96-30865. Clean Air Act Final Interim Approval, Operating Permits Program; State of Alaska and Clean Air Act Final Approval in Part and Disapproval in Part, Section 112(l) Program Submittal; State of Alaska  

  • [Federal Register Volume 61, Number 235 (Thursday, December 5, 1996)]
    [Rules and Regulations]
    [Pages 64463-64475]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-30865]
    
    
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    ENVIRONMENTAL PROTECTION AGENCY
    
    40 CFR Parts 61, 63 and 70
    
    [AD-FRL-5658-4]
    
    
    Clean Air Act Final Interim Approval, Operating Permits Program; 
    State of Alaska and Clean Air Act Final Approval in Part and 
    Disapproval in Part, Section 112(l) Program Submittal; State of Alaska
    
    AGENCY: Environmental Protection Agency (EPA).
    
    ACTION: Final Interim Approval, and Final Approval in Part and 
    Disapproval in Part.
    
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    SUMMARY: EPA grants final interim approval of the operating permits 
    program submitted by the Alaska Department of Environmental 
    Conservation for the purpose of complying with federal requirements for 
    an approvable State program to issue operating permits to all major 
    stationary sources, and to certain other sources.
        EPA also grants final approval in part and disapproval in part of 
    the program submitted by the Alaska Department of Environmental 
    Conservation for the purpose of implementing and enforcing the 
    hazardous air pollutant requirements under section 112 of the Act.
    
    EFFECTIVE DATE: December 5, 1996.
    
    ADDRESSES: Copies of the State's submittal and other supporting 
    information used in developing the final interim approval, and the 
    approval in part and disapproval in part, are available for inspection 
    during normal business hours at the following location: U.S. 
    Environmental Protection Agency, Region 10, 1200 Sixth Avenue, Seattle, 
    Washington.
    
    FOR FURTHER INFORMATION CONTACT: David C. Bray, Office of Air Quality, 
    OAQ-107, U.S. Environmental Protection Agency, 1200 Sixth Avenue, 
    Seattle, Washington 98101; telephone (206) 553-4253.
    
    SUPPLEMENTARY INFORMATION:
    
    I. Background and Purpose
    
    A. Title V--Background
    
        As required under title V of the 1990 Clean Air Act Amendments 
    (sections 501-507 of the Clean Air Act (``the Act'')), EPA has 
    promulgated rules which define the minimum elements of an approvable 
    State operating permits program and the corresponding standards and 
    procedures by which EPA will approve, oversee, and withdraw approval of 
    State operating permits programs (see 57 FR 32250 (July 21, 1992)). 
    These rules are codified at 40 Code of Federal Regulations (CFR) part 
    70. Title V requires States to develop, and submit to EPA, programs for 
    issuing these operating permits to all major stationary sources and to 
    certain other sources.
        The Act requires that States develop and submit these programs to 
    EPA by November 15, 1993, and that EPA act to approve or disapprove 
    each program within one year after receiving the submittal. EPA's 
    program review occurs pursuant to section 502 of the Act and the part 
    70 regulations, which together outline criteria for approval or 
    disapproval. Where a program substantially, but not fully, meets the 
    requirements of part 70, EPA may grant the program interim approval for 
    a period of up to two years. If EPA has not fully approved a program by 
    two years after the November 15, 1993 date, or by the end of an interim 
    program, it must establish and implement a federal program.
        EPA must apply sanctions to a State 18 months after EPA disapproves 
    the program. In addition, discretionary sanctions may be applied any 
    time during the 18-month period following the date required for program 
    submittal or program revision. If the State has no approved program two 
    years after the date required for submission of the program, EPA will 
    impose additional sanctions, where applicable, and EPA must promulgate, 
    administer, and enforce a federal permits program for the State. EPA 
    has the authority to collect reasonable fees from the permittees to 
    cover the costs of administering the program.
        On May 31, 1995, the Alaska Department of Environmental 
    Conservation (referred to herein as ``ADEC,'' ``the Department,'' 
    ``Alaska'' or ``the State'') submitted a title V program for EPA review 
    and approval. EPA notified the State in writing on July 13, 1995, that 
    the submittal was complete. The State submitted additional information 
    to EPA to supplement its May 31, 1995, submittal on August 16, 1995, 
    February 6, 1996, February 27, 1996, July 5, 1996, and August 2, 1996. 
    EPA considered these supplemental submittals to be a material change to 
    ADEC's May 31, 1995, program submittal and extended its official review 
    period by 8 months to January 31, 1997. On September 18, 1996, EPA 
    proposed to grant interim approval to Alaska's title V program. See 61 
    FR 49091. EPA received several comments on its proposal, which are 
    discussed in section II below.
    
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    B. Section 112--Background
    
        Section 112(l) of the Act established new, more stringent 
    requirements for a State or local agency that wishes to implement and 
    enforce a hazardous air pollutant program pursuant to section 112 of 
    the Act. Prior to November 15, 1990, delegation of NESHAP regulations 
    to State and local agencies could occur without formal rulemaking by 
    EPA. However, the new section 112(l) of the Act requires EPA to approve 
    State and local hazardous air pollutant rules and programs under 
    section 112 through formal notice and comment rulemaking. Now State and 
    local air agencies that wish to implement and enforce a federally-
    approved hazardous air pollutant program must make a showing to EPA 
    that they have adequate authorities and resources. Approval is granted 
    by EPA through the authority contained in section 112(l), and 
    implemented through the federal rule found in 40 CFR part 63, subpart 
    E, if the Agency finds that: (1) The State or local program or rule is 
    ``no less stringent'' than the corresponding federal rule or program, 
    (2) adequate authority and resources exist to implement the State or 
    local program or rule, (3) the schedule for implementation and 
    compliance is sufficiently expeditious, and (4) the State or local 
    program or rule is otherwise in compliance with federal guidance.
        On May 17, 1995, the State requested delegation for all existing 
    applicable 40 CFR parts 61 and 63 regulations as adopted by reference 
    into 18 AAC 50.040. The State also requested authority to implement and 
    enforce all future 40 CFR part 61 and 63 regulations which Alaska 
    adopts by reference into State law. Finally, the State requested 
    approval under the authority of 40 CFR 63.93 to substitute its State 
    preconstruction review program regulations for the federal 
    preconstruction review regulations in 40 CFR 63.5(b)(2)-(4) and 63.54, 
    as these rules apply to newly constructed major affected sources or the 
    construction of a new emission unit. The State amended its May 17, 1995 
    delegation request on February 27, 1996 and July 5, 1996 to include 
    additional part 61 and part 63 regulations adopted by reference into 18 
    AAC 50.040.
        In this notice, EPA is taking final action to promulgate interim 
    approval of the operating permits program for the State of Alaska, and 
    to approve in part and disapprove in part the Alaska program for 
    implementing section 112 of the Act. EPA is also responding to comments 
    received on the September 18, 1996, proposal.
    
    II. Changes to Regulations and Response to Comments
    
    A. Changes to Alaska's Regulations
    
        On October 17, 1996, ADEC submitted a final version of the State's 
    regulations which were adopted on September 17, 1996. These regulations 
    included numerous editorial changes from the version that was submitted 
    on August 2, 1996. EPA has reviewed this final version and finds, with 
    the exceptions noted below in the response to public comment, that the 
    editorial changes do not affect any of the preliminary decisions made 
    in EPA's notice of proposed interim approval.
    
    B. Response to Public Comment on Proposed Interim Approval of Alaska's 
    Title V Program
    
        Most of the comments EPA received on the September 18, 1996, 
    Federal Register notice addressed EPA's proposed interim approval of 
    Alaska's title V program. All of the comments supported interim 
    approval of the program. EPA received comments from four oil and gas 
    companies, two branches of the Department of Defense, a coalition of 
    Alaska industries, and the Alaska Department of Environmental 
    Conservation. The following summarizes the comments received and 
    provides EPA's responses thereto.
    1. Comments Relating to the State Implementation Plan
        Several comments addressed regulations that do not relate to 
    Alaska's title V program. Two commenters requested that EPA exclude 18 
    AAC 50.100(b) through (e) from approval under title V. EPA agrees that 
    these provisions, which regulate sulfur dioxide emissions from nonroad 
    engines, are not related to title V operating permits requirements and 
    are not covered under this interim approval. These provisions will be 
    acted on by EPA in a separate rulemaking if they are re-submitted by 
    the State as a revision to the Alaska state implementation plan (SIP).
        One commenter voiced opposition to the fuel restrictions for 
    nonroad engines contained in 18 AAC 50.100(b) through (e). As discussed 
    above, these provisions are not title V requirements and have not been 
    proposed for approval by EPA as part of Alaska's title V program. 
    Therefore, the comment is not germane to this action.
        Similarly, one commenter voiced concern with respect to a change to 
    the State's opacity standards and the State's new provisions for excess 
    emissions due to routine operations like soot blowing, start-up, or 
    shutdown. Again, these provisions are not title V requirements and have 
    not been proposed for approval by EPA as part of Alaska's title V 
    program. Therefore, the comment is not germane to this action.
    2. Sources Subject to the Federally-Approved Program
        One commenter requested that EPA clarify in its final action that 
    operating permits required for the Anchorage Terminal bulk loading 
    facility under 18 AAC 50.325(d) would not be considered federal title V 
    operating permits but only State operating permits. EPA disagrees. Part 
    70 states, ``A State program with whole or partial approval under this 
    part must provide for permitting of at least the following sources.'' 
    40 CFR 70.3(a) (emphasis added). Therefore, a State is authorized to 
    include in its federally-approved title V program more sources than are 
    required to be covered under 40 CFR 70.3. 18 AAC 50.325 sets forth the 
    categories of sources that are required to obtain operating permits 
    under State law and this entire section has been submitted to EPA as 
    part of Alaska's title V submittal. There is nothing in the submittal 
    from the State nor in the State's rules themselves that would 
    distinguish sources listed in 18 AAC 325(d) from other sources required 
    to obtain federal title V permits. (Compare, for example, the language 
    of 18 AAC 50.325(d) to that of 50.325(c), which covers sources subject 
    to parts C and D permits and which are also required to have title V 
    permits under section 502(a) of the Act and 40 CFR 70.3.) Although the 
    State could clearly amend its regulations and program submittal in the 
    future to exempt from its title V program sources that are not required 
    to have title V permits as a matter of federal law, EPA can only act on 
    what has been formally submitted at this time. Therefore, until such 
    time as the Alaska program is revised, all sources required to have 
    operating permits under 18 AAC 50.325 are required to have federal 
    operating permits under title.
    3. Definition of ``Regulated Air Contaminant''
        In the September 18, 1996, proposal, EPA stated that the Alaska 
    definition of ``regulated air contaminant'' in AS 46.14.990(21) 
    appeared to be narrower in scope than EPA's definition of ``regulated 
    air pollutant'' in 40 CFR 70.2. See 61 FR 49094-49095. The State of 
    Alaska questioned whether this issue is an ``applicability'' issue, the 
    heading
    
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    EPA used for the discussion in the September proposal. EPA believes the 
    State misunderstood EPA's use of the term ``applicability.'' EPA agrees 
    that the difference in the two definitions does not affect the sources 
    that are required to obtain a title V operating permit. The narrower 
    scope of the Alaska definition, however, does impact the applicability 
    of the requirements of Alaska's title V rules. As the State's own 
    analysis shows, the applicability of certain requirements, specifically 
    requirements for permit applications and off-permit changes, will be 
    affected by the difference in the two definitions. Therefore, as 
    discussed in the proposed interim approval, EPA still believes that the 
    Alaska definition of ``regulated air contaminant'' is inconsistent with 
    EPA's definition of ``regulated air pollutant'' and must be changed to 
    receive full approval. EPA is clarifying, however, that this difference 
    does not affect the sources required to have permits, but rather the 
    applicability of certain requirements of the permitting program to 
    sources required to have title V permits.
    4. EPA-Issued Permits
        One commenter requested clarification on EPA's discussion of the 
    status of EPA-issued PSD permits. As discussed in the proposed interim 
    approval, terms and conditions of EPA-issued PSD permits are applicable 
    requirements which must be included in title V permits and the Alaska 
    rules include the necessary provisions to ensure this occurs. See 61 FR 
    49093. The commenter expressed concern, however, that many terms and 
    conditions of the old EPA-issued permits are obsolete, environmentally 
    insignificant, or otherwise no longer appropriate, and requested 
    clarification as to how such terms could be excluded from the title V 
    permit or revised through the title V permitting process. EPA agrees 
    that terms and conditions in some EPA-issued PSD permits and old 
    preconstruction permits issued by States may no longer be appropriate 
    or applicable, and therefore need not be included in a source's title V 
    permit. As the commenter noted, EPA has issued guidance with respect to 
    how sources and permitting authorities may utilize the title V 
    permitting process to address this issue. See Section II.B.7 of the 
    ``White Paper for Streamlined Development of Part 70 Permit 
    Applications,'' from Lydia N. Wegman to Air Office Directors, dated 
    July 10, 1995 (White Paper No. 1). This memorandum provides guidance on 
    how to identify and address terms and conditions which are obsolete, 
    environmentally insignificant, or otherwise no longer appropriate. 
    White Paper No. 1 clearly states, however, that the title V permit 
    issuance process cannot be used to revise terms and conditions that 
    still clearly apply to the source. Such revisions must be made using 
    revision procedures under the applicable new source review program, but 
    may be done concurrently with the title V permit issuance process. EPA 
    commits to working with the State and with sources in Alaska to 
    identify provisions of EPA-issued PSD permits that are obsolete, 
    environmentally insignificant, or otherwise no longer appropriate, and 
    to act expeditiously on requests for permit revisions.
    5. Authority to Implement Section 112 Requirements
        In the September 18, 1996, Federal Register notice, EPA noted that 
    Alaska lacked authority to implement several section 112(l) 
    requirements, but believed that these deficiencies were not so serious 
    as to warrant disapproval. 61 FR 49095. Alaska commented that the 
    September 17, 1996, final version of the adopted State rules included 
    the adoption by reference of 40 CFR 61.150 and 40 CFR 61.154 and asked 
    that EPA remove the specific interim approval conditions related to 
    these provisions. EPA agrees that the adoption of these two provisions 
    remedies the deficiencies regarding implementation and enforcement of 
    the asbestos NESHAP for waste disposal and active waste disposal 
    sites.1 Alaska has still not adopted, however, the provisions of 
    40 CFR part 61, subpart I (radionuclide NESHAP for facilities licensed 
    by the Nuclear Regulatory Commission). Therefore, the State still lacks 
    sufficient authority to implement all applicable section 112 
    requirements for title V sources in Alaska. As such, EPA concludes that 
    the Alaska program must be granted interim rather than full approval 
    because of this deficiency.
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        \1\ As discussed in section III.B.1. below, however, EPA has 
    continuing concerns regarding the lack of training of ADEC staff who 
    will be performing asbestos inspections.
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    6. Insignificant Emission Units.
        In the September 18, 1996, Federal Register notice, EPA raised two 
    concerns with respect to Alaska's insignificant source regulations. See 
    18 AAC 50.335(m), 50.335(q)-(v), and 50.335(m). EPA received comments 
    on both issues.
        a. ``Director's discretion'' provision. EPA's first concern with 
    Alaska's insignificant source regulations related to 18 AAC 50.335(u), 
    which contains a list of sources that may be determined to be 
    insignificant on a case-by-case basis. EPA stated that, before EPA 
    could approve such a ``director's discretion'' provision, Alaska must 
    demonstrate that each of the sources on the list would qualify as 
    ``insignificant'' in all cases. 61 FR 49095. One commenter objected to 
    this concern, stating that the list of sources in 18 AAC 50.335(u) 
    narrowly defines the type and size of sources eligible for case-by-case 
    exemption and that EPA's concern with over broad delegation was 
    unwarranted. EPA continues to believe for the reasons discussed at 61 
    FR 49095 that 18 AAC 50.335(u), as submitted at the time of EPA's 
    proposed action, was unapprovable. As the commenter notes, however, 
    Alaska has since revised 18 AAC 50.335(u) and eliminated all but two of 
    the sources eligible for case-by-case treatment as insignificant 
    sources: (1) NPDES permitted ponds and lagoons used solely for settling 
    solids and skimming oil and grease; and (2) coffee roasters with 
    capacity of less than 15 pounds per day of coffee. See 18 AAC 50.335(u) 
    (adopted September 17, 1996). EPA agrees that Alaska has adequately 
    demonstrated that these two sources could qualify as insignificant 
    sources in all cases. Therefore, the concern raised by EPA in the 
    proposal regarding the scope of 18 AAC 50.335(u) has been resolved and 
    is no longer a basis for interim approval.
        b. Exemption from monitoring, recordkeeping, reporting, and 
    compliance certification requirements. The second concern raised by EPA 
    in the proposed interim approval was Alaska's express exemption of 
    insignificant sources that are subject only to generally applicable 
    requirements from the monitoring, recordkeeping, reporting, and 
    compliance certification requirements set forth in 40 CFR 70.6. See 18 
    AAC 50.350(m)(3). In the proposal, EPA explained why it believes that 
    part 70 does not allow such sources to be exempt from the monitoring, 
    recordkeeping, reporting, and compliance certification requirements of 
    40 CFR 70.6, but that part 70 instead provides only a limited exemption 
    from some permit application requirements for insignificant sources. 61 
    FR 49096-49097.
        EPA also discussed EPA's March 5, 1996, guidance document entitled 
    ``White Paper Number 2 for Improved Implementation of the Part 70 
    Operating Permits Program'' from Lydia N. Wegman, Deputy Director, 
    Office of Air Quality Planning and Standards, to Regional Air Directors 
    (``White Paper No. 2''), which specifically addresses how title V 
    permits can address
    
    [[Page 64466]]
    
    insignificant emission units and activities subject to generally 
    applicable requirements in a State implementation plan in a manner that 
    minimizes the burden associated with the permitting of such emission 
    units and activities. Briefly summarized, White Paper No. 2 makes clear 
    that it is within the permitting authority's discretion to decide the 
    extent to which additional monitoring (beyond that provided in the 
    applicable requirement itself) will be required in the title V permit 
    for insignificant emission units or activities subject to generally 
    applicable requirements, based on the likelihood that a violation could 
    occur from those emission units or activities. White Paper No. 2, 
    however, in no way suggests that emission units and activities subject 
    to applicable requirements can be exempted from compliance 
    certification, even on a permit-by-permit basis. 61 FR 49096.
        EPA also discussed in the September 18, 1996, proposal the effect 
    of the recent Ninth Circuit decision addressing EPA's action on similar 
    insignificant source regulations submitted as part of Washington's 
    title V program. Western States Petroleum Association v. EPA, 87 F.3d 
    280 (9th Cir. 1996) (``WSPA''). The WSPA case concerned EPA's interim 
    approval of the Washington State operating permits program, which also 
    contains an exemption from monitoring, recordkeeping, reporting, and 
    compliance certification requirements for insignificant emission units 
    and activities subject to generally applicable SIP requirements.\2\ See 
    60 FR 62992, 62996 (December 5, 1995) (final interim approval of 
    Washington title V program based on exemption of insignificant emission 
    units from certain permit content requirements); 60 FR 50166, 50171 
    (September 28, 1995) (proposed interim approval of Washington's title V 
    program on same basis). The petitioners in the WSPA case challenged 
    EPA's identification of this exemption as grounds for interim approval, 
    asserting that such an exemption was allowed by part 70, and that EPA 
    had acted inconsistently by approving other title V programs with 
    similar exemptions. The Ninth Circuit did not opine on whether EPA's 
    position on Washington's insignificant emission units regulations was 
    consistent with part 70. The Court did, however, find that EPA had 
    acted inconsistently in its title V approvals, and had failed to 
    explain the departure from precedent the Court perceived in the 
    Washington interim approval. The Court then ordered EPA to fully 
    approve Washington's insignificant emission unit regulations. Since the 
    September 18, 1996, proposal, the Ninth Circuit has denied EPA's 
    request for rehearing on the remedy ordered by the Court.
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        \2\ The Alaska insignificant source provisions are modeled 
    closely after the Washington provisions.
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        In the Alaska proposal, EPA explained in detail why it believed its 
    inconsistencies in approving State insignificant emission unit 
    provisions in other title V permit programs were minimal. EPA first 
    demonstrated that, of the eight title V programs cited by the WSPA 
    Court as inconsistent with EPA's decision on Washington's regulations, 
    four of them (Massachusetts, North Dakota, Knox County, Tennessee, and 
    Florida) were in fact consistent with EPA's position that insignificant 
    sources subject to applicable requirements may not be exempt from 
    permit content requirements. EPA then stated that it was still 
    evaluating for consistency the other four programs cited by the Court 
    as inconsistent with EPA's decision on Washington's program (Hawaii, 
    Ohio, North Carolina, and Jefferson County, Kentucky) and that these 
    four programs may ultimately be determined to impermissibly exempt 
    insignificant emission units from permit content requirements. EPA 
    noted, however, that as of September 1996, EPA had given or proposed to 
    give full or interim approval to 113 State and local title V programs, 
    and that, at most, only Hawaii, Ohio, North Carolina, and Jefferson 
    County, Kentucky, presented inconsistencies with EPA's proposed action 
    on Alaska's insignificant source regulations. EPA concluded that these 
    four potential inconsistencies represented a relatively minor set of 
    deviations from EPA's normal policy as manifested in the vast majority 
    of title V program approvals and in White Paper No. 2. 61 FR 69096-
    69097.
        The commenter raised several issues with respect to EPA's proposal 
    that Alaska eliminate the exemption from monitoring, recordkeeping, 
    reporting, and compliance certification requirements for insignificant 
    sources subject to generally applicable requirements. First, the 
    commenter asserted that the Alaska insignificant source rules satisfy 
    all applicable gatekeepers set forth in part 70 and incorporated by 
    reference the positions stated in petitioners' briefs in the WSPA case 
    regarding the criteria for EPA review of State and local title V 
    programs. In essence, the commenter argued that part 70 allows a 
    permitting authority to exempt insignificant sources subject to only 
    generally applicable requirements from the monitoring, recordkeeping, 
    reporting, and compliance certification requirements of 40 CFR 70.6.
        EPA has addressed at length its position that part 70 does not 
    allow the exemption of insignificant sources subject to generally 
    applicable requirements from the monitoring, recordkeeping, reporting, 
    and compliance certification requirements of 40 CFR 70.6 in its 
    decisions on the Washington title V program, the Tennessee title V 
    program, the proposal on the Alaska title V program and the United 
    States briefs filed in the WSPA case. See 61 FR 49091 (proposed interim 
    approval of Alaska title V program); 61 FR 39335 (July 29, 1996) (final 
    interim approval of Tennessee title V program); 61 FR 9661 (March 11, 
    1996) (proposed interim approval of Tennessee title V program); 60 FR 
    62992 (final interim approval of Washington title V program); 60 FR 
    50166, 50171 (September 28, 1995) (proposed interim approval of 
    Washington title V program).\3\ EPA incorporates by reference the 
    analysis set forth in those documents. In summary, EPA believes that 40 
    CFR 70.5 authorizes a permitting authority to grant certain relief for 
    insignificant emission units from title V permit application 
    requirements so long as no application omits any information necessary 
    to determine the applicability of or to impose any applicable 
    requirement or any required fee. Nothing in part 70, however, 
    authorizes a permitting authority to exempt from the title V permit 
    applicable requirements that apply to insignificant emission units; any 
    monitoring, recordkeeping, or reporting necessary to assure compliance 
    with those applicable requirements; and the requirement to certify 
    compliance with all permit terms and conditions, including those that 
    apply to insignificant emission units.
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        \3\ The briefs filed by the United States in the WSPA case are 
    in the docket.
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        Next, the commenter disagreed with EPA's conclusion that EPA has 
    approved programs that exempt insignificant emission units subject to 
    applicable requirements from some or all permit content requirements in 
    only a handful of cases. Specifically, the commenter argued that the 
    plain language of the Massachusetts and Florida programs exempt 
    insignificant emission units from permit content requirements and that 
    EPA has since taken or proposed action on three additional programs 
    that exempt insignificant emission units from permit content 
    requirements. The commenter also stated that the majority of the 113 
    programs on which EPA has taken or proposed full or interim approval 
    are silent on whether insignificant emission units must be regulated in 
    title V
    
    [[Page 64467]]
    
    permits and that the decision to exempt such units from monitoring, 
    recordkeeping, reporting, and compliance certification will therefore 
    be made at the time of permit issuance in most of those States.
        EPA disagrees with the commenter's assertions. With respect to the 
    Massachusetts and Florida title V programs, EPA acknowledged in the 
    September 18, 1996, Federal Register notice that those programs do 
    appear to exempt insignificant emission units from permit content 
    requirements. That does not end the inquiry, however. In acting on the 
    Massachusetts program, EPA carefully examined the list of exempt 
    activities and determined that the listed activities either named 
    activities that are not subject to applicable requirements or that any 
    applicable requirement implicated by a listed activity was not designed 
    to be implemented by addressing emission units in the permit (such as 
    open burning activities). See 61 FR 49096 and ``Addendum to Technical 
    Support Document for Proposed Action on Alaska Title V Program 
    Insignificant Emission Units and Activities,'' dated August 22, 1996. 
    With respect to Florida, EPA explained its view that, in order to 
    remedy the deficiencies identified by EPA in the Florida interim 
    approval notice, which included the State's failure to include 
    gatekeeper language that assured the completeness of permit 
    applications, the State would necessarily have to address the exemption 
    created from permit content requirements. It follows that, to the 
    extent Florida's regulations can be read as creating an exemption from 
    permit content, this should also be considered grounds for EPA's 
    interim approval of Florida's program. 61 FR 49097 and ``Addendum to 
    Technical Support Document for Proposed Action on Alaska Title V 
    Program Insignificant Emission Units and Activities,'' dated August 22, 
    1996. In short, EPA believes that its decisions on the Massachusetts 
    and Florida title V programs are consistent with its position that part 
    70 does not allow insignificant emission units subject to applicable 
    requirements to be exempted from monitoring, recordkeeping, reporting, 
    or compliance certification requirements.
        EPA also disagrees with the commenter's unsupported and unexplained 
    assertion that EPA's final or proposed actions on the Michigan, New 
    Hampshire, and South Coast Air Quality Management District (South 
    Coast) programs demonstrate that EPA continues to give full approval to 
    title V programs that exempt insignificant emission units from permit 
    content requirements.\4\ EPA has carefully reviewed the relevant 
    portions of the regulations, Federal Register notices, and supporting 
    dockets for each these three programs. Each of these programs does 
    contain a limited exemption from certain permit application 
    requirements or the requirement to list certain equipment in the 
    permit. EPA is unaware of any provision in any of these State programs, 
    however, that exempts insignificant emission units subject to 
    applicable requirements from the permit content requirements of 40 CFR 
    70.6. For a more detailed discussion of EPA's conclusion that the 
    Michigan, New Hampshire, and South Coast programs are consistent with 
    EPA's action on the Alaska program, please refer to the ``Addendum to 
    Technical Support Document for Final Action on Alaska Title V Program 
    Insignificant Emission Units and Activities'' in the docket.
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        \4\ The commenter did not explain the assertion that EPA's 
    proposed action on the Alaska program was inconsistent with EPA's 
    proposed or final action on the Michigan, New Hampshire, and South 
    Coast programs. EPA is therefore left to guess at the commenter's 
    concerns.
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        EPA agrees with the commenter that the majority of the 113 title V 
    programs on which EPA has taken or proposed full or interim approval do 
    not expressly state that insignificant emission units subject to 
    applicable requirements are subject to permit content requirements. EPA 
    vigorously disagrees with the inference drawn by the commenter from 
    this fact, namely, that these title V programs implicitly or in 
    practice exempt insignificant emission units from permit content 
    requirements. EPA has made clear in the Federal Register notices acting 
    on the Washington and Tennessee title V programs that part 70 does not 
    allow the exemption of insignificant emission units subject to 
    applicable requirements from the permit content requirements of 40 CFR 
    70.6. EPA also discussed this position at length in White Paper No. 2. 
    EPA's approval of State and local title V programs has been based on 
    the assumption that the State and local program regulations, which in 
    many cases closely track the language in 40 CFR 70.6, will be 
    interpreted in the same way that EPA has interpreted part 70. In 
    addition, except perhaps in the handful of cases in which EPA may have 
    approved programs which improperly exempt insignificant emission units 
    with applicable requirements from permit content requirements, EPA has 
    required that permits issued for insignificant emission units subject 
    to applicable requirements comply with the requirements of section 
    70.6.
        In short, where a State or local title V program does not 
    specifically exempt insignificant emission units from permit content 
    requirements, EPA has assumed that no such exemption will be inferred 
    and has therefore not objected to this aspect of the program. Where EPA 
    has been concerned that a State or local program could be interpreted 
    to provide such an exemption from permit content requirements, EPA has 
    clarified its expectation in the Federal Register notice acting on such 
    programs that the permitting authorities must ensure that all permits 
    issued ``assure compliance with all applicable requirements at the time 
    of permit issuance.'' See 60 FR 32603, 32608 (June 23, 1995); 60 FR 
    44799, 44801 (August 29, 1995). If, during implementation of such 
    programs, permits are issued which do not comply with the requirements 
    of section 70.6 with respect to insignificant emission units subject to 
    applicable requirements, EPA would consider this grounds for objecting 
    to individual permits, 40 CFR 70.8(c)(1), as well as grounds for 
    withdrawing approval of such State or local programs, 40 CFR 
    70.10(c)(1)(ii)(B).
        In summary, EPA believes that there are only a handful of programs 
    out of the more than 113 that EPA has acted or proposed action on as of 
    this date that either have been confirmed to be inconsistent with part 
    70 or for which consistency is still an unresolved issue. These are 
    Hawaii, Ohio, North Carolina, and Jefferson County, Kentucky.5 In 
    other cases, EPA believes that it has been consistent in acting in 
    accordance with the part 70 regulations and EPA's stated policy, as 
    evidenced in the Washington and Tennessee title V interim approvals and 
    White Paper No. 2, of not giving full approval to title V programs that 
    exempt insignificant emission units subject to applicable requirements 
    from some or all permit content requirements.
    ---------------------------------------------------------------------------
    
        \5\ This list excludes those programs where the inconsistency 
    was identified as an interim approval issue.
    ---------------------------------------------------------------------------
    
        EPA stated in its September 18, 1996, proposal on Alaska's program 
    that EPA would determine which title V programs are in fact 
    inconsistent with the part 70 requirements regarding inclusion of all 
    applicable requirements in permits, and would act to either bring those 
    programs into consistency with part 70 or to explain any departures. 
    EPA has given further consideration to the treatment of insignificant 
    emission units in title V permits in general since the September 18, 
    1996, proposal and
    
    [[Page 64468]]
    
    plans to address the issue, as well as any potentially inconsistent 
    programs, as follows. EPA intends to publish a notice of proposed 
    rulemaking that will serve two purposes. First, it will propose to add 
    clarifying language to 40 CFR 70.6 that will make clear EPA's position 
    that insignificant emission units that are subject to applicable 
    requirements may not be excluded from part 70 permits and permit 
    content requirements. EPA believes this requirement is clear under the 
    current part 70 regulations, but wishes to put to rest the continuing 
    dispute over the meaning of the current regulations. In this regard, 
    the notice will also reiterate the guidance EPA has provided in White 
    Paper No. 2 regarding possibilities for streamlined treatment of 
    insignificant emission units subject only to generally applicable 
    requirements.
        Second, the notice will solicit comment as to whether part 70 
    should be revised to allow for an approach similar to that taken in the 
    State of Washington and Alaska. EPA believes at this time that it has 
    answered the legitimate implementation concerns associated with this 
    issue. However, some States continue to request additional flexibility. 
    EPA believes these requests deserve a fair hearing, and so will request 
    comments explaining exactly what implementation concerns remain, and 
    how part 70 might be revised to address these concerns. EPA will also 
    request comment on how, if part 70 were to be amended, rule language 
    could be crafted to retain appropriate limitations and safeguards. 
    Specifically, EPA will seek to understand how part 70 could be 
    structured so that (1) excluded units would be truly small and (2) the 
    flexibility to exclude subject units would be limited to requirements 
    that are truly generic, that is, universally applicable.
        EPA expects that this rulemaking will result in either the addition 
    of clarifying language that confirms EPA's interpretation of the 
    current part 70 regulations, or in revisions to part 70 that will allow 
    a new level of flexibility for insignificant emission units subject to 
    generally applicable requirements. In either case, programs that are 
    inconsistent with part 70 as it stands at the conclusion of this 
    forthcoming rulemaking will be required to submit program corrections 
    within a specified time period. Although EPA has authority to require 
    inconsistent programs to make corrections more expeditiously, EPA does 
    not wish to make States conduct serial program adjustments on the same 
    issue. Given the narrow scope of the forthcoming rulemaking, EPA 
    believes it can be finalized relatively quickly.
        EPA believes that it can best ensure the consistency required by 
    the Ninth Circuit in the WSPA case by requiring Alaska to meet the same 
    requirements under the current part 70 regulations that EPA has applied 
    to all but perhaps a handful of title V programs, namely, that 
    insignificant emission units subject to applicable requirements may not 
    be exempted from the monitoring, recordkeeping, reporting or compliance 
    certification requirements of 40 CFR 70.6. As discussed below, Alaska 
    will have 18 months to address this and all other interim approval 
    issues identified in this final interim approval. This should give EPA 
    sufficient time to complete the forthcoming rulemaking discussed above 
    for insignificant emission units and also give Alaska sufficient time 
    to respond to this forthcoming rulemaking before expiration of the two 
    year interim approval period.
        c. Additional issues on insignificant emission units. One commenter 
    raised several other concerns regarding EPA's proposed interim approval 
    of Alaska's regulations for insignificant sources. The commenter stated 
    that EPA incorrectly asserted that 18 AAC 50.335(m) requires the 
    inclusion of emission data, such as monitoring data, for insignificant 
    emission units in the final permit. EPA is uncertain of the language in 
    the proposal that led to the commenter's concern. 18 AAC 50.335(m) 
    requires a permit application to contain reasonable documentation 
    consistent with the requirements of Alaska's title V regulations to 
    verify the accuracy and adequacy of the information submitted in the 
    permit application, including calculations on which the information is 
    based. That provision also states that an application may not omit 
    information needed to determine the applicability of or to impose any 
    applicable requirement or to impose any fee, the so-called ``applicable 
    requirements gatekeeper'' required by 40 CFR 70.5. EPA stated that this 
    ``applicable requirements gatekeeper'' applied to insignificant 
    sources, 61 FR 49095, and it is perhaps this language that concerned 
    the commenter. EPA did not intend, by this statement, to imply that a 
    permit application must contain all information identified by 18 AAC 
    50.335(m), such as emission data, for insignificant sources. Instead, 
    EPA intended to emphasize that the requirement that an application may 
    not omit information necessary to determine the applicability of or to 
    impose an applicable requirement or a fee applies to insignificant 
    sources as well as to other sources. This is made clear in 18 AAC 
    50.335(q)(2) through (4) as well.
        The commenter also asserted that Alaska's regulations for 
    insignificant sources adequately ensure that insignificant sources that 
    increase emissions so as to cause them to fall outside of the 
    regulatory definition of an insignificant source must then be treated 
    as significant and be included in the operating permit. EPA agrees that 
    the Alaska program is adequate to ensure that insignificant sources 
    which increase emissions so as to be considered significant will be 
    appropriately addressed in the operating permit.
        The commenter next states that ``EPA's position is that a facility 
    must forever verify that (insignificant sources) do not increase their 
    emissions and violate SIP requirements.'' The commenter suggests that 
    EPA's position that insignificant sources may not be exempt wholesale 
    from monitoring, recordkeeping, reporting and compliance certification 
    requirements means that sources will have to constantly monitor 
    insignificant sources. EPA has never stated or implied that facilities 
    must engage in constant and costly monitoring of insignificant sources. 
    To the contrary, in acknowledgement of the legitimate concern raised by 
    the commenter, EPA has given clear guidance on how insignificant 
    sources subject to applicable requirements can be addressed in title V 
    permits in a manner that minimizes the burden associated with the 
    permitting of such sources. See White Paper No. 2.
        The commenter next states that ``EPA would be satisfied if Alaska 
    established a regulatory presumption that (insignificant sources) 
    normally maintain emissions that are insignificant.'' The commenter 
    appears to have misinterpreted some language in the September 18, 1996, 
    proposal. EPA stated that a State could meet the monitoring, 
    recordkeeping, and reporting requirements for insignificant sources 
    subject to generally applicable requirements by establishing a 
    regulatory presumption that no additional monitoring, recordkeeping, 
    and reporting is necessary for such sources to assure compliance, so 
    long as the State had the authority to impose such requirements on a 
    case-by-case basis if necessary to ensure compliance. 61 FR 49096 n. 4. 
    This is one method EPA has suggested by which a State can meet the 
    monitoring, recordkeeping, and reporting requirements of 40 CFR 70.6 
    for insignificant sources in a
    
    [[Page 64469]]
    
    manner that imposes minimal burden on sources and the permitting 
    agency.
        The commenter also stated that the present Alaska program 
    sufficiently prevents insignificant sources from violating applicable 
    requirements. Enhancing and ensuring compliance is indeed a major goal 
    of the title V program. Congress and EPA insisted on certain program 
    elements, however, to achieve that goal. As discussed above, part 70 
    requires permits to contain terms and conditions necessary to assure 
    compliance with all applicable requirements and requires sources to 
    certify compliance with all permit terms and conditions. Part 70 
    contains no exemption for insignificant emission units subject to 
    applicable requirements. The Alaska program contains such an exemption 
    and therefore does not meet the requirements of part 70 for permit 
    content.
    7. Inspection and Entry Requirements
        One commenter objected to EPA's concern that Alaska's entry and 
    inspection requirements do not appear to meet the requirements of 40 
    CFR 70.6(c)(2). That provision states that all title V permits must 
    contain ``(i)nspection and entry requirements that require that, upon 
    the presentation of credentials and other documents as may be required 
    by law, the permittee shall allow the permitting authority or an 
    authorized representative'' to conduct specified entry, inspection, 
    copying, and sampling functions (emphasis added).
        The comparable provision of Alaska law requires title V permits to 
    contain the following provision:
    
        The permittee shall allow an officer or employee of the 
    department or an inspector authorized by the department, upon 
    presentation of credentials and at reasonable times with the consent 
    of the owner or operator to (conduct specified entry, inspection, 
    copying, and sampling functions).
    
    18 AAC 50.345(7) (emphasis added). See also AS 46.14.515 (statute 
    authorizing inspections of air emission sources ``upon presentation of 
    credentials and at reasonable times with the consent of the owner or 
    operator) (emphasis added); AS 46.03.02(6) (same). Where an owner or 
    operator does not grant consent, the permitting authority must obtain a 
    warrant under AS 46.03.860.
        In the September 18, 1996, Federal Register notice, EPA expressed 
    concern that Alaska law explicitly required that owners or operators 
    consent to an inspection or that the Department obtain a warrant. 61 FR 
    49097. EPA therefore proposed to require, as a condition of full 
    approval, that Alaska demonstrate to EPA's satisfaction that its 
    provisions for entry and inspection meet the requirements of part 70.
        In objecting to EPA's proposal, the commenter stated that the 
    ``other documents as may be required by law'' language of 40 CFR 
    70.6(c)(2) includes ``the requirement under state law to present a 
    warrant prior to entry in cases where consent has been withheld by an 
    owner or operator.'' The commenter further stated that Alaska law 
    simply codifies the fundamental constitutional protections against 
    unreasonable search and seizure.
        The language in part 70 concerning authority for inspection and 
    entry is almost identical to the language that has been required in 
    EPA- and State-issued permits under the Clean Water Act, the Resource 
    Conservation and Recovery Act (RCRA), and the Underground Injection 
    Control (UIC) program since 1980. See 40 CFR 122.41(i); 144.51(i); 
    270.30(i); see also 45 FR 33290 (May 19, 1980). In responding to 
    commenters' concerns in the promulgation of the Clean Water Act, RCRA, 
    and UIC regulations that this language did not incorporate a 
    requirement for the presentation of a warrant, EPA stated:
    
        Several commenters stated that the provision should incorporate 
    the legal principles set forth in Marshall v. Barlow's, Inc., 436 
    U.S. 307 (1978), relating to the necessity for presentation of a 
    warrant under appropriate circumstances. Some commenters feared that 
    by including entry and inspection requirements as a permit 
    condition, EPA might be requiring permittees to waive certain rights 
    under the Fourth Amendment to the United States Constitution. It is 
    not EPA's intent to deprive any permittee of its Fourth Amendment 
    rights as interpreted by Supreme Court decisions. However, we have 
    retained the general wording requiring ``presentation of credentials 
    and such other documents as may be required by law'' because of the 
    complexity and changing nature of this area of law, and the 
    possibility that any particular formulation or citation could be 
    inaccurate or inapplicable.
    
    45 FR 33304-33305.
        That the ``other documents as required by law'' language is 
    included in EPA-issued permits issued under most EPA programs 6 
    makes clear that the relevant inquiry is what documents are required as 
    a matter of Federal law as a condition of the right to enter and 
    inspect a title V source and not, as the commenter asserts, what other 
    documents may be required as a matter of State law. This is also clear 
    from EPA's response to comments quoted above. EPA believes the same is 
    true under 40 CFR 70.6(c)(2). The purpose of title V and part 70 is to 
    set forth minimum requirements for approval of State programs. EPA's 
    clear intent to set the Federal requirements for entry and inspection 
    as the minimum standard in order to prevent States from imposing 
    additional restrictions on the permitting authority's right to enter 
    and inspect. Thus, for example, to the extent a State requires a 
    warrant as a condition of entry where none is required as a matter of 
    Federal law, EPA believes the State program would not qualify for full 
    title V approval. Similarly, if a State imposes restrictions on 
    obtaining a warrant that are more burdensome than the requirements for 
    obtaining a warrant under Federal law, the State program would not 
    qualify for full approval.
    ---------------------------------------------------------------------------
    
        \6\ The same language is also used in the regulation setting 
    forth the requirements for title V permits issued by EPA under part 
    71. See 40 CFR 71.6(c)(2).
    ---------------------------------------------------------------------------
    
        EPA does not necessarily agree that Marshall v. Barlow's precludes 
    warrantless inspections under section 114 of the Clean Air Act. See New 
    York v. Burger, 482 U.S. 691 (1987) (warrantless search of automobile 
    junkyard conducted pursuant to a State statute authorizing inspection 
    of such commercial property falls within exception to the warrant 
    requirement for administrative inspections of pervasively regulated 
    industries). EPA's long-standing policy in conducting inspections under 
    the Clean Air Act, however, is to first seek the consent of the owner 
    or operator before entering and inspecting a facility and, if such 
    consent is denied, to obtain a warrant to confirm EPA's statutory 
    authority to enter and inspect. See Memorandum entitled ``Effect of 
    Supreme Court Decision in Marshall v. Barlow's, Inc., on EPA 
    Information Gathering Authority,'' from EPA General Counsel to 
    Assistant Administrators, dated June 29, 1978 (hereinafter, ``Barlow 
    OGC Memo''); Memorandum entitled ``Conduct of Inspections After the 
    Barlow's Decision,'' from EPA Assistant Administrator for Enforcement 
    to Regional Administrators, dated April 11, 1979 (hereinafter, ``Barlow 
    OE Memo''). This is based on EPA's belief that it is less resource 
    intensive in the long run to take the precautionary action of obtaining 
    a warrant than it would be to litigate the issue under each of the 
    environmental laws.
        Although Alaska law, at first glance, appears consistent with EPA's 
    policy, EPA remains concerned that Alaska law may be more restrictive 
    than federal law. There are several areas where a right of warrantless 
    entry clearly exists under federal law. For example, a warrantless 
    inspection is permissible in emergencies, such as situations involving 
    potential imminent hazards or
    
    [[Page 64470]]
    
    the potential destruction of evidence. See Camera v. Municipal Court, 
    387 U.S. 523 (1967); see also Barlow OGC Memo, p. 2, n. 4; Barlow OE 
    Memo, p. 5. Furthermore, under the ``open fields'' and ``plain view'' 
    doctrines, observations by inspectors of things that are able to be 
    seen by anyone in lawful position or place to make such observations do 
    not require a warrant. See Dow Chemical Company v. United States, 476 
    U.S. 227, 238 (1986); Oliver v. United States, 466 U.S. 170, 179 
    (1984); Reeves Brothers, Inc. v. EPA, No. 94-0053-L (W.D. Va. April 11, 
    1995); see also Barlow OE Memo, p. 6. The express requirement in AS 
    46.14.515 and 18 AAC 50.345(7) that an owner or operator consent to an 
    inspection could be interpreted to constrain these clear exceptions to 
    the warrant requirement. For example, Alaska law could be interpreted 
    to require the consent of an owner or operator before a Department 
    inspector enters property that would otherwise be classified as ``open 
    fields'' and from which an inspector would be authorized under Federal 
    law to gather information and conduct observations without a warrant. 
    Moreover, as discussed above, warrants are not required for 
    administrative searches of pervasively regulated industries under 
    certain circumstances. See New York v. Burger, 482 U.S. 691. In 
    addition, an Alaska Supreme Court case cited by the Alaska Attorney 
    General as well as the commenter states that the protections afforded 
    by the Alaska Constitution against warrantless entry are greater than 
    provided by the Fourth Amendment. See Woods and Rhode, Inc. v. 
    Department of Labor, 565 P.2d 138, 148 (Alaska 1977). EPA therefore 
    continues to believe that Alaska must demonstrate to EPA's 
    satisfaction, as a condition of full approval, that the restrictions on 
    its authority to enter, inspect, copy records, and sample do not exceed 
    the restrictions that apply as a matter of federal law under 40 CFR 
    70.6(c)(2).
    8. Compliance Certification
        In the proposal, EPA stated that Alaska's provisions regarding 
    compliance certification do not appear to comply with the requirements 
    of 40 CFR 70.6(c)(5), which requires compliance certification ``with 
    terms and conditions contained in the permit, including emission 
    limitations, standards, and work practice requirements.'' The Alaska 
    regulations require compliance certification only with specified 
    requirements. See 61 FR 49098. One commenter stated that the phrase 
    ``including emission limitations, standards, or work practices'' in 40 
    CFR 70.6(c)(5) is an exclusive list of the conditions in a permit that 
    require certification. EPA vigorously disagrees. The phrase must be 
    read in context of the entire provision, which states that a permit 
    shall contain ``Requirements for compliance certification with terms 
    and conditions contained in the permit, including emission limitations, 
    standards, or work practices.'' (emphasis added). The phrase ``terms 
    and conditions contained in the permit'' is all inclusive and covers 
    all applicable requirements and other provisions required by part 70 to 
    be contained in a permit, not just emission limitations, standards, or 
    work practices. For example, a requirement in 40 CFR part 60 that a 
    source install, maintain, and operate continuous emission monitors in 
    conformance with certain performance specifications is a monitoring 
    requirement of an applicable requirement that requires a compliance 
    certification. Similarly, compliance with ``gapfilling'' monitoring, 
    recordkeeping, or reporting required under 40 CFR 70.6(a) is a part 70 
    requirement that requires certification.
        In further support of its position, the commenter points to 
    language in 40 CFR 70.6(c)(5)(iii)(A) stating that compliance 
    certifications must include an ``identification of each term or 
    condition of the permit that is the basis of the certification.'' The 
    commenter believes this language implies that not all terms and 
    conditions need be identified in the certification. Again, EPA 
    disagrees. It would be both unreasonable and inconsistent with section 
    504(c) of the Act if a source was not required to certify compliance 
    with otherwise applicable requirements and part 70 requirements 
    contained in a title V permit. Therefore, EPA maintains that the Alaska 
    provisions for compliance certification fail to comply with the 
    requirements of 40 CFR 70.6(c)(5) and must be revised in order to 
    receive full approval.
    9. Affirmative Defense for Emergencies
        In the proposal, EPA stated that Alaska's affirmative defense for 
    unavoidable emergencies, malfunctions, and nonroutine repairs was 
    broader than the affirmative defense allowed under part 70 for 
    emissions in excess of technology-based standards due to emergencies 
    under 40 CFR 70.6(g) for two reasons, the definition of technology-
    based standards and the reporting period. See 61 FR 49098. One 
    commenter argued that Alaska's emergency provisions are consistent with 
    40 CFR 70.6(g), although the commenter addressed only one the 
    definition of technology-based standard. Specifically, the commenter 
    stated that the use of the word ``primarily'' in the Alaska definition 
    of ``technology-based emission standard'' is consistent with part 70. 
    EPA disagrees. EPA defines a technology-based standard as one for which 
    the stringency of the standard is not based on considerations of air 
    quality impacts of the source or source category in question, but 
    instead based on a determination of what is technologically feasible. 
    59 FR 45530, 45559 (August 31, 1995). The Alaska definition, however, 
    could allow many SIP emission limitations to be considered to be 
    technology-based emission standards. The determination of emission 
    limitations needed to ensure attainment and maintenance of NAAQS 
    necessarily includes consideration of what is technologically feasible 
    for sources contributing to the air quality problem, and in many cases 
    the final emission limitations are based entirely on what is 
    technologically feasible. However, such SIP emission limitations are 
    considered to be health-based emission limitations and not technology-
    based emission standards since they are specifically established to 
    ensure attainment and maintenance of the NAAQS. Furthermore, many 
    emission limitations in PSD permits are set at levels equivalent to 
    that of ``best available control technology'' (BACT) limits. However, 
    emission limits in PSD permits whose purpose is to protect the NAAQS 
    and PSD increments are considered health-based emission limitations, 
    even if they are identical in stringency to the BACT limits. Therefore, 
    EPA continues to believe that the Alaska emergency provisions are 
    inconsistent with the requirements of 40 CFR 70.6(g) and must be 
    revised in order to obtain full approval.7
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        \7\ The commenter did not address EPA's concern that the Alaska 
    regulations allow sources more time than allowed by part 70 to 
    submit notice of an emergency to the permitting authority. See 61 FR 
    49098. This also remains as an interim approval issue.
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    10. Minor Permit Modification Procedures
        One commenter requested clarification regarding EPA's finding that 
    the State's provisions for minor permit modifications do not conform to 
    EPA's requirements regarding changes to monitoring, reporting, and 
    recordkeeping terms and conditions. EPA's regulations state that 
    ``every relaxation of reporting or recordkeeping permit terms shall be 
    considered significant,'' 40 CFR 70.7(e)(4), and must be processed as a 
    significant permit modification. In contrast, the Alaska regulation 
    requires only changes
    
    [[Page 64471]]
    
    that ``materially alter or reduce'' the frequency, accuracy, or 
    precision of existing reporting requirements to be processed as a 
    significant permit modification. EPA expressed concern that the Alaska 
    program would allow a relaxation of reporting or recordkeeping 
    requirements to be processed as a minor permit modification so long as 
    the revision did not ``materially alter or reduce'' the frequency, 
    accuracy, or precision of existing reporting requirements. See 61 FR 
    49099. The commenter asked how reporting or recordkeeping could be 
    relaxed without materially altering or reducing the frequency, 
    accuracy, or precision of existing requirements. The term 
    ``materially'' is defined in the Random House Dictionary of the English 
    Language as ``to an important degree; considerably.'' EPA therefore 
    believes that not every change that alters or reduces the frequency, 
    accuracy, or precision of existing requirements would be required to be 
    processed as a significant permit modification under Alaska law. As a 
    result, EPA continues to maintain that the Alaska procedures for minor 
    permit modifications fail to comply with the provisions of 40 CFR 
    70.7(e) with respect to changes to reporting or recordkeeping 
    requirements.
    
    C. Response to Public Comment on Proposed Section 112 Approval in Part 
    and Disapproval in Part
    
        The only comments EPA received on its proposed actions under 
    section 112 were from the State of Alaska. The State commented on EPA's 
    belief that sources could ``net out'' of State preconstruction review 
    requirements, but could not avoid preconstruction review under the 
    federal program. See 61 FR 49102. The State appeared to agree with 
    EPA's interpretation on ``net outs'' but disagrees with EPA's 
    contention that 40 CFR 63.5(b) could be applicable to a source that 
    does not have the potential to emit hazardous air pollutants (HAPs) in 
    quantities greater than major source levels. Regarding the latter, EPA 
    has reviewed this issue in further detail and has concluded that, at 
    present, Alaska's interpretation is correct in that EPA has not set 
    lower quantity cutoffs for defining a major source. Therefore, EPA 
    believes this is no longer grounds for disapproval.
        With respect to the fact that sources could ``net out'' of 
    preconstruction review as a matter of State law, Alaska has requested 
    that EPA grant partial approval under the authority of CAA section 
    112(l) and 40 CFR 63.93 to its rule substitution request in light of 
    the fact that Alaska does not have adequate authority to administer 18 
    AAC 50.300 for all potential situations where 40 CFR 63.5(b)(3) is 
    applicable. EPA is denying this request for two reasons: (1) Based on 
    previous experience with partial delegations in the PSD program, EPA 
    has found practical implementation of such a system to be cumbersome 
    and one which may place added liability on a source should it fail to 
    obtain approval from the proper agency. In this regard, in order to 
    obtain approval to substitute its State rule, Alaska must amend 18 AAC 
    50.300 so that it does not allow newly constructed major HAP sources to 
    ``net out'' of state preconstruction review. (2) EPA does not yet have 
    the authority under section 112(l) of the CAA or 40 CFR part 63, 
    subpart E, to approve partial delegation requests of this nature.
    
    III. Final Action and Implications
    
    A. Title V
    
        EPA is promulgating final interim approval of the operating permits 
    program submitted by Alaska on May 31, 1995, and supplemented on August 
    16, 1995, February 6, 1996, February 27, 1996, July 5, 1996, August 2, 
    1996, and October 17, 1996. The State must make the following changes 
    to receive full approval.\8\
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        \8\ See the discussion in EPA's proposed interim approval for a 
    full discussion of EPA's findings as to why the Alaska program does 
    not fully meet EPA's requirements in these respects. See 61 FR 
    49096-49100.
    ---------------------------------------------------------------------------
    
    1. Applicability of Permit Program Requirements
        The Alaska definition of ``regulated air contaminant'' in AS 
    46.14.990(21) is inconsistent with the EPA definition of the term 
    ``regulated air pollutant'' in 40 CFR 70.2 in that it does not 
    adequately cover pollutants required to be regulated under section 
    112(j) of the Act. As a condition of full approval, Alaska must 
    demonstrate to EPA's satisfaction that its definition of ``regulated 
    air contaminant'' is consistent with EPA's definition of ``regulated 
    air pollutant'' in 40 CFR 70.2.
    2. Applicable Requirements
        The Alaska definition of ``applicable requirement'' does not 
    include all of the EPA regulations implementing title VI (40 CFR part 
    82) but only subparts B and F. Although EPA has proposed to revise 40 
    CFR part 70 to limit the definition of ``applicable requirement'' to 
    only those provisions promulgated under sections 608 and 609 of the Act 
    (which EPA has promulgated in 40 CFR part 82, subparts B and F), this 
    proposed revision is not yet adopted. Should EPA revise part 70 as 
    proposed, Alaska's rules will be consistent and no revisions will be 
    needed. However, if EPA does not revise part 70 as proposed, Alaska 
    must adopt and submit appropriate revisions as a condition of interim 
    approval.
    3. Authority to Implement Section 112 Requirements
        Alaska has not adopted by the requirements of 40 CFR part 61 
    subpart I (radionuclide NESHAP for facilities licensed by the Nuclear 
    Regulatory Commission). EPA is requiring, as a condition of full 
    approval, that Alaska update its incorporation by reference to include 
    all of the NESHAP that currently apply to title V sources in Alaska.
    4. Insignificant Emission Units
        The Alaska program improperly exempts insignificant sources subject 
    to applicable requirements from monitoring, recordkeeping, reporting, 
    and compliance certification requirements. Alaska must eliminate this 
    exemption as a condition of full approval.
    5. Emissions Trading Provided for in Applicable Requirements
        The Alaska program does not contain a provision implementing the 
    part 70 requirement that the permitting authority must include terms 
    and conditions, if the permit applicant requests them, for trading of 
    emissions increases and decreases in the permitted facility, to the 
    extent that the applicable requirements provide for trading such 
    increases without a case-by-case approval of each emissions trade. See 
    40 CFR 70.6(a)(10). As a condition of full approval, Alaska must ensure 
    that its program includes the necessary provisions to meet the 
    requirements of 40 CFR 70.6(a)(10).
    6. Inspection and Entry Requirements
        Part 70 requires each title V permit to contain a provision 
    allowing the permitting authority or an authorized representative, upon 
    presentation of credentials and other documents as may be required by 
    law, to perform specified inspection and entry functions. See 40 CFR 
    70.6(c)(2). As a condition of full approval, Alaska must demonstrate to 
    EPA's satisfaction that its inspection and entry authority meets the 
    requirements of 40 CFR 70.6(c)(2) and imposes no greater restrictions 
    on the State's inspection authority than exist under federal law.
    
    [[Page 64472]]
    
    7. Progress Reports
        The Alaska program does not require the submission of progress 
    reports, consistent with the applicable schedule of compliance and 40 
    CFR 70.5(c)(8), to be submitted in accordance with the period specified 
    in an applicable requirement. See 40 CFR 70.6(c)(4). As a condition of 
    full approval, Alaska must demonstrate to EPA's satisfaction that its 
    program complies with the requirements of 40 CFR 70.6(c)(4).
    8. Compliance Certification.
        The Alaska program does not meet the requirements of part 70 that a 
    permitting program contain requirements for compliance certification 
    with terms and conditions contained in the permit, including emissions 
    limitations, standards or work practices. See 40 CFR 70.6(c)(5). As a 
    condition of full approval, Alaska must demonstrate to EPA's 
    satisfaction that its program complies with the requirements of 40 CFR 
    70.6(c)(5).
    9. General Permits
        The Alaska provisions for general permits fail to comply with the 
    requirements of part 70 in one respect. The Alaska provisions do not 
    require that applications for general permits which deviate from the 
    requirements of 40 CFR 70.5 otherwise meet the requirements of title V. 
    See 40 CFR 70.6(d)(2). As a condition of full approval, Alaska must 
    demonstrate to EPA's satisfaction that applications for general permits 
    meet the requirements of title V.
    10. Affirmative Defense for Emergencies
        The Alaska program does not comply with the requirement of part 70 
    with respect to the provisions for an affirmative defense to an action 
    brought for noncompliance with a technology-based limitation in a title 
    V permit. The Alaska regulations include a definition of ``technology-
    based standard'' which is broader than allowed by part 70 and the 
    Alaska program gives a permittee up to one week after the discovery of 
    an exceedence to provide ADEC with written notice rather than within 
    two working days as required by 40 CFR 70.6(g)(3)(iv). As a condition 
    of full approval, Alaska must demonstrate to EPA's satisfaction that 
    its emergency provisions are consistent with the requirements of 40 CFR 
    70.6(g).
    11. Off-Permit Provisions
        The Alaska program does not comply with the part 70 ``off-permit'' 
    provisions which require the permittee to keep a record at the facility 
    describing each off-permit change and to provide ``contemporaneous'' 
    notice of each off-permit change to EPA and the permitting authority. 
    See 40 CFR 70.4(b)(14). Although EPA has proposed to revise 40 CFR part 
    70 to eliminate the off-permit requirements, this proposed revision is 
    not yet adopted. Should EPA revise part 70 as proposed, Alaska's rules 
    will be consistent with part 70 in this respect and no revisions will 
    be needed. However, if EPA does not revise part 70 as proposed, Alaska 
    must ensure that its program requires notice and records for all off-
    permit changes as a condition of full approval.
    12. Statement of Basis
        The Alaska program does not require the permitting authority to 
    provide and send to EPA, and to any other person who requests it, a 
    statement that sets forth the legal and factual basis for the draft 
    permit conditions (including references to the applicable statutory or 
    regulatory provisions). See 40 CFR 70.7(a)(5). As a condition of full 
    approval, Alaska must demonstrate to EPA's satisfaction that its 
    program satisfies the requirements of 40 CFR 70.7(a)(5).
    13. Administrative Amendments
        The Alaska program, which allows alterations in the identification 
    of equipment or components that have been replaced with equivalent 
    equipment or components to be made by administrative amendment, does 
    not comply with the part 70 provisions which authorize States to allow 
    certain ministerial types of changes to title V permits to be made by 
    administrative amendment. See 40 CFR 70.7(d). As a condition of full 
    approval, Alaska must revise 18 AAC 50.370(a)(5)(D) to expand the 
    prohibition to include modifications and reconstructions made pursuant 
    to 40 CFR parts 60, 61 and 63, or to eliminate 18 AAC 50.370(a)(5) from 
    the list of changes that may be made by administrative amendment.
    14. Minor Permit Modifications
        The Alaska program does not comply with the part 70 provisions 
    which require States to establish procedures for minor permit 
    modifications which are substantially equivalent to those set forth in 
    40 CFR 70.7(e), for several reasons. First, the Alaska program does not 
    ensure that ``every significant change in existing monitoring permit 
    terms or conditions and every relaxation of reporting or recordkeeping 
    permit terms shall be considered significant.'' See 40 CFR 70.7(e)(4). 
    Second, the Alaska program does not ensure that an application for a 
    minor permit modification must include a description of the change, the 
    emissions resulting from the change, and any new applicable 
    requirements that will apply if the change occurs. 40 CFR 
    70.7(e)(2)(ii)(A). Finally, the Alaska program fails to include 
    provisions which allow minor permit modification procedures to be used 
    for permit modifications involving the use of economic incentives, 
    marketable permits, emissions trading, and other similar approaches to 
    the extent that such minor permit modification procedures are 
    explicitly provided for in an applicable implementation plan or in 
    applicable requirements promulgated by EPA. See 70.7(e)(2)(B). As a 
    condition of full approval, Alaska must demonstrate to EPA that its 
    program includes the necessary provisions to meet the requirements of 
    40 CFR 70.7(e)(2)(B).
    15. Group Processing of Minor Permit Modifications
        The Alaska program does not conform with the provisions of part 70 
    which allow a permitting authority to process as a group certain 
    categories of applications for minor permit modifications at a single 
    source in that the Alaska program does not contain any thresholds for 
    determining whether minor permit modifications may be processed as a 
    group. See 40 CFR 70.7(e)(3). As a condition of full approval, Alaska 
    must demonstrate that its group processing procedures are consistent 
    with the requirements of 40 CFR 70.7(e)(3).
    16. Significant Permit Modifications
        The Alaska program does not address the part 70 requirement that a 
    State provide for a review process that will assure completion of 
    review of the majority of significant permit modifications within 9 
    months after receipt of a complete application. 40 CFR 70.7(e)(4)(ii). 
    As a condition of full approval, Alaska must provide assurances that 
    its program is designed and will be implemented so as to complete 
    review on the majority of significant permit modifications within this 
    timeframe.
    17. Reopenings
        The Alaska program provisions for reopenings fail to comply with 
    part 70 in several respects. First, the Alaska program does not require 
    reopening in the event that the effective date of a new applicable 
    requirement is later than the permit expiration date and the permit has 
    been administratively extended. See 40 CFR 70.7(f)(1)(i). Second, the 
    Alaska program does not comply with part 70 in that the Alaska program 
    merely authorizes ADEC to reopen a permit
    
    [[Page 64473]]
    
    under specified circumstances, where as part 70 requires that a permit 
    be reopened if ADEC or EPA determine such circumstances exist. See 40 
    CFR 70.7(f)(2)(iii). Third, the Alaska program also fails to contain 
    required procedures in the event of a reopening for cause by EPA. See 
    40 CFR 70.7(g)(2) and (4). Finally, the Alaska program does not include 
    provisions assuring that reopenings are made as expeditiously as 
    practicable. See 40 CFR 70.7(f)(2). As a condition of full approval, 
    Alaska must demonstrate to EPA's satisfaction that its provisions for 
    reopenings comply with the requirements of 40 CFR 70.7(f) and (g).
    18. Public Petitions to EPA
        The Alaska program does not prohibit issuance of a permit if EPA 
    objects to the permit after EPA's 45-day review period (i.e., in 
    response to a petition). As a condition of full approval, Alaska must 
    demonstrate to EPA's satisfaction that Alaska's provisions regarding 
    public petitions to EPA comply with the requirements of 40 CFR 70.8(d).
    19. Public Participation
        The Alaska program does not conform to the part 70 requirement that 
    the contents of a title V permit not be entitled to confidential 
    treatment. See 40 CFR 70.4(b)(3)(viii). As a condition of full 
    approval, Alaska must demonstrate to EPA's satisfaction that nothing in 
    a title V permit will be entitled to confidential treatment.
        This interim approval, which may not be renewed, extends until 
    December 7, 1998. During this interim approval period, Alaska is 
    protected from sanctions, and EPA is not obligated to promulgate, 
    administer, and enforce a federal operating permits program in Alaska. 
    Permits issued under a program with interim approval have full standing 
    with respect to title V and part 70. In addition, the 1-year time 
    period under State law for submittal of permit applications by subject 
    sources and the 3-year time period for processing the initial permit 
    applications begin upon the effective date of this interim approval.
        If Alaska fails to submit a complete corrective program for full 
    approval by June 5, 1998, EPA will start an 18-month clock for 
    mandatory sanctions. If Alaska then fails to submit a corrective 
    program that EPA finds complete before the expiration of that 18-month 
    period, EPA will be required to apply one of the sanctions in section 
    179(b) of the Act, which will remain in effect until EPA determines 
    that Alaska has corrected the deficiency by submitting a complete 
    corrective program. Moreover, if the Administrator finds a lack of good 
    faith on the part of Alaska, both sanctions under section 179(b) will 
    apply after the expiration of the 18-month period until the 
    Administrator determines that Alaska has come into compliance. In any 
    case, if, six months after application of the first sanction, Alaska 
    still has not submitted a corrective program that EPA has found 
    complete, a second sanction will be required.
        If EPA disapproves Alaska's complete corrective program, EPA will 
    be required to apply one of the section 179(b) sanctions on the date 18 
    months after the effective date of the disapproval, unless prior to 
    that date Alaska has submitted a revised program and EPA has determined 
    that it corrected the deficiencies that prompted the disapproval. 
    Moreover, if the Administrator finds a lack of good faith on the part 
    of Alaska, both sanctions under section 179(b) shall apply after the 
    expiration of the 18-month period until the Administrator determines 
    that Alaska has come into compliance. In all cases, if, six months 
    after EPA applies the first sanction, Alaska has not submitted a 
    revised program that EPA has determined corrects the deficiencies, a 
    second sanction is required.
        In addition, discretionary sanctions may be applied where warranted 
    any time after the expiration of an interim approval period if Alaska 
    has not timely submitted a complete corrective program or EPA has 
    disapproved its submitted corrective program. Moreover, if EPA has not 
    granted full approval to Alaska program by the expiration of this 
    interim approval and that expiration occurs after November 15, 1995, 
    EPA must promulgate, administer and enforce a federal permits program 
    for Alaska upon interim approval expiration.
        This final interim approval of the Alaska title V program applies 
    to all title V sources (as defined in the approved program) within all 
    geographic regions of the State of Alaska, except within ``Indian 
    Country'' as defined in 18 U.S.C. section 1151. See 61 FR 49092, 49101.
    
    B. Authority for Section 112 Implementation
    
    1. Delegation under Section 112
        In its title V program submittal, Alaska has demonstrated adequate 
    legal authority to implement and enforce section 112 (hazardous air 
    pollutants (HAPS)) requirements through its title V operating permit 
    process. All Alaska title V permit applications are required to cite 
    and describe each source regulated by a federal emission standard 
    adopted by reference in 18 AAC 50.040 and the standard that applies to 
    the source (18 AAC 50.335(e)(2) and (6)). In addition, all title V 
    permits issued by the State are required to include terms and 
    conditions that assure compliance with the applicable requirements of 
    18 AAC 50.040 (18 AAC 50.350(d)(1)(A) and (d)(3)).
        However, in regard to the delegation of 40 CFR 61.145, EPA is 
    concerned that Alaska does not currently have inspection personnel 
    trained to perform asbestos inspections. EPA believes that proper 
    training is necessary if Alaska is to properly enforce and assure 
    compliance with 40 CFR 61.145. In this regard EPA has requested Alaska 
    to provide for adequate training of its staff who will be performing 
    asbestos inspections. Although EPA is approving delegation of this 
    portion of the asbestos program to Alaska, EPA plans to continually 
    monitor Alaska's asbestos program to ensure that the staff are properly 
    trained and that the program is being properly implemented and 
    enforced.
    2. Substitution of State Preconstruction Review Regulations
        As stated above, Alaska seeks to replace the federal 
    preconstruction review regulations of 40 CFR 63.5(b)(3) and 63.54 with 
    comparable State-adopted regulations. Alaska adopted 40 CFR 63.5(b)(3), 
    (d) and (e) into 18 AAC 50.040, but did not adopt 40 CFR 63.54. EPA has 
    determined that the State preconstruction review requirements of AS 
    46.14.130 and 18 AAC 50.300 through 50.322 are less stringent than 40 
    CFR 63.5(b)(3) and 40 CFR 63.54 as these rules apply to newly 
    constructed major sources of HAPs in an important respect. Unlike 40 
    CFR 63.5(b)(3), Alaska preconstruction review procedures allow newly 
    constructed sources at an existing facility to ``net out'' of 
    preconstruction review. See 61 FR 49102.
    3. Section 112(l) Approval, Disapproval and Implications
        In conjunction with the actions being taken in regard to Alaska's 
    title V program submittal, EPA is approving the State of Alaska's 
    delegation request of May 17, 1995, as amended on February 25, 1996, 
    July 5, 1996, October 17, 1996, and November 21, 1996, for all existing 
    applicable 40 CFR parts 61 and 63 regulations adopted by reference in 
    18 AAC 50.040, specifically, 40 CFR part 61 subparts A (except 
    Sec. 61.16), E, J, V, Y, FF, Sec. 61.154 of subpart M, and Sec. 61.145 
    of subpart M (along with other sections and appendices which are
    
    [[Page 64474]]
    
    referenced in Sec. 61.145, as Sec. 61.145 applies to sources required 
    to obtain an operating permit under AS 46.14.130(b)(1)-(3) and 18 AAC 
    50.330); and 40 CFR part 63 subparts A (except Sec. 63.6(g) and 
    Secs. 63.12 through 63.15), B (except Secs. 63.50 and 63.54), D, M, N 
    (as it applies to sources required to obtain an operating permit under 
    AS 46.14.130(b)(1)-(3) and 18 AAC 50.330), R, Q, T, Y, CC, DD, II, JJ, 
    and KK, and Appendices A and B.
        EPA is also granting approval under the authority of section 
    112(l)(5) and 40 CFR 63.91 of a mechanism for receiving delegation of 
    future section 112 standards that Alaska adopts unchanged from the 
    federal standards. See section 5.1.2.b of EPA's ``Interim Enabling 
    Guidance for the Implementation of 40 CFR part 63'', subpart E, EPA-
    453/R-93-040, November 1993. Under this streamlined approach, once 
    Alaska adopts a new or revised NESHAP standard into State law, Alaska 
    will only need to send a letter of request to EPA requesting delegation 
    for the NESHAP standard. EPA would in turn respond to this request by 
    sending a letter back to the State delegating the appropriate NESHAP 
    standards as requested. No further formal response from the State would 
    be necessary at this point, and if a negative response from the State 
    is not received by EPA within 10 days of this letter of delegation, the 
    delegation would then become final. Notice of such delegations will 
    periodically be published in the Federal Register.
        EPA is disapproving Alaska's request for delegation of authority 
    for approving alternative non-opacity emission standards under 40 CFR 
    63.6(g) because such authority is reserved for the EPA Administrator 
    and cannot be delegated to a State or local agency. In addition, 
    because the State's request for approval of authority to implement and 
    enforce 40 CFR parts 61 and 63 does not include implementation and 
    enforcement for part 70 exempted sources, EPA will retain the 
    responsibility for implementing and enforcing 40 CFR part 61, subpart 
    M, for area source asbestos demolition and renovation activities, and 
    40 CFR part 63, subpart N, for area source chromium electroplating and 
    anodizers operations which have been exempted from part 70 permitting 
    in 40 CFR 63.340(e)(1). See 61 FR 27785, 27787 (June 3, 1996).
        EPA is denying Alaska's request to implement and enforce its State-
    adopted preconstruction review regulations in 18 AAC 50.300 through 
    50.322 in place of 40 CFR 63.5(b)(3). EPA is retaining the authority to 
    administer the federal preconstruction review program under 40 CFR 
    63.5(b)(3) as this rule applies to the construction of a new major 
    affected source; therefore, owners and operators subject to 40 CFR 
    63.5(b)(3) are still required to obtain EPA approval prior to 
    commencing construction.
        Although EPA is delegating authority to Alaska to enforce the 
    NESHAP regulations as they apply to affected sources, it is important 
    to note that EPA retains oversight authority for all sources subject to 
    these federal requirements. EPA has the authority and responsibility to 
    enforce the federal regulations in those situations where the State is 
    unable to do so or fails to do so.
    
    4. Scope of Approval
    
        This approval of the Alaska section 112(l) programs, as with 
    Alaska's title V program, applies to all sources within all geographic 
    regions of the State of Alaska, except within ``Indian Country,'' as 
    defined in 18 U.S.C. section 1151.
    
    Administrative Requirements
    
    A. Docket
    
        Copies of the State's submittal and other information relied upon 
    for the final interim approval and final partial approval and partial 
    disapproval, including the letters of public comment received and 
    reviewed by EPA on the proposal, are contained in the Alaska title V 
    docket maintained at the EPA Regional Office. The docket is an 
    organized and complete file of all the information submitted to, or 
    otherwise considered by, EPA in the development of this final action. 
    The docket is available for public inspection at the location listed 
    under the ADDRESSES section of this document.
    
    B. Executive Order 12866
    
        The Office of Management and Budget has exempted this regulatory 
    action from Executive Order 12866 review.
    
    C. Regulatory Flexibility Act
    
        EPA's actions under section 502 of the Act do not create any new 
    requirements, but simply address operating permits programs submitted 
    to satisfy the requirements of 40 CFR part 70. Similarly, NESHAP rule 
    or program delegations approved under the authority of section 112(l) 
    of the Act do not create any new requirements, but simply confer 
    federal authority for those requirements that Alaska is already 
    imposing. Because this action does not impose any new requirements, EPA 
    has determined it does not have a significant impact on a substantial 
    number of small entities.
    
    D. Unfunded Mandates Reform Act
    
        EPA has determined that the action promulgated today under section 
    502 and section 112(l) of the Act does not include a federal mandate 
    that may result in estimated costs of $100 million or more to either 
    State, local, or tribal governments in the aggregate, or to the private 
    sector. This federal action approves pre-existing requirements under 
    State or local law and imposes no new federal requirements. 
    Accordingly, no additional costs to State, local, or tribal 
    governments, or to the private sector, result from this action.
    
    E. Submission to Congress and the General Accounting Office
    
        Under 5 U.S.C. 801(a)(1)(A), as added by the Small Business 
    Regulatory Enforcement Fairness Act of 1996, EPA submitted 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 
    General Accounting Office prior to publication of the rule in today's 
    Federal Register. This rule is not a ``major rule'' as defined by 5 
    U.S.C. 804(2).
    
    F. Effective Date
    
        An administrative agency engaging in rulemaking must comport with 
    the requirement of section 553 of the Administrative Procedures Act. 
    See 5 U.S.C. chapter 5. Section 553 requires an agency to allow at 
    least 30 days from the date of publication before the effective date of 
    a substantive rulemaking. If, however, good cause can be shown, then 
    the agency may impose an effective date of less than 30 days after 
    publication. Good cause exists to initiate an effective date of less 
    than 30 days after publication when it is in the public interest and 
    the shorter time period does not cause prejudice to those regulated by 
    the rule. British American Commodity Options Corp. v. Bagley, 552 F.2d 
    482, 488-89 (2d Cir. 1977). An immediate effective date is in the 
    public's interest for several reasons.
        First, ADEC is statutorily prevented from collecting and expending 
    permit fees until EPA has approved the State title V program. The 
    Alaska Legislature has only authorized ADEC to expend a limited amount 
    of EPA grant monies and other State revenues prior to EPA approval of 
    the State's title V program. These revenues have now run out and the 
    State agency is without funds to continue to pay salaries. Further 
    delay in the effective date of EPA's approval risks the loss of trained 
    air staff necessary to successfully implement the title V program when 
    it is approved.
    
    [[Page 64475]]
    
        Second, the federal part 71 permitting program became effective in 
    Alaska on July 31, 1996. 61 FR 34202 (July 1, 1996), codified at 40 CFR 
    part 71. Under this federal permitting program, some title V sources 
    are required to submit permit applications and permit fees to EPA by 
    January 31, 1997. See 40 CFR 71.5(a) and 71.9(f)(3). EPA understands, 
    however, that sources have not been preparing applications for the 
    federal part 71 program, but have instead been anticipating that the 
    State title V program would be approved prior to the first application 
    submittal deadline of the federal part 71 program. Delaying the 
    effective date of EPA's approval of the Alaska title V program could 
    put sources at risk of having to file applications and pay fees under 
    both the State part 70 and federal part 71 permitting programs. 
    Moreover, the State has advised EPA that sources have delayed filing 
    permit renewal applications under the current State operating permit 
    program in anticipation of the imminent approval of the State's title V 
    program. Such sources will be at risk of being in violation of current 
    State law if interim approval of Alaska's title V program is delayed.
        Although it is in the public's interest to make EPA's interim 
    approval of Alaska's title V program effective on the date of 
    publication, EPA must ensure that this action will not have any 
    prejudicial effects upon the regulated community. Rowell v. Andrus, 631 
    F.2d 699, 702-703 (10th Cir. 1980). For example, EPA must ensure that 
    the regulated community has sufficient notice of this rulemaking and 
    ample opportunity to comment. EPA believes that all interested parties 
    have had sufficient notice of this rulemaking and ample opportunity to 
    comment. The State has advised EPA that it has contacted each of the 
    parties that commented on the proposal and none object to having this 
    rulemaking effective on the date of publication. The regulated 
    community has worked closely with the State in the development of the 
    State's title V program over the past several years. The State 
    regulations that form the basis of the State's title V program were 
    subject to notice and comment at the State level. EPA's proposed action 
    on the State's title V program was also subject to 30 days public 
    comment. Finally, under Alaska law, the State's operating permit 
    regulations do not become effective until 30 days after the effective 
    date of EPA approval. Because the program itself does not become 
    effective as a matter of State law for 30 days, it can also have no 
    effect as a matter of Federal law until that time. Therefore, the 
    purpose of the 30-day effective date under the Administrative 
    Procedures Act is met since sources will have 30 days notice prior to 
    the Alaska title V program becoming effective as a matter of both State 
    and federal law.
    
    List of Subjects in 40 CFR Part 70
    
        Environmental protection, Administrative practice and procedure, 
    Air pollution control, Hazardous substances, Intergovernmental 
    relations, Operating permits, Reporting and recordkeeping requirements.
    
        Dated: November 22, 1996.
    Chuck Clarke,
    Regional Administrator.
        Part 70, title 40 of the Code of Federal Regulations is amended as 
    follows:
    
    PART 70--[AMENDED]
    
        1. The authority citation for part 70 continues to read as follows:
    
        Authority: 42 U.S.C. 7401, et seq.
    
        2. Appendix A to part 70 is amended by adding the entry for Alaska 
    in alphabetical order to read as follows:
    
    Appendix A to Part 70--Approval Status of State and Local Operating 
    Permits Programs
    
    * * * * *
    
    Alaska
    
        (a) Alaska Department of Environmental Conservation: submitted 
    on May 31, 1995, as supplemented by submittals on August 16, 1995, 
    February 6, 1996, February 27, 1996, July 5, 1996, August 2, 1996, 
    and October 17, 1996; interim approval effective on December 5, 
    1996; interim approval expires December 7, 1998.
        (b) (Reserved)
    * * * * *
    [FR Doc. 96-30865 Filed 12-4-96; 8:45 am]
    BILLING CODE 6560-50-P
    
    
    

Document Information

Published:
12/05/1996
Department:
Environmental Protection Agency
Entry Type:
Rule
Action:
Final Interim Approval, and Final Approval in Part and Disapproval in Part.
Document Number:
96-30865
Dates:
December 5, 1996.
Pages:
64463-64475 (13 pages)
Docket Numbers:
AD-FRL-5658-4
PDF File:
96-30865.pdf