a)(2)(D)(i)(I) prohibition. As a result, EPA is denying 
    each aspect of each petition relating to such sources. Table I-1 shows 
    which States and sources were named in each petition. The EPA is not 
    making affirmative technical determinations for all sources named in 
    the petitions that are located in States not linked to the petitioning 
    State as shown in Tables II-I and II-2. In addition, EPA is not making 
    affirmative technical determinations for sources for which EPA has 
    determined highly cost effective control measures are not available 
    (see Section II.J.) For example, EPA is denying New York's petition as 
    to sources in any State (or portion of a State) named in New York's 
    petition that are outside the large EGU and large non-EGU categories 
    described in Section II.J., as well as any named sources of any type in 
    Tennessee. Another example is that EPA is today denying the petitions 
    from Rhode Island and Vermont in their entirety because
    
    [[Page 28307]]
    
    EPA has determined that none of the sources named in these petitions is 
    significantly contributing to nonattainment or maintenance problems 
    with respect to the ozone standard(s) for which relief is requested in 
    the petitions.
    
    C. Requirements for Sources for Which EPA Makes a Section 126(b) 
    Finding
    
        The control requirements that would apply to any new or existing 
    major source or group of stationary sources for which a section 126(b) 
    finding is ultimately made are discussed in Section IV below.
        Section 126(c) states, in relevant part, that:
    
    it shall be a violation of this section and the applicable 
    implementation plan in such State
        (1) for any major proposed new (or modified) source with respect 
    to which a finding has been made under subsection (b) to be 
    constructed or to operate in violation of this section and the 
    prohibition of section 110(a)(2)(D)([i]) or this section or
        (2) for any major existing source to operate more than three 
    months after such finding has been made with respect to it.
    
    The Administrator may permit the continued operation of a source 
    referred to in paragraph (2) beyond the expiration of such 3-month 
    period if such source complies with such emission limitations and 
    compliance schedules (containing increments of progress) as may be 
    provided by the Administrator to bring about compliance with the 
    requirements contained in section 110(a)(2)(D)([i]) as expeditiously as 
    practicable, but in no case later than 3 years after the date of such 
    finding.
        The remedial requirements that EPA is finalizing in today's action 
    for sources for which a section 126(b) finding is ultimately made would 
    satisfy the requirements just quoted. First, EPA is requiring that 
    sources for which a section 126(b) finding is ultimately made must 
    comply with the requirements described in Section IV to ensure that 
    they do not emit in violation of the section 110(a)(2)(D)(i) 
    prohibition. Second, the program EPA is finalizing serves as the 
    alternative set of requirements that the Administrator may apply for 
    the purpose of allowing existing sources subject to a section 126(b) 
    finding to operate for more than 3 months after the finding is made. 
    Consistent with section 126(c), the compliance period in EPA's program 
    extends no further than 3 years from the making of the finding. To the 
    extent a finding is deemed made as of November 30, 1999, compliance 
    will be required by November 30, 2002. But since the program EPA is 
    establishing would require actual emissions reductions only in the 
    ozone season (defined for purposes of this rule as May 1-September 30, 
    inclusive), actual reductions will not need to occur until May 1, 2003, 
    the start of the first ozone season after the November 30, 2002, 
    compliance date. Thus, compliance by November 30, 2002 would not 
    require actual reductions until May 1, 2003. A finding deemed made as 
    of May 1, 2000 would also yield a May 1, 2003 compliance date. As 
    described in Section V.A.1 of the final NOX SIP call and its 
    Response to Comment document and in Section II.K above, EPA believes 
    that compliance by the ozone season beginning May 1, 2003 is feasible.
    
    IV. Section 126 Control Remedy
    
        In the NPR (63 FR at 56309-56320), EPA proposed to implement a 
    market-based cap-and-trade system to bring sources covered by any final 
    section 126(b) finding into compliance. The Federal NOX 
    Budget Trading Program was proposed as a new part 97 in title 40 of the 
    Code of Federal Regulations. The EPA proposed that the Federal 
    NOX Budget Trading Program would be triggered automatically 
    if EPA makes a final finding of significant contribution as to any 
    sources under section 126(b). Participation in the program would be 
    mandatory for all sources affected by such a finding. As explained in 
    Section IV.C of this preamble, today's rule includes the general 
    parameters of the Federal NOX Budget Trading Program remedy 
    in paragraph (j) of Sec. 52.34. The EPA will issue the remaining 
    elements of the Federal NOX Budget Trading Program by July 
    15, 1999. Today's rule also includes paragraph (k) of Sec. 52.34, which 
    delineates the interim final emission limitations that will be imposed 
    in the event the Administrator fails to promulgate (i.e., sign and 
    release to the public) the Federal NOX Budget Trading 
    Program regulations before a finding under section 126 is made. Section 
    IV.D of this preamble describes these default emission limitations.
    
    A. Appropriateness of Trading as a Section 126 Remedy
    
        A market-based cap-and-trade program is a proven method for 
    achieving the highly cost-effective emissions reductions described in 
    section II.J., while providing sources compliance flexibility. As 
    explained in the NOX SIP call SNPR (63 FR at 25918-25919), 
    the Ozone Transport Assessment Group (OTAG) identified five advantages 
    of market-based systems: (1) Reduced cost of compliance, (2) creation 
    of incentives for early reductions, (3) creation of incentives for 
    emissions reductions beyond those required by regulations, (4) 
    promotion of innovation, and (5) increased flexibility without 
    resorting to waivers, exemptions, and other forms of administrative 
    relief (OTAG 1997 Executive Report, pg. 57).
        The Agency received wide support for using the Federal 
    NOX Budget Trading Program as the section 126 remedy. 
    Several commenters cited lower compliance costs as a reason for 
    supporting a cap-and-trade program and generally stated that the 
    section 126 petitions would be satisfied if the sources named in the 
    petitions were included in the trading program. One commenter claimed 
    that pursuant to section 126, EPA has the clear authority to develop, 
    impose, and implement the emissions caps associated with the trading 
    program. Others claimed, however, that trading is not an appropriate 
    section 126 remedy. One commenter questioned EPA's authority to use 
    trading as the section 126 remedy because a section 126 finding 
    requires reductions from specific sources for which a finding of 
    significant contribution is made. That commenter pointed out that 
    trading allows reductions to occur where they are most cost effective 
    without regard to air quality benefits or impacts.
        The EPA agrees with the majority of commenters that expressed 
    support for the Federal trading program. The EPA agrees with the 
    assertion that participation in the Federal NOX Budget 
    Trading Program is the most cost-effective method for achieving the 
    reductions required if EPA makes a finding with regard to the section 
    126 petitions. The EPA rejects the comment that EPA lacks the authority 
    under section 126 to implement a trading program. The EPA finds that it 
    has authority under section 126 to require sources or groups of sources 
    for which a section 126(b) finding is made to comply with a cap-and-
    trade program. Section 126(c) provides that such sources or groups of 
    sources may continue to operate if they comply ``with such emission 
    limitations and compliance schedules (containing increments of 
    progress) as may be provided by the Administrator to bring about 
    compliance'' with section 110(a)(2)(D). Under section 302, an 
    ``emission limitation'' is a ``requirement * * * which limits the 
    quantity, rate, or concentration of emission of air pollutants on a 
    continuous basis.'' This term is broad enough to include the limiting 
    of sources' emissions through a cap-and-trade program. In fact, title 
    IV of the Clean Air Act expressly refers to the
    
    [[Page 28308]]
    
    allowance requirements of the Acid Rain SO2 cap-and-trade 
    program as ``emission limitations.'' See e.g., 42 U.S.C. 7651c(a).
        Under a cap-and-trade program, the Administrator sets an emission 
    limitation and compliance schedule for all units subject to the 
    program. The emission limitation for each unit is the requirement that 
    the quantity of the unit's emissions during a specified period (here, 
    the tonnage of NOX emissions during the ozone season) cannot 
    exceed the amount authorized by the allowances that the unit holds. 
    Allowances are allocated to units subject to the program, and the total 
    number of allowances allocated to all such units for each control 
    period is fixed or capped at a specified level. The compliance schedule 
    is set by establishing a deadline (here, May 1, 2003 as explained in 
    Section III.C of this preamble) by which units must begin to comply 
    with the requirement to hold allowances sufficient to cover emissions. 
    In summary, since EPA has the authority to establish emission limits 
    and compliance schedules under section 126, and allowance requirements 
    include both emission limits and a compliance schedule, EPA has the 
    authority to promulgate allowance requirements and allocate allowances 
    for purposes of section 126.
        The Federal NOX Budget Trading Program required in 
    response to a section 126 finding will achieve the intended emissions 
    reductions while providing flexibility and cost savings to the covered 
    sources. The significant reductions incorporated into the cap, or 
    budget, under which the Federal trading program would operate help 
    ensure that the remedy would sufficiently mitigate the transport of 
    ozone as required by any remedy under section 126. This budget 
    represents the sum of NOX allowances allocated each year to 
    affected sources in States covered by any final section 126 findings, 
    calculated as explained in Section IV.C.1.b of this preamble. (For 
    purposes of the section 126 remedy, this budget is not aggregated to a 
    State level for any purpose other than for the calculation of 
    allowances available for allocation to affected sources. Since the 
    focus in the remedy is sources rather than States, there are no 
    programmatic requirements associated with this budget at the State 
    level.) For commenters concerned about the appropriateness of trading, 
    EPA emphasizes that the trading program has been designed to mitigate 
    the transport of ozone and its precursors to facilitate attainment and 
    maintenance of the ozone NAAQS. The program was proposed based on 
    recommendations from OTAG, experience from the OTC, and the 
    NOX SIP call rulemaking process. Additionally, four of the 
    petitioning States requested that a cap-and-trade program serve as the 
    section 126 remedy.
        The analyses performed in conjunction with the NOX SIP 
    call demonstrate that no significant changes in the location of 
    emissions reductions will result from implementation of an unrestricted 
    trading program with a uniform control level, as compared to a 
    traditional command-and-control scenario (``Supplemental Ozone 
    Transport Rulemaking Regulatory Analysis'', April 1998, pp. 2-19). The 
    trading program will therefore allow named sources to retain some 
    flexibility in meeting the emission limitations, but also will ensure 
    that the necessary NOX reductions are achieved to mitigate 
    the transport of ozone.
    
    B. Relationship of the Section 126 Remedy to the NOX SIP 
    Call and the Proposed FIP
    
        In the section 126 NPR (63 FR at 56309), the EPA proposed to 
    establish a common trading program among sources subject to a trading 
    program under the NOX SIP call, a section 126 remedy or a 
    FIP. This common trading program could include all sources in States 
    found to be significantly contributing to nonattainment or interfering 
    with maintenance of the ozone standard in another State. Sources 
    subject to the Federal NOX Budget Trading Program under the 
    section 126 rulemaking or the FIP, and sources in States choosing to 
    participate in the State NOX Budget Trading Program under 
    the SIP call, could trade with one another across participating States 
    under a NOX cap equivalent to the sum of the NOX 
    emissions allocated to sources in participating States.
        The commenters almost uniformly supported integrating the trading 
    programs under the NOX SIP call, section 126 rulemaking, and 
    the FIP. One commenter stated that aligning the program requirements 
    could lessen unnecessary compliance costs, promote greater certainty in 
    compliance planning, and reduce the potential administrative burdens on 
    both the regulatory and regulated communities. Most commenters cited 
    that all three programs address the same transport problem and 
    integrating them would achieve the environmental objective at least 
    cost and with more flexibility for the affected sources. One commenter 
    did not believe a trading program was an appropriate remedy for the 
    section 126 petitions (addressed in section IV.A.), and therefore, the 
    section 126 remedy should not be integrated with the NOX SIP 
    call and the FIP trading programs.
        As stated in the section 126 NPR, all three rulemaking actions (the 
    NOX SIP call, the FIP, and the section 126 rulemaking) are 
    aimed at reducing transport of ozone by controlling emissions from 
    sources in a given State that are found to be contributing 
    significantly to nonattainment or interfering with maintenance in 
    another State. The EPA agrees with commenters that, because all three 
    programs were intended to achieve the same environmental objective, it 
    would be possible to integrate the programs and maintain the integrity 
    of this environmental objective.
        In order to be eligible to participate in a cap-and-trade program, 
    the EPA believes that there are certain criteria that sources must meet 
    (e.g., they must accurately and consistently account for all of their 
    emissions). See Section 126 NPR, 63 FR at 56310. Because the sources in 
    States that choose to participate in the cap-and-trade program outlined 
    in the final NOX SIP call (40 CFR part 96) will meet these 
    criteria, the sources subject to this section 126 action will meet 
    these criteria, and the sources in States that would be subject to the 
    proposed FIP (with the exception of cement kilns and IC engines, which 
    are not included in the trading program) will meet these criteria, EPA 
    supports the establishment of a common trading program. Therefore, EPA 
    has determined that sources subject to the Federal NOX 
    Budget Trading Program under section 126 or the proposed FIP, and 
    sources in States choosing to participate in the State NOX 
    Budget Trading Program under the NOX SIP call, could trade 
    with one another under a NOX cap across participating States 
    equivalent to the sum of the NOX caps of the individual 
    States. In addition, in rejecting concerns about the appropriateness of 
    one common trading program as a remedy, EPA relies on the analyses 
    performed in conjunction with the NOX SIP call, which 
    demonstrated that implementation of a single trading program with a 
    uniform control level results in no significant changes in the location 
    of emissions reductions as compared to a non-trading scenario 
    (``Supplemental Ozone Transport Rulemaking Regulatory Analysis,'' April 
    1998, pp. 2-19).
    
    C. Federal NOX Budget Trading Program
    
        Under the terms of the consent decree with petitioning states, EPA 
    must take final action on a remedy under section 126 by April 30, 1999. 
    In accordance with that requirement, EPA is
    
    [[Page 28309]]
    
    promulgating the general parameters of the remedy in paragraph (j) of 
    Sec. 52.34. The general parameters of the remedy promulgated today 
    include the decision to employ a cap-and-trade program as the aggregate 
    remedy, identification of the categories of sources subject to the 
    trading program, specification of the basic emission limitation for the 
    covered source categories, specification of the total emissions 
    reductions to be achieved by the trading program, and the compliance 
    date. Since EPA is not promulgating in today's rule the unit-specific 
    allocations or 40 CFR part 97 rule provisions providing the details of 
    the trading program for the section 126 remedy (as explained in Section 
    IV.C.2), today's final rule specifies that EPA will issue these 
    elements of the Federal NOX Budget Trading Program by July 
    15, 1999. The EPA is committed to acting quickly in promulgating the 
    remaining elements of the Federal NOX Budget Trading 
    Program. The EPA has therefore specified the date in Sec. 52.34 by 
    which those elements will be promulgated, and has delineated in 
    paragraph (k) of Sec. 52.34 the interim final emission limitations that 
    will be imposed in the event the remaining elements of the Federal 
    NOX Budget Trading Program are not promulgated, as explained 
    in Section IV.D of this preamble.
    1. Elements of the Section 126 Remedy Promulgated With Today's 
    Rulemaking
        The intent of EPA's action today is to prescribe the general 
    parameters of the section 126 remedy and postpone the details of the 
    Federal NOX Budget Trading Program until July 1999. Today's 
    rule includes part 52, which establishes the general parameters of the 
    Federal NOX Budget Trading Program as well as the default 
    emission limitations should EPA fail to promulgate the details of the 
    trading program and allocation provisions. Specifically, the regulatory 
    language finalized today specifies the following elements, listed here 
    and explained in further detail in Sections IV.C.1.a and IV.D.1, below:
         All large EGUs and large non-EGUs for which EPA makes a 
    final finding under section 126(b) will be covered by and subject to 
    the Federal NOX Budget Trading Program.
         Beginning May 1, 2003, the owner or operator of each 
    source subject to the Federal NOX Budget Trading Program 
    must hold total NOX allowances available to that source in 
    the ozone season that are not less than the total NOX 
    emissions emitted by the source during that ozone season.
         The total tons of NOX allowances allocated 
    under the trading program (other than any compliance supplement pool 
    credits) will be equivalent to the sum of two tonnage limits:
        (A) The total tons of NOX that large EGUs in the program 
    would emit in an ozone season after achieving a 0.15 lb/mmBtu 
    NOX emissions rate, assuming historic ozone season heat 
    input adjusted for growth to the year 2007; plus
        (B) The total tons of NOX that large non-EGUs in the 
    program would emit in an ozone season after achieving a 60 percent 
    reduction in ozone season NOX emissions compared to 
    uncontrolled levels adjusted for growth to the year 2007.
         If EPA makes a final finding under section 126(b) for any 
    large EGUs and large non-EGUs and fails to promulgate the trading 
    program regulations, owners or operators shall control emissions from 
    such units so that each unit does not emit NOX emissions in 
    excess of the unit's allocated NOX allowances. Moreover, 
    NOX allowances will be allocated to large EGUs and large 
    non-EGUs according to the methodology originally set forth in the 
    proposed part 97.
         Compliance supplement pool credits may be available for 
    distribution to affected sources, subject to specific State-by-State 
    tonnage limits as established in the SIP call.
    a. Compliance Schedule and Emission Limitation
        Section 52.34(j)(1) in today's final rule serves to establish a 
    compliance schedule, i.e., the May 1, 2003 start date for the control 
    program, as well as the general emission limitations for the large EGUs 
    and large non-EGUs covered by any final section 126 remedy (see section 
    II.I of this preamble for EGU and non-EGU definitions). Although 
    section 126 findings are made for sources or source categories (as 
    required by section 126), the section 126 remedy described in today's 
    final rule applies at the unit level rather than the source level. This 
    reflects the fact that many sources have multiple emission units and 
    already report emissions at the unit level.
        Section 52.34(j)(1) requires the owners or operators of each such 
    unit to hold total ``NOX allowances available'' for the 
    ozone season not less than the unit's NOX emissions during 
    that ozone season. The NOX allowances--each allowance 
    representing a limited authorization to emit one ton of 
    NOX--would be the currency used in the Federal 
    NOX Budget Trading Program. The term ``available'' is 
    intended to be sufficiently broad to include not only NOX 
    allowances allocated to the unit, but additional NOX 
    allowances which may be available through trading or banking to the 
    extent such flexibility is incorporated into the final Federal 
    NOX Budget Trading Program, as well as allowances from the 
    compliance supplement pool in the 2003 and 2004 ozone seasons to the 
    extent they are distributed.
    b. Trading Program Budget
        In today's final rule, EPA describes the methodology used to 
    determine the NOX emissions budget, i.e., the total amount 
    of NOX allowances allocated to all units subject to the 
    Federal NOX Budget Trading Program in a State for purposes 
    of any section 126 finding. As noted in Section IV.A of this preamble, 
    for purposes of the section 126 remedy, this budget is not aggregated 
    to a State level for any purpose other than for the calculation of 
    allowances available for allocation. Section 52.34(j)(3) indicates that 
    the total available allowances will be calculated consistently with the 
    method used in developing the NOX SIP call budgets in 40 CFR 
    part 51, as described in the preamble to the final NOX SIP 
    call. The number of available allowances will be equal to the sum of 
    the tonnage limits explained in the following two paragraphs. The EPA 
    will calculate these emissions budgets following the issuance of the 
    final revised inventory for the SIP call and this section 126 
    rulemaking.
        For large EGUs, the total tonnage limit will be determined by 
    applying a 0.15 lb/mmBtu emission rate to either the 1995 or 1996 heat 
    input level (whichever is higher for a particular State) projected to 
    the year 2007 in a manner consistent with the methodology EPA used in 
    developing the NOX SIP call budgets. The EPA used forecasts 
    of future electricity generation to apply State-specific growth factors 
    in calculating the emissions budgets for the electricity generating 
    sector. The Agency derived these State specific growth factors from 
    application of the Integrated Planning Model (IPM) using the 1998 Base 
    Case (the condition of the industry in the absence of the 
    NOX SIP call). A complete explanation of how EPA uses IPM to 
    determine growth factors is included in EPA's Analyzing Electric Power 
    Generation under the CAAA, March 1998.
        Non-EGU point source inventory data for 1995 were grown to 2007 
    using Bureau of Economic Analysis (BEA) historical growth estimates of 
    industrial earnings at the State 2-digit Standard Industrial 
    Classification (SIC) level. Where source specific SIC data were not 
    available, associated Source Classification Code (SCC) growth rates 
    were used. In those cases where a State or industry may have had more 
    accurate
    
    [[Page 28310]]
    
    information than the BEA forecast (e.g., planned expansion or 
    population rates), data were verified and validated by the affected 
    States and by EPA, and revisions were made to the factors used for that 
    category.
        A fixed number of NOX allowances will be allocated to 
    units for each ozone season equal to the total amount of the aggregate 
    emissions (as calculated above) allowed for the units in each State 
    included in the Federal NOX Budget Trading Program for 
    purposes of the section 126 remedy. The specific unit allocations as 
    well as the specific methodology will be provided with the provisions 
    of the Federal NOX Budget Trading Program when part 97 is 
    promulgated by July 15, 1999. The regulatory language finalized today 
    leaves the Agency free to adopt a method for determining individual 
    unit allocations in a manner different from the method used to 
    determine unit emissions in the NOX SIP call inventory.
    c. Compliance Supplement Pool
        In today's final rule, EPA includes a compliance supplement pool, 
    as delineated in Sec. 52.34(j)(4). In the Section 126 NPR, EPA proposed 
    that part 97 would include a compliance supplement pool consistent with 
    the compliance supplement pool finalized with the NOX SIP 
    call (63 FR at 56318). The Agency had received comments in response to 
    the proposals for the NOX SIP call expressing concern that 
    some sources may encounter unexpected problems installing controls by 
    the May 1, 2003 deadline. The commenters suggested that these 
    unexpected problems could cause unacceptable risk for a source and its 
    associated industry. In particular, commenters expressed concern 
    related to the electricity industry, stating that the deadline could 
    adversely impact the reliability of electricity supply.
        The EPA addressed these concerns in the SIP call by providing 
    additional flexibility for sources to comply with requirements (see 
    also section II.K). One element of this flexibility is the compliance 
    supplement pool, which ensures that there are a limited number of 
    allowances available in addition to State budgets at the start of the 
    program. The EPA proposed to use the same compliance supplement pools 
    on a State-by-State basis for the section 126 remedy as were included 
    in the final NOX SIP call.
        The majority of the commenters supported inclusion of the 
    compliance supplement pool in the Federal NOX Budget Trading 
    Program. These commenters asserted that the pool is necessary for 
    sources that are unable to meet the compliance deadline and to 
    alleviate concerns about electric supply reliability. However, three 
    petitioning States argued that the CAA does not authorize a compliance 
    supplement pool. These States commented that the pool effectively 
    extends the compliance period under section 126 from 3 to 5 years. One 
    State maintained that the compliance supplement pool compromises the 
    relief sought by its section 126 petition and requested that the States 
    against which its petition was directed not be permitted to rely on the 
    pool. An additional State commenter suggested that delay of the 
    compliance deadline was not warranted and supported this conclusion 
    with an example of an SCR installation that only took 6 months. That 
    State also commented that if EPA does adopt the compliance supplement 
    pool, the portion of the compliance supplement pool allotted to States 
    in the Ozone Transport Commission (OTC) should be apportioned to the 
    combined OTC States rather than individual States because that would 
    provide for less forfeiture of OTC banked allowances. Since each State 
    could bring banked allowances under the OTC into the Federal 
    NOX Budget Trading Program up to the level of their 
    compliance supplement pool, pooling allowances among OTC States would 
    allow these States to ensure maximum incorporation of banked 
    allowances. Another OTC State asserted that the States in the OTC are 
    given disproportionately small compliance supplement pools as a result 
    of the stricter controls already installed on their sources.
        Consistent with the decision made for the NOX SIP call, 
    the Agency is including the compliance supplement pool as part of its 
    section 126 remedy, as delineated in Sec. 52.34(j)(4). Although the 
    Agency agrees with the commenters who asserted that States affected by 
    the NOX SIP call could reasonably achieve the reductions in 
    the time-frame specified (see section III.K of this preamble and 
    section III.F.6 of the final NOX SIP call preamble), EPA 
    created the additional pool of emissions to address concerns about the 
    compliance deadline. Those same concerns exist for sources subject to a 
    section 126 finding and we affirm and incorporate into this rulemaking 
    the rationales for the compliance supplement pool offered in the SIP 
    call final rule. Therefore, EPA is including the compliance supplement 
    pool in the Federal NOX Budget Trading Program.
        The Agency disagrees with commenters that assert that EPA lacks 
    authority to include the compliance supplement pool and also disagrees 
    with commenters who stated that the compliance supplement pool 
    compromises the relief sought under section 126. The Agency disagrees 
    with the commenters' assertions that the compliance supplement pool 
    delays the compliance deadline beyond the 3 years required by section 
    126. The compliance deadline for the covered sources is 3 years from 
    the date the finding is made (which results in a May 1, 2003 deadline, 
    as explained in Section III.C) and the compliance supplement pool is an 
    inherent part of the remedy and concomitant emissions reductions 
    required to be achieved at that time, just as are the trading 
    provisions. Thus, this rule will require compliance with the Federal 
    NOX Budget Trading program as the remedy within the three 
    year timeframe contemplated by the CAA.
        The section 126 remedy incorporates a reasonable degree of 
    flexibility with these compliance supplement pool provisions, while 
    still ensuring the necessary reductions to mitigate the transport of 
    ozone since the level of NOX emissions authorized through 
    the remedy is fixed. Capping the compliance supplement pool ensures 
    limited impact on emissions. Further, credits issued from the 
    compliance supplement pool will not be valid for compliance past the 
    2004 ozone season.
        The Agency disagrees with commenters who suggest that the 
    compliance supplement pool should be distributed in a manner different 
    from the method described in the proposal. The compliance supplement 
    pool will be distributed, as proposed, proportionately to the level of 
    reductions required in each State by the NOX SIP call for 
    those States whose sources are covered by any section 126 remedy. The 
    final rule adopts the method in the NOX SIP call for 
    distributing the pool to each State because that method directly 
    addresses the reason for the creation of the pool: to address concerns 
    that the emission reductions required would create undue risk to the 
    industry affected by the controls. Therefore, the Agency rejects 
    comments asserting that the OTC States' share of the compliance 
    supplement pool is disproportionately small and that the compliance 
    supplement pool allowances should be aggregated across the OTC. Each 
    State's share of these additional allowances is based on the same 
    distribution criteria to ensure consistent treatment (in terms of the 
    original justification of the compliance supplement pool) of sources in 
    each State for which a section 126 finding is made. This approach will 
    maintain
    
    [[Page 28311]]
    
    compatibility with the NOX SIP call for the States covered 
    by the section 126 remedy.
        The July rule will specify the criteria and procedures for 
    distributing allowances from the compliance supplement pool to sources 
    affected by the section 126 remedy. Comments relevant to distribution 
    of the compliance supplement pool to sources will be addressed at that 
    time.
    2. Elements of the Section 126 Remedy Not Finalized With Today's 
    Rulemaking
        After finalization of the NOX SIP call on October 27, 
    1998, EPA provided a 60-day public comment period for review of the 
    NOX SIP call inventory and budgets, which on December 24, 
    1998 was extended to February 22, 1999 (see Section I.I in this 
    preamble). Because the section 126 rulemaking relies on the same 
    emissions inventory as the NOX SIP call, EPA also reopened 
    the section 126 comment period for emissions inventory comments. The 
    EPA is completing its review of the inventory comments received and has 
    committed to revising the final SIP call inventory and budgets after 
    full evaluation of the comments submitted by States and sources. 
    Following the revision of the inventory, the Agency will finalize the 
    list of Section 126 affected sources, the Federal NOX Budget 
    Trading Program's allocation methodology, the unit-by-unit 
    NOX allowance allocations, and the compliance supplement 
    pool distribution methodology. The Agency did not have sufficient time 
    to properly evaluate comments related to the trading program which were 
    dependent on consideration of the inventory revisions, or to 
    incorporate those inventory revisions into the final trading program 
    prior to today's action.
        The Agency has decided that taking until as late as July 15, 1999 
    to promulgate part 97 and the source specific allocations will not 
    affect the triggering of the remedy on November 30, 1999 or May 1, 2000 
    (these trigger dates are explained in Section III.B.1 and tied to the 
    SIP submission process under the NOX SIP call), or affect 
    the May 1, 2003 start date for compliance with the remedy. The Agency 
    has found that the May 1, 2003 implementation date is feasible to 
    achieve given the dates by which a section 126 remedy could be 
    triggered (see preamble section III.K.). Because the section 126 remedy 
    can not be triggered until November 30, 1999 at the earliest, issuing 
    final trading program regulations by July 15, 1999 will not affect the 
    trigger dates and therefore will not affect implementation of the 
    section 126 remedy.
        Therefore, by July 15, 1999, the Administrator will promulgate 
    regulations setting forth the remaining elements of the section 126 
    remedy. The July rulemaking will describe in detail the entire Federal 
    NOX Budget Trading Program, summarize and respond to 
    comments on the proposed program provisions and unit allocations, and 
    present the specific unit allocations that would be imposed under a 
    section 126(b) finding. The July rulemaking will also specify the 
    methodology for distribution of allowances from the compliance 
    supplement pool. However, should the Administrator fail to promulgate 
    the trading program regulations before a section 126 finding is made, 
    the interim final emission limitations described in Section IV.D will 
    apply.
    
    D. Default Emission Limitations in the Absence of a Promulgated Federal 
    NOX Budget Trading Program
    
        The Agency has committed to promulgating regulations setting forth 
    the Federal NOX Budget Trading Program by July 15, 1999, 
    including the allocation of NOX allowances under the 
    program. By that date EPA will have considered the comments received on 
    the trading program and the individual unit allocations and will be 
    able to respond to these comments in making a final determination on 
    allocations and other trading program provisions.
        As discussed in Section I.E. of this preamble, EPA entered into a 
    consent decree with the petitioning States that committed the Agency to 
    developing a final section 126 remedy by April 30, 1999. As part of 
    today's action, the Agency is promulgating on an interim basis emission 
    limitations that will be imposed in the event a finding under section 
    126 is made and the Administrator does not promulgate the Federal 
    NOX Budget Trading Program regulations before such finding. 
    EPA is finalizing the default emissions limitations remedy set forth in 
    Sec. 52.34(k) under the ``good cause'' exemption to the Administrative 
    Procedure Act's requirements for rulemaking. See 5 U.S.C. 553(b)(B). As 
    noted elsewhere, taking into account the comments received on the 
    appropriate remedy is impracticable given the court-ordered deadline 
    and the volume of comments received. The EPA does not expect the 
    default remedy set forth in Sec. 52.34(k) to ever be applied, for the 
    reasons explained in this section. When EPA promulgates the details of 
    the Federal NOX Budget Trading Program (40 CFR part 97), 
    Sec. 52.34(k) will be superseded as a matter of law and EPA will take 
    action to delete Sec. 52.34(k) accordingly.
        The EPA believes that today's action, even without any default 
    emission limitations, meets the terms of the consent decree. However, 
    this rule limits a unit's emissions to the amount of its allocated 
    allowances to provide a remedy (in addition to the statutory remedy 
    under section 126) by ensuring that unit-specific emission limitations 
    are in place in the event that the Administrator fails to promulgate 
    the Federal NOX Budget Trading Program regulations and a 
    section 126 finding is made. In that event, the amount of allowances 
    allocated to each unit will be that unit's emission limitation in the 
    absence of trading provisions.
        As discussed in Section III.B.1. of this preamble, any section 126 
    remedy would not be triggered before November 30, 1999 at the earliest. 
    Therefore, the interim remedy discussed in this section will not apply 
    unless the remedy is triggered and the Administrator has not 
    promulgated the Federal NOX Budget Trading Program 
    regulations. Further, as would be the case for the Federal 
    NOX Budget Trading Program, unit compliance with any section 
    126 remedy (whether it is the default emission limitations described in 
    this section or the Federal NOX Budget Trading Program 
    regulations to be promulgated in July) would not be required until May 
    1, 2003.
        The methodology presented in this action for calculating the 
    allowance allocations mirrors the methodology for allocating allowances 
    described in the proposed part 97 (63 FR 56315), with changes to 
    account for incorporation of the rule language into part 52. Each of 
    these NOX allowance allocations will serve as a unit-
    specific emission limitation only if a finding under Section 126 is 
    made and the Administrator fails to promulgate regulations setting 
    forth the Federal NOX Budget Trading Program before such 
    finding. If the Administrator promulgates such regulations prior to the 
    triggering of a section 126 remedy, the unit-specific emission 
    limitations described in Sec. 52.34(k) will not apply.
        The EPA emphasizes that these allocations provide a default remedy 
    under the consent decree and that EPA is committed to establishing 
    final allocations, as well as trading program provisions, by July 15, 
    1999. The Agency has included these interim final limitations in order 
    to assure the petitioning States that emission limitations will be in 
    place should a final section 126 finding be made and the Administrator 
    has failed to promulgate the Federal NOX Budget
    
    [[Page 28312]]
    
    Trading Program regulations. As explained in Section IV.D.2, the Agency 
    is incorporating as a default remedy the proposed part 97 methodology, 
    but this does not represent the Agency's final determination on 
    allowance allocations under the NOX Budget Trading Program. 
    The Agency is continuing to review comments received on the proposed 
    allocation methodologies and will come to a final decision by July 15, 
    1999. The proposed part 97 rule language describing the allowance 
    allocation methodology is included in today's rule without significant 
    change in order not to pre-judge any decision the Agency will make on 
    allocations.
        Further, EPA acknowledges that assigning these allowance 
    allocations as unit-specific emission limitations in the absence of a 
    trading program is not necessarily within the cost-effectiveness bounds 
    delineated in Section II.J. However, given that the statutory 
    alternative remedy to not promulgating emission limitations at this 
    time is requiring the shutdown of units within 3 months of a finding 
    under section 126(b) of the Act, today's action to meet the terms of 
    the consent decree represents a more cost-effective alternative. 
    Nonetheless, the Agency is concerned about meeting the cost-
    effectiveness criteria. For this reason, as well as for the reason that 
    the allocation methodology included in today's rule does not 
    necessarily reflect the Agency's final decision on allocations, EPA 
    reiterates its commitment to promulgate the regulations and unit-
    specific allocations to implement the Federal NOx Budget 
    Trading Program by July 15, 1999.
    1. Default Emission Limitations
        Section 52.34(k) sets forth the provisions for how the 
    Administrator will allocate NOx allowances to sources for 
    which EPA makes a finding under section 126(b), in the event that the 
    Administrator fails to promulgate the Federal NOX Budget 
    Trading regulations. The methodology for determining the individual 
    unit emission limitations included in this action incorporates rule 
    language that was proposed in Sec. 97.42 (63 FR 56315) for determining 
    allowance allocations. The EPA has incorporated Sec. 97.42 as proposed, 
    with changes only where necessary to account for the incorporation of 
    the proposed Sec. 97.42 into Sec. 52.34. Specifically, the Agency 
    removed any references to terminology or provisions of other sections 
    of proposed part 97, in order to refer instead to the relevant 
    terminology or provisions of part 52 or delete entirely references 
    relevant only to participation in a trading program. For example, in 
    order to maintain consistent terminology with Sec. 52.34, EPA replaced 
    the term ``NOX Budget unit'' with the term ``large EGUs and 
    large non-EGUs.''
    a. Default Emission Limitations for Existing Units
        As was described in the proposed Sec. 97.42, Sec. 52.34(k) bases 
    the allowance allocations on heat input data. For large EGUs, initial 
    unadjusted allocations would be based on actual heat input data (in 
    mmBtu) for the units multiplied by an emission rate of 0.15 lb/mmBtu. 
    For the ozone seasons in 2003, 2004, and 2005, the heat input used in 
    the allocation calculation for large EGUs equals the average of the 
    heat input for the two highest ozone seasons for the years 1995, 1996, 
    and 1997. The emission limitations for each unit would then be adjusted 
    upward or downward so that the total allocations for large EGUs in the 
    State match 95 percent (to provide for a 5 percent new source set-
    aside) of the total ozone season NOX emissions calculated 
    for large EGUs in each State (see section IV.C.1.b. of this preamble).
        For the ozone seasons starting in 2006, the heat input used in the 
    allocation calculation for large EGUs equals the heat input measured 
    during the ozone season of the year that is four years before the year 
    for which the allocations are being calculated. The emission 
    limitations would be determined by multiplying the heat input by 0.15 
    lb/mmBtu, and then adjusting the result so that the sum of the 
    allocations to each EGU in the State equals 98 percent (to provide for 
    a 2 percent new source set-aside) of the total ozone season 
    NOX emissions calculated for large EGUs in each State.
        For large non-EGUs, initial unadjusted allocations would be based 
    on 1995 heat input data (in mmBtu) for the units multiplied by an 
    emission rate of 0.17 lb/mmBtu (the average emission rate for existing 
    non-EGUs after controls are in place). As discussed in the section 126 
    NPR, this differs from the method used to determine the aggregate 
    emission level for non-EGUs (a percentage reduction from historical 
    emissions) because at the time the aggregate level was determined 
    (during the NOX SIP call proposal process), heat input data 
    for individual units was not available. Distributing allocations on a 
    heat-input basis provides a fuel-neutral method of allocating 
    allowances to the units in the trading program similar to the 
    allocation approach proposed for the EGUs. This heat-input-based 
    allocation also allows for reallocating in the future (to accommodate 
    new units) whereas allocations based upon a specific percentage 
    reduction do not.
        The emission limitations for each unit would then be adjusted 
    upward or downward so that the total allocations for large non-EGUs in 
    the State match 95 percent (to provide for a 5 percent new source set-
    aside) of the total ozone season NOX emissions calculated 
    for large non-EGUs in each State.
        As described for large EGUs, for the ozone seasons starting in 
    2006, the heat input used in the allocation calculation for large non-
    EGUs equals the heat input measured during the ozone season of the year 
    that is four years before the year for which the allocations are being 
    calculated. The emission limitations would be determined by multiplying 
    the heat input by 0.17 lb/mmBtu, and then adjusting the result so that 
    the sum of the allocations to each non-EGUs in the State equals 98 
    percent (to provide for a 2 percent new source set-aside) of the total 
    ozone season NOX emissions calculated for large non-EGUs 
    each State.
    b. Default Emission Limitations for New Units
        The proposed Sec. 97.42 contained a new source set-aside of 5 
    percent for the ozone seasons of 2003, 2004 and 2005 and 2 percent for 
    each subsequent year. For purposes of this interim final remedy, the 
    set-aside would enable new units, which did not operate during the full 
    baseline periods used in assigning allocations to existing sources, to 
    still receive an allowance allocation.
        As described in Sec. 52.34(k), the allowances would be issued to 
    new sources on a first-come, first-served basis at a rate of 0.15 lb/
    mmBtu for large EGUs and 0.17 lb/mmBtu for large non-EGUs multiplied by 
    the unit's maximum design heat input. Following each ozone season, the 
    source would be subject to a reduced utilization calculation, in which 
    EPA would deduct NOX allowances based on the unit's actual 
    utilization. Because the allocation for a new unit from the set-aside 
    is based on maximum design heat input, this procedure adjusts the 
    allocation by actual heat input for the ozone season of the allocation. 
    This adjustment is a surrogate for the use of actual utilization in a 
    prior baseline period which is the approach used for allocating 
    NOX allowances to existing units.
        At the end of the relevant ozone season, EPA would allocate any 
    allowances remaining in the account to the existing sources in the 
    State on a pro-rata basis. This would have the effect of increasing 
    each existing source's emission limitation for that ozone season.
    
    [[Page 28313]]
    
    2. July 15, 1999 Allocation Decisions
        The methodology described above is included in Sec. 52.34 as a 
    default remedy under the consent decree with the section 126 
    petitioners. The EPA emphasizes that no decisions have yet been made as 
    to the allocation methodology that will be included in the Federal 
    NOX Budget Trading Program promulgated in July. Today's 
    default remedy reflects only what was initially proposed in Sec. 97.42 
    and does not reflect any comments or new information received since the 
    proposal. As explained in Sections I.I and IV.C.2 of this preamble, the 
    Agency has not yet had sufficient time to incorporate SIP call 
    inventory revisions into trading program policy decisions and analysis. 
    The Agency intends to use this revised data when it becomes available, 
    along with the comments received on the trading program generally and 
    allocations specifically, to make a decision on the allocation 
    methodology and other aspects of the trading program by July 15.
        Specifically, the Agency has not yet made decisions regarding the 
    basis for allocations, the frequency with which the allocations might 
    be updated (including whether they will be updated), or who might be 
    eligible to receive allowances. In the NPR for the section 126 
    rulemaking, EPA proposed three possible allocation methodologies and 
    corresponding individual unit allocations for EGUs. The first 
    methodology proposed to allocate allowances based on the heat input 
    methodology that was included in Sec. 97.42 and is used for the interim 
    final emission limitations in Sec. 52.34(k) of this action. The second 
    methodology proposed would allocate to fossil fuel-fired electric 
    generators based on share of total electricity generation. The third 
    methodology would issue allowances to all electricity generators based 
    on their share of total electricity generation.
        Selection of the first of these proposed methodologies for the 
    interim final emission limitations does not indicate that the Agency 
    prefers that option. The heat input option was included as a default 
    only because it had already been proposed in rule language in part 97. 
    The Agency is continuing to review comments, and the Administrator will 
    promulgate regulations by July 15, 1999 which establish the basis for 
    allowance allocations, as well as who will receive allowances.
        Likewise, the methodology that describes an annually updating 
    system starting in 2006 was included as the interim remedy because that 
    was proposed in the Sec. 97.42 rule language. The Agency has not yet 
    made a decision regarding whether the allowance allocations in the 
    Federal NOX Budget Trading Program will be updated 
    periodically or how often they might be updated. The Agency will make a 
    final determination by July 15, 1999 after consideration of comments.
        In addition, the Agency has received numerous comments on other 
    aspects of the proposed allocation methodologies and will continue to 
    review these. The Agency will provide final determinations and 
    responses to these comments by July 15, 1999.
    
    V. Non-ozone Benefits to NOX Reductions
    
        In addition to contributing to attainment of the ozone NAAQS, 
    decreases of NOX emissions will also likely help improve the 
    environment in several important ways. On a regional scale, decreases 
    in NOX emissions will also decrease acid deposition, 
    nitrates in drinking water, excessive nitrogen loadings to aquatic and 
    terrestrial ecosystems, and ambient concentrations of nitrogen dioxide, 
    particulate matter, and toxics. Thus, management of NOX 
    emissions is important to both air quality and watershed protection. In 
    its July 8, 1997 final recommendations, OTAG stated that it 
    ``recognizes that NOX controls for ozone reductions purposes 
    have collateral public health and environmental benefits, including 
    reductions in acid deposition, eutrophication, nitrification, fine 
    particle pollution, and regional haze.'' These and other public health 
    and environmental benefits associated with decreases in NOX 
    emissions are summarized qualitatively below.34
    ---------------------------------------------------------------------------
    
        \34\ U.S. Environmental Protection Agency, ``Nitrogen Oxides: 
    Impacts on Public Health and the Environment,'' EPA-452/R-97-002, 
    August 1997.
    ---------------------------------------------------------------------------
    
        Justification for Rulemaking: While EPA believes the information 
    discussed in this section is important for the public to understand 
    and, thus, needs to be described as part of the rulemaking and RIA, 
    there should be no misunderstanding as to the legal basis for the 
    rulemaking, which is described in Section II of this notice and does 
    not depend on the non-ozone benefits. The non-ozone benefits did not 
    affect the method in which EPA determined significant contribution nor 
    the control requirements.
        Acid Deposition: Sulfur dioxide and NOX are the two key 
    air pollutants that cause acid deposition (wet and dry particles and 
    gases) and result in the adverse effects on aquatic and terrestrial 
    ecosystems, materials, visibility, and public health. Nitric acid 
    deposition plays a dominant role in the acid pulses associated with the 
    fish kills observed during the springtime melt of the snowpack in 
    sensitive watersheds and recently has also been identified as a major 
    contributor to chronic acidification of certain sensitive surface 
    waters.
        Drinking Water Nitrate: High levels of nitrate in drinking water is 
    a health hazard, especially for infants. Atmospheric nitrogen 
    deposition in sensitive watersheds can increase stream water nitrate 
    concentrations; the added nitrate can remain in the water and be 
    transported long distances downstream.
        Eutrophication: NOX emissions contribute directly to the 
    widespread accelerated eutrophication of United States coastal waters 
    and estuaries. Atmospheric nitrogen deposition onto surface waters and 
    deposition to watershed and subsequent transport into the tidal waters 
    has been documented to contribute from 12 to 44 percent of the total 
    nitrogen loadings to United States coastal water bodies. Nitrogen is a 
    nutrient which enhances growth of algae in most coastal waters and 
    estuaries. Thus, addition of nitrogen results in accelerated algae and 
    aquatic plant growth causing adverse ecological effects and economic 
    impacts that range from nuisance algal blooms to oxygen depletion and 
    fish kills.
        Nitrogen Dioxide (NO2): Exposure to NO2 is 
    associated with a variety of acute and chronic health effects. The 
    health effects of most concern at ambient or near-ambient 
    concentrations of NO2 include mild changes in airway 
    responsiveness and pulmonary function in individuals with pre-existing 
    respiratory illnesses and increases in respiratory illnesses in 
    children. Currently, all areas of the United States monitoring 
    NO2 are below EPA's threshold for health effects.
        Nitrogen Saturation of Terrestrial Ecosystems: Nitrogen accumulates 
    in watersheds with high atmospheric nitrogen deposition. Because most 
    North American terrestrial ecosystems are nitrogen limited, nitrogen 
    deposition often has a fertilizing effect, accelerating plant growth. 
    Although this effect is often considered beneficial, nitrogen 
    deposition is causing important adverse changes in some terrestrial 
    ecosystems, including shifts in plant species composition and decreases 
    in species diversity or undesirable nitrate leaching to surface and 
    ground water and decreased plant growth.
        Particulate Matter (PM): NOX compounds react with other 
    compounds in the atmosphere to form nitrate particles and acid 
    aerosols. Because of
    
    [[Page 28314]]
    
    their small size nitrate particles have a relatively long atmospheric 
    lifetime; these small particles can also penetrate deeply into the 
    lungs. The PM has a wide range of adverse health effects.
        Toxic Products: Airborne particles derived from NOX 
    emissions react in the atmosphere to form various nitrogen containing 
    compounds, some of which may be mutagenic. Examples of transformation 
    products thought to contribute to increased mutagenicity include the 
    nitrate radical, peroxyacetyl nitrates, nitroarenes, and nitrosamines.
        Visibility and Regional Haze: The NOX emissions lead to 
    the formation of compounds that can interfere with the transmission of 
    light, limiting visual range and color discrimination. Most visibility 
    and regional haze problems can be traced to airborne particles in the 
    atmosphere that include carbon compounds, nitrate and sulfate aerosols, 
    and soil dust. While the major cause of visibility impairment in the 
    eastern United States is sulfates, NOX emissions also 
    contribute to visibility impairment.
    
    VI. Administrative Requirements
    
    A. Executive Order 12866: Regulatory Impact Analysis
    
        Under Executive Order 12866 (58 FR 51735, October 4, 1993), the 
    Agency must determine whether a regulatory action is ``significant'' 
    and therefore subject to Office of Management and Budget (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 entitlements, 
    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.
        The EPA believes that this action is a ``significant regulatory 
    action'' because it raises novel legal and policy issues arising from 
    the Agency's obligation to respond to the section 126 petitions, and 
    because the action could have an annual effect on the economy of more 
    than $100 million. As a result, the final rulemaking was submitted to 
    OMB for review. EPA is referencing the impacts in the final 
    NOX SIP call and proposed section 126 petitions RIA for the 
    final section 126 rule and has not prepared a new RIA for the final 
    rule at this time. Any written comments from OMB to EPA and any written 
    EPA response to those comments are included in the docket. The docket 
    is available for public inspection at the EPA's Air Docket Section, 
    which is listed in the ADDRESSES section of this preamble. The RIA is 
    available in hard copy by contacting the EPA Library at the address 
    under ``Availability of Related Information'' and in electronic form as 
    discussed above in that same section.
        The RIA for the section 126 petitions addresses the costs and 
    benefits associated with reducing emissions at sources affected under 
    the petitions in the broader context of those sources potentially 
    affected by the final NOX SIP call and the proposed FIP. 
    Sources named in the section 126 petitions may also be controlled under 
    SIPs that will be revised to meet final NOX budgets. The EPA 
    has proposed that in the event that States fail to submit approvable 
    SIPs, FIPs will be enacted. Therefore, the sources named in section 126 
    petitions may be complying with either State or Federal regulations of 
    generally equivalent stringency.
        The RIA for the final NOX SIP call and section 126 
    petitions concludes that the national annual cost of possible State 
    actions to comply with the NOX SIP call is approximately 
    $1.7 billion (1990 dollars). The sources named in the section 126 
    petitions will bear the majority of that total cost. The EPA will 
    revise this total cost estimate when it promulgates the NOX 
    trading program for this section 126 rulemaking. The EPA anticipates 
    the total cost for this section 126 rulemaking will not exceed the 
    NOX SIP call estimate. The associated benefits from the 
    NOX SIP call, in terms of improvements in health, 
    visibility, and ecosystem protection, that EPA has quantified and 
    monetized range from $1.1 billion to $4.2 billion. Due to practical 
    analytical limitations, the EPA is not able to quantify and/or monetize 
    all potential benefits of the NOX SIP call action. It is 
    anticipated that the majority of these quantified and monetized 
    benefits are associated with the section 126 action because the 
    majority of emission reductions, and the associated exposed populations 
    and ecosystems, are from sources potentially covered by SIP revisions, 
    and these sources may also be covered by this section 126 action.
        Due to practical analytical and data limitations, such as a lack of 
    air quality modeling based on the final section 126 inventory data, the 
    EPA is not able to provide a quantified and monetized benefits analysis 
    for the promulgated trading program as part of this section 126 
    rulemaking in July. The EPA will provide a qualitative benefits 
    assessment for the final section 126 rule in July, and will provide a 
    quantitative benefits analysis for the final rule in October. The 
    qualitative benefits assessment will be included in an RIA. This RIA 
    will also contain estimates of the compliance costs and economic 
    impacts associated with selected regulatory options that will be 
    analyzed as part of the promulgation of the NOX trading 
    program in July.
    
    B. Impact on Small Entities
    
    1. Regulatory Flexibility
        The Regulatory Flexibility Act (RFA), as amended by the Small 
    Business Regulatory Enforcement Fairness Act (SBREFA), provides that 
    whenever an agency is required to publish a general notice of final 
    rulemaking, it must prepare and make available a final Regulatory 
    Flexibility Analysis, unless it certifies that the proposed rule, if 
    promulgated, will not have ``a significant economic impact on a 
    substantial number of small entities.''
        In accordance with section 603 of the RFA, EPA prepared an initial 
    regulatory flexibility analysis (IRFA) for this rule (see 63 FR at 
    56322), and convened a Small Business Advocacy Panel (henceforth called 
    a ``Panel'') to obtain advice and recommendations of representatives of 
    the affected small entities in accordance with requirements in the RFA. 
    As per section 604 of the RFA, we also prepared a final regulatory 
    flexibility analysis (FRFA) for today's final rule. The FRFA addresses 
    the issues raised by public comments on the IRFA which was part of the 
    proposal of this rule. The FRFA is available for review in the docket 
    and is summarized below.
        In the process of developing this rulemaking, EPA worked with the 
    Small Business Administration (SBA) and OMB and obtained input from 
    small businesses, small governmental jurisdictions, and small 
    organizations. On June 23, 1998, EPA's Small Business Advocacy 
    Chairperson convened a Small Panel under section 609(b) of the RFA as 
    amended by SBREFA. In addition to its chairperson, the Panel consists 
    of EPA's Director of the Office of Air Quality Planning and Standards 
    within the Office of Air and Radiation, the Administrator of the Office 
    of Information and Regulatory Affairs within the OMB, and the Chief 
    Counsel for Advocacy of the SBA.
        As described in the proposed rule (see 63 FR at 56322), this Panel 
    conducted
    
    [[Page 28315]]
    
    an outreach effort and completed a report on the section 126 proposal. 
    The report provides background information on the proposed rule being 
    developed and the types of small entities that would be subject to the 
    proposed rule, describes efforts to obtain the advice and 
    recommendations of representatives of those small entities, summarizes 
    the comments that have been received to date from those 
    representatives, and presents the findings and recommendations of the 
    Panel; the completed report, comments of the small entity 
    representatives, and other information are contained in the docket for 
    this rulemaking. The contents of today's action, including the RTC 
    document and the Final Regulatory Flexibility Analysis, address the six 
    recommendations in the Panel's report.
        In addition, EPA will also prepare a small entity compliance guide 
    to assist small entities in complying with this rule as required by 
    Section 212 of the SBREFA.
    2. Potentially Affected Small Entities
        To define small entities, EPA used the SBA industry-specific 
    criteria published in 13 CFR section 121. The SBA size standards have 
    been established for each type of economic activity under the Standard 
    Industrial Classification (SIC) System. Due to their NOX-
    emitting properties, the following industries have the potential to be 
    affected by the final section 126 rulemaking:
    
    SIC Codes in Division D: Manufacturing
        2611--Pulp mills
        2819--Industrial Inorganic Materials
        2821--Plastics Materials, Synthetic Resins, and Nonvulcanizable 
    Elastomers
        2869--Industrial Organic Chemicals
        3312--Steel Works, Blast Furnaces, and Rolling Mills
        3511--Steam, Gas, and Hydraulic Turbines
        3519--Stationary Internal Combustion Engines
        3585--Air-Conditioning and Warm-Air Heating Equipment and 
    Commercial and Industrial Refrigeration Equipment
    SIC Codes in Division E: Transportation, Communications, Electric, Gas, 
    and Sanitary Services
    SIC Major Group 49: Electric, Gas, and Sanitary Services, including:
        4911--Electric Utilities
        4922--Natural Gas Transmission
        4931--Electric and other Gas Services
        4961--Steam and Air Conditioning Supply
    
        The section 126 rulemaking is potentially applicable to all 
    NOX-emitting entities named in one or more of the section 
    126 petitions. The EPA estimates that the total number of such entities 
    named in the section 126 petitions is approximately 5200, of which 
    about 1200 are small entities. The EPA's analysis, ``Final Regulatory 
    Flexibility Analysis For the Final Section 126 Petitions Under the 
    Clean Air Act Amendments Title I'' is contained in the docket for this 
    action, and results from this analysis are given below.
        For purposes of today's final action, the section 126 rulemaking 
    will apply only to the following types of sources: large EGUs, and 
    large non-EGUs. At these size cutoffs, the estimated number of small 
    entities that would be affected is as follows:
    
    Electric Generating Units--114 small entities
    Industrial Boilers and/or Combustion Turbines--31 small entities.
    
        The EPA has further estimated that, of these affected small 
    entities, the following would experience compliance costs equal or 
    greater to 1 percent of their estimated revenues:
    
    Electric Generating Units--32 small entities
    Industrial Boilers and Combustion Turbines--4 small entities
    
        Of these, EPA estimates that about 18 small entities with electric 
    generating units and 4 small entities with industrial boilers or 
    turbines would experience costs greater than 3 percent of their 
    estimated revenues.
        By limiting the small entities covered by the final rule to large 
    EGUs and large non-EGUs, EPA is reducing by over 85 percent the number 
    of small entities otherwise potentially affected by the cap-and-trade 
    program: out of 1200 potentially-affected small entities, over 1000 
    would be exempted, with only 145 small entities remaining. Commenters 
    have strongly endorsed these exemptions.
        Furthermore, as described in the proposed rule (see 63 FR at 
    56323), the Panel explored additional options for reducing the impact 
    of the rule on small entities in the context of the NOX cap-
    and-trade program. The EPA will consider these options and also produce 
    a small entity analysis based on the latest emissions inventory data 
    when it promulgates the NOX trading program for this section 
    126 rulemaking.
    
    C. Unfunded Mandates Reform Act
    
        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 section 202 of the UMRA, 2 
    U.S.C. 1532, EPA generally must prepare a written statement, including 
    a cost-benefit analysis, for any proposed or final rule that ``includes 
    any Federal mandate that may result in the expenditure by State, local, 
    and tribal governments, in the aggregate, or by the private sector, of 
    $100,000,000 or more . . . in any one year.'' A ``Federal mandate'' is 
    defined to include a ``Federal intergovernmental mandate'' and a 
    ``Federal private sector mandate'' (2 U.S.C. 658(6)). A ``Federal 
    intergovernmental mandate,'' in turn, is defined to include a 
    regulation that ``would impose an enforceable duty upon State, local, 
    or tribal governments (2 U.S.C. 658(5)(A)(i)), except for, among other 
    things, a duty that is ``a condition of Federal assistance (2 U.S.C. 
    658(5)(A)(i)(I)). A ``Federal private sector mandate'' includes a 
    regulation that ``would impose an enforceable duty upon the private 
    sector,'' with certain exceptions (2 U.S.C. 658(7)(A)).
        The EPA is taking the position that the requirements of UMRA apply 
    because this action could result in the establishment of enforceable 
    mandates directly applicable to sources (including sources owned by 
    State and local governments) that would result in costs greater than 
    $100 million in any one year. 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 EPA's UMRA 
    analysis, ``Unfunded Mandates Reform Act Analysis For the Proposed 
    Section 126 Petitions Under the Clean Air Act Amendments Title I (Phase 
    I),'' is contained in the docket for this action and is summarized 
    below. The results of this analysis are referenced here since there 
    have been no changes in the input data or to the analysis methodology 
    offered by commenters.
        This UMRA analysis examines the impacts of the final section 126 
    rulemaking on both EGUs and non-EGUs that are owned by State, local, 
    and tribal governments, as well as sources owned by private entities. 
    This final rule potentially affects 65 EGUs that are owned by one State 
    and 24 municipalities (Massachusetts owns 6 units, and the 
    municipalities own the remaining 59 units). In addition, seven non-EGUs 
    owned by two States and five municipalities are potentially affected. 
    The EPA has not identified any units on Tribal lands that would be 
    subject to the rule requirements. The overall costs are dominated by 
    the 65 EGUs and are about $30 million per year.
    
    [[Page 28316]]
    
        Under section 203 of UMRA, 2 U.S.C. 1533, before EPA establishes 
    any regulatory requirements ``that might significantly or uniquely 
    affect small governments,'' EPA must have developed a small government 
    agency plan. The plan must provide for notifying 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. Today's final rule does not distinguish 
    EGUs based on ownership, either for those units that are included 
    within the scope of the proposed rule or for those units that are 
    exempted by the generating capacity cut-off. Consequently, the final 
    rule has no requirements that uniquely affect small governments that 
    own or operate EGUs within the affected region. With respect to the 
    significance of the rule's provisions, EPA's UMRA analysis (cited 
    above) demonstrates that the economic impact of the rule will not 
    significantly affect (as defined in Section 203 of UMRA) State or 
    municipal EGUs or non-EGUs, either in terms of total cost incurred and 
    the impact of the costs on revenue, or increased cost of electricity to 
    consumers. Therefore, development of a small government plan under 
    section 203 of UMRA is not required.
        Under section 204 of UMRA, 2 U.S.C. 1534, if an agency proposes a 
    rule that contains a ``significant Federal intergovernmental mandate,'' 
    the agency must develop a process to permit elected officials of State, 
    local, and tribal governments to provide input into the development of 
    the proposal.'' In order to fulfill UMRA requirements that publicly-
    elected officials be given meaningful and timely input in the process 
    of regulatory development, EPA has sent letters to five national 
    associations whose members include elected officials. The letters 
    provided background information, requested the associations to notify 
    their membership of the proposed rulemaking, and encourage interested 
    parties to comment on the proposed actions by sending comments during 
    the public comment period and presenting testimony at the public 
    hearing on the proposal. The EPA considered these comments as part of 
    today's final action and EPA will also consider them when finalizing 
    the trading program.
        In addition, during the NOX SIP call, EPA provided 
    direct notification to potentially affected State and municipally-owned 
    utilities as part of the public comment and hearing process attendant 
    to proposal of the NOX SIP call and supplemental notice of 
    proposed rulemaking. These procedures helped ensure that small 
    governments had an opportunity to give timely input and obtain 
    information on compliance. The EPA provided the 26 State- and 
    municipally-owned utilities and appropriate elected officials with a 
    brief summary of the proposal and the estimated impacts. The public 
    rulemaking also elicited numerous comments from State and municipal 
    utilities and groups representing utility interests. Commenters 
    generally endorsed the Agency's determinations on application of 
    controls to State- and municipally-owned utilities.
        Furthermore, for the section 126 rulemaking, EPA published an ANPR 
    that served to provide notice of the Agency's intention to propose 
    emissions limits and to solicit early input on the proposal. This 
    process helped to ensure that small governments had an opportunity to 
    give timely input and obtain information on compliance.
        The Agency will revise the UMRA analysis, based on the data in the 
    final section 126 inventory, when it promulgates the NOX 
    trading program for this section 126 rulemaking.
    
    D. Paperwork Reduction Act
    
        The information collection requirements in this final rule will be 
    submitted for approval to OMB under the Paperwork Reduction Act, 44 
    U.S.C. 3501 et seq., when the NOX trading portion of this 
    section 126 rulemaking is promulgated. An Information Collection 
    Request (ICR) document was prepared by EPA for the proposed section 126 
    rulemaking (see 63 FR at 56325, ICR No. 1889.01) and a copy may be 
    obtained from Sandy Farmer, OPPE Regulatory Information Division, US 
    Environmental Protection Agency (2137), 401 M St., SW, Washington, DC 
    20460 or by calling (202) 260-2740.
    
    E. Executive Order 13045: Protection of Children From Environmental 
    Health Risks and Safety Risks
    
    1. Applicability of Executive Order 13045
        The Executive Order 13045 applies to any rule that EPA determines 
    is (1) ``economically significant'' as defined under Executive Order 
    12866, and (2) addressed an environmental health or safety risk that 
    has 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. This final 
    rule is not subject to Executive Order 13045, entitled ``Protection of 
    Children from Environmental Health Risks and Safety Risks''(62 FR 
    19885, April 23, 1997), because it does not involve decisions on 
    environmental health risks or safety risks that may disproportionately 
    affect children.
    2. Children's Health Protection
        In accordance with section 5(501), the Agency has evaluated the 
    environmental health or safety effects of the rule on children, and 
    found that the rule does not separately address any age groups. 
    However, in conjunction with the final NOX SIP call 
    rulemaking, the Agency has conducted a general analysis of the 
    potential changes in ozone and PM levels experienced by children as a 
    result of the NOX SIP call; these findings are presented in 
    volume 2 of the RIA. The findings include population-weighted exposure 
    characterizations for projected 2007 ozone and PM concentrations. The 
    population data includes a census-derived subdivision for the under 18 
    group. These findings from the final NOX SIP call RIA are 
    also applicable to today's final action since the exposure 
    characterizations are based on emissions from sources potentially 
    covered by SIP revisions, and these sources may also be covered by this 
    section 126 action.
    
    F. Executive Order 12898: Environmental Justice
    
        Executive Order 12898 requires that each Federal agency make 
    achieving environmental justice part of its mission by identifying and 
    addressing, as appropriate, disproportionately high and adverse human 
    health or environmental effects of its programs, policies, and 
    activities on minorities and low-income populations. In conjunction 
    with the final NOX SIP call rulemaking, the Agency has 
    conducted a general analysis of the potential changes in ozone and PM 
    levels that may be experienced by minority and low-income populations 
    as a result of the NOX SIP call; these findings are 
    presented in volume 2 of the RIA. The findings include population-
    weighted exposure characterizations for projected ozone concentrations 
    and PM concentrations. The population data includes census-derived 
    subdivisions for whites and non-whites, and for low-income groups.
    
    [[Page 28317]]
    
    G. 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 the mandate is 
    unfunded, EPA must provide to the OMB 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.''
        The EPA has concluded that this rule may create a mandate on State 
    and local governments and that the Federal government will not provide 
    the funds necessary to pay the direct costs incurred by the State and 
    local governments in complying with the mandate. In order to provide 
    meaningful and timely input in the development of this regulatory 
    action, EPA sent letters to five national associations whose members 
    include elected officials. The letters provided background information, 
    requested the associations to notify their membership of the proposed 
    rulemaking, and encouraged interested parties to comment on the 
    proposed actions by sending comments during the public comment period 
    and presenting testimony at the public hearing on the proposal. The EPA 
    has addressed the concerns of these officials in the UMRA Analysis 
    mentioned in Section V.C. and in the Response to Comments document. A 
    statement supporting the need to issue the regulation is also contained 
    in the UMRA Analysis.
        Furthermore, for the section 126 rulemaking, EPA published an ANPR 
    that served to provide notice of the Agency's intention to propose 
    emissions limits and to solicit early input on the proposal. This 
    process helped to ensure that small governments had an opportunity to 
    give timely input and obtain information on compliance.
    
    H. 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 government 
    provides the funds necessary to pay the direct compliance costs 
    incurred by the tribal governments. If the mandate is unfunded, EPA 
    must provide to the OMB, 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 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.''
        Today's rule does not significantly or uniquely affect the 
    communities of Indian tribal governments and, in any event, will not 
    impose substantial direct compliance costs on such communities. The EPA 
    is not aware of sources located on tribal lands that could be subject 
    to the requirements EPA is finalizing in this action. Accordingly, the 
    requirements of section 3(b) of Executive Order 13084 do not apply.
    
    I. National Technology Transfer and Advancement Act
    
        Section 12(d) of the National Technology Transfer and Advancement 
    Act of 1995 (NTTAA), Pub. L. 104-113, Sec. 12(d) (15 U.S.C. 272 note) 
    directs EPA 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 
    standards (e.g., materials specifications, test methods, sampling 
    procedures, and business practices) that are developed or adopted by 
    voluntary consensus standards bodies. The NTTAA directs EPA to provide 
    Congress, through OMB, explanations when the Agency decides not to use 
    available and applicable voluntary consensus standards.
        This final rulemaking would require all sources that participate in 
    the trading program under proposed part 97 to meet the applicable 
    monitoring requirements of part 75. Part 75 already incorporates a 
    number of voluntary consensus standards. In addition, the Agency 
    recently revised part 75 to incorporate procedures to monitor and 
    report NOX mass emissions (see 63 FR at 57464). During that 
    rulemaking, process EPA sought comments on additional voluntary 
    consensus standards.
        This final rulemaking involves environmental monitoring or 
    measurements. Sources that participate in the trading program would be 
    required to meet the monitoring requirements under part 75. Consistent 
    with the Agency's Performance Based Measurement System (PBMS), part 75 
    sets forth performance criteria that allow the use of alternative 
    methods to the ones set forth in part 75. The PBMS approach is intended 
    to be more flexible and cost effective for the regulated community; it 
    is also intended to encourage innovation in analytical technology and 
    improved data quality. The EPA is not precluding the use of any method, 
    whether it constitutes a voluntary consensus standard or not, as long 
    as it meets the performance criteria specified, however, any 
    alternative methods must be approved in advance before they may be used 
    under part 75.
    
    J. Judicial Review
    
        Section 307(b)(1) of the CAA indicates which Federal Courts of 
    Appeal have venue for petitions of review of final actions by EPA. This 
    Section provides, in part, that petitions for review must be filed in 
    the Court of Appeals for the District of Columbia Circuit (i) when the 
    agency action consists of ``nationally applicable regulations 
    promulgated, or final actions taken, by the Administrator,'' or (ii) 
    when such action is locally or regionally applicable, if ``such action 
    is based on a determination of nationwide scope or effect and if in 
    taking such action the Administrator finds and publishes that such 
    action is based on such a determination.''
        This rulemaking on several section 126 petitions is ``naturally 
    applicable'' within the meaning of section 307(b)(1). At the core of 
    this rulemaking is EPA's interpretation of sections 126 and 
    110(a)(2)(D)(i)(I). These interpretations were applied uniformly to 
    each section 126 petition.\35\ Further, the modeling which EPA employed 
    to assist in
    
    [[Page 28318]]
    
    making today's decisions involved uniform modeling techniques and a 
    uniform set of air quality metrics to assess upwind impacts on downwind 
    states. In addition, the cost effectiveness information was analyzed 
    and applied uniformly to each petition. Further, the remedy selected by 
    EPA is uniformly applicable to upwind sources in many different states 
    and involves interstate trading of NOX emission allowances. 
    In sum, the numerous legal and technical issues that EPA addressed in 
    this rulemaking apply uniformly to all the sources in 19 states and the 
    District of Columbia about which EPA is making an affirmative or 
    negative determination. Cf. West Virginia Chamber of Commerce v. 
    Browner, 1998 WL 827315, *7 (4th Cir., Dec. 1, 1998) (the proposed 
    NOX SIP Call Rule is nationally applicable because it 
    ``seeks to tackle a problem affecting two-thirds of the country by 
    regulating somewhat less than one half of the states'').
    ---------------------------------------------------------------------------
    
        \35\ EPA interpreted some of the same provisions in the SIP Call 
    final rule, and the U.S. Court of Appeals for the D.C. Circuit 
    agreed with the Administrator that the rule was nationally 
    significant and thus, that venue lies in that circuit. See State of 
    Michigan v. EPA, No. 98-1497 (D.C. Cir., Order, Mar. 19, 1999) 
    (citing Texas Municipal Power Agency v. EPA, 89 F. 3d 858, 867 (D.C. 
    Cir. 1996) (per curiam)).
    ---------------------------------------------------------------------------
    
        For these reasons, the Administrator also is determining that the 
    final action regarding the section 126 petitions is of nationwide scope 
    and effect for purposes of section 307(b)(1). This is particularly 
    appropriate because in the report on the 1977 Amendments that revised 
    section 307(b)(1) of the CAA, Congress noted that the Administrator's 
    determination that an action is of ``nationwide scope or effect'' would 
    be appropriate for any action that has ``scope or effect beyond a 
    single judicial circuit.'' H.R. Rep. No. 95-294 at 323, 324, reprinted 
    in 1977 U.S.C.C.A.N. 1402-03. Here, the scope and effect of this 
    rulemaking extend to numerous judicial circuits since the downwind 
    petitioning states lie in the First, Second and Third Circuits of the 
    U.S. Courts of Appeals and the upwind regulated states lie in several 
    other circuits. In these circumstances, section 307(b)(1) and its 
    legislative history calls for the Administrator to find the rule to be 
    of ``nationwide scope or effect'' and for venue to be in the D.C. 
    Circuit.
        Thus, any petitions for review of final actions regarding the 
    section 126 rulemaking must be filed in the Court of Appeals for the 
    District of Columbia Circuit within 60 days from the date final action 
    is published in the Federal Register.
    
    K. Congressional Review Act
    
        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. The 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 action is a ``major rule'' as defined by 5 U.S.C. 
    804(2). This rule will be effective July 26, 1999.
    
    List of Subjects in 40 CFR Part 52
    
        Environmental protection, Air pollution control, Emissions trading, 
    Intergovernmental relations, Nitrogen oxides, Ozone transport, 
    Reporting and recordkeeping requirements.
    
        Dated: April 30, 1999.
    Carol M. Browner,
    Administrator.
    
        For the reasons set forth in the preamble, part 52 of chapter I of 
    title 40 of the Code of Federal Regulations is amended as follows:
    
    PART 52--APPROVAL AND PROMULGATION OF IMPLEMENTATION PLANS
    
        1. The authority citation for part 52 continues to read as follows:
    
        Authority: 42 U.S.C. 7401 et seq.
    
    Subpart A--General Provisions
    
        2. Subpart A is amended to add Sec. 52.34 to read as follows:
    
    
    Sec. 52.34  Action on petitions submitted under section 126 relating to 
    emissions of nitrogen oxides.
    
        (a) Definitions. For purposes of this section, the following 
    definitions apply:
        (1) Administrator means the Administrator of the United States 
    Environmental Protection Agency or the Administrator's duly authorized 
    representative.
        (2) Large Electric Generating Units (large EGUs) means:
        (i) For units that commenced operation before January 1, 1997, a 
    unit serving during 1995 or 1996 a generator that had a nameplate 
    capacity greater than 25 MWe and produced electricity for sale under a 
    firm contract to the electric grid.
        (ii) For units that commenced operation on or after January 1, 1997 
    and before January 1, 1999, a unit serving at any time during 1997 or 
    1998 a generator that had a nameplate capacity greater than 25 MWe and 
    produced electricity for sale under a firm contract to the electric 
    grid.
        (iii) For units that commence operation on or after January 1, 
    1999, a unit serving at any time a generator that has a nameplate 
    capacity greater than 25 MWe and produces electricity for sale.
        (3) Large Non-Electric Generating Units (large non-EGUs) means:
        (i) For units that commenced operation before January 1, 1997, a 
    unit that has a maximum design heat input greater than 250 mmBtu/hr and 
    that did not serve during 1995 or 1996 a generator producing 
    electricity for sale under a firm contract to the electric grid.
        (ii) For units that commenced operation on or after January 1, 1997 
    and before January 1, 1999, a unit that has a maximum design heat input 
    greater than 250 mmBtu/hr and that did not serve at any time during 
    1997 or 1998 a generator producing electricity for sale under a firm 
    contract to the electric grid.
        (iii) For units that commence operation on or after January 1, 
    1999, a unit with a maximum design heat input greater than 250 mmBtu/hr 
    that:
        (A) At no time serves a generator producing electricity for sale; 
    or
        (B) At any time serves a generator producing electricity for sale, 
    if any such generator has a nameplate capacity of 25 MWe or less and 
    has the potential to use 50 percent or less of the potential electrical 
    output capacity of the unit.
        (4) New sources means new and modified sources.
        (5) NOX means oxides of nitrogen.
        (6) NOX allowance means an authorization by the 
    permitting authority or the Administrator to emit up to one ton of 
    nitrogen oxides during the control period of the specified year or of 
    any year thereafter.
        (7) OTAG means the Ozone Transport Assessment Group (active 1995-
    1997), a national work group that addressed the problem of ground-level 
    ozone and the long-range transport of air pollution across the Eastern 
    United States. The OTAG was a partnership between EPA, the 
    Environmental Council of the States, and various industry and 
    environmental groups.
        (8) Ozone season means the period of time beginning May 1 of a year 
    and ending on September 30 of the same year, inclusive.
        (9) Potential electrical output capacity means, with regard to a 
    unit, 33 percent of the maximum design heat input of the unit.
        (10) Unit means a fossil-fuel fired stationary boiler, combustion 
    turbine, or combined cycle system.
        (b) Purpose and applicability. Paragraphs (c) through (h) of this 
    section set forth EPA's affirmative technical determinations, with 
    respect to the
    
    [[Page 28319]]
    
    national ambient air quality standards (NAAQS) for ozone, that certain 
    new and existing sources of emissions of nitrogen oxides 
    (``NOX'') in certain States emit or would emit 
    NOX in amounts that contribute significantly to 
    nonattainment in, or interfere with maintenance by, one or more States 
    that submitted petitions in 1997-1998 addressing such NOX 
    emissions under section 126 of the Clean Air Act. (As used in this 
    section, the term new source includes modified sources, as well.) 
    Paragraph (i) of this section sets forth EPA's decisions about whether 
    to grant or deny each of those petitions, and the remainder of this 
    section sets forth the emissions-reduction requirements that will apply 
    to the affected sources of NOX emissions to the extent any 
    of the petitions are granted.
        (1) The States that submitted such petitions are Connecticut, 
    Maine, Massachusetts, New Hampshire, New York, Pennsylvania, Rhode 
    Island, and Vermont (each of which, hereinafter in this section, may be 
    referred to also as a ``petitioning State'').
        (2) The new and existing sources of NOX emissions 
    covered by the petitions that emit or would emit NOX 
    emissions in amounts that make such significant contributions are large 
    electric generating units (EGUs) and large non-EGUs.
        (c) Affirmative technical determinations relating to impacts on 
    ozone levels in Connecticut. (1) Affirmative technical determinations 
    with respect to the 1-hour ozone standard in Connecticut. The 
    Administrator of EPA finds that any existing or new major source or 
    group of stationary sources emits or would emit NOX in 
    amounts that contribute significantly to nonattainment in the State of 
    Connecticut with respect to the 1-hour NAAQS for ozone if it is or will 
    be:
        (i) In a category of large EGUs or large non-EGUs;
        (ii) Located in one of the States (or portions thereof) listed in 
    paragraph (c)(2) of this section; and
        (iii) Within one of the ``Named Source Categories'' listed in the 
    portion of Table F-1 in appendix F of this part describing the sources 
    of NOX emissions covered by the petition of the State of 
    Connecticut.
        (2) States or portions of States that contain sources for which EPA 
    is making an affirmative technical determination with respect to the 1-
    hour ozone standard in Connecticut. The States, or portions of States, 
    that contain sources of NOX emissions for which EPA is 
    making an affirmative technical determination are:
        (i) Delaware.
        (ii) District of Columbia.
        (iii) Portion of Indiana located in OTAG Subregions 2 and 6, as 
    shown in appendix F, Figure F-2, of this part.
        (iv) Portion of Kentucky located in OTAG Subregion 6, as shown in 
    appendix F, Figure F-2, of this part.
        (v) Maryland.
        (vi) Portion of Michigan located in OTAG Subregion 2, as shown in 
    appendix F, Figure F-2, of this part.
        (vii) Portion of North Carolina located in OTAG Subregion 7, as 
    shown in appendix F, Figure F-2, of this part.
        (viii) New Jersey.
        (ix) Portion of New York extending west and south of Connecticut, 
    as shown in appendix F, Figure F-2, of this part.
        (x) Ohio.
        (xi) Pennsylvania.
        (xii) Virginia.
        (xiii) West Virginia.
        (d) Affirmative technical determinations relating to impacts on 
    ozone levels in Maine. (1) Affirmative technical determinations with 
    respect to the 8-hour ozone standard in Maine. The Administrator of EPA 
    finds that any existing or new major source or group of stationary 
    sources emits or would emit NOX in amounts that contribute 
    significantly to nonattainment in the State of Maine, with respect to 
    the 8-hour NAAQS for ozone if it is or will be:
        (i) In a category of large EGUs or large non-EGUs;
        (ii) Located in one of the States (or portions thereof) listed in 
    paragraph (d)(2) of this section; and
        (iii) Within one of the ``Named Source Categories'' listed in the 
    portion of Table F-1 of appendix F of this part describing the sources 
    of NOX emissions covered by the petition of the State of 
    Maine.
        (2) States or portions of States that contain sources for which EPA 
    is making an affirmative technical determination with respect to the 8-
    hour ozone standard in Maine. The States that contain sources for which 
    EPA is making an affirmative technical determination are:
        (i) Connecticut.
        (ii) Delaware.
        (iii) District of Columbia.
        (iv) Maryland.
        (v) Massachusetts.
        (vi) New Jersey.
        (vii) New York.
        (viii) Pennsylvania.
        (ix) Rhode Island.
        (x) Virginia.
    
        (e) Affirmative technical determinations relating to impacts on 
    ozone levels in Massachusetts. (1) Affirmative technical determinations 
    with respect to the 1-hour ozone standard in Massachusetts. The 
    Administrator of EPA finds that any existing major source or group of 
    stationary sources emits NOX in amounts that contribute 
    significantly to nonattainment in the State of Massachusetts, with 
    respect to the 1-hour NAAQS for ozone if it is:
        (i) In a category of large EGUs or large non-EGUs;
        (ii) Located in one of the States (or portions thereof) listed in 
    paragraph (e)(2) of this section; and
        (iii) Within one of the ``Named Source Categories'' listed in the 
    portion of Table F-1 in appendix F of this part describing the sources 
    of NOX emissions covered by the petition of the State of 
    Massachusetts.
        (2) States or portions of States that contain sources for which EPA 
    is making an affirmative technical determination with respect to the 1-
    hour ozone standard in Massachusetts. The portion of a State that 
    contains sources for which EPA is making an affirmative technical 
    determination are:
        (i) All counties in West Virginia located within a 3-county-wide 
    band of the Ohio River, as shown in appendix F, Figure F-4, of this 
    part.
        (3) Affirmative technical determinations with respect to the 8-hour 
    ozone standard in Massachusetts. The Administrator of EPA finds that 
    any existing major source or group of stationary sources emits 
    NOX in amounts that contribute significantly to 
    nonattainment in, or interfere with maintenance by, the State of 
    Massachusetts, with respect to the 8-hour NAAQS for ozone if it is:
        (i) In a category of large EGUs or large non-EGUs;
        (ii) Located in one of the States (or portions thereof) listed in 
    paragraph (e)(4) of this section; and
        (iii) Within one of the ``Named Source Categories'' listed in the 
    portion of Table F-1 in appendix F of this part describing the sources 
    of NOX emissions covered by the petition of the State of 
    Massachusetts.
        (4) States or portions of States that contain sources for which EPA 
    is making an affirmative technical determination with respect to the 8-
    hour ozone standard in Massachusetts. The portions of States that 
    contain sources for which EPA is making an affirmative technical 
    determination are:
        (i) All counties in Ohio located within a 3-county-wide band of the 
    Ohio River, as shown in appendix F, Figure F-4, of this part.
    
    [[Page 28320]]
    
        (ii) All counties in West Virginia located within a 3-county-wide 
    band of the Ohio River, as shown in appendix F, Figure F-4, of this 
    part.
        (f) Affirmative technical determinations relating to impacts on 
    ozone levels in New Hampshire. (1) Affirmative technical determinations 
    with respect to the 8-hour ozone standard in New Hampshire. The 
    Administrator of EPA finds that any existing or new major source or 
    group of stationary sources emits or would emit NOX in 
    amounts that contribute significantly to nonattainment in, or interfere 
    with maintenance by, the State of New Hampshire, with respect to the 8-
    hour NAAQS for ozone if it is or will be:
        (i) In a category of large EGUs or large non-EGUs;
        (ii) Located in one of the States (or portions thereof) listed in 
    paragraph (f)(2) of this section; and
        (iii) Within one of the ``Named Source Categories'' listed in the 
    portion of Table F-1 of appendix F of this part describing the sources 
    of NOX emissions covered by the petition of the State of New 
    Hampshire.
        (2) States or portions of States that contain sources for which EPA 
    is making an affirmative technical determination with respect to the 8-
    hour ozone standard in New Hampshire. The States that contain sources 
    for which EPA is making an affirmative technical determination are:
        (i) Connecticut.
        (ii) Delaware.
        (iii) District of Columbia.
        (iv) Maryland.
        (v) Massachusetts.
        (vi) New Jersey.
        (vii) New York.
        (viii) Pennsylvania.
        (ix) Rhode Island.
        (g) Affirmative technical determinations relating to impacts on 
    ozone levels in the State of New York. (1) Affirmative technical 
    determinations with respect to the 1-hour ozone standard in the State 
    of New York. The Administrator of EPA finds that any existing or new 
    major source or group of stationary sources emits or would emit 
    NOX in amounts that contribute significantly to 
    nonattainment in the State of New York, with respect to the 1-hour 
    NAAQS for ozone:
        (i) In a category of large EGUs or large non-EGUs;
        (ii) Located in one of the States (or portions thereof) listed in 
    paragraph (g)(2) of this section; and
        (iii) Within one of the ``Named Source Categories'' listed in the 
    portion of Table F-1 in appendix F of this part describing the sources 
    of NOX emissions covered by the petition of the State of New 
    York.
        (2) States or portions of States that contain sources for which EPA 
    is making an affirmative technical determination with respect to the 1-
    hour ozone standard in the State of New York. The States, or portions 
    of States, that contain sources for which EPA is making an affirmative 
    technical determination are:
        (i) Delaware.
        (ii) District of Columbia.
        (iii) Portion of Indiana located in OTAG Subregions 2 and 6, as 
    shown in appendix F, Figure F-6, of this part.
        (iv) Portion of Kentucky located in OTAG Subregion 6, as shown in 
    appendix F, Figure F-6, of this part.
        (v) Maryland.
        (vi) Portion of Michigan located in OTAG Subregion 2, as shown in 
    appendix F, Figure F-6, of this part.
        (vii) Portion of North Carolina located in OTAG Subregions 6 and 7, 
    as shown in appendix F, Figure F-6, of this part.
        (viii) New Jersey.
        (ix) Ohio.
        (x) Pennsylvania.
        (xi) Virginia.
        (xii) West Virginia.
        (h) Affirmative technical determinations relating to impacts on 
    ozone levels in Pennsylvania. (1) Affirmative technical determinations 
    with respect to the 1-hour ozone standard in Pennsylvania. The 
    Administrator of EPA finds that any existing or new major source or 
    group of stationary sources emits or would emit NOX in 
    amounts that contribute significantly to nonattainment in the State of 
    Pennsylvania, with respect to the 1-hour NAAQS for ozone if it is or 
    will be:
        (i) In a category of large EGUs or large non-EGUs;
        (ii) Located in one of the States (or portions thereof) listed in 
    paragraph (h)(2) of this section; and (iii) Within one of the ``Named 
    Source Categories'' listed in the portion of Table F-1 in appendix F of 
    this part describing the sources of NOX emissions covered by 
    the petition of the State of Pennsylvania.
        (2) States or portions of States that contain sources for which EPA 
    is making an affirmative technical determination with respect to the 1-
    hour ozone standard in Pennsylvania. The States that contain sources 
    for which EPA is making an affirmative technical determination are:
        (i) North Carolina.
        (ii) Ohio.
        (iii) Virginia.
        (iv) West Virginia.
        (3) Affirmative technical determinations with respect to the 8-hour 
    ozone standard in Pennsylvania. The Administrator of EPA finds that any 
    existing or new major source or group of stationary sources emits or 
    would emit NOX in amounts that contribute significantly to 
    nonattainment in, or interfere with maintenance by, the State of 
    Pennsylvania, with respect to the 8-hour NAAQS for ozone:
        (i) In a category of large EGUs or large non-EGUs;
        (ii) Located in one of the States (or portions thereof) listed in 
    paragraph (h)(4) of this section; and
        (iii) Within one of the ``Named Source Categories'' listed in the 
    portion of Table F-1 in appendix F of this part describing the sources 
    of NOX emissions covered by the petition of the State of 
    Pennsylvania.
        (4) States or portions of States that contain sources for which EPA 
    is making an affirmative technical determination with respect to the 8-
    hour ozone standard in Pennsylvania. The States that contain sources 
    for which EPA is making an affirmative technical determination are:
        (i) Alabama.
        (ii) Illinois.
        (iii) Indiana.
        (iv) Kentucky.
        (v) Michigan.
        (vi) Missouri.
        (vii) North Carolina.
        (viii) Ohio.
        (ix) Tennessee.
        (x) Virginia.
        (xi) West Virginia.
        (i) Action on petitions for section 126(b) findings. (1) For each 
    existing or new major source or group of stationary sources for which 
    the Administrator has made an affirmative technical determination as 
    described in paragraphs (c) through (h) of this section as to impacts 
    on nonattainment or maintenance of a particular NAAQS for ozone in a 
    particular petitioning State, a finding of the Administrator that each 
    such major source or group of stationary sources emits or would emit 
    NOX in violation of the prohibition of Clean Air Act section 
    110(a)(2)(D)(i)(I) with respect to nonattainment or maintenance of such 
    standard in such petitioning State will be deemed to be made:
        (i) As of November 30, 1999, if by such date EPA does not issue 
    either:
        (A) A proposed approval, under section 110(k) of the Clean Air Act, 
    of a State implementation plan revision submitted by such State to 
    comply with the requirements of 40 CFR 51.121 and 51.122; or
        (B) A final Federal implementation plan meeting the requirements of 
    those sections for such State.
    
    [[Page 28321]]
    
        (ii) As of May 1, 2000, if by November 30, 1999, EPA issues the 
    proposed approval described in paragraph (i)(1)(i) of this section for 
    such State, but, by May 1, 2000, EPA does not fully approve or 
    promulgate implementation plan provisions meeting such requirements for 
    such State.
        (2) The making of any such finding as to any such major source or 
    group of stationary sources shall be considered to be the making of a 
    finding under subsection (b) of section 126 of the Clean Air Act as to 
    such major source or group of stationary sources. Each aspect of a 
    petition covering sources in a State as to which the Administrator has 
    made an affirmative technical determination (as described in paragraphs 
    (c) through (h) of this section) shall be deemed denied as the date of 
    final approval, under section 110(k) of the Clean Air Act, of a State 
    implementation plan revision submitted by such State to comply with the 
    requirements of 40 CFR 51.121 and 51.122, or promulgation of a final 
    Federal implementation plan meeting the requirements of 40 CFR 51.121 
    and 51.122 for such State. Notwithstanding any other provision of this 
    paragraph (i), after such a finding has been deemed to be made under 
    this paragraph (i) as to a particular major source or group of 
    stationary sources in a particular State, such finding will be deemed 
    to be withdrawn, and the corresponding part of the relevant petition(s) 
    denied, if the Administrator issues a final action putting in place 
    implementation plan provisions that comply with the requirements of 40 
    CFR 51.121 and 51.122 for such State.
        (j) Section 126 control remedy. The Federal NOX Budget 
    Trading Program applies to the owner or operator of any new or existing 
    large EGU or large non-EGU as to which the Administrator makes a 
    finding under section 126(b) of the Clean Air Act pursuant to the 
    provisions of paragraph (h) of this section.
        (1) Starting May 1, 2003, the owner or operator of any large EGU or 
    large non-EGU in the program must hold total NOX allowances 
    available under the Federal NOX Budget Trading Program to 
    such unit for the ozone season that are not less than the total 
    NOX emissions emitted by the unit during that ozone season.
        (2) No later than July 15, 1999, the Administrator will promulgate 
    regulations setting forth the Federal NOX Budget Trading 
    Program, including the allocation and distribution of NOX 
    allowances under the program in accordance with paragraphs (j)(3) and 
    (j)(4) of this section.
        (3)(i) The total amount of NOX allowances allocated 
    under the Federal NOX Budget Trading Program will be 
    equivalent to the sum of the following two tonnage limits:
        (A) The total ozone season NOX emissions from all large 
    EGUs in the program after achievement of a 0.15 lb/mmBtu NOX 
    emissions rate in the ozone season by every large EGU, assuming 
    adjusted historic ozone season heat input as defined in paragraph 
    (j)(3)(ii) of this section; and
        (B) The total ozone season NOX emissions from all large 
    non-EGUs in the program after achievement of a 60 percent reduction in 
    ozone season NOX emissions from every large non-EGU, 
    assuming adjusted ozone season uncontrolled emissions as defined in 
    paragraph (j)(3)(iii) of this section.
        (ii) The adjusted historic ozone season heat input for large EGUs 
    referenced in paragraph (j)(3)(i)(A) of this section will be calculated 
    by:
        (A) Determining for each State for each year 1995 and 1996 the 
    total actual ozone season heat input for all EGUs that operated in the 
    State in 1995 or 1996;
        (B) Determining for each State whether the total actual ozone 
    season heat input for all EGUs that operated in the State in 1995 or 
    1996 is greater for 1995 or 1996; and
        (C) For all of the large EGUs that operated in a State in 1995 or 
    1996, taking the actual ozone season heat input for each large EGU for 
    the year determined in paragraph (j)(3)(ii)(B) of this section to have 
    the greater total actual ozone season heat input for the State and 
    adjusting for growth to the year 2007.
        (iii) The adjusted ozone season uncontrolled emissions for large 
    non-EGUs referenced in paragraph (j)(3)(i)(B) of this section will be 
    calculated by taking each large non-EGU's 1995 actual ozone season 
    NOX emissions, increasing the NOX emissions by 
    removing the effect of any NOX controls at the large non-EGU 
    in 1995, and adjusting for growth to the year 2007.
        (4)(i) Notwithstanding paragraph (j)(3) of this section, the 
    additional NOX allowances specified in 40 CFR 
    51.121(e)(3)(iii) will be available for distribution under the Federal 
    NOX Budget Trading Program to large EGUs and large non-EGUs 
    in the program that are located within applicable States.
        (ii) After the 2004 ozone season, the owner or operator of any 
    large EGU or large non-EGU in the program may not use the additional 
    NOX allowances distributed under paragraph (j)(4)(i) of this 
    section to demonstrate compliance with the provisions of paragraph 
    (j)(1) of this section.
        (k) Default section 126 remedy. (1) The provisions of this 
    paragraph (k) will apply only if:
        (i) The Administrator makes a finding under section 126(b) of the 
    Clean Air Act pursuant to the provisions of paragraph (h) of this 
    section with regard to any new or existing large EGU or large non-EGU; 
    and
        (ii) The Administrator fails to promulgate regulations setting 
    forth the Federal NOX Budget Trading Program (including the 
    allocation and distribution of NOX allowances under the 
    program in accordance with paragraphs (j)(3) and (j)(4) of this 
    section) before the Administrator makes the finding described in 
    paragraph (k)(1)(i) of this section.
        (2) Starting May 1, 2003, the owner or operator of each large EGU 
    or each large non-EGU as to which the Administrator makes a finding 
    under section 126(b) of the Clean Air Act pursuant to the provisions of 
    paragraph (h) of this section shall control emissions from such unit so 
    that the unit does not emit total NOX emissions during the 
    ozone season in excess of the total NOX allowances allocated 
    to the unit for that ozone season under paragraph (k)(3) of this 
    section.
        (3)(i) The Administrator will allocate to each large EGU and large 
    non-EGU in the program an amount of NOX allowances and, for 
    certain units, deduct an amount of NOX allowances, 
    calculated in accordance with paragraphs (k)(3)(ii) through (vii) of 
    this section.
        (ii)(A) The heat input (in mmBtu) used for calculating 
    NOX allowance allocations for each large EGU and large non-
    EGU in the program will be:
        (1) For NOX allowance allocations for the 2003, 2004 and 
    2005 ozone seasons to any large EGU, the average of the two highest 
    amounts of the unit's actual heat input for the ozone seasons in 1995, 
    1996, and 1997 and to any large non-EGU, the ozone season in 1995; and
        (2) For a NOX allowance allocation for ozone seasons in 
    2006 and thereafter to any large EGU or large non-EGU, the unit's 
    actual heat input for the ozone season in the year that is four years 
    before the year for which the NOX allocation is being 
    calculated.
        (B) The unit's actual heat input for the ozone season in each year 
    specified under paragraph (k)(3)(ii)(A) of this section will be 
    determined in accordance with 40 CFR part 75 if the large EGU or large 
    non-EGU was otherwise subject to the requirements of 40 CFR part 75 for 
    the ozone season, or will be based on the best available data
    
    [[Page 28322]]
    
    reported to the Administrator for the unit if the unit was not 
    otherwise subject to the requirements of 40 CFR part 75 for the ozone 
    season.
        (iii) For each ozone season, the Administrator will allocate to all 
    large EGUs in a State that commenced operation before May 1 of the 
    ozone season used to calculate heat input under paragraph (k)(3)(ii) of 
    this section, a total number of NOX allowances equal to 95 
    percent in 2003, 2004, and 2005, or 98 percent thereafter, of the total 
    ozone season NOX emissions from all large EGUs in the State 
    (as calculated under paragraph (j)(3)(i)(A) of this section) in 
    accordance with the following procedures:
        (A) The Administrator will allocate NOX allowances to 
    each large EGU in an amount equaling 0.15 lb/mmBtu multiplied by the 
    heat input determined under paragraph (k)(3)(ii) of this section, 
    rounded to the nearest whole NOX allowance as appropriate.
        (B) If the initial total number of NOX allowances 
    allocated to all large EGUs in the State for an ozone season under 
    paragraph (k)(3)(iii)(A) of this section does not equal 95 percent in 
    2003, 2004, and 2005, or 98 percent thereafter, of the total ozone 
    season NOX emissions from all large EGUs in the State (as 
    calculated under paragraph (j)(3)(i)(A) of this section), the 
    Administrator will adjust the total number of NOX allowances 
    allocated to all such large EGUs for the ozone season under paragraph 
    (k)(3)(iii)(A) of this section so that the total number of 
    NOX allowances allocated equals 95 percent in 2003, 2004, 
    and 2005, or 98 percent thereafter, of such total ozone season 
    NOX emissions. This adjustment will be made by: multiplying 
    each unit's allocation by 95 percent in 2003, 2004, and 2005, or 98 
    percent thereafter, of the total ozone season NOX emissions 
    from all large EGUs in the State (as calculated under paragraph 
    (j)(3)(i)(A) of this section) divided by the total number of 
    NOX allowances allocated under paragraph (k)(3)(iii)(A) of 
    this section, and rounding to the nearest whole NOX 
    allowance as appropriate.
        (iv) For each ozone season, the Administrator will allocate to all 
    large non-EGUs in a State that commenced operation before May 1 of the 
    ozone season used to calculate heat input under paragraph (k)(3)(ii) of 
    this section, a total number of NOX allowances equal to 95 
    percent in 2003, 2004, and 2005, or 98 percent thereafter, of the total 
    ozone season NOX emissions from all large non-EGUs in the 
    State (as calculated under paragraph (j)(3)(i)(B) of this section) in 
    accordance with the following procedures:
        (A) The Administrator will allocate NOX allowances to 
    each large non-EGU in an amount equaling 0.17 lb/mmBtu multiplied by 
    the heat input determined under paragraph (k)(3)(ii) of this section, 
    rounded to the nearest whole NOX allowance as appropriate.
        (B) If the initial total number of NOx allowances allocated to all 
    large non-EGUs in the State for an ozone season under paragraph 
    (k)(3)(iv)(A) of this section does not equal 95 percent in 2003, 2004, 
    and 2005, or 98 percent thereafter, of the total ozone season 
    NOX emissions from all large non-EGUs in the State (as 
    calculated under paragraph (j)(3)(i)(B) of this section), the 
    Administrator will adjust the total number of NOX allowances 
    allocated to all such non-EGUs for the ozone season under paragraph 
    (k)(3)(iv)(A) of this section so that the total number of 
    NOX allowances allocated equals 95 percent in 2003, 2004, 
    and 2005, or 98 percent thereafter, of such total ozone season 
    NOX emissions. This adjustment will be made by: multiplying 
    each unit's allocation by 95 percent in 2003, 2004, and 2005, or 98 
    percent thereafter, of the total ozone season NOX emissions 
    from all large non-EGUs (as calculated under paragraph (j)(3)(i)(B) of 
    this section) divided by the total number of NOx allowances allocated 
    under paragraph (k)(3)(iv)(A) of this section, and rounding to the 
    nearest whole NOx allowance as appropriate.
        (v) For each ozone season, the Administrator will allocate 
    NOX allowances to large EGUs and large non-EGUs that 
    commenced operation, or are projected to commence operation, in a State 
    on or after May 1 of the ozone season used to calculate heat input 
    under paragraph (k)(3)(ii) of this section, in accordance with the 
    following procedures:
        (A) The Administrator will establish one allocation set-aside for 
    each ozone season for the State. Each allocation set-aside will be 
    allocated NOX allowances equal to 5 percent in 2003, 2004, 
    and 2005, or 2 percent thereafter, of the total ozone season 
    NOX emissions from all large EGUs and large non-EGUs in the 
    State (as calculated under paragraph (j)(3)(i) of this section).
        (B) The owner or operator of any large EGU or large non-EGU under 
    paragraph (k)(3)(v) of this section may submit to the Administrator a 
    request, in writing or in a format specified by the Administrator, to 
    be allocated NOX allowances for no more than five 
    consecutive ozone seasons, starting with the ozone season during which 
    the unit commenced, or is projected to commence, operation and ending 
    with the ozone season preceding the ozone season for which it will 
    receive an allocation under paragraph (k)(3)(iii) or (iv) of this 
    section. The NOX allowance allocation request must be 
    submitted prior to May 1 of the first ozone season for which the 
    NOX allowance allocation is requested and after the date on 
    which the State permitting authority issues a permit to construct the 
    large EGU or large non-EGU.
        (C) In a NOX allowance allocation request under 
    paragraph (k)(3)(v)(B) of this section, the owner or operator of a 
    large EGU may request for an ozone season NOX allowances in 
    an amount that does not exceed 0.15 lb/mmBtu multiplied by the unit's 
    maximum design heat input (in mmBtu/hr) multiplied by the number of 
    hours remaining in the ozone season starting with the first day in the 
    ozone season on which the unit operated or is projected to operate.
        (D) In a NOX allowance allocation request under 
    paragraph (k)(3)(v)(B) of this section, the owner or operator of a 
    large non-EGU may request for an ozone season NOX allowances 
    in an amount that does not exceed 0.17 lb/mmBtu multiplied by the 
    unit's maximum design heat input (in mmBtu/hr) multiplied by the number 
    of hours remaining in the ozone season starting with the first day in 
    the ozone season on which the unit operated or is projected to operate.
        (E) The Administrator will review, and allocate NOX 
    allowances pursuant to, each NOX allowance allocation 
    request under paragraph (k)(3)(v)(B) of this section in the order that 
    the request is received by the Administrator.
        (1) Upon receipt of the NOX allowance allocation 
    request, the Administrator will determine whether, and will make any 
    necessary adjustments to the request to ensure that, for large EGUs, 
    the ozone season and the number of allowances specified are consistent 
    with the requirements of paragraphs (k)(3)(v)(B) and (C) of this 
    section and, for large non-EGUs, the ozone season and the number of 
    allowances specified are consistent with the requirements of paragraphs 
    (k)(3)(v)(B) and (D) of this section.
        (2) If the allocation set-aside for the ozone season for which 
    NOX allowances are requested has an amount of NOX 
    allowances not less than the number requested (as adjusted under 
    paragraph (k)(3)(v)(E)(1) of this section), the Administrator will 
    allocate the amount of the NOX allowances requested (as 
    adjusted under paragraph (k)(3)(v)(E)(1) of this section) to the large 
    EGU or large non-EGU.
        (3) If the allocation set-aside for the ozone season for which 
    NOX allowances
    
    [[Page 28323]]
    
    are requested has a smaller amount of NOX allowances than 
    the number requested (as adjusted under paragraph (k)(3)(v)(E)(1) of 
    this section), the Administrator will deny in part the request and 
    allocate only the remaining number of NOX allowances in the 
    allocation set-aside to the large EGU or large non-EGU.
        (4) Once an allocation set-aside for an ozone season has been 
    depleted of all NOX allowances, the Administrator will deny, 
    and will not allocate any NOX allowances pursuant to, any 
    NOX allowance allocation request under which NOX 
    allowances have not already been allocated for the ozone season.
        (F) Within 60 days of receipt of a NOX allowance 
    allocation request, the Administrator will take appropriate action 
    under paragraph (k)(3)(v)(E) of this section and notify the owner or 
    operator of the large EGU or large non-EGU that submitted the request 
    of the number of NOX allowances (if any) allocated for the 
    ozone season to the large EGU or large non-EGU.
        (vi) For a large EGU or large non-EGU that is allocated 
    NOX allowances under paragraph (k)(3)(v) of this section for 
    a control period, the Administrator will deduct NOX 
    allowances to account for the actual utilization of the unit during the 
    ozone season. The Administrator will calculate the number of 
    NOX allowances to be deducted to account for the unit's 
    actual utilization using the following formulas and rounding to the 
    nearest whole NOX allowance as appropriate, provided that 
    the number of NOX allowances to be deducted shall be zero if 
    the number calculated is less than zero:
    
    NOX allowances deducted for actual utilization for a 
    large EGU = (Unit's NOX allowances allocated for ozone 
    season)-(Unit's actual ozone season utilization  x  0.15 lb/mmBtu); 
    and
    NOX allowances deducted for actual utilization for a 
    large non-EGU = (Unit's NOX allowances allocated for 
    ozone season)-(Unit's actual ozone season utilization  x  0.17 lb/
    mmBtu),
    
    Where:
    
    Unit's NOX allowances allocated for ozone season = The 
    number of NOX allowances allocated to the unit for the 
    ozone season under paragraph (k)(3)(v) of this section; and
    Unit's actual ozone season utilization = The utilization (in mmBtu) 
    of the unit during the ozone season.
    
        (vii) After each ozone season, the Administrator will determine 
    whether any NOX allowances remain in the allocation set-
    aside for a State for the ozone season. The Administrator will allocate 
    any such NOX allowances to the large EGUs and large non-EGUs 
    in the State using the following formula and rounding to the nearest 
    whole NOX allowance as appropriate:
    
    Unit's share of NOX allowances remaining in allocation 
    set-aside = Total NOX allowances remaining in allocation 
    set-aside  x  (Unit's NOX allowance allocation  
    Total amount of NOX allowances allocated excluding 
    allocation set-aside)
    
    Where:
    
    Total NOX allowances remaining in allocation set-aside = 
    The total number of NOX allowances remaining in the 
    allocation set-aside for the State for the ozone season;
    Unit's NOX allowance allocation = The number of 
    NOX allowances allocated under paragraph (k)(3)(iii) or 
    (iv) of this section to the unit for the ozone season to which the 
    allocation set-aside applies; and
    Total amount of NOX allowances allocated excluding 
    allocation set-aside = The total ozone season NOX 
    emissions from all large EGUs and large non-EGUs in the State (as 
    calculated under paragraph (j)(3)(i) of this section) multiplied by 
    95 percent if the ozone season is in 2003, 2004, or 2005 or 98 
    percent if the ozone season is in any year thereafter, rounded to 
    the nearest whole allowance as appropriate.
    
        3. Appendix F is added to part 52 to read as follows:
    
    Appendix F to Part 52--Clean Air Act Section 126 Petitions From 
    Eight Northeastern States: Named Source Categories and Geographic 
    Coverage
    
        The table and figures in this appendix are cross-referenced in 
    Sec. 52.34.
    
          Table F-1.--Named Source Categories in Section 126 Petitions
    ------------------------------------------------------------------------
          Petitioning state                 Named source categories
    ------------------------------------------------------------------------
    Connecticut..................  Fossil fuel-fired boilers or other
                                    indirect heat exchangers with a maximum
                                    gross heat input rate of 250 mmBtu/hr or
                                    greater and electric utility generating
                                    facilities with a rated output of 15 MW
                                    or greater.
    Maine........................  Electric utilities and steam-generating
                                    units with a heat input capacity of 250
                                    mmBtu/hr or greater.
    Massachusetts................  Electricity generating plants.
    New Hampshire................  Fossil fuel-fired indirect heat exchange
                                    combustion units and fossil fuel-fired
                                    electric generating facilities which
                                    emit ten tons of NOX or more per day.
    New York.....................  Fossil fuel-fired boilers or indirect
                                    heat exchangers with a maximum heat
                                    input rate of 250 mmBtu/hr or greater
                                    and electric utility generating
                                    facilities with a rated output of 15 MW
                                    or greater.
    Pennsylvania.................  Fossil fuel-fired indirect heat exchange
                                    combustion units with a maximum rated
                                    heat input capacity of 250 mmBtu/hr or
                                    greater, and fossil fuel-fired electric
                                    generating facilities rated at 15 MW or
                                    greater.
    Rhode Island.................  Electricity generating plants.
    Vermont......................  Fossil fuel-fired electric utility
                                    generating facilities with a maximum
                                    gross heat input rate of 250 mmBtu/hr or
                                    greater and potentially other
                                    unidentified major sources.
    ------------------------------------------------------------------------
    
    
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    [FR Doc. 99-11559 Filed 5-24-99; 8:45 am]
    BILLING CODE 6560-50-C
    
    
    

Document Information

Effective Date:
7/26/1999
Published:
05/25/1999
Department:
Environmental Protection Agency
Entry Type:
Rule
Action:
Final rule.
Document Number:
99-11559
Dates:
The final rule is effective July 26, 1999.
Pages:
28250-28328 (79 pages)
Docket Numbers:
FRL-6336-9
RINs:
2060-AH88: Findings of Significant Contribution and Rulemaking on Section 126 Petitions for Purposes of Reducing Interstate Ozone Transport
RIN Links:
https://www.federalregister.gov/regulations/2060-AH88/findings-of-significant-contribution-and-rulemaking-on-section-126-petitions-for-purposes-of-reducin
PDF File:
99-11559.pdf
CFR: (5)
40 CFR 101(c)
40 CFR 52.34(k)
40 CFR 126
40 CFR 52.34
40 CFR 52.34