96-2721. Criteria for the Certification and Re-Certification of the Waste Isolation Pilot Plant's Compliance With the 40 CFR Part 191 Disposal Regulations  

  • [Federal Register Volume 61, Number 28 (Friday, February 9, 1996)]
    [Rules and Regulations]
    [Pages 5224-5245]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-2721]
    
    
    
    
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    _______________________________________________________________________
    
    Part VI
    
    
    
    
    
    Environmental Protection Agency
    
    
    
    
    
    _______________________________________________________________________
    
    
    
    40 CFR Part 194
    
    
    
    Criteria for the Certification and Re-Certification of the Waste 
    Isolation Pilot Plant's Compliance With the 40 CFR Part 191 Disposal 
    Regulations; Final Rule
    
    Federal Register / Vol. 61, No. 28 / Friday, February 9, 1996 / Rules 
    and Regulations 
    
    [[Page 5224]]
    
    
    ENVIRONMENTAL PROTECTION AGENCY
    
    40 CFR Part 194
    
    [FRL-5418-5]
    RIN 2060-AE30
    
    
    Criteria for the Certification and Re-Certification of the Waste 
    Isolation Pilot Plant's Compliance With the 40 CFR Part 191 Disposal 
    Regulations
    
    AGENCY: Environmental Protection Agency.
    
    ACTION: Final rule.
    
    -----------------------------------------------------------------------
    
    SUMMARY: The Environmental Protection Agency (EPA) is promulgating 
    criteria for determining if the Waste Isolation Pilot Plant (WIPP) will 
    comply with EPA's environmental radiation protection standards for the 
    disposal of radioactive waste. If the Administrator of EPA determines 
    that the WIPP will comply with the standards for disposal, then the 
    Administrator will issue to the Secretary of Energy a certification of 
    compliance which will allow the emplacement of transuranic waste in the 
    WIPP to begin, provided that all other statutory requirements have been 
    met. If a certification is issued, EPA will also use this final rule to 
    determine if the WIPP has remained in compliance with EPA's 
    environmental radiation protection standards, once every five years 
    after the initial receipt of waste for disposal at the WIPP. This 
    rulemaking was mandated by the WIPP Land Withdrawal Act of 1992.
    
    EFFECTIVE DATE: These regulations are effective April 9, 1996. The 
    incorporation of certain publications listed in the regulations is 
    approved by the Director of the Office of the Federal Register as of 
    April 9, 1996. A petition for judicial review of this final action must 
    be filed no later than April 9, 1996 pursuant to section 18 of the WIPP 
    Land Withdrawal Act of 1992 (Pub. L. 102-579).
    
    FOR FURTHER INFORMATION CONTACT: Betsy Forinash, Mary Kruger or Martin 
    Offutt; telephone number (202)-233-9310; address: Radiation Protection 
    Division, Mail Code 6602J, U.S. Environmental Protection Agency, 
    Washington, DC 20460. Copies of the Background Information Document and 
    Economic Impact Analysis which accompany today's action may be obtained 
    at this address. The Agency has also published a document, accompanying 
    today's action, which responds in detail to significant public comments 
    that were received on the proposed rule. This document, entitled 
    ``Response to Comments'' may be obtained by contacting Betsy Forinash.
    
    SUPPLEMENTARY INFORMATION:
    
    Introduction
    
    Purpose of Today's Action
    
        Today's action implements the Environmental Protection Agency's 
    (EPA) environmental radiation protection standards, 40 CFR part 191, by 
    applying them to the proposed disposal of transuranic radioactive waste 
    in the Waste Isolation Pilot Plant (WIPP). The EPA previously 
    promulgated 40 CFR part 191, ``Environmental Radiation Protection 
    Standards for Management and Disposal of Spent Nuclear Fuel, High-Level 
    and Transuranic Radioactive Wastes,'' to provide standards that will 
    apply to all sites (except Yucca Mountain) for the deep geologic 
    disposal of highly radioactive waste. Complete descriptions of 40 CFR 
    part 191 were published in the Federal Register in 1985 (50 FR 38066-
    38089, Sep. 19, 1985) and 1993 (58 Fed. Reg. 66398-66416, Dec. 20, 
    1993). The WIPP is subject to 40 CFR part 191, and is being constructed 
    by the Department of Energy (DOE) near Carlsbad, New Mexico, as a 
    potential repository for the safe disposal of transuranic radioactive 
    waste. The EPA is required by the WIPP Land Withdrawal Act of 1992 
    (Pub. L. 102-579) to evaluate whether the WIPP will comply with 
    subparts B and C of 40 CFR Part 191--known as the ``disposal 
    regulations''--and to issue or deny a certification of compliance. The 
    Department of Energy is required to submit an application to EPA that 
    will be the basis of EPA's evaluation of whether a certification of the 
    WIPP's compliance with the disposal regulations should be issued. The 
    Department of Energy may not begin to emplace transuranic waste 
    underground for disposal at the WIPP until such time as a certification 
    of compliance has been issued and all other requirements of section 
    7(b) of the WIPP Land Withdrawal Act have been satisfied. With today's 
    rulemaking, the Agency establishes criteria by which to judge whether 
    the WIPP is in compliance with the ``disposal regulations'' and sets 
    forth procedural requirements for this determination.
        Today's action, 40 CFR part 194, also applies to the periodic re-
    certification of the WIPP's compliance with the disposal regulations. 
    The process of periodic re-certification, established by section 8(f) 
    of the WIPP Land Withdrawal Act, calls for EPA to determine whether the 
    WIPP continues to be in compliance with the disposal regulations, 
    assuming that an initial certification of compliance has been issued. 
    The Secretary of Energy must submit to the Administrator of EPA 
    documentation of the WIPP's continued compliance with the disposal 
    regulations, every five years after the initial receipt of transuranic 
    waste for disposal at the WIPP, until the end of the decommissioning 
    phase. The Agency will use the criteria set forth in today's rulemaking 
    in determining whether or not the WIPP will have continued to be in 
    compliance.
        The WIPP was authorized in 1980, under section 213 of the 
    Department of Energy National Security and Military Applications of the 
    Nuclear Energy Authorization Act of 1980 (Pub. L. 96-164, 93 Stat. 
    1259, 1265), ``for the express purpose of providing a research and 
    development facility to demonstrate the safe disposal of radioactive 
    wastes resulting from the defense activities and programs of the United 
    States.'' The waste proposed for disposal in the WIPP, transuranic 
    radioactive waste (TRU waste), is waste consisting of materials such as 
    rags, equipment, tools, protective gear and sludges which have become 
    contaminated during atomic energy defense activities. The WIPP Land 
    Withdrawal Act defines transuranic waste to be waste containing more 
    than 100 nano-curies per gram of alpha-emitting radio-isotopes, with 
    half-lives greater than twenty years and atomic number greater than 92, 
    per gram of waste. The Act further stipulates that radioactive waste 
    shall not be transuranic waste if such waste also meets the definition 
    of high-level radioactive waste, has been specifically exempted from 
    the disposal regulations with the concurrence of the Administrator, or 
    has been approved for an alternate method of disposal by the Nuclear 
    Regulatory Commission. The radioactive component of transuranic waste 
    consists of man-made elements created during the process of nuclear 
    fission, chiefly isotopes of plutonium.
    
    Statutory and Regulatory Basis
    
        Today's action, 40 CFR part 194, was mandated by Congress in 
    section 8(c) of the WIPP Land Withdrawal Act. The criteria promulgated 
    in this action implement only those subparts of 40 CFR part 191 that 
    apply to the disposal of transuranic radioactive waste. As stated in 
    the Code of Federal Regulations, Appendix C of 40 CFR part 191 is 
    guidance for the implementation of the regulations contained in 40 CFR 
    part 191 that is not binding on the implementing agency, which is EPA 
    with respect to the WIPP. Appendix C was designed to apply to all 
    geologic 
    
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    repositories for the disposal of highly radioactive wastes, not 
    necessarily to the specific site characteristics of the WIPP and not 
    only to transuranic waste. As a result, the Agency found in developing 
    today's action that only some of the guidance contained in Appendix C 
    had specific relevance to the WIPP. Today's action has been guided by 
    only those aspects of Appendix C that the Agency has determined, based 
    on technical and policy considerations, to be applicable to the WIPP.
        Today's action, 40 CFR part 194, does not amend 40 CFR part 191. 
    With the Energy Policy Act of 1992, Congress mandated the development 
    of regulations to replace 40 CFR part 191 for the Yucca Mountain site 
    only, but the entire standard, 40 CFR part 191, remains applicable to 
    the WIPP. See 106 Stat. 2921, section 801(a)(1). Subpart A of 40 CFR 
    part 191 applies to the management of spent nuclear fuel, high-level 
    and transuranic radioactive wastes at sites designated for the disposal 
    of these wastes. Section 9(a) of the WIPP Land Withdrawal Act 
    stipulates that the Secretary of Energy shall comply with respect to 
    the WIPP with Subpart a of 40 CFR part 191. The Agency has not 
    implemented these requirements in today's action, 40 CFR part 194, but 
    intends to issue guidance for their application to the WIPP at a future 
    date.
    
    Compliance With Other Environmental Laws and Regulations
    
        The WIPP is regulated under the Resource Conservation and Recovery 
    Act (RCRA) and is subject to both the Part B licensing requirements and 
    the land disposal restrictions of that statute. The WIPP must comply 
    with other environmental laws, including, among other statutes, the 
    Clean Air Act (40 U.S.C. 7401 et seq.), the Toxic Substances Control 
    Act (15 U.S.C. 2601 et seq.) and the Comprehensive Environmental 
    Response, Compensation, and Liability Act of 1980 (42 U.S.C. 9601 et 
    seq.). This action does not affect the need for DOE to comply with 
    these and all other applicable environmental laws with respect to the 
    WIPP.
    
    Public Involvement in Today's Rulemaking
    
        The Agency has taken significant steps to involve the public in the 
    rulemaking for today's action. The EPA published an Advanced Notice of 
    Proposed Rulemaking (ANPR) in February, 1993 (58 FR 8029) which 
    solicited public comment on eight issues central to the development of 
    this final rule. The EPA again solicited public comment on a 
    preliminary draft of the proposed rule, in January, 1994. The Agency 
    published a notice of proposed rule on January 30, 1995, which 
    announced the start of a public comment period of 90 days (60 FR 5766). 
    The Agency convened a technical workshop in February, 1995, for the 
    express purpose of soliciting the views of both scientific experts and 
    the public on issues germane to the rulemaking. In March, 1995, the 
    Agency held public hearings in three cities in New Mexico to solicit 
    public input on the notice of proposed rule. On August 1, 1995, the 
    Agency re-opened the comment period on the notice of proposed rule for 
    an additional 45 days (60 FR 39131). During the entire comment period 
    on the proposed rule, the Agency received over 100 written public 
    comments. The Agency has responded to significant comments received on 
    the notice of proposed rule from both written submissions and from 
    testimony at the public hearings, including late written comments 
    received soon after the close of the second part of the comment period, 
    in a document published concurrently with today's action. In September, 
    1995, EPA conducted a public meeting of the WIPP Review Committee of 
    the National Advisory Council for Environmental Policy and Technology 
    (NACEPT) on three issues relevant to today's action. During this 
    meeting, members of the public provided formal presentations and oral 
    comments to the committee. See 60 FR 43470-43471 (Aug. 21, 1995).
    
    Summary of the Final Rule
    
        The supporting rationale for today's action, found in the following 
    summary and discussion of principal changes, is further explained in 
    the Background Information Document and the Response to Comments which 
    accompany today's action, copies of which may be obtained as described 
    in the start of this notice. Those sections of the final rule which 
    have remained unchanged since the rule's proposal are also further 
    explained in the notice of proposed rule (60 FR 5766-5791).
    
    Subpart A: General Provisions
    
        Subpart A of the final rule establishes provisions related to the 
    structure of the final rule itself, including: Purpose, scope and 
    applicability; definitions; substitution of alternative provisions for 
    those promulgated in today's final rule; and procedures which shall be 
    followed in communications and written reports submitted by the 
    Secretary of Energy to the Administrator. Further provisions are set 
    forth which incorporate by reference several publications. Publications 
    so incorporated shall have the same legal force and effect as the other 
    requirements of the final rule.
        Section 194.4 of subpart A permits the Agency to specify conditions 
    on the issuance of a certification and to issue a modification, 
    suspension or revocation of a certification. The Agency would, for 
    example, specify conditions in the event that the necessary confidence 
    in the WIPP's compliance could be achieved by the implementation of 
    additional measures, or if EPA determines that the WIPP will comply 
    with the disposal regulations if certain terms of the application were 
    to be changed.
        The Agency would consider issuing a modification, suspension or 
    revocation whenever the disposal activities or disposal system change 
    such that significant information contained in the most recent 
    compliance application were no longer to remain true. Such a situation 
    may occur if (1) DOE plans to make a significant change to the disposal 
    system or disposal activities, or (2) DOE discovers that a significant 
    change has occurred in the disposal system or disposal activities; in 
    either case DOE must inform the Administrator in writing. If DOE finds 
    the latter condition to be true, then DOE must determine if a release 
    of waste from the disposal system has occurred or is expected to occur 
    that would cause the numerical requirements of the disposal regulations 
    to be exceeded. Releases which might occur during management 
    operations, covered under subpart A of 40 CFR part 191, which do not 
    relate to compliance with the disposal regulations would not 
    necessitate this investigation. However, if DOE conducts this 
    investigation and determines that such a release has occurred or is 
    likely to occur, then DOE shall notify the Administrator of this fact 
    and immediately cease emplacing waste in the WIPP. In such situations, 
    the Administrator will determine which of three actions--modification, 
    suspension or revocation--will be appropriate. Any modifications and 
    revocations issued by EPA would affect the certification issued 
    pursuant to section 8(d)(1) of the WIPP Land Withdrawal Act and must be 
    conducted by rulemaking under section 553 of the Administrative 
    Procedure Act. See 5 U.S.C. 553. A suspension may be issued at any time 
    at the Administrator's discretion so as to promptly address any 
    potential threat to public health. A suspension shall remain in place 
    until such time as DOE shall have effected remediations as necessary to 
    re-establish the WIPP's compliance with the disposal regulations or 
    until EPA will 
    
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    have modified or revoked the certification. DOE shall not restart 
    emplacing waste in the WIPP until the Administrator notifies DOE in 
    writing that the suspension has been lifted.
    
    Subpart B: Compliance Certification and Re-certification Applications
    
        Subpart B of the final rule sets forth requirements for the format 
    and content of compliance applications. Section 194.11 of the final 
    rule stipulates that DOE must submit a complete compliance application 
    before the one-year, statutory review period shall commence. See Pub. 
    L. 102-579, section 8(d)(1). Should DOE's initial submission be 
    incomplete, the Administrator will explain the nature of the deficiency 
    and will request DOE to submit further information until the 
    Administrator has notified the Secretary that all materials necessary 
    for a complete application have been received. This process will ensure 
    that the Agency's one-year period will be devoted exclusively to a 
    substantive, meaningful review. This provision applies as well to the 
    compliance applications periodically submitted by DOE for re-
    certification of compliance. Once the Administrator has notified the 
    Secretary of Energy that a complete compliance application for re-
    certification has been received, the Agency will commence the six month 
    review period as provided for in section 8(f) of the WIPP Land 
    Withdrawal Act. Section 194.12 requires that 30 copies of the 
    compliance applications and any accompanying materials shall be 
    submitted to the Administrator. Section 194.13 requires that compliance 
    applications be accompanied by any referenced materials, unless such 
    materials are generally available.
        Section 194.14 of the final rule lists those elements which the 
    Agency requires to be in a complete compliance application. In general, 
    compliance applications must include information relevant to 
    demonstrating compliance with each of the individual sections of the 
    final rule. The Agency intends to publish the final version of the 
    Compliance Application Guidance (CAG) at a later date to provide 
    detailed guidance on the submission of a complete compliance 
    application.
        Section 194.15 of the final rule specifies that DOE must submit any 
    additional information that will have been gathered during the elapsed 
    five-year period and that is relevant to compliance with the disposal 
    regulations. To facilitate the Agency's review of compliance 
    applications for re-certification, today's final rule stipulates that 
    DOE will not have to re-submit information that will have been included 
    in previous compliance applications, provided that the information will 
    have remained true and accurate. The current compliance application 
    should clearly reference such information so that the Agency's review 
    of the section in question can be accomplished expeditiously.
    
    Subpart C: Compliance Certification and Re-certification
    
        Subpart C establishes the requirements that apply to the 
    performance assessments and compliance assessments that will be used to 
    demonstrate compliance with the numerical requirements of the disposal 
    regulations. In addition, subpart C implements the six assurance 
    requirements of the disposal regulations and also establishes seven 
    general requirements in Secs. 194.21 through 194.27 which must be met 
    by all portions of and all activities associated with compliance 
    applications.
        Section 194.21, inspections, provides EPA with right of inspection 
    of all activities at the WIPP and all activities located off-site which 
    provide information included in compliance applications. The Agency 
    will conduct periodic inspections, both announced and unannounced, to 
    verify the adequacy of information included in the compliance 
    applications. The Agency may conduct its own laboratory tests, in 
    parallel with those conducted by DOE, so as to confirm the adequacy of 
    the techniques employed at those facilities. The Agency may also 
    inspect any relevant records kept by DOE, including those records 
    required to be generated pursuant to today's action.
        Section 194.22, quality assurance (QA), sets requirements that 
    apply to data and information collected as part of the WIPP program. 
    The Agency requires quality assurance programs to be implemented, as 
    soon as practicable after April 9, 1996, that meet the requirements of 
    the American Society of Mechanical Engineers (ASME) ``Quality Assurance 
    Program Requirements for Nuclear Facilities'' (NQA-1-1989), ASME's 
    ``Quality Assurance Requirements of Computer Software for Nuclear 
    Facility Applications'' (part 2.7 of NQA-2a-1990 addendum to ASME NQA-
    2-1989), and ASME's ``Quality Assurance Requirements for the Collection 
    of Scientific and Technical Information on Site Characterization of 
    High-Level Nuclear Waste Repositories,'' (NQA-3-1989 edition), 
    excluding sections 2.1(b), 2.1(c) and 17.1. Section 194.5 of the final 
    rule incorporates these three publications by reference. The Agency 
    believes that ASME's standards offer the most comprehensive and 
    specific set of requirements for nuclear facilities and has therefore 
    used these standards in place of establishing new requirements. 
    Paragraph (a)(2) of Sec. 194.22 requires that DOE must implement a 
    quality assurance program that meets the above three sets of ASME's 
    requirements for seven specific program elements of the WIPP and for 
    any other system, structure, component, or activity important to the 
    containment of waste in the disposal system.
        Data that were collected prior to the implementation of the above 
    programs must also satisfy quality assurance requirements. Any 
    compliance application must demonstrate, subject to the approval of the 
    Administrator or the Administrator's authorized representative, that 
    such data were qualified using one or more of the following four 
    methodologies: (1) Use of a methodology that is substantially 
    equivalent in effect to the three sets of ASME's requirements; (2) peer 
    review that is compatible with NUREG-1297; (3) corroborating data; or 
    (4) confirmatory testing. The Agency believes that each of these latter 
    three methods provides a means of inferring the quality of the existing 
    data by subjecting some aspect of that data to additional scrutiny. 
    Peer review involves a critical evaluation by an independent review 
    group of the adequacy with which the experiments used to acquire this 
    data were planned and conducted. The use of corroborating data 
    evaluates the degree to which the existing data agree with data 
    generated from similar work that has already been published in 
    scientific journals, along with an appraisal of the latter's quality. 
    Confirmatory testing involves repeating a small portion of the 
    experiments, using quality assurance methods that meet the requirements 
    of ASME's standards, and comparing the resulting data to the data in 
    question. In the last two alternate methodologies, the level of 
    agreement between the existing data and the corroborating or 
    confirmatory data provides an objective measure to assess the quality 
    of the existing data, if only in part. All quality assurance programs, 
    both for existing data and data that has yet to be collected, must 
    assess the accuracy, precision, representativeness, completeness and 
    comparability of data. To verify that the quality assurance programs 
    satisfy the requirements of this section, the Administrator will 
    conduct inspections which may include surveillance, audits and 
    management systems reviews.
        Section 194.23, models and computer codes, sets requirements for 
    the models and computer codes used in 
    
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    performance assessments and compliance assessments. Compliance 
    applications must demonstrate that performance assessments and 
    compliance assessments make a logical progression from conceptual 
    models to mathematical models to numerical models and finally to 
    computer models and codes. Compliance applications must provide 
    information on and descriptions of models and computer codes which will 
    permit the Agency to conduct a review of the modeling approach, 
    theoretical bases, and the methodology employed in developing the list 
    of processes and events used to support the compliance application. 
    Compliance applications must include evidence that all computer codes 
    comply with the requirements of part 2.7 of ASME's NQA-2a-1990 
    addendum.
        The Agency intends to conduct detailed reviews of the computer 
    codes used in performance and compliance assessments, since it is the 
    results of computer codes themselves that will be compared to the 
    numerical requirements found at section 13 of 40 CFR part 191. 
    Compliance applications must provide: Descriptions of the theoretical 
    backgrounds for each model and the method of analysis or assessment; a 
    line-by-line listing of codes, which may be submitted in electronic 
    format; a discussion of the treatment of correlation between 
    parameters; and other information necessary to permit the Agency to 
    conduct its review. Upon request, DOE must provide the Agency with the 
    means to conduct its own simulations. The final rule requires that any 
    computer files and hardware that will be necessary for performing 
    simulations shall be made available within 30 days of a request from 
    the Administrator or the Administrator's authorized representative.
        Section 194.24, waste characterization, has been revised in the 
    final rule. A discussion of the rationale for the changes is contained 
    below in the section of the supplementary information, ``Principal 
    changes in the final rule.'' The final rule requires DOE to identify 
    and describe quantitative information on those physical, chemical and 
    radiologic characteristics of the waste that can influence disposal 
    system performance. The Agency does not expect or require that every 
    drum of transuranic waste be opened in an effort to provide an 
    exhaustive characterization of the contents. Rather, the Agency expects 
    that DOE will sample drums of waste to the extent necessary and will 
    combine the results with other information such as process knowledge to 
    determine the waste characteristics. The level of accuracy needed in 
    waste characterization is determined by the degree of accuracy assumed 
    in the compliance application. A waste characteristic, as defined in 
    the final rule, is a physical or chemical parameter that serves as a 
    quantitative input to performance assessments or compliance 
    assessments, examples of which are solubility and compactibility. DOE 
    must conduct an analysis to identify and assess the impact on long-term 
    performance of those waste characteristics which influence the 
    containment of waste in the disposal system. This section of the final 
    rule lists specific characteristics which must, at a minimum, be 
    included in the analysis.
        The final rule requires DOE to establish limits on the quantities 
    of different ``waste components,'' such as cellulosics, metals or 
    activity in curies, that may be proposed for disposal and emplaced in 
    the WIPP. A waste component is distinguished from a waste 
    characteristic in that the former is an amount of a type of waste 
    present in the total inventory-- expressed as a volume, mass or weight 
    (or curies, in the case of activity)--whereas the latter is any 
    parameter that describes the physical, chemical or radiologic 
    properties and behavior of some or all of the containers of waste. For 
    example, a container of waste might contain a given quantity of 
    chelating agents, which are a waste component. An example of a 
    corresponding waste characteristic is the solubility in brine of the 
    radionuclides in a container. The final rule requires that DOE 
    establish upper or lower limits, as appropriate, on the total amount of 
    each waste component that may be emplaced for disposal in the WIPP. A 
    lower limit might be specified for gas-gettering waste components, and 
    an upper limit might be specified for cellulosics. The final rule 
    requires that these upper and lower limits be established based on the 
    total inventory proposed for disposal such that the results of a 
    performance assessment will comply with the containment requirements of 
    40 CFR 191.13 when these values are used.
        Performance assessments and compliance assessments must use the 
    values for each waste characteristic as each would exist in the 
    disposal system assuming that an amount of each waste component, equal 
    to that component's upper or lower limit, as appropriate, were emplaced 
    in the WIPP. As waste is emplaced in the WIPP, a running total must be 
    kept of each waste component. The final rule requires that the quantity 
    of each waste component that has been emplaced in the repository shall 
    not cause the upper limits to be exceeded or, as appropriate, shall not 
    preclude the total emplaced quantity of any waste component from 
    eventually reaching its lower limit. Compliance with the lower limits 
    shall be demonstrated by DOE using information on the waste loading 
    scheme, the total amount of that waste component that has been emplaced 
    in the disposal system to date, the total amount of that waste 
    component listed in the total waste inventory described in the current 
    compliance application, and the amount of that waste component that 
    still has yet to be generated. DOE must establish a system of controls 
    to verify that this requirement will be met and shall submit 
    documentation demonstrating this with any compliance application.
        Section 194.24 also requires that performance assessments and 
    compliance assessments shall be conducted in accordance with the waste 
    loading procedures and schemes that will be employed. If a waste 
    loading scheme is not included in the compliance application, the 
    performance assessments and compliance assessments must assume that the 
    containers of waste are randomly emplaced in the WIPP. Thus, for 
    example, DOE shall not assume that the waste components and 
    characteristics are evenly distributed throughout the repository unless 
    a proposed loading scheme that would cause this to occur has been 
    included in the current compliance application.
        The final rule extends the requirements of Sec. 194.22, on quality 
    assurance, to process knowledge acquired and used during waste 
    characterization activities. The final rule specifies that the total 
    inventory of waste proposed for disposal in the WIPP must comply with 
    the limitations on transuranic waste found in the WIPP Land Withdrawal 
    Act. The final rule enables the Administrator to use audits and 
    inspections to verify compliance with the waste characterization 
    section.
        Section 194.25 of the final rule specifies requirements on future 
    state assumptions. The Agency recognizes the inherently conjectural 
    nature of specifications on future states and wishes to minimize such 
    speculation in compliance applications. The Agency has found no 
    acceptable methodology that could make reliable predictions of the 
    future state of society, science, languages or other characteristics of 
    future mankind. The Agency does believe that established scientific 
    methods could make plausible predictions regarding the future state of 
    three classes of natural processes, 
    
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    namely geologic, hydrogeologic and climatic conditions. Hence, the 
    final rule requires that performance assessments and compliance 
    assessments shall include dynamic analyses of geologic, hydrogeologic 
    and climatic processes and events that will evolve over the 10,000-year 
    regulatory time frame. DOE shall assume that all other present day 
    conditions will exist in their present state for the entire 10,000-year 
    regulatory time frame.
        Section 194.26 sets requirements that apply to expert judgment. 
    Typically, expert judgment is used to elicit two types of information: 
    (1) Numerical values for parameters (variables) which are measurable 
    only by experiments that cannot be conducted due to limitations of 
    time, money and physical situation; and (2) essentially unknowable 
    information, such as which features should be incorporated into passive 
    institutional controls that will deter human intrusion into the 
    repository. Quality assurance must be applied to expert judgment to 
    verify that the procedures for conducting and documenting the expert 
    elicitation have been followed. The final rule prohibits expert 
    judgment from being used in place of experimental data unless DOE can 
    provide a justification explaining why the necessary experiments could 
    not be conducted. Expert judgment may substitute for experimental data 
    in those instances where limitations of time, resources or physical 
    setting would have precluded the successful and timely collection of 
    data.
        The compliance application must provide documentation which 
    demonstrates that the experts have the necessary qualifications for 
    addressing the questions and issues put before them. Compliance 
    applications must explain the connection between the question posed to 
    the expert panel and the manner in which the final report of the panel 
    is used in the compliance application. These requirements have been 
    included to prevent any misuse of expert judgment as might result from 
    the use of the results of one elicitation process in answer to a new 
    and separate question that was not posed to the experts and for which, 
    if asked, the experts might have provided a different answer.
        The final rule places requirements on the composition of the expert 
    panel, including the fraction of panel members who are not employed by 
    DOE. At least two-thirds of the experts sitting on an expert panel 
    shall not be employed directly by DOE or its contractors. University 
    professors with grants from DOE for research not related to the WIPP 
    will not be considered employees or contractors of DOE, nor will the 
    New Mexico Environmental Evaluation Group and the National Academy of 
    Sciences' Board on Radioactive Waste Management and WIPP Panel. In 
    exceptional instances, DOE may use as few as one-third non-DOE 
    employees if a sufficient number of non-DOE employees cannot be found. 
    DOE must submit documentation which demonstrates that a sufficient 
    number of non-DOE experts were not available. In the proposed rule, the 
    Agency had set this minimum at one-half of the expert panel's 
    membership. However, because of the pervasive effort of DOE in the 
    fields of highly radioactive waste disposal and actinide chemistry, the 
    Agency has lessened this requirement in the final rule in striving to 
    balance the importance of technical expertise with the need for the 
    advice to be impartial.
        The section on expert judgment requires that the public be given 
    the opportunity to present information to the expert panel to allow the 
    public's views to be incorporated in the expert judgment process. This 
    requirement will help prevent an inappropriately narrow spectrum of 
    background information from being presented to the experts which might 
    have slanted the outcome of the elicitation process. This section also 
    requires that the elicitation process be well documented so as to 
    demonstrate a logical progression from the first statement of the issue 
    given to the panel members to the combination and presentation in the 
    final report of the elicited results.
        Section 194.27, peer review, has been revised in the final rule. 
    The rationale for these changes is discussed in the section of the 
    supplementary information, ``Principal changes in the final rule.'' 
    Given that decisions in the field of highly radioactive waste disposal 
    are inherently first-of-a-kind, the Agency is requiring peer review so 
    that others working in the field can confirm the adequacy of these 
    decisions and interpretations. The final rule requires DOE to conduct 
    peer review of three specific elements of the WIPP program. In 
    specific, the Agency has required peer review of the conceptual models 
    that DOE selects and develops, waste characterization assessments and 
    the study of engineered barriers. The requirement for peer review of 
    conceptual models will enrich DOE's process of selecting and developing 
    conceptual models with a broad spectrum of scientific viewpoints. Waste 
    characterization is a field in which many new and precedent-setting 
    techniques will be employed in areas in which no standardized practice 
    exists. Peer review of waste characterization is indicated due to the 
    importance of a knowledge of the physical, chemical and radiological 
    state of the waste in predictions of the long term performance of the 
    disposal system. This section, Sec. 194.27, requires peer review to be 
    conducted of the study of engineered barriers so as to ensure that the 
    best possible information is provided to DOE on the selection of 
    engineered barriers. Additionally, this section requires compliance 
    applications to include documentation of any peer review activities 
    that DOE may have conducted apart from those required by this rule, 
    including those activities which are similar to peer review, such as 
    the reviews conducted by the WIPP Panel of the National Academy of 
    Sciences.
        The Agency is requiring that peer review which occurs subsequent to 
    the promulgation of today's action must be conducted according to the 
    guidelines of NUREG-1297. The final rule incorporates this publication 
    by reference, as specified in Sec. 194.5. The specific requirements in 
    NUREG-1297 that discuss for which activities peer review should be 
    conducted do not apply, nor do they supersede the requirements of the 
    final rule. Peer review which has been conducted prior to today's 
    action must be documented in compliance applications. Such past peer 
    review activities must conform to either NUREG-1297 or to an alternate 
    set of criterion which are substantially equivalent in effect to NUREG-
    1297 and which have been approved by the Administrator.
        Sections 194.31 through 194.34 of the final rule implement the 
    numerical containment requirements of 40 CFR 191.13. Section 194.31, 
    which provides instructions for setting the release limits of appendix 
    A of 40 CFR part 191, has been revised from the proposed rule. The 
    rationale for this change is explained in the section, ``Principal 
    changes in the final rule.'' Section 194.31 now specifies that the 
    release limits are to be determined based on the total activity, in 
    curies, of transuranic waste present at the time of disposal (as 
    defined in 40 CFR 191.2). If the activity of a waste container is 
    assayed prior to this time, then the known rates of decay for the 
    radionuclides in the container should be used to calculate the activity 
    of the waste as it will exist at the anticipated time of disposal.
        Section 194.32 stipulates that performance assessments shall 
    include both natural and man-made processes and events which can have 
    an effect on the disposal system. Performance assessments need not 
    include those processes and events which have a 
    
    [[Page 5229]]
    probability of less than 1 in 10,000 of occurring during the 10,000-
    year regulatory time frame. For the purposes of this screening 
    requirement, processes and events must be analyzed in the most general 
    formulation possible; for example, the probability of dissolution must 
    be set equal to the probability of all types of dissolution occurring 
    anywhere in the Delaware Basin during the regulatory time frame. 
    Performance assessments should, however, conduct separate analyses of 
    the different dissolution fronts which occur in the Delaware Basin so 
    as to account for the different hydrogeologic characteristics of each.
        With respect to man-made processes and events, performance 
    assessments must include the effects of drilling events and excavation 
    mining. Some natural resources in the vicinity of the WIPP can be 
    extracted by mining. These natural resources lie within the geologic 
    formations found at shallower depths than the tunnels and shafts of the 
    repository and do not lie vertically above the repository. Were mining 
    of these resources to occur, this could alter the hydrologic properties 
    of overlying formations--including the most transmissive layer in the 
    disposal system, the Culebra dolomite--so as to either increase or 
    decrease ground-water travel times to the accessible environment. For 
    the purposes of modeling these hydrologic properties, this change can 
    be well represented by making corresponding changes in the values for 
    the hydraulic conductivity. The Agency has conducted a review of the 
    data and scientific literature discussing the effects mining can induce 
    in the hydrologic properties of a formation. Based on its review of 
    available information, the Agency expects that mining can, in some 
    instances, increase the hydraulic conductivity of overlying formations 
    by as much as a factor of 1,000, although smaller or even negligible 
    changes can also be expected to occur. Thus, the final rule requires 
    DOE to consider the effects of mining in performance assessments. In 
    order to consider the effects of mining in performance assessments, DOE 
    may use the location-specific values of hydraulic conductivity, 
    established for the different spatial locations within the Culebra 
    dolomite, and treat them as sampled parameters with each having a range 
    of values varying between unchanged and increased 1,000-fold relative 
    to the value that would exist in the absence of mining.
        The Agency recognizes that other numerical changes to the hydraulic 
    conductivity values may be more appropriate for use in representing the 
    effects of mining. Compliance applications must include a discussion of 
    the rationale and experimental data which support the hydraulic 
    conductivity values chosen and the effects of mining on the range of 
    these values. The Agency further recognizes that some parameter other 
    than hydraulic conductivity might be demonstrated to incorporate, 
    equally or perhaps better, the potential effects of mining in 
    performance assessments. DOE may elect to use another parameter, 
    provided that DOE can demonstrate that the use of this other parameter 
    is equally or more appropriate than hydraulic conductivity in 
    reflecting the potential effects of mining on the disposal system. 
    Pursuant to Sec. 194.34 of the final rule, performance assessments must 
    randomly sample across the full range of values that have been 
    established for all uncertain variables, including the hydraulic 
    conductivity of the Culebra dolomite established as discussed above.
        The final rule specifies those assumptions and methods that shall 
    be used in performance assessments to account for the effects of 
    mining. As with drilling, the historical record of the past 100 years' 
    mining activity in the Delaware Basin provides a reasonable basis for 
    predicting the nature of future mining activity. Accordingly, the 
    Agency examined the records of past mining of mineral resources in the 
    Delaware Basin, using data supplied by the U.S. Bureau of Land 
    Management. The Agency found that the areal extent of mining in the 
    immediate vicinity of WIPP over the past 100 years covered roughly one 
    percent of the land area of the entire Delaware Basin and used this 
    information to predict the likelihood that a mining event would occur 
    in succeeding centuries. Accordingly, the final rule requires 
    performance assessments to assume that, in each century after closure 
    of the repository, there will be a 1 in 100 chance that a single mining 
    event will occur within the controlled area. As explained later in this 
    section, the assumed mining event would remove all of the existing 
    mineral deposits lying within the controlled area that are of similar 
    quality and type to those minerals currently extracted in the Delaware 
    Basin. For each century during the regulatory time frame, performance 
    assessments should determine whether this mining event will occur, 
    based on the 1 in 100 probability, proceeding one century at a time 
    from the start of the 10,000-year period. If a positive determination 
    is made, then performance assessments must assume that the single 
    mining event occurs at the start of that century and further assume 
    that no mining will occur thereafter. The Department may elect to use 
    an alternate method for calculating the point in time at which mining 
    will occur, provided that such method would not, on average, predict 
    that mining will occur at times later than those calculated using the 
    method in the final rule.
        The final rule specifies that mining should be assumed to occur 
    within the controlled area, with the size and shape of the mine 
    conforming to existing mineral deposits that are similar in type and 
    quality to those extracted in the Delaware Basin. The Agency based this 
    requirement on a consideration of the physical nature of mining 
    activities. First, the Agency assumed that the size and shape of a mine 
    will be dictated by the size and shape of the mineral deposits that are 
    to be extracted with no two mines being alike. The mineral deposits 
    that will be mined in the future may consist of minerals of current 
    economic interest, or of materials not useful or valuable in present-
    day terms. Without knowledge of what these future resources might be, 
    any attempt to predict the size and shape of the associated mineral 
    deposits would be speculative, as would any attempt to determine the 
    size and shape of the mines used to extract them. The Agency further 
    recognized that individual mines are of highly irregular shape and 
    there is every reason to believe that deposits of minerals that are 
    mined in the future will also vary in size and be highly irregular in 
    shape. The Agency believes that no logical mathematical scheme exists 
    that could be used to predict the potentially wide variety of sizes and 
    highly irregular shapes. In light of the speculativeness and 
    mathematical difficulty, the Agency has chosen to use existing mineral 
    deposits as ``stand-ins'' to be used to determine the size and shape of 
    the unknown mineral deposits that might be mined in the future. Thus, 
    the final rule requires performance assessments to assume that all the 
    presently known mineral resources lying within the controlled area will 
    be extracted at the single point in time determined by the method in 
    the final rule, discussed above. No further mining will be assumed to 
    occur, since the available mineral deposits will have been depleted. 
    The type of minerals that shall be assumed to be extracted are those 
    mineral deposits that are similar in quality and type to those that are 
    currently extracted in the Delaware Basin.
    
    [[Page 5230]]
    
        Performance assessments may assume that the likelihood of mining 
    may be decreased by PICs and active institutional controls, to the 
    extent that can be justified in the compliance application and to a 
    degree identical to that assumed for drilling. The requirements of 
    sections 41 and 43 of the final rule therefore will apply to the 
    consideration of mining in performance assessments.
        Section 194.33, consideration of drilling events, has been revised 
    since the proposed rule. The rationale for the new provisions is 
    explained in the section below, entitled ``Principle changes in the 
    final rule.'' Section 194.2 includes two definitions relevant to the 
    consideration of drilling events. ``Deep drilling'' denotes those 
    drilling events that reach or exceed a depth 2150 feet below the 
    surface where such drilling occurred. ``Shallow drilling'' denotes 
    those drilling events that do not reach to a depth 2150 feet below the 
    surface where such drilling occurred. Sections 194.32 and 194.33 of the 
    final rule require that performance assessments include the effects of 
    both deep drilling and shallow drilling, whether such drilling has 
    occurred prior to the time at which the compliance application is 
    prepared, can be reasonably expected to occur in the near future based 
    on existing leases, or can be expected to occur in the future during 
    the 10,000-year regulatory time frame.
        The future rates of both deep drilling and shallow drilling shall 
    each be set equal to the rate at which deep drilling and shallow 
    drilling, respectively, have occurred in the Delaware Basin during the 
    100-year period immediately prior to the time the current compliance 
    application is prepared. The Delaware Basin is defined, in Sec. 194.2, 
    to be the surface and subsurface features which lie inside the 
    innermost edge of the Capitan Reef and, where the Capitan Reef is 
    absent to the south, the features which lie to the north of a straight 
    line connecting the southeastern point of the Davis Mountains and the 
    southwestern point of the Glass Mountains.
        Performance assessments must add together all releases of 
    radionuclides which are predicted to occur during the 10,000-year 
    regulatory time frame to arrive at the cumulative releases from the 
    disposal systems; the containment requirements of 40 CFR 191.13 apply 
    to cumulative releases of waste and not the individual events which 
    cause the releases. Further, boreholes drilled after closure of the 
    repository shall be assumed to affect the properties of the disposal 
    system for the remainder of the 10,000-year regulatory time frame. When 
    analyzing the effects of all later boreholes, performance assessments 
    must account for the effect that these existing boreholes will have had 
    on the hydrogeologic properties of the disposal system and on the 
    creation of new pathways for releases. In today's final rule, the 
    Agency requires that performance assessments and compliance assessments 
    must include--among other processes and events--the effects on the 
    disposal system of drilling and all types of resource extraction 
    activities, including inter alia solution mining and fluid injection, 
    that will have occurred prior to the time at which the compliance 
    application is prepared or that may be expected to occur soon afterward 
    based on existing plans and leases for drilling.
        In the case of shallow drilling only, DOE may, if justified, derive 
    the drilling rate from the historical rates of shallow drilling for 
    only those resources in the Delaware Basin which are of similar quality 
    and type to those found in the controlled area. For example, if only 
    non-potable water can be found within the controlled area, then the 
    rate of drilling for water may be set equal to the historical rate of 
    drilling for non-potable water in the Delaware Basin over the past 100 
    years.
        Section 194.33 requires performance assessments to make several 
    specific assumptions about future deep drilling and shallow drilling. 
    These assumptions include that drilling will occur randomly in space 
    and time and may occur at different rates for each resource, and that 
    drilling practices will remain as those of today and may vary depending 
    on the resource. Performance assessments should assume that the 
    permeability of sealed boreholes will be affected by natural processes, 
    and should assume that the fraction of boreholes that will be sealed by 
    man equals the fraction of boreholes which are currently sealed in the 
    Delaware Basin.
        The Agency recognizes that drill operators currently employ 
    different techniques in the exploration and development of each 
    resource. Hence, performance assessments shall conduct a separate 
    analysis of the effects that future drilling for each different 
    resource--the act creating a borehole--will have on the disposal 
    system. Each separate analysis should set the future rate of drilling 
    for the particular resource equal to the historical rate at which that 
    resource has been drilled for in the Delaware Basin during the past 100 
    years. The analyses of the consequences of each type of drilling might 
    remain conceptually similar, but vary with regard to assumptions made 
    on size and depth of boreholes, quantity of drilling fluid used, or any 
    other characteristic specific to that type of resource. Analyses of the 
    consequences of future drilling events may be confined only to the 
    drilling activity and the subsequent effect of the borehole's presence 
    and need not include an analysis of extraction and recovery activities 
    which would occur subsequently.
        In determining the drilling rate or the amount of waste released 
    from such drilling, performance assessments should not assume that 
    drill operators would detect the waste and then cease the current 
    drilling operations or otherwise mitigate the consequences of their 
    actions. Similarly, drill operators should not be assumed to cease 
    further exploration and development of resources as a result of the 
    driller's detecting the waste.
        Section 194.34 requires that the results of performance assessments 
    be expressed as complementary, cumulative distributions functions 
    (CCDFs). The CCDFs shall be generated using random sampling techniques 
    which draw upon the full range of values established for each uncertain 
    parameter, which may include physical and chemical waste 
    characteristics. Parameters of lesser sensitivity in performance 
    assessments may be held constant, provided that such constant values 
    can be justified as sufficiently conservative. The quantitative 
    requirements of this section state that there must be a 0.95 
    probability that, at values of cumulative release of 1 and 10, the 
    maximum CCDF generated exceeds the 99th percentile of the population of 
    CCDFs. The values of cumulative release are calculated according to 
    Note 6 of Table 1, Appendix A of 40 CFR part 191. Additionally, the 
    mean of the population of CCDFs must meet the requirements of section 
    13 of 40 CFR part 191 with at least a 95 percent level of statistical 
    confidence. In demonstrating compliance with these standards, the 
    infinite number of CCDFs denoted by the term, population of CCDFs, need 
    not be generated. By generating only a finite number of CCDFs and 
    applying statistical theory, the relationships between the finite group 
    of computer-generated CCDFs, the population of CCDFs and the numerical 
    requirements of this section can be established.
        Subpart C of today's action also implements the six assurance 
    requirements of section 14 of 40 CFR part 191. The assurance 
    requirements were included in the disposal regulations to provide the 
    confidence needed for long-term compliance with 
    
    [[Page 5231]]
    the containment requirements of section 13 of 40 CFR part 191.
        Section 194.41 of today's final rule requires a description of the 
    active institutional controls that will be implemented at the WIPP. 
    This description shall be sufficient to support any assumptions made on 
    their effectiveness in performance assessments and compliance 
    assessments. However, in no case shall active institutional controls be 
    assumed to be in effect for more than 100 years after the time of 
    disposal.
        Section 194.42 of the final rule, monitoring, has been revised from 
    the proposed rule. The rationale for these changes is provided below, 
    in ``Principal changes in the final rule.'' Any unpredicted detection 
    of movement of radionuclides toward the accessible environment would be 
    cause for concern that a release of waste in excess of what is 
    permitted under the disposal regulations is likely to occur. This 
    section specifies requirements for monitoring in both the pre-closure 
    and post-closure periods, as necessary to verify that the WIPP complies 
    with the disposal regulations. In the event that an initial 
    certification has been granted, the results of monitoring during the 
    pre-closure period will be used by the Agency to verify that the 
    information contained in the initial compliance application has 
    remained true and accurate; this information would be used by the 
    Agency during both the initial five-year period after the start of 
    emplacement of waste and during the reviews made for the periodic re-
    certifications of compliance. The final rule has included a provision 
    which requires DOE to conduct an analysis of parameters that will be 
    used in the development of pre-closure and post-closure monitoring 
    plans. The analysis should consider the importance of the parameter 
    with respect to both the containment of waste in the disposal system 
    and the practicability of performing such monitoring, including its 
    technical feasibility and the cost.
        Section 194.43 implements the assurance requirements on passive 
    institutional controls (PICs). The final rule specifies that DOE must 
    include a detailed description of the PICs that will be employed and 
    lists the information that the PICs are required, at a minimum, to 
    convey. Additionally, the final rule allows the Department to reduce 
    the likelihood of future human intrusion that is used in performance 
    assessments by a proposed amount corresponding to the predicted effect 
    of PICs. See generally 47 FR 58196, 58201 (Dec. 29, 1982); 50 FR 38066, 
    38080 (Sept. 19, 1985). Thus, DOE may propose in its compliance 
    application to reduce the rate of human intrusion by a fractional 
    amount, extending over a technically supportable period of time, and 
    must justify this using the plans for the implementation for PICs and 
    associated evidence of their effectiveness. This credit may take the 
    form of a constant reduction in the rate of human intrusion lasting 
    several hundred years or may be a reduction in the rate which tapers 
    off in size over several hundred years. Such credit cannot be assumed 
    to eliminate completely the possibility of human intrusion, even for a 
    short period of time after the active institutional controls at the 
    WIPP are assumed to be ineffective. During the rulemaking on 
    certification, the Agency could determine that the description of the 
    PICs does not adequately justify the degree of proposed credit assumed 
    by DOE and therefore disallow some or all of the credit proposed by DOE 
    in the compliance application.
        Having considered the public comments regarding PICs, the Agency 
    believes that such credit could be no more than approximately 700 years 
    past the time of disposal. Thus, the final rule limits to several 
    hundred years the amount of credit that EPA may grant for PICs. Any 
    determination that a specific numerical credit would be appropriate for 
    a much longer period of time would be unduly speculative and therefore 
    inappropriate.
        Today's action should not be construed to approve or award any 
    amount of credit for PICs, as such a determination cannot be made in 
    advance of the rulemaking on certification of compliance. The Agency is 
    deferring any decisions on credit for PICs planned for the WIPP until 
    such time as the compliance application has been received and a 
    rulemaking for certification has been completed. This restates the 
    Agency's prior assertion, made in the promulgation of the final 
    disposal regulations in 1985:
    
        Specific judgments about the chances and consequences of 
    intrusion should be made by the implementing agencies (EPA for the 
    WIPP) when more information about particular disposal sites and 
    passive control systems is available. See 50 FR 38080.
        In developing this section of the final rule, 40 CFR 194.43, the 
    Agency considered the treatment of PICs in the disposal regulations, 
    the input received in public forums and the public comments received on 
    the proposed rule. The disposal regulations established the foundation 
    of today's action on the role of passive institutional controls. 
    Section 191.14(c) of the disposal regulations require that disposal 
    sites be designated by the most permanent markers, records, and other 
    passive institutional controls practicable to indicate the dangers of 
    the wastes and their location. In adopting these provisions of the 
    disposal regulations, the Agency expressly assumed that passive 
    institutional controls ``should reduce the chance of inadvertent 
    intrusion compared to the likelihood if no markers and records were in 
    place.'' See 50 FR 38080. With respect to performance assessments, the 
    Agency examined whether PICs should be taken into account to some 
    degree when estimating the likelihood of inadvertent human intrusion 
    and concluded that ``a limited role for passive institutional controls 
    would be appropriate when projecting the long-term performance of mined 
    geologic repositories to judge compliance with (the containment 
    requirements of 40 CFR part 191).'' At the same time, the Agency 
    explicitly determined that PICs should not be assumed to completely 
    prevent the possibility of inadvertent human intrusion. See 50 FR 
    38080.
    
        In the proposed rule, 40 CFR part 194, the Agency specifically 
    requested comment on the requirements on PICs. The Agency conducted a 
    public discussion of PICs in a technical workshop in Washington, DC, in 
    February, 1995. In September, 1995, EPA consulted the WIPP Review 
    Committee of the National Advisory Council for Environmental Policy and 
    Technology (NACEPT) on three issues, including PICs, in a public 
    meeting in New Mexico. See 60 FR 43470-43471 (Aug. 21, 1995). The 
    Committee agreed that PICs would be likely to decrease the likelihood 
    of inadvertent intrusion into the WIPP but expressed concern about the 
    availability of a rigorous method by which to determine the appropriate 
    reduction due to PICs in the future likelihood of inadvertent 
    intrusion. Some members of the Committee stated that, if credit were to 
    be approved, the size of the credit should not reflect that PICs would 
    be effective for more than a small fraction of the 10,000 year 
    regulatory time frame.
        Many public comments received on the proposed rule expressed 
    skepticism about whether PICs would be effective for the entire 10,000 
    year regulatory time frame or for even a fraction thereof. Other 
    comments stated the belief that civilizations living 1,000 to 10,000 
    years from now would, in fact, be capable of understanding the records 
    and markers that were left behind at the WIPP. Still other comments 
    asserted that, in allowing for the possibility of credit, the Agency 
    had revised the intent of the 
    
    [[Page 5232]]
    assurance requirements, one of which being the requirement for the 
    implementation of PICs. Specifically, comments stated that the 
    assurance requirements were not intended to be considered when 
    determining compliance with the numerical containment requirements 
    found at 40 CFR 191.13.
        The provisions of the final rule entertaining possible credit for 
    PICs are within EPA's authority. In adopting the assurance requirements 
    in 40 CFR part 191, EPA expressly limited the credit for active 
    institutional controls. EPA prohibited performance assessments from 
    considering any contributions from active institutional controls for 
    more than 100 years after disposal. See 40 CFR 191.14(a). EPA declined 
    to similarly limit the effect of PICs in reducing the likelihood of 
    human intrusion. 50 FR 38080. By contrast, EPA contemplated that PICs 
    may discourage the likelihood of human intrusion for some period of 
    time longer than active institutional controls. However, EPA indicated 
    that it generally believed it was inappropriate to rely on PICs for 
    extended periods of time. See 50 FR 38080. Based on the public comments 
    and consistent with EPA's general view that it is inappropriate to rely 
    on PICs for very long periods of time, EPA is constraining in the final 
    rule the length of time that EPA could consider granting credit for 
    PICs to several hundred years. EPA's decision about the actual efficacy 
    of PICs proposed for the WIPP will be based on DOE's compliance 
    application but may not exceed this limit.
        Further, the degree to which PICs might reduce the future drilling 
    rate can be reliably determined only through informed judgment. The 
    Agency agrees with the NACEPT Committee that no rigorous and non-
    speculative method is available to determine the appropriate amount of 
    credit for PICs. Thus, DOE's proposed reduction in the likelihood of 
    human intrusion due to PICs would probably be conducted through an 
    expert judgment process that considers the specific PICs to be 
    implemented at the WIPP by DOE. The expert judgment performed 
    specifically to determine the effect of PICs must satisfy the 
    requirements of section 26 of today's action, on expert judgment. For 
    example, this section requires that the range of professions 
    represented on the expert panel must cover the complete spectrum of 
    knowledge that will be necessary to address the question given to the 
    experts. In the case of PICs, the Agency would expect that experts 
    would be selected not only from professions such as archeology, but 
    from professions which are concerned with the exploration and 
    development of natural resources such as oil and natural gas.
        Section 194.44 of the final rule implements the assurance 
    requirement on engineered barriers. This section requires that DOE 
    conduct a study of available options for engineered barriers at the 
    WIPP and submit this study and evidence of its use with the compliance 
    application. Consistent with the requirement, found at 40 CFR 191.13, 
    that DOE analyze the performance of the complete disposal system, any 
    engineered barriers that are ultimately implemented at the WIPP must be 
    considered by the Department and, ultimately, EPA when evaluating 
    compliance with both the containment requirements of 40 CFR 191.13 and 
    the assurance requirement of 40 CFR 191.14(d).
        Section 194.45 implements the assurance requirement that the 
    disposal system be sited such that the benefits of the natural barriers 
    of the disposal system compensate for the increased probability of 
    disruptions of the disposal system resulting from exploration and 
    development of nearby natural resources. This assurance requirement 
    will be met if performance assessments comply with the numerical 
    containment requirements of section 13 of 40 CFR part 191, provided 
    that the potential effects of human intrusion at the WIPP will have 
    been appropriately considered.
        Section 194.46 implements the assurance requirement that the 
    removal of waste remain possible for a reasonable period of time after 
    disposal. The final rule has eliminated the requirement for the 
    development of a plan for the removal of waste which had been contained 
    in the proposed rule. In place of the requirement for a removal plan, 
    EPA is including in the final rule a requirement that DOE perform an 
    evaluation to demonstrate that the removal of waste will remain 
    feasible for a reasonable period of time after disposal.
        Sections 194.51 through 194.55 provide the criteria that must be 
    met in order to demonstrate that the WIPP will comply with the ground-
    water requirements of subpart C of 40 CFR part 191 and the individual 
    protection requirements of section 15 of 40 CFR part 191. Section 
    194.51 and 194.52 specify the assumptions that must be incorporated 
    into compliance assessments in the analyses of annual committed 
    effective dose equivalent received by individuals, used in determining 
    compliance with the individual protection requirements. Compliance 
    assessments should separately analyze the doses received by individuals 
    from each pathway. Compliance assessments should assume that the 
    protected individual resides at the single geographic point where the 
    maximum dose would be received, calculated by the sum of all pathways.
        Section 194.53 lists the assumptions that compliance assessments 
    must include when analyzing the doses received through underground 
    sources of drinking water (USDWs), used in determining compliance with 
    subpart C of 40 CFR part 191. Doses can be received from any USDW 
    outside of the controlled area, provided that a connective pathway 
    could be expected to be established via ground-water travel between the 
    disposal system and that USDW. The Agency expects that USDWs which lie 
    closer to the disposal system will have a greater chance of being 
    affected by releases of waste. The Agency therefore does not intend for 
    DOE to expend resources analyzing doses received from USDWs located 
    large distances from the disposal system. The calculations of doses 
    received from USDWs should assume that drinking water is withdrawn 
    directly from the contaminated USDW and consumed at a rate of two 
    liters per day.
        Section 194.54 defines the scope of compliance assessments. 
    Compliance assessments should be conducted of the undisturbed 
    performance of the disposal system, which, by the definition in section 
    12 of 40 CFR part 191, denotes that the disposal system is not 
    disrupted by human intrusion or the occurrence of unlikely natural 
    events. Section 194.55 requires that compliance assessments include 
    calculations or ``estimates'' of three quantities: (1) The annual 
    committed effective dose received from all pathways, an analysis which 
    corresponds to the requirements of section 15 of 40 CFR part 191; (2) 
    dose equivalents received from USDWs; and (3) concentrations of 
    radionuclides present in USDWs, the latter two of which correspond to 
    subpart C of 40 CFR part 191. To generate a ``range'' of estimates, 
    compliance assessments must make repeated calculations, with each 
    iteration employing a different set of randomly selected values for 
    each uncertain parameter. Parameters of lesser sensitivity in 
    compliance assessments may be held constant, provided that these values 
    can be justified as being sufficiently conservative. The final rule 
    requires that there be a 0.95 probability that the maximum estimate of 
    each set so generated exceeds the 99th percentile of 
    
    [[Page 5233]]
    the population of estimates. The mean and the median of the population 
    of each set of estimates must meet the requirements of section 15 and 
    subpart C of 40 CFR part 191, as applicable, with at least a 95 percent 
    level of statistical confidence.
    
    Subpart D: Public Participation
    
        Subpart D of today's action establishes procedures that EPA will 
    use to involve the public in the decisions on certification and re-
    certification and requires EPA to publish notices of its actions in the 
    Federal Register. Subpart D includes new provisions which require the 
    Agency to involve the public in decisions to modify or revoke a 
    certification. Section 194.65 requires that EPA publish a notice in the 
    Federal Register announcing the Agency's proposed decision on the 
    modification or revocation of the certification. The notice of proposed 
    rulemaking must solicit comment on the proposed decision. Section 
    194.66 requires the Administrator to publish a notice of final 
    rulemaking in the Federal Register, announcing whether the Agency has 
    revoked, modified or taken no action to change the certification. 
    Section 194.67 requires that EPA maintain a public docket with all 
    information used in making the decisions on certification, re-
    certification, and modification and revocation of the certification.
    
    Principal Changes in the Final Rule
    
        In addition to the principal changes described below, today's 
    action contains other minor modifications to the proposed rule. Further 
    discussion of the rationale and information supporting significant 
    changes found in today's action is contained in the Background 
    Information Document and the Response to Comments, which may obtained 
    as explained in the start of this notice.
    
    Scope of Performance Assessments and Consideration of Drilling Events
    
        In Secs. 194.32 and 194.33 of the final rule, the Agency has 
    provided further clarification on which activities fall within the 
    scope of human intrusion. (Section 194.33 had been titled 
    ``Consideration of human initiated processes and events'' in the 
    proposed rule.) The final rule requires that the effects of deep 
    drilling, shallow drilling and excavation mining must be included in 
    performance assessments. In the proposed rule, the Agency had excluded 
    excavation mining from consideration (60 FR 5774; January 30, 1995). 
    The Agency received several public comments recommending that 
    performance assessments should be required to include the effects of 
    future mining during the regulatory time frame in order to account for 
    the presence of potash in the vicinity of the repository. The Agency 
    has re-evaluated the proposed exclusion of mining, in light of these 
    public comments. The Agency believes that, while there is uncertainty 
    surrounding the potential effects of mining, mining could nonetheless 
    alter the hydrogeologic properties of certain formations that lie at 
    shallower depths than the mined portion of the repository. Thus, the 
    final rule requires performance assessments to consider the possible 
    effects of excavation mining on the disposal system. As discussed 
    previously, DOE may address this requirement by considering the changes 
    that mining would induce in the hydraulic conductivity of the disposal 
    system. Additionally, the requirements of the final rule specify the 
    method for determining the size and shape, location and point in time 
    at which mining occurs. The Agency specified these items to provide 
    clarification on how mining should be considered and to avoid unbounded 
    speculation that would result from the high uncertainty regarding 
    whether, where and how mining would occur in the Land Withdrawal area. 
    EPA's decision was based on a desire to include mining in performance 
    assessment in a realistic fashion without recourse to such 
    unconstrained speculation. To this end, the final rule has specified 
    that mining will continue at the same rate as it has over the past 100 
    years, that the area to be mined is the area that contains mineral 
    deposits of similar type and quality to those that are currently 
    extracted in the Delaware Basin, and that only the major impacts on the 
    disposal system of mining need be considered. EPA believes this is 
    consistent with the future states assumptions of section 25 as they 
    apply to the future activities of man.
        The Agency has added definitions of deep drilling and shallow 
    drilling in Sec. 194.2. Both types of drilling shall include 
    exploratory and developmental wells. The addition of these definitions 
    was prompted by commenters who noted that the definitions of human 
    intrusion and ``human activity'' that were in the proposed rule had 
    caused confusion by distinguishing their meanings on the basis of the 
    depth at which drilling occurs. In the final rule, the Agency has 
    removed these definitions from the final rule and instead makes use of 
    the defined terms, deep drilling and shallow drilling in order to 
    provide greater clarity.
        Commenters also requested that the final rule require analysis of 
    disposal of brine that accumulates during the extraction of oil and of 
    secondary recovery of oil performed using water-flood injection. The 
    Agency considered this comment in the larger context of the nature of 
    potential human intrusions during the next 10,000 years and what 
    assumptions might hold true during that time. The Agency believes that 
    no one resource will last for the entire 10,000 years and therefore has 
    concluded that the techniques for extraction of any one resource--such 
    as water-flood injection for oil recovery--are unlikely to be in use 
    during much of the 10,000-year regulatory time frame. With respect to 
    drilling rates, the Agency reasoned that while the resources drilled 
    for today may not be the same as those drilled for in the future, the 
    present rates at which these boreholes are drilled can nonetheless 
    provide an estimate of the future rate at which boreholes will be 
    drilled. The Agency does expect that drilling will never completely 
    cease; while some resources may become depleted over time and, while 
    the rate of extraction of those resources may decrease, the increased 
    rate of drilling for newly discovered resources will compensate for 
    this decline. In effect, when used for the purpose of determining the 
    future drilling rate, today's drilling activities act as surrogates for 
    the unknown resources that will be drilled for in the future. With 
    respect to the consequence and releases due to future drilling, 
    present-day drilling activities provide the only available basis for 
    making assumptions in performance assessments. Future extraction of any 
    resource will likely necessitate drilling a hole for its recovery. 
    However, because there is doubt as to whether the resources associated 
    with today's specialized extraction techniques and fluid injection will 
    remain available for 10,000 years, the final rule does not require that 
    performance assessments assume that such extraction activities will 
    occur during the entire regulatory time frame, but does require that 
    the effects of the drilling events themselves be analyzed. The 
    techniques include, for example, water-flood injection for secondary 
    recovery of oil, solution mining and the disposal by injection of brine 
    accumulated during recovery of oil.
        The Agency recognizes, however, that resource extraction and fluid 
    injection activities which are currently performed in the Delaware 
    Basin can alter the hydrogeologic properties of the initial state of 
    the disposal system. The final 
    
    [[Page 5234]]
    rule requires that performance assessments and compliance assessments 
    analyze the effects of all types of fluid-injection and all boreholes 
    which can have an effect on the disposal system and which have been or 
    will have been drilled prior to or soon after disposal. These boreholes 
    shall be assumed to affect the properties of the disposal system for 
    the entire 10,000-year regulatory time frame. Predictions about such 
    future activities shall be strictly limited to the expected use of 
    existing leases.
        Today's final rule eliminates the proposed cap on the rate of deep 
    drilling into the disposal system of 62.5 boreholes per square 
    kilometer per 10,000 years as well as the proposed lower limit of 25 
    boreholes per square kilometer per 10,000 years. The Agency received 
    numerous public comments objecting to the use of upper and lower limits 
    on the rate of deep drilling. The Agency has concluded that the rate of 
    drilling into the disposal system used in performance assessments 
    covering the 10,000-year regulatory time frame should be derived solely 
    from the historical record of drilling in the region surrounding the 
    WIPP. In the proposed rule, the Agency had specified that the past 50 
    years of records on drilling shall be used to establish the rates for 
    shallow drilling and deep drilling, the latter being subject to upper 
    and lower caps. While developing the final rule, the Agency recognized 
    that drilling activity has been at a maximum during the past 50 years, 
    whereas during the past 100 years, a broader spectrum of high and low 
    drilling rates can be found. In the long-term future, it can be 
    expected that the drilling rate will consist of periods of high and low 
    drilling activity, which makes the past 100 years a more appropriate 
    period for calculating the drilling rate. In addition, more detailed 
    examination of the available records in Texas and New Mexico since the 
    time of the proposed rule has shown that accurate data on drilling 
    activity dates back 100 years, rather than 50 years as was believed 
    initially. The final rule therefore specifies that the rates of both 
    shallow drilling and deep drilling are to be set based on data from the 
    100 year period ending at the time DOE prepares the compliance 
    application.
        Today's final rule includes a definition of the term ``Delaware 
    Basin,'' used in the regulation to be that area over which the past 
    drilling rate is to be averaged in order to establish the rate of 
    drilling used in performance assessments. In the proposed rule, the 
    Agency had solicited comment on how to define the Delaware Basin. Many 
    comments were received, with the bulk of the discussion focusing on 
    whether the Capitan Reef should be included in the definition. In 
    arriving at the definition in the final rule, the Agency considered the 
    geologic and hydrogeologic characteristics of the formations which 
    contain the WIPP versus those of the Capitan Reef. The Capitan Reef is 
    more permeable to the flow of water and was formed from organic 
    material which differs from the salt formations which immediately 
    surround the WIPP. The Agency had stated its intention to define the 
    Delaware Basin to be the largest contiguous area that has similar 
    geologic properties. Because of the differences, noted above, between 
    the Capitan Reef and the interior formations, the Agency has chosen to 
    define the Delaware Basin to be those surface and subsurface formations 
    which lie inside the inner-most edge of the Capitan Reef. Where the 
    Capitan Reef is absent to the south, the Delaware Basin includes those 
    features which lie to the north of a straight line connecting the 
    southeastern point of the Davis Mountains and the southwestern point of 
    the Glass Mountains.
    
    Waste Characterization
    
        Numerous public comments were received on the proposed Sec. 194.24, 
    waste characterization. Commenters stated that this section required 
    greater clarity in order to be implemented effectively at the WIPP. The 
    final rule retains the use of ``waste characteristics'' to provide a 
    description of the waste. The term, waste categories, has been 
    eliminated in the final rule. The final rule uses the term, ``waste 
    components,'' to denote an amount of a type of waste--expressed as a 
    volume, mass or weight (or curies, in the case of activity)--such as 
    chelating agents and cellulosics. The waste categories in the proposed 
    rule were to be established based on the assumption that wastes with 
    similar waste characteristics would behave similarly in the disposal 
    system. The Agency believes that using instead the term ``waste 
    components'' provides a less abstract scheme for classifying waste 
    which could be more easily implemented. In particular, the Agency 
    believes that, for a given container of waste, DOE could more readily 
    identify how much of each waste component is present rather than how 
    much of each waste category is present. The final rule requires that 
    these limits be established such that the results of performance 
    assessments and compliance assessments will comply with the numerical 
    requirements of 40 CFR Part 191 when the maximum or minimum values for 
    each waste component are used, as appropriate.
        To assist in establishing the waste characteristics and waste 
    components and quantitative values of each, the final rule requires 
    that compliance applications include an analysis to identify and assess 
    the impact on long-term performance of those waste characteristics 
    which influence the containment of waste in the disposal system. An 
    analysis must also be conducted of waste components to determine which 
    of these will influence the waste characteristics identified as having 
    an influence on containment. This section of the final rule specifies 
    those waste characteristics and waste components which, at a minimum, 
    the respective analyses must investigate.
    
    Peer Review
    
        Section 194.26, peer review, has been narrowed in scope in the 
    final rule. The Agency received many public comments stating that the 
    requirements on peer review were stated too broadly such that an 
    inordinate and unmanageable number of peer reviews would be required. 
    Additionally, commenters noted that many of the activities that the 
    proposed rule had required to be peer reviewed were subject to specific 
    quality assurance requirements under Sec. 194.22. Public comments noted 
    that, in this instance, the proposed peer review requirements would be 
    redundant with the quality assurance requirements. Such activities 
    would include the computer codes and the data used to support all 
    models--conceptual, mathematical and numerical--and computer codes.
        The Agency consulted the WIPP Review Committee of NACEPT at the 
    September, 1995 meeting and sought its advice on how to address peer 
    review. The Committee suggested that peer review of quality assurance 
    programs would be unnecessary, since, by requiring DOE to adhere to a 
    program that meets the requirements of three sets of ASME's standards, 
    today's action would already be sufficient to control the quality 
    assurance process. The Agency agrees with both the Committee and with 
    similar public comment and has eliminated the requirement for peer 
    review of quality assurance programs and plans. The Committee also 
    stated that peer review could be used both to insure that analyses use 
    the correct model of repository behavior and to evaluate the subjective 
    uncertainty in whether the appropriate conceptual model was selected. 
    In the case of WIPP, unanimous agreement does not exist on the nature 
    of the conceptual models of natural processes such as dissolution 
    
    [[Page 5235]]
    which can have an effect on the disposal system. To subject these 
    issues to wider scrutiny, the final rule specifies that peer review 
    must be conducted of the conceptual models selected and developed by 
    DOE.
    
    Application of Release Limits
    
        Section 194.31 of the final rule specifies that the release limits 
    of Appendix A of 40 CFR part 191 shall be determined based on the total 
    activity, in curies, of transuranic waste present at the time of 
    disposal. Public comment was divided between those who recommended 
    setting release limits at 100 years, as in the proposed rule, and those 
    who recommended the time of disposal. The Agency solicited the views of 
    the WIPP Review Committee of NACEPT on the subject of release limits in 
    the meeting held in September, 1995. Some committee members noted that 
    radionuclides such as plutonium 238 would quickly decay to less than 
    half their original number in under 100 years and thus would not pose a 
    threat for more than a small fraction of the 10,000-year regulatory 
    time frame. Hence, some members of the committee recommended the option 
    of setting the release limits at later times so that the release limits 
    would be based on longer-lived radionuclides. Doing so would more 
    accurately reflect the long-term hazards presented by the waste.
        Some committee members also recommended that the Agency should base 
    its decision on the original intent of the disposal regulations. The 
    Agency believes that the disposal regulations were designed to avoid 
    the undue influence of short-lived radionuclides on the size of the 
    release limits. The disposal regulations accomplished this purpose in 
    Appendix A by eliminating the contribution of radionuclides having 
    half-lives of less than twenty years. The Agency has therefore chosen 
    in the final rule to determine release limits based on the total 
    activity, in curies, of transuranic waste present at the time of 
    disposal.
    
    Monitoring
    
        The monitoring requirements have been modified to provide clearer 
    direction for the development of a post-closure monitoring plan. 
    Several commenters suggested that, by requiring that post-closure 
    monitoring be conducted in a manner ``compatible'' with RCRA, DOE might 
    be forced to implement two over-lapping monitoring programs in order to 
    comply with both RCRA hazardous waste regulations and 40 CFR part 194. 
    Other commenters noted that, in the event that RCRA monitoring at the 
    WIPP were to be modified or eliminated, the requirement in 40 CFR Part 
    194 as proposed would be correspondingly reduced. To provide clearer 
    direction on the performance of post-closure monitoring, the Agency has 
    made two changes in the final rule. First, to eliminate potential 
    overlap, the Agency is requiring that post-closure monitoring be 
    required to be ``complementary'' with RCRA, so that information yielded 
    by the one monitoring program would not be duplicated by the other. The 
    Agency is requiring in the final rule that post-closure monitoring be 
    conducted, to the extent practicable when considering technical 
    feasibility and cost, of those parameters which are important to the 
    containment of waste in the disposal system. Such parameters shall be 
    identified in a required analysis that will assess which parameters are 
    important to the containment of waste and which therefore should be 
    included in post-closure (and pre-closure) monitoring.
    
    Rulemaking Analyses
    
    Executive Order 12866
    
        Under Executive Order 12866, (58 FR 51,735 October 4, 1993), the 
    Agency must determine whether the regulatory action is ``significant'' 
    and therefore subject to OMB review and the requirements of the 
    Executive Order. The Order defines ``significant regulatory action'' as 
    one that is likely to result in a rule that may:
        (1) Have an annual effect on the economy of $100 million or more or 
    adversely affect in a material way the economy, a sector of the 
    economy, productivity, competition, jobs, the environment, public 
    health or safety, or State, local, or tribal governments or 
    communities;
        (2) Create a serious inconsistency or otherwise interfere with an 
    action taken or planned by another agency;
        (3) Materially alter the budgetary impact of entitlements, grants, 
    user fees, or loan programs or the rights and obligations of recipients 
    thereof; or
        (4) Raise novel legal or policy issues arising out of legal 
    mandates, the President's priorities, or the principles set forth in 
    the Executive Order.
        Pursuant to the terms of Executive Order 12866, it has been 
    determined that this rule is a ``significant regulatory action'' 
    because it raises novel policy issues which arise from legal mandates. 
    As such, this action was submitted to OMB for review. Changes made in 
    response to OMB suggestions or recommendations will be documented in 
    the public record.
    
    Regulatory Flexibility Act
    
        Pursuant to section 605(b) of the Regulatory Flexibility Act, 5 
    U.S.C. 605(b), the Administrator certifies that this rule will not have 
    a significant economic impact on a substantial number of small 
    entities. Today's final rule sets forth requirements which apply only 
    to Federal agencies and the Administrator therefore certifies that no 
    small entities will be affected.
    
    Paperwork Reduction Act
    
        The EPA has determined that this proposed rule contains no 
    information collection requirements as defined by the Paperwork 
    Reduction Act (44 U.S.C. 3501 et seq).
    
    Unfunded Mandates Reform Act
    
        Title II of the Unfunded Mandates Reform Act of 1995 (UMRA), Pub. 
    L. 104-4, establishes requirements for Federal agencies to assess the 
    effects of their regulatory actions on State, local and tribal 
    governments and the private sector. Today's rule contains no Federal 
    mandates (under the regulatory provisions of Title II of the UMRA) for 
    State, local or tribal governments or the private sector. The rule 
    implements requirements specifically set forth by the Congress in the 
    Waste Isolation Pilot Plant Land Withdrawal Act (Pub. L. 102-579).
    
    List of Subjects in 40 CFR Part 194
    
        Administrative practice and procedure, Environmental protection, 
    Incorporation by reference Nuclear materials, Radionuclides, Plutonium, 
    Radiation protection, Uranium, Transuranics, Waste treatment and 
    disposal.
    
        Dated: February 1, 1996.
    Carol M. Browner,
    Administrator.
    
        For the reasons set out in the preamble, 40 CFR part 194 is added 
    as set forth below.
    
    PART 194--CRITERIA FOR THE CERTIFICATION AND RE-CERTIFICATION OF 
    THE WASTE ISOLATION PILOT PLANT'S COMPLIANCE WITH THE 40 CFR PART 
    191 DISPOSAL REGULATIONS
    
    Subpart A--General Provisions
    
    Sec.
    194.1  Purpose, scope, and applicability.
    194.2  Definitions.
    194.3  Communications.
    194.4  Conditions of compliance certification.
    194.5  Publications incorporated by reference. 
    
    [[Page 5236]]
    
    194.6  Alternative provisions.
    194.7  Effective date.
    Subpart B--Compliance Certification and Re-certification Applications
    194.11  Completeness and accuracy of compliance applications.
    194.12  Submission of compliance applications.
    194.13  Submission of reference materials.
    194.14  Content of compliance certification application.
    194.15  Content of compliance re-certification application(s).
    Subpart C--Compliance Certification and Re-certification General 
    Requirements
    
    General Requirements
    
    194.21  Inspections.
    194.22  Quality assurance.
    194.23  Models and computer codes.
    194.24  Waste characterization.
    194.25  Future state assumptions.
    194.26  Expert judgment.
    194.27  Peer review.
    
    Containment Requirements
    
    194.31  Application of release limits.
    194.32  Scope of performance assessments.
    194.33  Consideration of drilling events in performance assessments.
    194.34  Results of performance assessments.
    
    Assurance Requirements
    
    194.41  Active institutional controls.
    194.42  Monitoring.
    194.43  Passive institutional controls.
    194.44  Engineered barriers.
    194.45  Consideration of the presence of resources.
    194.46  Removal of waste.
    
    Individual and Ground-water Protection Requirements
    
    194.51  Consideration of protected individual.
    194.52  Consideration of exposure pathways.
    194.53  Consideration of underground sources of drinking water.
    194.54  Scope of compliance assessments.
    194.55  Results of compliance assessments.
    
    Subpart D--Public Participation
    
    194.61  Advance notice of proposed rulemaking for certification.
    194.62  Notice of proposed rulemaking for certification.
    194.63  Final rule for certification.
    194.64  Documentation of continued compliance.
    194.65  Notice of proposed rulemaking for modification or 
    revocation.
    194.66  Final rule for modification or revocation.
    194.67  Dockets.
    
        Authority: The Waste Isolation Pilot Plant Land Withdrawal Act 
    of 1992, Pub.L. 102-579, 106 Stat. 4777; Atomic Energy Act of 1954, 
    as amended, 42 U.S.C. 2011-2296; Reorganization Plan No. 3 of 1970, 
    5 U.S.C. app.1; Nuclear Waste Policy Act of 1982, as amended, 42 
    U.S.C. 10101-10270.
    
    Subpart A--General Provisions
    
    
    Sec. 194.1  Purpose, scope and applicability.
    
        This part specifies criteria for the certification or any re-
    certification, or subsequent actions relating to the terms or 
    conditions of certification of the Department of Energy's Waste 
    Isolation Pilot Plant's compliance with the disposal regulations found 
    at part 191 of this chapter and pursuant to section 8(d)(1) and section 
    8(f), respectively, of the WIPP LWA. The compliance certification 
    application submitted pursuant to section 8(d)(1) of the WIPP LWA and 
    any compliance re-certification application submitted pursuant to 
    section 8(f) of the WIPP LWA shall comply with the requirements of this 
    part.
    
    
    Sec. 194.2  Definitions.
    
        Unless otherwise indicated in this part, all terms have the same 
    meaning as in part 191 of this chapter.
        Certification means any action taken by the Administrator pursuant 
    to section 8(d)(1) of the WIPP LWA.
        Compliance application(s) means the compliance certification 
    application submitted to the Administrator pursuant to section 8(d)(1) 
    of the WIPP LWA or any compliance re-certification applications 
    submitted to the Administrator pursuant to section 8(f) of the WIPP 
    LWA.
        Compliance assessment(s) means the analysis conducted to determine 
    compliance with Sec. 191.15, and part 191, subpart C of this chapter.
        Delaware Basin means those surface and subsurface features which 
    lie inside the boundary formed to the north, east and west of the 
    disposal system by the innermost edge of the Capitan Reef, and formed, 
    to the south, by a straight line drawn from the southeastern point of 
    the Davis Mountains to the most southwestern point of the Glass 
    Mountains.
        Deep drilling means those drilling events in the Delaware Basin 
    that reach or exceed a depth of 2,150 feet below the surface relative 
    to where such drilling occurred.
        Department means the United States Department of Energy.
        Disposal regulations means part 191, subparts B and C of this 
    chapter.
        Management systems review means the qualitative assessment of a 
    data collection operation or organization(s) to establish whether the 
    prevailing quality management structure, policies, practices, and 
    procedures are adequate to ensure that the type and quality of data 
    needed are obtained.
        Modification means action(s) taken by the Administrator that alters 
    the terms or conditions of certification pursuant to section 8(d)(1) of 
    the WIPP LWA. Modification of any certification shall comply with this 
    part and part 191 of this chapter.
        Population of CCDFs means all possible complementary, cumulative 
    distribution functions (CCDFs) that can be generated from all disposal 
    system parameter values used in performance assessments.
        Population of estimates means all possible estimates of radiation 
    doses and radionuclide concentrations that can be generated from all 
    disposal system parameter values used in compliance assessments.
        Quality assurance means those planned and systematic actions 
    necessary to provide adequate confidence that the disposal system will 
    comply with the disposal regulations set forth in part 191 of this 
    chapter. Quality assurance includes quality control, which comprises 
    those actions related to the physical characteristics of a material, 
    structure, component, or system that provide a means to control the 
    quality of the material, structure, component, or system to 
    predetermined requirements.
        Re-certification means any action taken by the Administrator 
    pursuant to section 8(f) of the WIPP LWA.
        Regulatory time frame means the time period beginning at disposal 
    and ending 10,000 years after disposal.
        Revocation means any action taken by the Administrator to terminate 
    the certification pursuant to section 8(d)(1) of the WIPP LWA.
        Secretary means the Secretary of Energy.
        Shallow drilling means those drilling events in the Delaware Basin 
    that do not reach a depth of 2,150 feet below the surface relative to 
    where such drilling occurred.
        Suspension means any action taken by the Administrator to withdraw, 
    for a limited period of time, the certification pursuant to section 
    8(d)(1) of the WIPP LWA.
        Waste means the radioactive waste, radioactive material and 
    coincidental material subject to the requirements of part 191 of this 
    chapter.
        Waste characteristic means a property of the waste that has an 
    impact on the containment of waste in the disposal system.
        Waste component means an ingredient of the total inventory of the 
    waste that influences a waste characteristic.
        WIPP means the Waste Isolation Pilot Plant, as authorized pursuant 
    to section 213 of the Department of Energy National Security and 
    Military
    
    [[Page 5237]]
    
    Applications of Nuclear Energy Authorization Act of 1980 (Pub.L. 96-
    164; 93 Stat. 1259, 1265).
        WIPP LWA means the Waste Isolation Pilot Plant Land Withdrawal Act 
    of 1992 (Pub.L. 102-579, 106 Stat. 4777).
    
    
    Sec. 194.3  Communications.
    
        (a) Compliance application(s) shall be:
        (1) Addressed to the Administrator; and
        (2) Signed by the Secretary.
        (b) Communications and reports concerning the criteria in this part 
    shall be:
        (1) Addressed to the Administrator or the Administrator's 
    authorized representative; and
        (2) Signed by the Secretary or the Secretary's authorized 
    representative.
    
    
    Sec. 194.4  Conditions of compliance certification.
    
        (a) Any certification of compliance issued pursuant to section 
    8(d)(1) of the WIPP LWA may include such conditions as the 
    Administrator finds necessary to support such certification.
        (b) Whether stated therein or not, the following conditions shall 
    apply in any such certification:
        (1) The certification shall be subject to modification, suspension 
    or revocation by the Administrator. Any suspension of the certification 
    shall be done at the discretion of the Administrator. Any modification 
    or revocation of the certification shall be done by rule pursuant to 5 
    U.S.C. 553. If the Administrator revokes the certification, the 
    Department shall retrieve, as soon as practicable and to the extent 
    practicable, any waste emplaced in the disposal system.
        (2) Any time after the Administrator issues a certification, the 
    Administrator or the Administrator's authorized representative may 
    submit a written request to the Department for information to enable 
    the Administrator to determine whether the certification should be 
    modified, suspended or revoked. Unless otherwise specified by the 
    Administrator or the Administrator's authorized representative, the 
    Department shall submit such information to the Administrator or the 
    Administrator's authorized representative within 30 calendar days of 
    receipt of the request.
        (3) Any time after the Administrator issues a certification, the 
    Department shall report any planned or unplanned changes in activities 
    or conditions pertaining to the disposal system that differ 
    significantly from the most recent compliance application.
        (i) The Department shall inform the Administrator, in writing, 
    prior to making such a planned change in activity or disposal system 
    condition.
        (ii) In the event of an unplanned change in activity or condition, 
    the Department shall immediately cease emplacement of waste in the 
    disposal system if the Department determines that one or more of the 
    following conditions is true:
        (A) The containment requirements established pursuant to 
    Sec. 191.13 of this chapter have been or are expected to be exceeded;
        (B) Releases from already-emplaced waste lead to committed 
    effective doses that are or are expected to be in excess of those 
    established pursuant to Sec. 191.15 of this chapter. For purposes of 
    this paragraph (b)(3)(ii)(B), emissions from operations covered 
    pursuant to part 191, subpart A of this chapter are not included; or
        (C) Releases have caused or are expected to cause concentrations of 
    radionuclides or estimated doses due to radionuclides in underground 
    sources of drinking water in the accessible environment to exceed the 
    limits established pursuant to part 191, subpart C of this chapter.
        (iii) If the Department determines that a condition described in 
    paragraph (b)(3)(ii) of this section has occurred or is expected to 
    occur, the Department shall notify the Administrator, in writing, 
    within 24 hours of the determination. Such notification shall, to the 
    extent practicable, include the following information:
        (A) Identification of the location and environmental media of the 
    release or the expected release;
        (B) Identification of the type and quantity of waste (in activity 
    in curies of each radionuclide) released or expected to be released;
        (C) Time and date of the release or the estimated time of the 
    expected release;
        (D) Assessment of the hazard posed by the release or the expected 
    release; and
        (E) Additional information requested by the Administrator or the 
    Administrator's authorized representative.
        (iv) The Department may resume emplacement of waste in the disposal 
    system upon written notification that the suspension has been lifted by 
    the Administrator.
        (v) If the Department discovers a condition or activity that 
    differs significantly from what is indicated in the most recent 
    compliance application, but does not involve conditions or activities 
    listed in paragraph (b)(3)(ii) of this section, then the difference 
    shall be reported, in writing, to the Administrator within 10 calendar 
    days of its discovery.
        (vi) Following receipt of notification, the Administrator will 
    notify the Secretary in writing whether any condition or activity 
    reported pursuant to paragraph (b)(3) this section:
        (A) Does not comply with the terms of the certification; and, if it 
    does not comply,
        (B) Whether the compliance certification must be modified, 
    suspended or revoked. The Administrator or the Administrator's 
    authorized representative may request additional information before 
    determining whether modification, suspension or revocation of the 
    compliance certification is required.
        (4) Not later than six months after the Administrator issues a 
    certification, and at least annually thereafter, the Department shall 
    report to the Administrator, in writing, any changes in conditions or 
    activities pertaining to the disposal system that were not required to 
    be reported by paragraph (b)(3) of this section and that differ from 
    information contained in the most recent compliance application.
    
    
    Sec. 194.5  Publications incorporated by reference.
    
        (a) The following publications are incorporated into this part by 
    reference:
        (1) U.S. Nuclear Regulatory Commission, NUREG-1297 ``Peer Review 
    for High-Level Nuclear Waste Repositories,'' published February 1988; 
    incorporation by reference (IBR) approved for Secs. 194.22, 194.23 and 
    194.27.
        (2) American Society of Mechanical Engineers (ASME) Nuclear Quality 
    Assurance (NQA) Standard, NQA-1-1989 edition, ``Quality Assurance 
    Program Requirements for Nuclear Facilities;'' IBR approved for 
    Sec. 194.22.
        (3) ASME NQA-2a-1990 addenda, part 2.7, to ASME NQA-2-1989 edition 
    ``Quality Assurance Requirements for Nuclear Facility Applications;'' 
    IBR approved for Sec. 194.22 and Sec. 194.23.
        (4) ASME NQA-3-1989 edition, ``Quality Assurance Program 
    Requirements for the Collection of Scientific and Technical Information 
    for Site Characterization of High-Level Nuclear Waste Repositories'' 
    (excluding section 2.1 (b) and (c)); IBR approved for Sec. 194.22.
        (b) The publications listed in paragraph (a) of this section were 
    approved for incorporation by reference by the Director of the Federal 
    Register in accordance with 5 U.S.C. 552(a) and 1 CFR part 51. Copies 
    may be inspected or obtained from the Air Docket, Docket No. A-92-56, 
    room M1500 (LE131), 
    
    [[Page 5238]]
    U.S. Environmental Protection Agency, 401 M Street, SW, Washington, DC 
    20460, or copies may be inspected at the Office of the Federal 
    Register, 800 N. Capitol Street NW, 7th floor, Suite 700, Washington, 
    DC, or copies may be obtained from the following addresses:
        (1) For ASME standards, contact American Society of Mechanical 
    Engineers, 22 Law Drive, P.O. Box 2900, Fairfield, NJ 07007-2900, phone 
    1-800-843-2763.
        (2) For Nuclear Regulatory Commission documents, contact Division 
    of Information Support Services, Distribution Service, U.S. Nuclear 
    Regulatory Commission, Washington, DC 20555, or contact National 
    Technical Information Service, 5285 Port Royal Road, Springfield, VA 
    22161, phone 703-487-4650.
    
    
    Sec. 194.6  Alternative provisions.
    
        The Administrator may, by rule pursuant to 5 U.S.C. 553, substitute 
    for any of the provisions of this part alternative provisions chosen 
    after:
        (a) The alternative provisions have been proposed for public 
    comment in the Federal Register together with information describing 
    how the alternative provisions comport with the disposal regulations, 
    the reasons why the existing provisions of this part appear 
    inappropriate, and the costs, risks and benefits of compliance in 
    accordance with the alternative provisions;
        (b) A public comment period of at least 120 days has been completed 
    and public hearings have been held in New Mexico;
        (c) The public comments received have been fully considered; and
        (d) A notice of final rulemaking is published in the Federal 
    Register.
    
    
    Sec. 194.7  Effective date.
    
        The criteria in this part shall be effective on April 9, 1996. The 
    incorporation by reference of certain publications listed in the 
    criteria is approved by the Director of the Federal Register as of 
    April 9, 1996.
    
    Subpart B--Compliance Certification and Re-certification 
    Applications
    
    
    Sec. 194.11  Completeness and accuracy of compliance applications.
    
        Information provided to the Administrator in support of any 
    compliance application shall be complete and accurate. The 
    Administrator's evaluation for certification pursuant to section 
    8(d)(1)(B) of the WIPP LWA and evaluation for recertification pursuant 
    to section 8(f)(2) of the WIPP LWA shall not begin until the 
    Administrator has notified the Secretary, in writing, that a complete 
    application in accordance with this part has been received.
    
    
    Sec. 194.12  Submission of compliance applications.
    
        Unless otherwise specified by the Administrator or the 
    Administrator's authorized representative, 30 copies of any compliance 
    application, any accompanying materials, and any amendments thereto 
    shall be submitted in a printed form to the Administrator.
    
    
    Sec. 194.13  Submission of reference materials.
    
        Information may be included by reference into compliance 
    application(s), provided that the references are clear and specific and 
    that, unless otherwise specified by the Administrator or the 
    Administrator's authorized representative, 10 copies of the referenced 
    information are submitted to the Administrator. Referenced materials 
    which are widely available in standard textbooks or reference books 
    need not be submitted.
    
    
    Sec. 194.14  Content of compliance certification application.
    
        Any compliance application shall include:
        (a) A current description of the natural and engineered features 
    that may affect the performance of the disposal system. The description 
    of the disposal system shall include, at a minimum, the following 
    information:
        (1) The location of the disposal system and the controlled area;
        (2) A description of the geology, geophysics, hydrogeology, 
    hydrology, and geochemistry of the disposal system and its vicinity and 
    how these conditions are expected to change and interact over the 
    regulatory time frame. Such description shall include, at a minimum:
        (i) Existing fluids and fluid hydraulic potential, including brine 
    pockets, in and near the disposal system; and
        (ii) Existing higher permeability anhydrite interbeds located at or 
    near the horizon of the waste.
        (3) The presence and characteristics of potential pathways for 
    transport of waste from the disposal system to the accessible 
    environment including, but not limited to: Existing boreholes, solution 
    features, breccia pipes, and other potentially permeable features, such 
    as interbeds.
        (4) The projected geophysical, hydrogeologic and geochemical 
    conditions of the disposal system due to the presence of waste 
    including, but not limited to, the effects of production of heat or 
    gases from the waste.
        (b) A description of the design of the disposal system including:
        (1) Information on materials of construction including, but not 
    limited to: Geologic media, structural materials, engineered barriers, 
    general arrangement, and approximate dimensions; and
        (2) Computer codes and standards that have been applied to the 
    design and construction of the disposal system.
        (c) Results of assessments conducted pursuant to this part.
        (d) A description of input parameters associated with assessments 
    conducted pursuant to this part and the basis for selecting those input 
    parameters.
        (e) Documentation of measures taken to meet the assurance 
    requirements of this part.
        (f) A description of waste acceptance criteria and actions taken to 
    assure adherence to such criteria.
        (g) A description of background radiation in air, soil and water in 
    the vicinity of the disposal system and the procedures employed to 
    determine such radiation.
        (h) One or more topographic map(s) of the vicinity of the disposal 
    system. The contour interval shall be sufficient to show clearly the 
    pattern of surface water flow in the vicinity of the disposal system. 
    The map(s) shall include standard map notations and symbols, and, in 
    addition, shall show boundaries of the controlled area and the location 
    of any active, inactive, and abandoned injection and withdrawal wells 
    in the controlled area and in the vicinity of the disposal system.
        (i) A description of past and current climatologic and meteorologic 
    conditions in the vicinity of the disposal system and how these 
    conditions are expected to change over the regulatory time frame.
        (j) The information required elsewhere in this part or any 
    additional information, analyses, tests, or records determined by the 
    Administrator or the Administrator's authorized representative to be 
    necessary for determining compliance with this part.
    
    
    Sec. 194.15  Content of compliance re-certification application(s).
    
        (a) In submitting documentation of continued compliance pursuant to 
    section 8(f) of the WIPP LWA, the previous compliance application shall 
    be updated to provide sufficient information for the Administrator to 
    determine whether or not the WIPP continues to be in compliance with 
    the disposal regulations. Updated documentation shall include:
        (1) All additional geologic, geophysical, geochemical, hydrologic, 
    and meteorologic information; 
    
    [[Page 5239]]
    
        (2) All additional monitoring data, analyses and results;
        (3) All additional analyses and results of laboratory experiments 
    conducted by the Department or its contractors as part of the WIPP 
    program;
        (4) An identification of any activities or assumptions that deviate 
    from the most recent compliance application;
        (5) A description of all waste emplaced in the disposal system 
    since the most recent compliance certification or re-certification 
    application. Such description shall consist of a description of the 
    waste characteristics and waste components identified in 
    Secs. 194.24(b)(1) and 194.24(b)(2);
        (6) Any significant information not previously included in a 
    compliance certification or re-certification application related to 
    whether the disposal system continues to be in compliance with the 
    disposal regulations; and
        (7) Any additional information requested by the Administrator or 
    the Administrator's authorized representative.
        (b) To the extent that information required for a re-certification 
    of compliance remains valid and has been submitted in previous 
    certification or re-certification application(s), such information need 
    not be duplicated in subsequent applications; such information may be 
    summarized and referenced.
    
    Subpart C--Compliance Certification and Re-certification
    
    General Requirements
    
    
    Sec. 194.21  Inspections.
    
        (a) The Administrator or the Administrator's authorized 
    representative(s) shall, at any time:
        (1) Be afforded unfettered and unannounced access to inspect any 
    area of the WIPP, and any locations performing activities that provide 
    information relevant to compliance application(s), to which the 
    Department has rights of access. Such access shall be equivalent to 
    access afforded Department employees upon presentation of credentials 
    and other required documents.
        (2) Be allowed to obtain samples, including split samples, and to 
    monitor and measure aspects of the disposal system and the waste 
    proposed for disposal in the disposal system.
        (b) Records (including data and other information in any form) kept 
    by the Department pertaining to the WIPP shall be made available to the 
    Administrator or the Administrator's authorized representative upon 
    request. If requested records are not immediately available, they shall 
    be delivered within 30 calendar days of the request.
        (c) The Department shall, upon request by the Administrator or the 
    Administrator's authorized representative, provide permanent, private 
    office space that is accessible to the disposal system. The office 
    space shall be for the exclusive use of the Administrator or the 
    Administrator's authorized representative(s).
        (d) The Administrator or the Administrator's authorized 
    representative(s) shall comply with applicable access control measures 
    for security, radiological protection, and personal safety when 
    conducting activities pursuant to this section.
    
    
    Sec. 194.22  Quality assurance.
    
        (a)(1) As soon as practicable after April 9, 1996, the Department 
    shall adhere to a quality assurance program that implements the 
    requirements of ASME NQA-1-1989 edition, ASME NQA-2a-1990 addenda, part 
    2.7, to ASME NQA-2-1989 edition, and ASME NQA-3-1989 edition (excluding 
    Section 2.1 (b) and (c), and Section 17.1). (Incorporation by reference 
    as specified in Sec. 194.5.)
        (2) Any compliance application shall include information which 
    demonstrates that the quality assurance program required pursuant to 
    paragraph (a)(1) of this section has been established and executed for:
        (i) Waste characterization activities and assumptions;
        (ii) Environmental monitoring, monitoring of the performance of the 
    disposal system, and sampling and analysis activities;
        (iii) Field measurements of geologic factors, ground water, 
    meteorologic, and topographic characteristics;
        (iv) Computations, computer codes, models and methods used to 
    demonstrate compliance with the disposal regulations in accordance with 
    the provisions of this part;
        (v) Procedures for implementation of expert judgment elicitation 
    used to support applications for certification or re-certification of 
    compliance;
        (vi) Design of the disposal system and actions taken to ensure 
    compliance with design specifications;
        (vii) The collection of data and information used to support 
    compliance application(s); and
        (viii) Other systems, structures, components, and activities 
    important to the containment of waste in the disposal system.
        (b) Any compliance application shall include information which 
    demonstrates that data and information collected prior to the 
    implementation of the quality assurance program required pursuant to 
    paragraph (a)(1) of this section have been qualified in accordance with 
    an alternate methodology, approved by the Administrator or the 
    Administrator's authorized representative, that employs one or more of 
    the following methods: Peer review, conducted in a manner that is 
    compatible with NUREG-1297, ``Peer Review for High-Level Nuclear Waste 
    Repositories,'' published February 1988 (incorporation by reference as 
    specified in Sec. 194.5); corroborating data; confirmatory testing; or 
    a quality assurance program that is equivalent in effect to ASME NQA-1-
    1989 edition, ASME NQA-2a-1990 addenda, part 2.7, to ASME NQA-2-1989 
    edition, and ASME NQA-3-1989 edition (excluding Section 2.1 (b) and (c) 
    and Section 17.1). (Incorporation by reference as specified in 
    Sec. 194.5.)
        (c) Any compliance application shall provide, to the extent 
    practicable, information which describes how all data used to support 
    the compliance application have been assessed for their quality 
    characteristics, including:
        (1) Data accuracy, i.e., the degree to which data agree with an 
    accepted reference or true value;
        (2) Data precision, i.e., a measure of the mutual agreement between 
    comparable data gathered or developed under similar conditions 
    expressed in terms of a standard deviation;
        (3) Data representativeness, i.e., the degree to which data 
    accurately and precisely represent a characteristic of a population, a 
    parameter, variations at a sampling point, or environmental conditions;
        (4) Data completeness, i.e., a measure of the amount of valid data 
    obtained compared to the amount that was expected; and
        (5) Data comparability, i.e., a measure of the confidence with 
    which one data set can be compared to another.
        (d) Any compliance application shall provide information which 
    demonstrates how all data are qualified for use in the demonstration of 
    compliance.
        (e) The Administrator will verify appropriate execution of quality 
    assurance programs through inspections, record reviews and record 
    keeping requirements, which may include, but may not be limited to, 
    surveillance, audits and management systems reviews.
    
    
    Sec. 194.23  Models and computer codes.
    
        (a) Any compliance application shall include: 
        
    [[Page 5240]]
    
        (1) A description of the conceptual models and scenario 
    construction used to support any compliance application.
        (2) A description of plausible, alternative conceptual model(s) 
    seriously considered but not used to support such application, and an 
    explanation of the reason(s) why such model(s) was not deemed to 
    accurately portray performance of the disposal system.
        (3) Documentation that:
        (i) Conceptual models and scenarios reasonably represent possible 
    future states of the disposal system;
        (ii) Mathematical models incorporate equations and boundary 
    conditions which reasonably represent the mathematical formulation of 
    the conceptual models;
        (iii) Numerical models provide numerical schemes which enable the 
    mathematical models to obtain stable solutions;
        (iv) Computer models accurately implement the numerical models; 
    i.e., computer codes are free of coding errors and produce stable 
    solutions;
        (v) Conceptual models have undergone peer review according to 
    Sec. 194.27.
        (b) Computer codes used to support any compliance application shall 
    be documented in a manner that complies with the requirements of ASME 
    NQA-2a-1990 addenda, part 2.7, to ASME NQA-2-1989 edition. 
    (Incorporation by reference as specified in Sec. 194.5.)
        (c) Documentation of all models and computer codes included as part 
    of any compliance application performance assessment calculation shall 
    be provided. Such documentation shall include, but shall not be limited 
    to:
        (1) Descriptions of the theoretical backgrounds of each model and 
    the method of analysis or assessment;
        (2) General descriptions of the models; discussions of the limits 
    of applicability of each model; detailed instructions for executing the 
    computer codes, including hardware and software requirements, input and 
    output formats with explanations of each input and output variable and 
    parameter (e.g., parameter name and units); listings of input and 
    output files from a sample computer run; and reports on code 
    verification, benchmarking, validation, and quality assurance 
    procedures;
        (3) Detailed descriptions of the structure of computer codes and 
    complete listings of the source codes;
        (4) Detailed descriptions of data collection procedures, sources of 
    data, data reduction and analysis, and code input parameter 
    development;
        (5) Any necessary licenses; and
        (6) An explanation of the manner in which models and computer codes 
    incorporate the effects of parameter correlation.
        (d) The Administrator or the Administrator's authorized 
    representative may verify the results of computer simulations used to 
    support any compliance application by performing independent 
    simulations. Data files, source codes, executable versions of computer 
    software for each model, other material or information needed to permit 
    the Administrator or the Administrator's authorized representative to 
    perform independent simulations, and access to necessary hardware to 
    perform such simulations, shall be provided within 30 calendar days of 
    a request by the Administrator or the Administrator's authorized 
    representative.
    
    
    Sec. 194.24  Waste characterization.
    
        (a) Any compliance application shall describe the chemical, 
    radiological and physical composition of all existing waste proposed 
    for disposal in the disposal system. To the extent practicable, any 
    compliance application shall also describe the chemical, radiological 
    and physical composition of to-be-generated waste proposed for disposal 
    in the disposal system. These descriptions shall include a list of 
    waste components and their approximate quantities in the waste. This 
    list may be derived from process knowledge, current non-destructive 
    examination/assay, or other information and methods.
        (b) The Department shall submit in the compliance certification 
    application the results of an analysis which substantiates:
        (1) That all waste characteristics influencing containment of waste 
    in the disposal system have been identified and assessed for their 
    impact on disposal system performance. The characteristics to be 
    analyzed shall include, but shall not be limited to: Solubility; 
    formation of colloidal suspensions containing radionuclides; production 
    of gas from the waste; shear strength; compactability; and other waste-
    related inputs into the computer models that are used in the 
    performance assessment.
        (2) That all waste components influencing the waste characteristics 
    identified in paragraph (b)(1) of this section have been identified and 
    assessed for their impact on disposal system performance. The 
    components to be analyzed shall include, but shall not be limited to: 
    metals; cellulosics; chelating agents; water and other liquids; and 
    activity in curies of each isotope of the radionuclides present.
        (3) Any decision to exclude consideration of any waste 
    characteristic or waste component because such characteristic or 
    component is not expected to significantly influence the containment of 
    the waste in the disposal system.
        (c) For each waste component identified and assessed pursuant to 
    paragraph (b) of this section, the Department shall specify the 
    limiting value (expressed as an upper or lower limit of mass, volume, 
    curies, concentration, etc.), and the associated uncertainty (i.e., 
    margin of error) for each limiting value, of the total inventory of 
    such waste proposed for disposal in the disposal system. Any compliance 
    application shall:
        (1) Demonstrate that, for the total inventory of waste proposed for 
    disposal in the disposal system, WIPP complies with the numeric 
    requirements of Sec. 194.34 and Sec. 194.55 for the upper or lower 
    limits (including the associated uncertainties), as appropriate, for 
    each waste component identified in paragraph (b)(2) of this section, 
    and for the plausible combinations of upper and lower limits of such 
    waste components that would result in the greatest estimated release.
        (2) Identify and describe the method(s) used to quantify the limits 
    of waste components identified in paragraph (b)(2) of this section.
        (3) Provide information which demonstrates that the use of process 
    knowledge to quantify components in waste for disposal conforms with 
    the quality assurance requirements found in Sec. 194.22.
        (4) Provide information which demonstrates that a system of 
    controls has been and will continue to be implemented to confirm that 
    the total amount of each waste component that will be emplaced in the 
    disposal system will not exceed the upper limiting value or fall below 
    the lower limiting value described in the introductory text of 
    paragraph (c) of this section. The system of controls shall include, 
    but shall not be limited to: Measurement; sampling; chain of custody 
    records; record keeping systems; waste loading schemes used; and other 
    documentation.
        (5) Identify and describe such controls delineated in paragraph 
    (c)(4) of this section and confirm that they are applied in accordance 
    with the quality assurance requirements found in Sec. 194.22.
        (d) The Department shall include a waste loading scheme in any 
    compliance application, or else performance assessments conducted 
    
    [[Page 5241]]
    pursuant to Sec. 194.32 and compliance assessments conducted pursuant 
    to Sec. 194.54 shall assume random placement of waste in the disposal 
    system.
        (e) Waste may be emplaced in the disposal system only if the 
    emplaced components of such waste will not cause:
        (1) The total quantity of waste in the disposal system to exceed 
    the upper limiting value, including the associated uncertainty, 
    described in the introductory text to paragraph (c) of this section; or
        (2) The total quantity of waste that will have been emplaced in the 
    disposal system, prior to closure, to fall below the lower limiting 
    value, including the associated uncertainty, described in the 
    introductory text to paragraph (c) of this section.
        (f) Waste emplacement shall conform to the assumed waste loading 
    conditions, if any, used in performance assessments conducted pursuant 
    to Sec. 194.32 and compliance assessments conducted pursuant to 
    Sec. 194.54.
        (g) The Department shall demonstrate in any compliance application 
    that the total inventory of waste emplaced in the disposal system 
    complies with the limitations on transuranic waste disposal described 
    in the WIPP LWA.
        (h) The Administrator will use inspections and records reviews, 
    such as audits, to verify compliance with this section.
    
    
    Sec. 194.25  Future state assumptions.
    
        (a) Unless otherwise specified in this part or in the disposal 
    regulations, performance assessments and compliance assessments 
    conducted pursuant the provisions of this part to demonstrate 
    compliance with Sec. 191.13, Sec. 191.15 and part 191, subpart C shall 
    assume that characteristics of the future remain what they are at the 
    time the compliance application is prepared, provided that such 
    characteristics are not related to hydrogeologic, geologic or climatic 
    conditions.
        (b) In considering future states pursuant to this section, the 
    Department shall document in any compliance application, to the extent 
    practicable, effects of potential future hydrogeologic, geologic and 
    climatic conditions on the disposal system over the regulatory time 
    frame. Such documentation shall be part of the activities undertaken 
    pursuant to Sec. 194.14, Content of compliance certification 
    application; Sec. 194.32, Scope of performance assessments; and 
    Sec. 194.54, Scope of compliance assessments.
        (1) In considering the effects of hydrogeologic conditions on the 
    disposal system, the Department shall document in any compliance 
    application, to the extent practicable, the effects of potential 
    changes to hydrogeologic conditions.
        (2) In considering the effects of geologic conditions on the 
    disposal system, the Department shall document in any compliance 
    application, to the extent practicable, the effects of potential 
    changes to geologic conditions, including, but not limited to: 
    Dissolution; near surface geomorphic features and processes; and 
    related subsidence in the geologic units of the disposal system.
        (3) In considering the effects of climatic conditions on the 
    disposal system, the Department shall document in any compliance 
    application, to the extent practicable, the effects of potential 
    changes to future climate cycles of increased precipitation (as 
    compared to present conditions).
    
    
    Sec. 194.26  Expert judgment.
    
        (a) Expert judgment, by an individual expert or panel of experts, 
    may be used to support any compliance application, provided that expert 
    judgment does not substitute for information that could reasonably be 
    obtained through data collection or experimentation.
        (b) Any compliance application shall:
        (1) Identify any expert judgments used to support the application 
    and shall identify experts (by name and employer) involved in any 
    expert judgment elicitation processes used to support the application.
        (2) Describe the process of eliciting expert judgment, and document 
    the results of expert judgment elicitation processes and the reasoning 
    behind those results. Documentation of interviews used to elicit 
    judgments from experts, the questions or issues presented for 
    elicitation of expert judgment, background information provided to 
    experts, and deliberations and formal interactions among experts shall 
    be provided. The opinions of all experts involved in each elicitation 
    process shall be provided whether the opinions are used to support 
    compliance applications or not.
        (3) Provide documentation that the following restrictions and 
    guidelines have been applied to any selection of individuals used to 
    elicit expert judgments:
        (i) Individuals who are members of the team of investigators 
    requesting the judgment or the team of investigators who will use the 
    judgment were not selected; and
        (ii) Individuals who maintain, at any organizational level, a 
    supervisory role or who are supervised by those who will utilize the 
    judgment were not selected.
        (4) Provide information which demonstrates that:
        (i) The expertise of any individual involved in expert judgment 
    elicitation comports with the level of knowledge required by the 
    questions or issues presented to that individual; and
        (ii) The expertise of any expert panel, as a whole, involved in 
    expert judgment elicitation comports with the level and variety of 
    knowledge required by the questions or issues presented to that panel.
        (5) Explain the relationship among the information and issues 
    presented to experts prior to the elicitation process, the elicited 
    judgment of any expert panel or individual, and the purpose for which 
    the expert judgment is being used in compliance applications(s).
        (6) Provide documentation that the initial purpose for which expert 
    judgment was intended, as presented to the expert panel, is consistent 
    with the purpose for which this judgment was used in compliance 
    application(s).
        (7) Provide documentation that the following restrictions and 
    guidelines have been applied in eliciting expert judgment:
        (i) At least five individuals shall be used in any expert 
    elicitation process, unless there is a lack or unavailability of 
    experts and a documented rationale is provided that explains why fewer 
    than five individuals were selected.
        (ii) At least two-thirds of the experts involved in an elicitation 
    shall consist of individuals who are not employed directly by the 
    Department or by the Department's contractors, unless the Department 
    can demonstrate and document that there is a lack or unavailability of 
    qualified independent experts. If so demonstrated, at least one-third 
    of the experts involved in an elicitation shall consist of individuals 
    who are not employed directly by the Department or by the Department's 
    contractors.
        (c) The public shall be afforded a reasonable opportunity to 
    present its scientific and technical views to expert panels as input to 
    any expert elicitation process.
    
    
    Sec. 194.27  Peer review.
    
        (a) Any compliance application shall include documentation of peer 
    review that has been conducted, in a manner required by this section, 
    for:
        (1) Conceptual models selected and developed by the Department;
        (2) Waste characterization analyses as required in Sec. 194.24(b); 
    and
        (3) Engineered barrier evaluation as required in Sec. 194.44. 
        
    [[Page 5242]]
    
        (b) Peer review processes required in paragraph (a) of this 
    section, and conducted subsequent to the promulgation of this part, 
    shall be conducted in a manner that is compatible with NUREG-1297, 
    ``Peer Review for High-Level Nuclear Waste Repositories,'' published 
    February 1988. (Incorporation by reference as specified in Sec. 194.5.)
        (c) Any compliance application shall:
        (1) Include information that demonstrates that peer review 
    processes required in paragraph (a) of this section, and conducted 
    prior to the implementation of the promulgation of this part, were 
    conducted in accordance with an alternate process substantially 
    equivalent in effect to NUREG-1297 and approved by the Administrator or 
    the Administrator's authorized representative; and
        (2) Document any peer review processes conducted in addition to 
    those required pursuant to paragraph (a) of this section. Such 
    documentation shall include formal requests, from the Department to 
    outside review groups or individuals, to review or comment on any 
    information used to support compliance applications, and the responses 
    from such groups or individuals.
    
    Containment Requirements
    
    
    Sec. 194.31  Application of release limits.
    
        The release limits shall be calculated according to part 191, 
    appendix A of this chapter, using the total activity, in curies, that 
    will exist in the disposal system at the time of disposal.
    
    
    Sec. 194.32  Scope of performance assessments.
    
        (a) Performance assessments shall consider natural processes and 
    events, mining, deep drilling, and shallow drilling that may affect the 
    disposal system during the regulatory time frame.
        (b) Assessments of mining effects may be limited to changes in the 
    hydraulic conductivity of the hydrogeologic units of the disposal 
    system from excavation mining for natural resources. Mining shall be 
    assumed to occur with a one in 100 probability in each century of the 
    regulatory time frame. Performance assessments shall assume that 
    mineral deposits of those resources, similar in quality and type to 
    those resources currently extracted from the Delaware Basin, will be 
    completely removed from the controlled area during the century in which 
    such mining is randomly calculated to occur. Complete removal of such 
    mineral resources shall be assumed to occur only once during the 
    regulatory time frame.
        (c) Performance assessments shall include an analysis of the 
    effects on the disposal system of any activities that occur in the 
    vicinity of the disposal system prior to disposal and are expected to 
    occur in the vicinity of the disposal system soon after disposal. Such 
    activities shall include, but shall not be limited to, existing 
    boreholes and the development of any existing leases that can be 
    reasonably expected to be developed in the near future, including 
    boreholes and leases that may be used for fluid injection activities.
        (d) Performance assessments need not consider processes and events 
    that have less than one chance in 10,000 of occurring over 10,000 
    years.
        (e) Any compliance application(s) shall include information which:
        (1) Identifies all potential processes, events or sequences and 
    combinations of processes and events that may occur during the 
    regulatory time frame and may affect the disposal system;
        (2) Identifies the processes, events or sequences and combinations 
    of processes and events included in performance assessments; and
        (3) Documents why any processes, events or sequences and 
    combinations of processes and events identified pursuant to paragraph 
    (e)(1) of this section were not included in performance assessment 
    results provided in any compliance application.
    
    
    Sec. 194.33  Consideration of drilling events in performance 
    assessments.
    
        (a) Performance assessments shall examine deep drilling and shallow 
    drilling that may potentially affect the disposal system during the 
    regulatory time frame.
        (b) The following assumptions and process shall be used in 
    assessing the likelihood and consequences of drilling events, and the 
    results of such process shall be documented in any compliance 
    application:
        (1) Inadvertent and intermittent intrusion by drilling for 
    resources (other than those resources provided by the waste in the 
    disposal system or engineered barriers designed to isolate such waste) 
    is the most severe human intrusion scenario.
        (2) In performance assessments, drilling events shall be assumed to 
    occur in the Delaware Basin at random intervals in time and space 
    during the regulatory time frame.
        (3) The frequency of deep drilling shall be calculated in the 
    following manner:
        (i) Identify deep drilling that has occurred for each resource in 
    the Delaware Basin over the past 100 years prior to the time at which a 
    compliance application is prepared.
        (ii) The total rate of deep drilling shall be the sum of the rates 
    of deep drilling for each resource.
        (4) The frequency of shallow drilling shall be calculated in the 
    following manner:
        (i) Identify shallow drilling that has occurred for each resource 
    in the Delaware Basin over the past 100 years prior to the time at 
    which a compliance application is prepared.
        (ii) The total rate of shallow drilling shall be the sum of the 
    rates of shallow drilling for each resource.
        (iii) In considering the historical rate of all shallow drilling, 
    the Department may, if justified, consider only the historical rate of 
    shallow drilling for resources of similar type and quality to those in 
    the controlled area.
        (c) Performance assessments shall document that in analyzing the 
    consequences of drilling events, the Department assumed that:
        (1) Future drilling practices and technology will remain consistent 
    with practices in the Delaware Basin at the time a compliance 
    application is prepared. Such future drilling practices shall include, 
    but shall not be limited to: The types and amounts of drilling fluids; 
    borehole depths, diameters, and seals; and the fraction of such 
    boreholes that are sealed by humans; and
        (2) Natural processes will degrade or otherwise affect the 
    capability of boreholes to transmit fluids over the regulatory time 
    frame.
        (d) With respect to future drilling events, performance assessments 
    need not analyze the effects of techniques used for resource recovery 
    subsequent to the drilling of the borehole.
    
    
    Sec. 194.34  Results of performance assessments.
    
        (a) The results of performance assessments shall be assembled into 
    ``complementary, cumulative distribution functions'' (CCDFs) that 
    represent the probability of exceeding various levels of cumulative 
    release caused by all significant processes and events.
        (b) Probability distributions for uncertain disposal system 
    parameter values used in performance assessments shall be developed and 
    documented in any compliance application.
        (c) Computational techniques, which draw random samples from across 
    the entire range of the probability distributions developed pursuant to 
    paragraph (b) of this section, shall be used in generating CCDFs and 
    shall be documented in any compliance application. 
    
    [[Page 5243]]
    
        (d) The number of CCDFs generated shall be large enough such that, 
    at cumulative releases of 1 and 10, the maximum CCDF generated exceeds 
    the 99th percentile of the population of CCDFs with at least a 0.95 
    probability. Values of cumulative release shall be calculated according 
    to Note 6 of Table 1, Appendix A of Part 191 of this chapter.
        (e) Any compliance application shall display the full range of 
    CCDFs generated.
        (f) Any compliance application shall provide information which 
    demonstrates that there is at least a 95 percent level of statistical 
    confidence that the mean of the population of CCDFs meets the 
    containment requirements of Sec. 191.13 of this chapter.
    
    Assurance Requirements
    
    
    Sec. 194.41  Active institutional controls.
    
        (a) Any compliance application shall include detailed descriptions 
    of proposed active institutional controls, the controls' location, and 
    the period of time the controls are proposed to remain active. 
    Assumptions pertaining to active institutional controls and their 
    effectiveness in terms of preventing or reducing radionuclide releases 
    shall be supported by such descriptions.
        (b) Performance assessments shall not consider any contributions 
    from active institutional controls for more than 100 years after 
    disposal.
    
    
    Sec. 194.42  Monitoring.
    
        (a) The Department shall conduct an analysis of the effects of 
    disposal system parameters on the containment of waste in the disposal 
    system and shall include the results of such analysis in any compliance 
    application. The results of the analysis shall be used in developing 
    plans for pre-closure and post-closure monitoring required pursuant to 
    paragraphs (c) and (d) of this section. The disposal system parameters 
    analyzed shall include, at a minimum:
        (1) Properties of backfilled material, including porosity, 
    permeability, and degree of compaction and reconsolidation;
        (2) Stresses and extent of deformation of the surrounding roof, 
    walls, and floor of the waste disposal room;
        (3) Initiation or displacement of major brittle deformation 
    features in the roof or surrounding rock;
        (4) Ground water flow and other effects of human intrusion in the 
    vicinity of the disposal system;
        (5) Brine quantity, flux, composition, and spatial distribution;
        (6) Gas quantity and composition; and
        (7) Temperature distribution.
        (b) For all disposal system parameters analyzed pursuant to 
    paragraph (a) of this section, any compliance application shall 
    document and substantiate the decision not to monitor a particular 
    disposal system parameter because that parameter is considered to be 
    insignificant to the containment of waste in the disposal system or to 
    the verification of predictions about the future performance of the 
    disposal system.
        (c) Pre-closure monitoring. To the extent practicable, pre-closure 
    monitoring shall be conducted of significant disposal system 
    parameter(s) as identified by the analysis conducted pursuant to 
    paragraph (a) of this section. A disposal system parameter shall be 
    considered significant if it affects the system's ability to contain 
    waste or the ability to verify predictions about the future performance 
    of the disposal system. Such monitoring shall begin as soon as 
    practicable; however, in no case shall waste be emplaced in the 
    disposal system prior to the implementation of pre-closure monitoring. 
    Pre-closure monitoring shall end at the time at which the shafts of the 
    disposal system are backfilled and sealed.
        (d) Post-closure monitoring. The disposal system shall, to the 
    extent practicable, be monitored as soon as practicable after the 
    shafts of the disposal system are backfilled and sealed to detect 
    substantial and detrimental deviations from expected performance and 
    shall end when the Department can demonstrate to the satisfaction of 
    the Administrator that there are no significant concerns to be 
    addressed by further monitoring. Post-closure monitoring shall be 
    complementary to monitoring required pursuant to applicable federal 
    hazardous waste regulations at parts 264, 265, 268, and 270 of this 
    chapter and shall be conducted with techniques that do not jeopardize 
    the containment of waste in the disposal system.
        (e) Any compliance application shall include detailed pre-closure 
    and post-closure monitoring plans for monitoring the performance of the 
    disposal system. At a minimum, such plans shall:
        (1) Identify the parameters that will be monitored and how baseline 
    values will be determined;
        (2) Indicate how each parameter will be used to evaluate any 
    deviations from the expected performance of the disposal system; and
        (3) Discuss the length of time over which each parameter will be 
    monitored to detect deviations from expected performance.
    
    
    Sec. 194.43  Passive institutional controls.
    
        (a) Any compliance application shall include detailed descriptions 
    of the measures that will be employed to preserve knowledge about the 
    location, design, and contents of the disposal system. Such measures 
    shall include:
        (1) Identification of the controlled area by markers that have been 
    designed and will be fabricated and emplaced to be as permanent as 
    practicable;
        (2) Placement of records in the archives and land record systems of 
    local, State, and Federal governments, and international archives, that 
    would likely be consulted by individuals in search of unexploited 
    resources. Such records shall identify:
        (i) The location of the controlled area and the disposal system;
        (ii) The design of the disposal system;
        (iii) The nature and hazard of the waste;
        (iv) Geologic, geochemical, hydrologic, and other site data 
    pertinent to the containment of waste in the disposal system, or the 
    location of such information; and
        (v) The results of tests, experiments, and other analyses relating 
    to backfill of excavated areas, shaft sealing, waste interaction with 
    the disposal system, and other tests, experiments, or analyses 
    pertinent to the containment of waste in the disposal system, or the 
    location of such information.
        (3) Other passive institutional controls practicable to indicate 
    the dangers of the waste and its location.
        (b) Any compliance application shall include the period of time 
    passive institutional controls are expected to endure and be 
    understood.
        (c) The Administrator may allow the Department to assume passive 
    institutional control credit, in the form of reduced likelihood of 
    human intrusion, if the Department demonstrates in the compliance 
    application that such credit is justified because the passive 
    institutional controls are expected to endure and be understood by 
    potential intruders for the time period approved by the Administrator. 
    Such credit, or a smaller credit as determined by the Administrator, 
    cannot be used for more than several hundred years and may decrease 
    over time. In no case, however, shall passive institutional controls be 
    assumed to eliminate the likelihood of human intrusion entirely.
    
    
    Sec. 194.44  Engineered barriers.
    
        (a) Disposal systems shall incorporate engineered barrier(s) 
    designed to prevent or substantially delay the movement of water or 
    radionuclides toward the accessible environment. 
    
    [[Page 5244]]
    
        (b) In selecting any engineered barrier(s) for the disposal system, 
    the Department shall evaluate the benefit and detriment of engineered 
    barrier alternatives, including but not limited to: Cementation, 
    shredding, supercompaction, incineration, vitrification, improved waste 
    canisters, grout and bentonite backfill, melting of metals, alternative 
    configurations of waste placements in the disposal system, and 
    alternative disposal system dimensions. The results of this evaluation 
    shall be included in any compliance application and shall be used to 
    justify the selection and rejection of each engineered barrier 
    evaluated.
        (c)(1) In conducting the evaluation of engineered barrier 
    alternatives, the following shall be considered, to the extent 
    practicable:
        (i) The ability of the engineered barrier to prevent or 
    substantially delay the movement of water or waste toward the 
    accessible environment;
        (ii) The impact on worker exposure to radiation both during and 
    after incorporation of engineered barriers;
        (iii) The increased ease or difficulty of removing the waste from 
    the disposal system;
        (iv) The increased or reduced risk of transporting the waste to the 
    disposal system;
        (v) The increased or reduced uncertainty in compliance assessment;
        (vi) Public comments requesting specific engineered barriers;
        (vii) The increased or reduced total system costs;
        (viii) The impact, if any, on other waste disposal programs from 
    the incorporation of engineered barriers (e.g., the extent to which the 
    incorporation of engineered barriers affects the volume of waste);
        (ix) The effects on mitigating the consequences of human intrusion.
        (2) If, after consideration of one or more of the factors in 
    paragraph (c)(1) of this section, the Department concludes that an 
    engineered barrier considered within the scope of the evaluation should 
    be rejected without evaluating the remaining factors in paragraph 
    (c)(1) of this section, then any compliance application shall provide a 
    justification for this rejection explaining why the evaluation of the 
    remaining factors would not alter the conclusion.
        (d) In considering the ability of engineered barriers to prevent or 
    substantially delay the movement of water or radionuclides toward the 
    accessible environment, the benefit and detriment of engineered 
    barriers for existing waste already packaged, existing waste not yet 
    packaged, existing waste in need of re-packaging, and to-be-generated 
    waste shall be considered separately and described.
        (e) The evaluation described in paragraphs (b), (c) and (d) of this 
    section shall consider engineered barriers alone and in combination.
    
    
    Sec. 194.45  Consideration of the presence of resources.
    
        Any compliance application shall include information that 
    demonstrates that the favorable characteristics of the disposal system 
    compensate for the presence of resources in the vicinity of the 
    disposal system and the likelihood of the disposal system being 
    disturbed as a result of the presence of those resources. If 
    performance assessments predict that the disposal system meets the 
    containment requirements of Sec. 191.13 of this chapter, then the 
    Agency will assume that the requirements of this section and 
    Sec. 191.14(e) of this chapter have been fulfilled.
    
    
    Sec. 194.46  Removal of waste.
    
        Any compliance application shall include documentation which 
    demonstrates that removal of waste from the disposal system is feasible 
    for a reasonable period of time after disposal. Such documentation 
    shall include an analysis of the technological feasibility of mining 
    the sealed disposal system, given technology levels at the time a 
    compliance application is prepared.
    
    Individual and Ground-water Protection Requirements
    
    
    Sec. 194.51  Consideration of protected individual.
    
        Compliance assessments that analyze compliance with Sec. 191.15 of 
    this chapter shall assume that an individual resides at the single 
    geographic point on the surface of the accessible environment where 
    that individual would be expected to receive the highest dose from 
    radionuclide releases from the disposal system.
    
    
    Sec. 194.52  Consideration of exposure pathways.
    
        In compliance assessments that analyze compliance with Sec. 191.15 
    of this chapter, all potential exposure pathways from the disposal 
    system to individuals shall be considered. Compliance assessments with 
    part 191, subpart C and Sec. 191.15 of this chapter shall assume that 
    individuals consume 2 liters per day of drinking water from any 
    underground source of drinking water in the accessible environment.
    
    
    Sec. 194.53  Consideration of underground sources of drinking water.
    
        In compliance assessments that analyze compliance with part 191, 
    subpart C of this chapter, all underground sources of drinking water in 
    the accessible environment that are expected to be affected by the 
    disposal system over the regulatory time frame shall be considered. In 
    determining whether underground sources of drinking water are expected 
    to be affected by the disposal system, underground interconnections 
    among bodies of surface water, ground water, and underground sources of 
    drinking water shall be considered.
    
    
    Sec. 194.54  Scope of compliance assessments.
    
        (a) Any compliance application shall contain compliance assessments 
    required pursuant to this part. Compliance assessments shall include 
    information which:
        (1) Identifies potential processes, events, or sequences of 
    processes and events that may occur over the regulatory time frame;
        (2) Identifies the processes, events, or sequences of processes and 
    events included in compliance assessment results provided in any 
    compliance application; and
        (3) Documents why any processes, events, or sequences of processes 
    and events identified pursuant to paragraph (a)(1) of this section were 
    not included in compliance assessment results provided in any 
    compliance application.
        (b) Compliance assessments of undisturbed performance shall include 
    the effects on the disposal system of:
        (1) Existing boreholes in the vicinity of the disposal system, with 
    attention to the pathways they provide for migration of radionuclides 
    from the site; and
        (2) Any activities that occur in the vicinity of the disposal 
    system prior to or soon after disposal. Such activities shall include, 
    but shall not be limited to: Existing boreholes and the development of 
    any existing leases that can be reasonably expected to be developed in 
    the near future, including boreholes and leases that may be used for 
    fluid injection activities.
    
    
    Sec. 194.55  Results of compliance assessments.
    
        (a) Compliance assessments shall consider and document uncertainty 
    in the performance of the disposal system.
        (b) Probability distributions for uncertain disposal system 
    parameter values used in compliance assessments shall be developed and 
    documented in any compliance application. 
    
    [[Page 5245]]
    
        (c) Computational techniques which draw random samples from across 
    the entire range of values of each probability distribution developed 
    pursuant to paragraph (b) of this section shall be used to generate a 
    range of:
        (1) Estimated committed effective doses received from all pathways 
    pursuant to Sec. 194.51 and Sec. 194.52;
        (2) Estimated radionuclide concentrations in USDWs pursuant to 
    Sec. 194.53; and
        (3) Estimated dose equivalent received from USDWs pursuant to 
    Sec. 194.52 and Sec. 194.53.
        (d) The number of estimates generated pursuant to paragraph (c) of 
    this section shall be large enough such that the maximum estimates of 
    doses and concentrations generated exceed the 99th percentile of the 
    population of estimates with at least a 0.95 probability.
        (e) Any compliance application shall display:
        (1) The full range of estimated radiation doses; and
        (2) The full range of estimated radionuclide concentrations.
        (f) Any compliance application shall document that there is at 
    least a 95 percent level of statistical confidence that the mean and 
    the median of the range of estimated radiation doses and the range of 
    estimated radionuclide concentrations meet the requirements of 
    Sec. 191.15 and part 191, subpart C of this chapter, respectively.
    
    Subpart D--Public Participation
    
    
    Sec. 194.61  Advance notice of proposed rulemaking for certification.
    
        (a) Upon receipt of a compliance application submitted pursuant to 
    section 8(d)(1) of the WIPP LWA and Sec. 194.11, the Agency will 
    publish in the Federal Register an Advance Notice of Proposed 
    Rulemaking announcing that a compliance application has been received, 
    soliciting comment on such application, and announcing the Agency's 
    intent to conduct a rulemaking to certify whether the WIPP facility 
    will comply with the disposal regulations.
        (b) A copy of the compliance application will be made available for 
    inspection in Agency dockets established pursuant to Sec. 194.67.
        (c) The notice will provide a public comment period of 120 days.
        (d) A public hearing concerning the notice will be held if a 
    written request is received by the Administrator or the Administrator's 
    authorized representative within 30 calendar days of the date of 
    publication pursuant to paragraph (a) of this section.
        (e) Any comments received on the notice will be made available for 
    inspection in the dockets established pursuant to Sec. 194.67.
        (f) Any comments received on the notice will be provided to the 
    Department and the Department may submit to the Agency written 
    responses to the comments.
    
    
    Sec. 194.62  Notice of proposed rulemaking for certification.
    
        (a) The Administrator will publish a Notice of Proposed Rulemaking 
    in the Federal Register announcing the Administrator's proposed 
    decision, pursuant to section 8(d)(1) of the WIPP LWA, whether to issue 
    a certification that the WIPP facility will comply with the disposal 
    regulations and soliciting comment on the proposal.
        (b) The notice will provide a public comment period of at least 120 
    days.
        (c) The notice will announce public hearings in New Mexico.
        (d) Any comments received on the notice will be made available for 
    inspection in the dockets established pursuant to Sec. 194.67.
    
    
    Sec. 194.63  Final rule for certification.
    
        (a) The Administrator will publish a Final Rule in the Federal 
    Register announcing the Administrator's decision, pursuant to section 
    8(d)(1) of the WIPP LWA, whether to issue a certification that the WIPP 
    facility will comply with the disposal regulations.
        (b) A document summarizing significant comments and issues arising 
    from comments received on the Notice of Proposed Rulemaking, as well as 
    the Administrator's response to such significant comments and issues, 
    will be prepared and will be made available for inspection in the 
    dockets established pursuant to Sec. 194.67.
    
    
    Sec. 194.64  Documentation of continued compliance.
    
        (a) Upon receipt of documentation of continued compliance with the 
    disposal regulations pursuant to section 8(f) of the WIPP LWA and 
    Sec. 194.11, the Administrator will publish a notice in the Federal 
    Register announcing that such documentation has been received, 
    soliciting comment on such documentation, and announcing the 
    Administrator's intent to determine whether or not the WIPP facility 
    continues to be in compliance with the disposal regulations.
        (b) Copies of documentation of continued compliance received by the 
    Administrator will be made available for inspection in the dockets 
    established pursuant to Sec. 194.67.
        (c) The notice will provide a public comment period of at least 30 
    days after publication pursuant to paragraph (a) of this section.
        (d) Any comments received on such notice will be made available for 
    public inspection in the dockets established pursuant to Sec. 194.67.
        (e) Upon completion of review of the documentation of continued 
    compliance with the disposal regulations, the Administrator will 
    publish a notice in the Federal Register announcing the Administrator's 
    decision whether or not to re-certify the WIPP facility.
    
    
    Sec. 194.65  Notice of proposed rulemaking for modification or 
    revocation.
    
        (a) If the Administrator determines that any changes in activities 
    or conditions pertaining to the disposal system depart significantly 
    from the most recent compliance application, the Agency will publish a 
    Notice of Proposed Rulemaking in the Federal Register announcing the 
    Administrator's proposed decision on modification or revocation, and 
    soliciting comment on the proposal.
        (b) Any comments received on the notice will be made available for 
    inspection in the dockets established pursuant to Sec. 194.67.
    
    
    Sec. 194.66  Final rule for modification or revocation.
    
        (a) The Administrator will publish a Final Rule in the Federal 
    Register announcing the Administrator's decision on modification or 
    revocation.
        (b) A document summarizing significant comments and issues arising 
    from comments received on the Notice of Proposed Rulemaking as well as 
    the Administrator's response to such significant comments and issues 
    will be prepared and will be made available for inspection in the 
    dockets established pursuant to Sec. 194.67.
    
    
    Sec. 194.67  Dockets.
    
        The Agency will establish and maintain dockets in the State of New 
    Mexico and Washington, DC. The dockets will consist of all relevant, 
    significant information received from outside parties and all 
    significant information considered by the Administrator in certifying 
    whether the WIPP facility will comply with the disposal regulations, in 
    certifying whether or not the WIPP facility continues to be in 
    compliance with the disposal regulations, and in determining whether 
    compliance certification should be modified, suspended or revoked.
    
    [FR Doc. 96-2721 Filed 2-8-96; 8:45 am]
    BILLING CODE 6560-50-P
    
    

Document Information

Effective Date:
4/9/1996
Published:
02/09/1996
Department:
Environmental Protection Agency
Entry Type:
Rule
Action:
Final rule.
Document Number:
96-2721
Dates:
These regulations are effective April 9, 1996. The incorporation of certain publications listed in the regulations is approved by the Director of the Office of the Federal Register as of April 9, 1996. A petition for judicial review of this final action must be filed no later than April 9, 1996 pursuant to section 18 of the WIPP Land Withdrawal Act of 1992 (Pub. L. 102-579).
Pages:
5224-5245 (22 pages)
Docket Numbers:
FRL-5418-5
RINs:
2060-AE30: Criteria for the Certif. and Determination of the Waste Isolation Pilot Plant's Compliance w/Environmental Stnds. for the Mgmt. and Disposal of Spent Nuclear Fuel, High-Level, & Transuranic
RIN Links:
https://www.federalregister.gov/regulations/2060-AE30/criteria-for-the-certif-and-determination-of-the-waste-isolation-pilot-plant-s-compliance-w-environm
PDF File:
96-2721.pdf
CFR: (58)
40 CFR 194.5.)
40 CFR 191.14(e)
40 CFR 191.15
40 CFR 194.11
40 CFR 194.52
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