96-4706. National Emission Standards for Hazardous Air Pollutants for Source Categories: Gasoline Distribution (Stage I)  

  • [Federal Register Volume 61, Number 41 (Thursday, February 29, 1996)]
    [Rules and Regulations]
    [Pages 7718-7724]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-4706]
    
    
    
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    ENVIRONMENTAL PROTECTION AGENCY
    40 CFR Part 63
    
    [AD-FRL-5432-3]
    
    
    National Emission Standards for Hazardous Air Pollutants for 
    Source Categories: Gasoline Distribution (Stage I)
    
    AGENCY: Environmental Protection Agency (EPA).
    
    ACTION: Final rule amendments.
    
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    SUMMARY: This action amends the ``National Emission Standards for 
    Hazardous Air Pollutants for Source Categories: Gasoline Distribution 
    (Stage I)'' (the ``Gasoline Distribution NESHAP''). These final 
    amendments extend the initial compliance date for the equipment leak 
    provisions applicable to existing sources to no later than December 15, 
    1997, and amend the date by which an existing facility must provide an 
    initial notification to December 16, 1996 or 1 year after a facility 
    becomes subject to the Gasoline Distribution NESHAP, whichever is 
    later.
    
    DATES: Effective Date. February 29, 1996.
        Judicial Review. Under section 307(b)(1) of the Clean Air Act 
    (Act), judicial review of NESHAP is available only by filing a petition 
    for review in the U.S. Court of Appeals for the District of Columbia 
    Circuit within 60 days of today's publication of these final 
    amendments. Under section 307(b)(2) of the Act, the requirements that 
    are the subject of this document may not be challenged later in civil 
    or criminal proceedings brought by the EPA to enforce these 
    requirements.
    
    ADDRESSES: Docket. Docket No. A-92-38, Categories VI Reconsideration 
    and VII Amendments, containing 
    
    [[Page 7719]]
    information considered by the EPA in developing the final amendments, 
    is available for public inspection and copying between 8 a.m. and 5:30 
    p.m., Monday through Friday, except Federal holidays, at the EPA's Air 
    and Radiation Docket and Information Center, room M1500, U.S. 
    Environmental Protection Agency, 401 M Street SW., Washington, DC 
    20460; telephone (202) 260-7548. A reasonable fee may be charged for 
    copying. This docket also contains information considered by the EPA in 
    proposing and promulgating the Gasoline Distribution NESHAP.
        An electronic version of these final amendments and the proposal 
    are available for download from the EPA Technology Transfer Network 
    (TTN), a network of electronic bulletin boards developed and operated 
    by the Office of Air Quality Planning and Standards. The TTN provides 
    information and technology exchange in various areas of air pollution 
    control. The service is free, except for the cost of a phone call. Dial 
    (919) 541-5742 for data transfer of up to 14,400 bits per second. The 
    TTN is also available on the Internet (access: TELNET 
    ttnbbs.rtpnc.epa.gov). If more information on the operation of the TTN 
    is needed, contact the systems operator at (919) 541-5384.
    
    FOR FURTHER INFORMATION CONTACT: Mr. Stephen Shedd at telephone number 
    (919) 541-5397 or at fax number (919) 541-3470, Emission Standards 
    Division (MD-13), U.S. Environmental Protection Agency, Research 
    Triangle Park, North Carolina 27711.
    
    SUPPLEMENTARY INFORMATION: The information presented in this preamble 
    is organized as follows:
    
    I. Background and Final Amendments
        A. Background
        B. Summary of Amendments
    II. Comments on the Proposed Amendments
        A. Public Participation
        B. Comments Received on the Proposed Amendments
        C. Summary of Comments and EPA Responses
        1. Opportunity for Comment
        2. Extension of Deadline for Initial Notification
        3. Extension of Initial Compliance Date for Leak Detection and 
    Repair (LDAR)
        4. Potential to Emit (PTE)
        5. Risk
    III. Administrative Requirements
        A. Paperwork Reduction Act
        B. Executive Order 12866
        C. Regulatory Flexibility Act
        D. Unfunded Mandates Act
        E. Regulatory Review
    
    I. Background and Final Rule Amendments
    
    A. Background
    
        On December 14, 1994 (59 FR 64303), the EPA promulgated the 
    ``National Emission Standards for Hazardous Air Pollutants for Source 
    Categories: Gasoline Distribution (Stage I)'' (the ``Gasoline 
    Distribution NESHAP''). The Gasoline Distribution NESHAP regulates all 
    hazardous air pollutants (HAP) emitted from new and existing bulk 
    gasoline terminals and pipeline breakout stations that are major 
    sources of HAP emissions or are located at sites that are major sources 
    of HAP emissions. Among the promulgated requirements for existing 
    sources under this rule are the requirements that sources institute an 
    equipment leak prevention program and provide an initial notification 
    of regulatory status no later than December 14, 1995 (40 CFR 
    Secs. 63.424(e) and 63.428(a)).
        On November 7, 1995 (60 FR 56133), the EPA proposed amendments to 
    the Gasoline Distribution NESHAP. The EPA proposed to amend the initial 
    compliance date for the equipment leak provisions applicable to 
    existing sources from no later than December 14, 1995 to no later than 
    December 15, 1997, and to amend the date by which an existing facility 
    must provide an initial notification to December 16, 1996 or 1 year 
    after a facility becomes subject to the Gasoline Distribution NESHAP, 
    whichever is later. Those modifications were proposed because the 
    compliance date for these provisions was approaching and the EPA 
    believes that, under current circumstances, additional time will allow 
    sources a better opportunity to establish major or area source status 
    without forgoing quantifiable emissions reductions.
        On December 8, 1995 (60 FR 62991), the EPA issued a partial 3-month 
    stay of the December 14, 1995 compliance date for equipment leak 
    prevention provisions and providing an initial notification of 
    regulatory status and use of a screening equation in the Gasoline 
    Distribution NESHAP. The December 14, 1995 compliance date for leak 
    detection and repair provisions and initial notifications was stayed 
    for existing facilities until March 7, 1996. The EPA issued the stay 
    pursuant to Clean Air Act section 307(d)(7)(B), 42 U.S.C. 
    7607(d)(7)(B), which provides the Administrator authority to stay the 
    effectiveness of a rule during reconsideration.
    
    B. Summary of Amendments
    
        After considering all of the comments, both for and against the 
    proposed amendments, the EPA is promulgating these rule amendments as 
    they were proposed. The EPA consideration and response to all the 
    comments are contained in the next section of this document. In 
    summary, the final amendments consist of two new compliance dates in 
    the promulgated rule: the initial compliance date for the equipment 
    leak provisions (Sec. 63.424(e)) applicable to existing sources is no 
    later than December 15, 1997, and the date by which an existing 
    facility must provide an initial notification (Sec. 63.428(a)) is 
    December 16, 1996 or 1 year after a facility becomes subject to the 
    Gasoline Distribution NESHAP, whichever is later. This action also 
    clarifies that all initial notifications are to be submitted by the 
    same time (December 16, 1996) as intended at proposal and noted in the 
    stay. The EPA is promulgating this related clarifying amendment that 
    extends the notification for area source facilities using an emission 
    screening equation (Sec. 63.428 (i)(1) and (j)(1)) to that same date. 
    The EPA continues to believe that, under current circumstances, this 
    additional time is needed to allow sources a better opportunity to 
    establish major or area source status without forgoing quantifiable 
    emissions reductions.
    
    II. Comments on the Proposed Amendments
    
    A. Public Participation
    
        These amendments were proposed in the Federal Register on November 
    7, 1995 (60 FR 56133). Public comments were solicited at the time of 
    proposal. Electronic versions of the preamble and proposed regulatory 
    amendments were made available to interested parties immediately after 
    signature (on November 2, 1995) via the TTN bulletin board (see 
    ADDRESSES section of this preamble for more TTN information).
        The preamble to the proposed amendments provided the public the 
    opportunity to request a public hearing. However, a public hearing was 
    not requested. The public comment period for the proposed amendments 
    was from November 7, 1995 until December 7, 1995 and the document was 
    available to the public on the TTN even earlier, as of November 2, 
    1995. In all, 13 comment letters were received. The comments have been 
    carefully considered in arriving at the final amendments being 
    promulgated in this document.
    
    B. Comments Received on the Proposed Amendments
    
        Comments on the proposed amendments were received from 13 
    commenters, consisting of oil 
    
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    companies (10), trade organizations (2), and one environmental 
    organization. Most of the commenters were in general agreement with the 
    proposed amendments. Due to the small number of comments received, and 
    the fact that technical issues were not involved, no background 
    information document (BID) was prepared to present more detailed 
    comments and responses.
        However, the original comment letters have been placed in the 
    docket, which is referred to in the ADDRESSES section of this preamble. 
    For summary purposes, all of the comments have been grouped by the 
    topic areas they address, and are discussed in the next section.
    
    C. Summary of Comments and EPA Responses
    
        As mentioned in the previous section, all but one of the commenters 
    expressed general agreement with the proposed amendments to the 
    Gasoline Distribution (Stage I) NESHAP. A summary of the major comments 
    and the EPA's responses is presented below.
    (1) Opportunity for Comment
        One commenter considered the comment period for the proposal to be 
    inadequate to allow most citizens to comment on the proposal, since it 
    frequently requires a week or more for the Federal Register to arrive 
    at public libraries, and another week or more for placement on library 
    shelves. This leaves less than 2 weeks to research, write, edit, and 
    mail comments. This commenter also felt that most citizens were 
    unlikely to have learned of the opportunity to request a public hearing 
    before the deadline for requesting such a hearing expired. However, the 
    commenter did not request extension of the time to comment.
        The EPA placed the proposal preamble and amendments on the TTN on 
    November 2, 1995, 1 day after it was signed by the Administrator. The 
    TTN is an electronic (computer) bulletin board, free to users, and is 
    available on the Internet for use by the public. The usual comment 
    period (30 days beginning with publication of the proposal in the 
    Federal Register) and opportunity for requesting a hearing were 
    provided at the time of proposal. No person contacted the EPA to 
    request more time to comment. The time period was consistent with the 
    requirements of section 307 of the Act. The EPA did not provide a 
    longer comment period due to the relative narrowness and simplicity of 
    the proposal and the proximity of the compliance dates. For these 
    reasons, the EPA believes that a reasonable amount of time was afforded 
    the public for commenting on the proposal.
    (2) Extension of Deadline for Initial Notification
        Twelve of the commenters expressed support for the proposed 
    amendment to the initial notification date for existing sources. Most 
    said that the change was essential to provide many bulk terminals and 
    pipeline breakout stations a reasonable opportunity to calculate their 
    potential to emit and to determine the applicability of the NESHAP. 
    Four commenters supported the non-binding clause of the initial 
    notification, feeling that such a clause will encourage would-be major 
    sources to consider pollution prevention opportunities or additional 
    controls prior to the December 15, 1997 compliance date. Commenters 
    also pointed out that the amended notification date would not have any 
    adverse impact on the environment. Potential negative consequences of 
    not finalizing the amendment cited by commenters included the erroneous 
    classification of many facilities as major sources due to the short 
    time available to establish area source status, and the avoidance of 
    these terminals by outside tank truck firms not wishing to incur the 
    vapor tightness testing obligations associated with affected terminals.
        The EPA is promulgating the amendment to the initial notification 
    deadline for existing sources as it was proposed: 1 year after an 
    affected source becomes subject to the NESHAP or by December 16, 1996, 
    whichever is later. In addition, the clause specifying that 
    declarations of major source status submitted by this deadline will be 
    considered non-binding for 1 year has been retained in the final 
    amendments. This means that facilities that include in their 
    notification a brief description and schedule for their planned actions 
    for achieving area source status by December 15, 1997 can make a change 
    to their status until this latter deadline. The EPA believes that 
    although the information in the notifications may change, it provides 
    necessary information for tank truck companies in planning their vapor 
    tightness testing schedules and for Federal, State, and local air 
    pollution control agencies in planning for rule implementation and 
    compliance activities.
    (3) Extension of Initial Compliance Date for Leak Detection and Repair 
    (LDAR)
        Twelve of the commenters also supported the proposed amendment to 
    the initial compliance date, which affects only periodic visual 
    inspection programs for leaks from gasoline equipment components. These 
    commenters said that the change was essential to provide many terminals 
    and pipeline breakout stations a reasonable chance to demonstrate that 
    they are not major sources subject to the NESHAP, and to allow time for 
    the resolution of the potential to emit issue (see next comment topic). 
    One commenter stated that this amendment would provide State and local 
    agencies additional time to develop EPA-approved federally enforceable 
    State operating permit (FESOP) programs and to complete permit 
    processing. Another company said that EPA approvals of its 33 FESOP and 
    15 Title V permit actions have been very slow and the company would not 
    be able to obtain these permits by the promulgated first compliance 
    date of December 14, 1995. The company felt that this date extension 
    would give them a reasonable opportunity to obtain approval of 
    artificial limits on potential to emit from most, if not all, of the 
    appropriate State agencies. Commenters believed that having a common 
    compliance date for all aspects of the regulation would allow more time 
    for facility owners and operators to consider pollution prevention 
    opportunities or additional controls. A number of commenters pointed 
    out that equipment leak emissions represent a minor portion of a 
    facility's total HAP emission inventory, and most facilities already 
    have some type of routine visual inspection program. Therefore, the 
    proposed change would have no long-term adverse impact on human health 
    or the environment.
        One commenter, however, expressed concern that the EPA, by delaying 
    the initial compliance date, would put citizens at risk on the basis of 
    the already high levels of benzene and other gasoline components in the 
    air around terminals.
        The EPA has considered all of these comments, including the comment 
    opposing the compliance date extension. The EPA continues to believe 
    that deferral of the compliance date for the equipment leak provisions 
    for existing sources until December 15, 1997 is the most appropriate 
    way to allow sources a better opportunity to establish major or area 
    source status without forgoing quantifiable emissions reductions. The 
    EPA also agrees with commenters that equipment leak emissions are 
    relatively small under normal operations, and so delaying compliance 
    with the visual inspection requirement for major source facilities will 
    not produce any significant increase in risk to exposed populations. 
    (See the more complete discussion of risk under section (5) Risk 
    below.) 
    
    [[Page 7721]]
    
    (4) Potential to Emit (PTE)
        Several commenters took issue with the EPA's policy that only 
    federally enforceable control standards or operating limitations would 
    be considered in determining the potential to emit of facilities and, 
    consequently, whether they would be a major source and subject to the 
    NESHAP. Four commenters cited a decision by the U.S. Court of Appeals 
    for the District of Columbia Circuit ruling that the EPA's stand on the 
    issue is unlawful, which the commenters interpreted to indicate that 
    the policy has been vacated and is no longer in effect. One commenter 
    stated that the EPA's insistence on maintaining its policy on this 
    matter creates confusion on the part of facilities potentially subject 
    to this rule. Three other commenters said that requiring federally 
    enforceable emission controls in determinations of potential to emit 
    inflates emission estimates, which could cause area sources to be 
    classified as major sources required to undertake unnecessary controls 
    and programs. Two commenters concluded that the EPA should allow 
    permitting authorities to take into account State and local controls 
    that the permitting authority deems effective in limiting facilities' 
    potential to emit.
        The EPA's proposal to amend the Gasoline Distribution NESHAP 
    focused narrowly on the issue of modifying compliance dates for two 
    provisions, the equipment leak inspection requirements and the 
    notification of major source status, rather than the distinct issues of 
    whether the emission screening equation and the emissions inventory 
    methods of calculating potential to emit should be revised to reflect 
    limitations on emissions that are not federally enforceable, and 
    whether Federal enforceability should be a necessary criterion for 
    determination of potential to emit under section 112 in general. Thus, 
    comments regarding these latter two issues are outside the scope of the 
    topics raised by the proposal. However, the EPA believes it is useful 
    in response to these comments to summarize the impact of the court 
    decision referenced by commenters, as well as related EPA guidance 
    recognizing State-enforced PTE limits under section 112 during a 
    transition period.
        The EPA interpreted the impact of the referenced court decision in 
    a January 22, 1996 guidance memorandum, which is contained in the 
    docket and is also available on the TTN (see ADDRESSES section). The 
    memorandum stated that, in National Mining Association v. EPA, 59 F.3d 
    1351 (D.C. Cir. 1995), the court addressed regulations under subpart A 
    of 40 CFR part 63, the ``General Provisions'' of hazardous air 
    pollutant programs under section 112. The court found that the EPA had 
    not adequately explained why only federally enforceable measures should 
    be considered as limits on a source's potential to emit. Accordingly, 
    the court remanded the section 112 General Provisions regulation to the 
    EPA for further proceedings. The EPA must either provide a better 
    explanation as to why Federal enforceability promotes the effectiveness 
    of State controls, or remove the exclusive Federal enforceability 
    requirement. The court did not vacate the section 112 regulations; that 
    is, the court did not declare the regulations null and void. The 
    regulations remain in effect pending completion of new rulemaking.
        The EPA plans to hold discussions with stakeholders and propose 
    rulemaking amendments by spring 1996, and to issue final rules by 
    spring 1997, that would address the court decisions impacting 
    regulations promulgated pursuant to section 112 as well as other air 
    act provisions. The EPA currently plans to address the following 
    options, after discussions with stakeholders:
        (a) An approach that would recognize ``effective'' State-
    enforceable limits as an alternative to federally enforceable limits on 
    a source's potential to emit. Under this option, a source whose maximum 
    capacity to emit without pollution controls or operational limitations 
    exceeds relevant major source thresholds may take a State or local 
    limit on its potential to emit. In such circumstances, the source must 
    be able to demonstrate that the State-enforceable limits are (1) 
    enforceable as a practical matter, and (2) being regularly complied 
    with by the facility.
        (b) An approach under which the EPA would continue to require 
    Federal enforceability of limits on a source's potential to emit. Under 
    this approach, in response to specific issues raised by the court in 
    National Mining, the EPA would present further explanation regarding 
    why the Federal enforceability requirement promotes effective controls. 
    Under this approach, the EPA would propose simplifying changes to the 
    administrative provisions of the current Federal enforceability 
    regulations.
        Any method for limiting potential to emit made available as a 
    result of the EPA's response to the NMA remand will be available to 
    sources in the Gasoline Distribution (Stage I) source category. The EPA 
    expects to respond to the remand in NMA with adequate time to allow 
    such sources to seek any new methods developed.
        The EPA today reiterates that independent from the decision in 
    National Mining, current EPA policy already recognizes State-
    enforceable PTE limits under section 112 in many circumstances under a 
    transition policy intended to provide for orderly implementation of 
    these new programs under the Clean Air Act Amendments of 1990. This 
    policy is set forth in a memorandum, ``Options for Limiting the 
    Potential to Emit (PTE) of a Stationary Source Under Section 112 and 
    Title V of the Clean Air Act'' (January 25, 1995), and has been amended 
    in one significant way by the January 22, 1996 guidance memorandum as 
    noted below. (Both memoranda are contained in the docket and are also 
    available on the TTN, see ADDRESSES section.)
        Under the terms of the EPA's transition policy, the transition 
    period is to end in January 1997. In addition, completion of the EPA's 
    rulemaking in response to the recent court decisions, which the EPA 
    anticipates will occur by early 1997, may render the transition policy 
    unnecessary after that time. However, in conjunction with the 
    rulemaking, the EPA will consider whether it is appropriate to extend 
    the transition period beyond January 1997.
        In recognition of the absence in some States of suitable federally 
    enforceable mechanisms to limit PTE applicable to sources that might 
    otherwise be subject to section 112 or Title V, the EPA's policy 
    provides for the consideration of State-enforceable limits as a gap-
    filling measure during a transition period that extends until January 
    1997. Under this policy, for the 2-year transition period, restrictions 
    contained in State permits issued to sources that actually emit more 
    than 50 percent, but less than 100 percent, of a relevant major source 
    threshold are treated by the EPA as acceptable limits on potential to 
    emit, provided: (a) the permit and the restriction in particular are 
    enforceable as a practical matter, and (b) the source owner submits a 
    written certification to the EPA accepting EPA and citizen enforcement. 
    In light of National Mining, the EPA believes that the certification 
    requirement is no longer appropriate as part of this policy. 
    Accordingly, under the January 1996 guidance, the EPA amended the 
    January 1995 transition policy by deleting the certification 
    requirement.
        In addition, under the transition policy, sources with consistently 
    low levels of actual emissions relative to major source thresholds can 
    avoid major source requirements even absent any permit or other 
    enforceable limit on PTE. Specifically, the policy provides 
    
    [[Page 7722]]
    that sources which maintain their emissions at levels that do not 
    exceed 50 percent of any applicable major source threshold are not 
    treated as major sources and do not need a permit to limit PTE, so long 
    as they maintain adequate records to demonstrate that the 50 percent 
    level is not exceeded.
        The EPA's action in this rule to extend the compliance dates for 
    the two provisions will give more opportunities for sources to obtain 
    potential to emit limits consistent with the EPA's guidance and hence 
    avoid being subject to regulation as major sources.
        One commenter disagreed with the EPA's interpretation that if a 
    facility does not demonstrate area source status by the first 
    substantive compliance date, then the facility, regardless of actual 
    emissions or any subsequent State operating permit limitation, would be 
    permanently classified as a major source.
        The EPA's interpretation was explained in an EPA guidance 
    memorandum from John S. Seitz, ``Potential to Emit for MACT Standards--
    Guidance on Timing Issues'' (May 16, 1995), which is contained in the 
    docket (item no. VI-B-6) and is also available on the TTN (see 
    ADDRESSES section). The EPA notes that the commenter viewed finalizing 
    the proposed amendments to the compliance dates as a ``critical need * 
    * * [to] avoid unintended inclusion of area sources.'' For the 
    facilities in this source category, the EPA and many commenters believe 
    that delaying the first compliance date will provide the relief being 
    sought by the above commenters.
        A number of commenters noted that the emission screening equation 
    in the final rule cannot be used by bulk terminals because essentially 
    all terminals handle non-gasoline products, such as diesel fuel or home 
    heating oil, which makes them ineligible to use the equation. The 
    commenters urged the EPA to reexamine the issue of which facilities are 
    eligible to use the equation, pointing out that the HAP emitted from 
    these products are ``de minimis'' and should not compel facilities to 
    use the more cumbersome and costly emissions inventory mechanism for 
    determining potential to emit.
        As discussed in the proposal preamble, the EPA is considering data 
    and information submitted by the API (and available in the docket) in 
    order to evaluate a possible expansion of the screening equation to 
    include non-gasoline products that emit HAP, and will make a final 
    decision about changes to the equation under a separate action. The EPA 
    is still reviewing this information and is not prepared to discuss any 
    specific changes to the equation at this time. Depending on the results 
    of its review of the pertinent data, the EPA may propose changes to the 
    equation and request comment in a forthcoming and separate action in 
    the Federal Register.
    (5) Risk
        One commenter opposed the proposal to delay the initial compliance 
    date for the NESHAP on the grounds that the health risk to populations 
    exposed to ambient HAP concentrations near terminals would be 
    increased. The commenter expressed a belief that the language and 
    legislative history of the Clean Air Act reflects a Congressional 
    intent to limit public exposures to carcinogens to a level that will 
    not produce a lifetime risk of cancer at a rate greater than one in a 
    million. According to the commenter, a 50-year lifetime constant 
    exposure to a gasoline vapor concentration of 0.639 part per billion 
    (ppb) would correspond to the Act's one-in-a-million lifetime risk 
    standard. The commenter cited a 1993 air quality study at the Paw Creek 
    terminals in North Carolina that indicated a maximum benzene 
    concentration of 2.2 ppb, which they claimed corresponds to a lifetime 
    cancer risk of at least 131 per million. The commenter concluded that 
    emission levels corresponding to such risks ought to be reduced as 
    quickly as possible.
        The EPA has not performed a risk analysis to allow the EPA to 
    verify the risk estimation results cited by the commenter, nor did the 
    commenter include a copy of the study with their comments. However, in 
    accordance with sections 112 (d)(6) and (f)(2) of the Act, the Gasoline 
    Distribution NESHAP will be reviewed within 8 years after the date of 
    promulgation (i.e., by December 14, 2002). This review may include an 
    assessment of residual health risk, in addition to many other aspects 
    of the regulation. As discussed above, the proposal and this final 
    action only extend the compliance time for instituting programs to 
    perform visual inspections and subsequent repair of equipment 
    components in gasoline service at terminals and pipeline breakout 
    stations. Most facilities are already carrying out similar informal 
    programs and, furthermore, data show that the HAP emissions from this 
    equipment in normal operation are very low. The compliance date of 
    December 15, 1997 promulgated in the final rule for the remaining 
    emission sources at bulk terminals will not be affected by this action. 
    Due to these factors, the EPA believes that this action will not 
    substantially change the emissions near major source gasoline 
    distribution facilities. For these reasons, the EPA is finalizing the 
    extension of the compliance date for LDAR until December 15, 1997 as 
    proposed on November 7, 1995.
    
    III. Administrative Requirements
    
    A. Paperwork Reduction Act
    
        The information collection requirements of the previously 
    promulgated NESHAP were submitted to and approved by the Office of 
    Management and Budget (OMB). A copy of this Information Collection 
    Request (ICR) document (OMB control number 2060-0325) may be obtained 
    from Ms. Sandy Farmer, Information Policy Branch, Environmental 
    Protection Agency, 401 M Street., S.W. (mail code 2136), Washington, DC 
    20460, or by calling (202) 260-2740.
        Today's amendments to the Gasoline Distribution NESHAP have no 
    impact on the information collection burden estimates made previously. 
    No additional certifications or filings were promulgated. Therefore, 
    the ICR has not been revised.
    
    B. Executive Order 12866
    
        Under Executive Order 12866 (58 FR 51735, October 4, 1993), the EPA 
    must determine whether a regulation is ``significant'' and therefore 
    subject to OMB review and the requirements of the Executive Order. The 
    criteria set forth in section 1 of the Order for determining whether a 
    regulation is a significant rule are as follows:
        (1) Is likely to have an annual effect on the economy of $100 
    million or more, or adversely and materially affect a sector of the 
    economy, productivity, competition, jobs, the environment, public 
    health or safety, or State, local, or tribal government communities;
        (2) Is likely to create a serious inconsistency or otherwise 
    interfere with an action taken or planned by another agency;
        (3) Is likely to materially alter the budgetary impact of 
    entitlements, grants, user fees, or loan programs or the rights and 
    obligations of recipients thereof; or
        (4) Is likely to raise novel or policy issues arising out of legal 
    mandates, the President's priorities, or the principles set forth in 
    the Executive Order.
        The Gasoline Distribution NESHAP promulgated on December 14, 1994, 
    was treated as a ``significant regulatory action'' within the meaning 
    of the Executive Order. An estimate of the cost and benefits of the 
    NESHAP was prepared at proposal as part of the 
    
    [[Page 7723]]
    background information document (BID) and was updated in the BID for 
    the final rule to reflect comments and changes to the final rule. The 
    amendments issued today have no impact on the estimates in the BID. The 
    EPA's earlier estimates of costs and emission reductions were based on 
    the Gasoline Distribution NESHAP affecting only major sources and did 
    not quantify the emission reductions associated with the visual 
    equipment leak detection program; in any event, these emission 
    reductions are small relative to the total reduction for the source 
    category.
        Pursuant to the terms of Executive Order 12866, it has been 
    determined that this action is a ``non-significant regulatory action'' 
    within the meaning of the Executive Order. As such, this action was not 
    submitted to OMB for review.
    
    C. Regulatory Flexibility Act
    
        The Regulatory Flexibility Act (5 U.S.C. 601 et seq.) requires the 
    EPA to consider potential impacts of regulations on small business 
    entities. The Act specifically requires the preparation of a Regulatory 
    Flexibility Analysis in those instances where small business impacts 
    are possible. When the EPA promulgated the Gasoline Distribution 
    NESHAP, it analyzed the potential impacts on small businesses, 
    discussed the results of this analysis in the Federal Register, and 
    concluded that the promulgated regulation would not result in financial 
    impacts that significantly or differentially stress affected small 
    companies. Since today's action imposes no additional impacts, a 
    Regulatory Flexibility Analysis has not been prepared.
        Pursuant to the provisions of 5 U.S.C. 605(b), I hereby certify 
    that this rule will not have a significant economic impact on a 
    substantial number of small business entities.
    
    D. Unfunded Mandates Act
    
        Under section 202 of the Unfunded Mandates Reform Act of 1995 
    (Unfunded Mandates Act), signed into law on March 22, 1995, the EPA 
    must prepare a budgetary impact statement to accompany any proposed or 
    final rule that includes a Federal mandate that may result in estimated 
    costs to State, local, or tribal governments in the aggregate, or to 
    the private sector, of $100 million or more. Under section 205, the EPA 
    must select the most cost effective and least burdensome alternative 
    that achieves the objectives of the rule and is consistent with 
    statutory requirements. Section 203 requires the EPA to establish a 
    plan for informing and advising any small governments that may be 
    significantly or uniquely impacted by the rule.
        The EPA has determined that today's action 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. Therefore, the requirements of the Unfunded 
    Mandates Act do not apply to this action.
    
    E. Regulatory Review
    
        In accordance with sections 112(d)(6) and 112(f)(2) of the Act, 
    this regulation will be reviewed 8 years from the date of promulgation. 
    This review may include an assessment of such factors as evaluation of 
    the residual health risk, any overlap with other programs, the 
    existence of alternative methods of control, enforceability, 
    improvements in emission control technology and health data, and the 
    recordkeeping and reporting requirements.
    
    List of Subjects in 40 CFR Part 63
    
        Environmental protection, Air pollution control, Hazardous 
    substances, Petroleum bulk stations and terminals, Reporting and 
    recordkeeping requirements.
    
        1Dated: February 23, 1996.
    Carol M. Browner,
    Administrator.
    
        For the reasons set out in the preamble, part 63 of chapter I of 
    title 40 of the Code of Federal Regulations is amended as follows:
    
    PART 63--NATIONAL EMISSION STANDARDS FOR HAZARDOUS AIR POLLUTANTS 
    FOR SOURCE CATEGORIES
    
        1. The authority citation for part 63 continues to read as follows:
    
        Authority: 42 U.S.C. 7401 et seq.
    
        2. Section 63.424 is amended by revising paragraph (e) to read as 
    follows:
    
    
    Sec. 63.424  Standards: Equipment leaks.
    
    * * * * *
        (e) Initial compliance with the requirements in paragraphs (a) 
    through (d) of this section shall be achieved by existing sources as 
    expeditiously as practicable, but no later than December 15, 1997. For 
    new sources, initial compliance shall be achieved upon startup.
    * * * * *
        3. Section 63.428 is amended by revising paragraph (a), the first 
    sentence of paragraph (f)(1), paragraph (i)(1), and paragraph (j)(1) to 
    read as follows:
    
    
    Sec. 63.428  Reporting and recordkeeping.
    
        (a) The initial notifications required for existing affected 
    sources under Sec. 63.9(b)(2) shall be submitted by 1 year after an 
    affected source becomes subject to the provisions of this subpart or by 
    December 16, 1996, whichever is later. Affected sources that are major 
    sources on December 16, 1996 and plan to be area sources by December 
    15, 1997 shall include in this notification a brief, non-binding 
    description of and schedule for the action(s) that are planned to 
    achieve area source status.
    * * * * *
        (f) * * *
        (1) In the case of an existing source or a new source that has an 
    initial startup date before the effective date, the report shall be 
    submitted with the notification of compliance status required under 
    Sec. 63.9(h), unless an extension of compliance is granted under 
    Sec. 63.6(i). * * *
    * * * * *
        (i) * * *
        (1) Document and report to the Administrator not later than 
    December 16, 1996 for existing facilities, within 30 days for existing 
    facilities subject to Sec. 63.420(c) after December 16, 1996, or at 
    startup for new facilities the methods, procedures, and assumptions 
    supporting the calculations for determining criteria in Sec. 63.420(c);
    * * * * *
        (j) * * *
        (1) Document and report to the Administrator not later than 
    December 16, 1996 for existing facilities, within 30 days for existing 
    facilities subject to Sec. 63.420(d) after December 16, 1996, or at 
    startup for new facilities the use of the emission screening equations 
    in Sec. 63.420(a)(1) or (b)(1) and the calculated value of ET or 
    EP;
    * * * * *
        4. Table 1 to subpart R is amended by revising the entry 
    ``63.9(b)(2)'' to read as follows:
    * * * * * 
    
    [[Page 7724]]
    
    
                          Table 1 to Subpart R.--General Provisions Applicability to Subpart R                      
    ----------------------------------------------------------------------------------------------------------------
               Reference                   Applies to subpart R                           Comment                   
    ----------------------------------------------------------------------------------------------------------------
                                                                                                                    
    *                  *                  *                  *                  *                  *                
    63.9(b)(2).....................  No.............................  Subpart R allows additional time for existing 
                                                                       sources to submit initial notification. Sec. 
                                                                       63.428(a) specifies submittal by 1 year after
                                                                       being subject to the rule or December 16,    
                                                                       1996, whichever is later.                    
                                                                                                                    
    *                  *                  *                  *                  *                  *                
                                                            *                                                       
    ----------------------------------------------------------------------------------------------------------------
    
    [FR Doc. 96-4706 Filed 2-28-96; 8:45 am]
    BILLING CODE 6560-50-P
    
    

Document Information

Effective Date:
2/29/1996
Published:
02/29/1996
Department:
Environmental Protection Agency
Entry Type:
Rule
Action:
Final rule amendments.
Document Number:
96-4706
Dates:
Effective Date. February 29, 1996.
Pages:
7718-7724 (7 pages)
Docket Numbers:
AD-FRL-5432-3
PDF File:
96-4706.pdf
CFR: (4)
40 CFR 63.9(h)
40 CFR 63.6(i)
40 CFR 63.424
40 CFR 63.428