97-6023. Registration of Fuels and Fuel Additives: Changes in Requirements, and Applicability to Blenders of Deposit Control Gasoline Additives  

  • [Federal Register Volume 62, Number 51 (Monday, March 17, 1997)]
    [Rules and Regulations]
    [Pages 12564-12572]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 97-6023]
    
    
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    ENVIRONMENTAL PROTECTION AGENCY
    40 CFR Part 79
    
    [FRL-5707-7]
    
    
    Registration of Fuels and Fuel Additives: Changes in 
    Requirements, and Applicability to Blenders of Deposit Control Gasoline 
    Additives
    
    AGENCY: Environmental Protection Agency.
    
    ACTION: Final rule.
    
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    SUMMARY: This action finalizes several specific changes to existing 
    regulations which require the registration and testing of designated 
    motor vehicle fuels and fuel additives (F/FAs) by their manufacturers. 
    Included are changes to the regulatory definitions of ``fuel 
    manufacturer,'' ``additive,'' and ``small business,'' as well as 
    modifications to grouping rules for biodiesel and synthetic fuels. 
    These changes will streamline F/FA registration and testing burdens and 
    reduce the number of respondents, while maintaining the informational 
    value of the program and its contributions to the public health and 
    environmental goals of the Clean Air Act.
        Another previously proposed change, to establish a de minimis 
    provision for F/FAs containing certain ``atypical'' elements, is not 
    addressed in this action. However, in a direct final rule also 
    published elsewhere in this issue of the Federal Register, certain 
    deadlines related to testing of atypical F/FAs are extended while EPA 
    determines the most appropriate disposition of the de minimis proposal.
    
    EFFECTIVE DATE: This action will be effective on May 16, 1997.
    
    ADDRESSES: Documents related to this final rule have been placed in 
    Public Docket No. A-90-07 located at the U.S. EPA, Air Docket Section, 
    Room M-1500, 401 M Street S.W., Washington, DC 20460. The docket is 
    open for public inspection from 8:00 a.m. until 5:30 p.m., Monday 
    through Friday, except on Federal holidays. A reasonable fee may be 
    charged for photocopying.
    
    FOR FURTHER INFORMATION CONTACT: Jim Caldwell (202-233-9303) or Joseph 
    Fernandes (202-233-9016), U.S. EPA, Office of Mobile Sources, Fuels and 
    Energy Division, Mail Code 6406J, 401 M Street SW, Washington, DC 
    20460.
    
    SUPPLEMENTARY INFORMATION: Electronic copies of this rule and earlier 
    rulemaking documents related to the F/FA Registration Program are 
    available free of charge on EPA's Technology Transfer Network Bulletin 
    Board System (TTNBBS, phone access 919-541-5742) and on the Internet 
    (http://www.epa.gov/omswww). Parties requiring assistance may call Mr. 
    Fernandes at (202) 233-9016.
    
    I. Regulated Entities
    
        Regulated categories and entities potentially affected by this 
    action include:
    
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                    Category                  Examples of regulated entities
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    Industry...............................  Manufacturers of gasoline and  
                                              diesel fuel.                  
                                             Manufacturers of additives for 
                                              gasoline and diesel fuel.     
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        This table is not intended to be exhaustive, but rather provides a 
    guide for readers regarding entities likely to be regulated by this 
    action. This table lists the types of entities that EPA is now aware 
    could potentially be regulated by this action. Other types of entities 
    not listed in the table could also be regulated. To determine whether 
    your entity is regulated by this action, you should carefully examine 
    this preamble and the changes to the regulatory text. You should also 
    carefully examine all provisions of the registration program at 40 CFR 
    part 79.
    
    II. Introduction
    
    A. Background
    
        The F/FA registration program is authorized by section 211 of the 
    Clean Air Act (CAA) and codified in 40 CFR part 79. In accordance with 
    CAA sections 211(a) and (b)(1), basic registration requirements 
    applicable to gasoline and diesel fuels and their additives were issued 
    in 1975. These regulations require manufacturers to submit information 
    on their F/FA products, such as the commercial identity, chemical 
    composition, purpose-in-use, and range of concentration, in order to 
    have such products registered by the EPA.
        Additional registration requirements, implementing sections 
    211(b)(2) and (e), were proposed in April 1992 and
    
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    February 1994 (57 FR 13168 and 59 FR 8886, respectively) and were 
    finalized on June 27, 1994 (59 FR 33042). The additional regulations 
    require manufacturers, as part of their F/FA registration 
    responsibilities, to conduct tests and submit information on the health 
    effects of their F/FA products. These requirements are organized within 
    three tiers. Tier 1 requires analysis of the combustion and evaporative 
    emissions of F/FAs and a survey of existing scientific information on 
    the public health and welfare effects of these emissions. To the extent 
    that adequate test data are not already available (as defined in the 
    regulations), Tier 2 requires manufacturers to conduct specified 
    toxicology tests to screen for potential adverse health effects of the 
    F/FA emissions. Additional testing may be required under Tier 3 at 
    EPA's discretion.
        The rule also includes several provisions to reduce the information 
    collection and testing burdens. Among these provisions is a voluntary 
    grouping and cost sharing program which allows manufacturers of similar 
    F/FAs to pool their resources and efforts in complying with the 
    requirements. Special provisions for small manufacturers are also 
    included.
        On July 11, 1996, EPA published a Notice of Proposed Rulemaking 
    (NPRM, 61 FR 36535), proposing several specific changes to the F/FA 
    registration regulations.\1\ The proposed modifications were designed 
    to reduce the number of respondents and streamline the requirements of 
    the program. For example, EPA proposed to change the definition of a 
    fuel manufacturer so that the addition of a small volume of an additive 
    to fuel would not by itself cause a party to be considered a fuel 
    manufacturer. EPA also proposed to change the definition of an additive 
    to exclude substances composed solely of carbon and/or hydrogen. 
    Together, these two proposals were expected to relieve hundreds of 
    businesses from existing regulatory responsibilities to register and 
    test F/FAs. Other proposals potentially affected small businesses, 
    biodiesel and synthetic fuel manufacturers, and manufacturers of 
    atypical F/FAs (i.e., those containing elements other than carbon, 
    hydrogen, oxygen, nitrogen, and sulfur). In response to the NPRM, EPA 
    received 43 written comments, which are available in the docket for 
    public review.
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        \1\ In addition to the NPRM, a direct final rule, ``Registration 
    of Fuels and Fuel additives: Minor Changes to the Testing 
    Requirements for Registration,'' appeared in the same issue of the 
    Federal Register (61 FR 36506, July 11, 1996). Another technical 
    change was promulgated in a subsequent direct final rule, 
    ``Registration of Fuels and Fuel Additives: Minor Revisions'' (61 FR 
    58744, November 18, 1996).
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    B. Today's Actions
    
        This final rule promulgates most of the revisions proposed in the 
    NPRM of July 11, 1996. The specific regulatory revisions are discussed 
    in Sections III through VII of this preamble, including analyses of the 
    public comments related to each issue.
        One of the provisions which EPA proposed in the NPRM was a de 
    minimis provision, which would delete standard Tier 2 requirements for 
    certain atypical F/FAs when the atypical elements are present at very 
    low concentrations. Additives qualifying for this de minimis provision 
    were proposed to be those containing no atypical elements other than 
    aluminum, boron, calcium, sodium, zinc, magnesium, phosphorus, 
    potassium, and/or iron, where the total of these elements would not 
    exceed 25 parts per million when the additive is mixed in fuel at the 
    maximum recommended concentration.
        The proposed de minimis provision is not finalized in today's 
    action, but is still under consideration. EPA received significant 
    public comment about all aspects of the proposal, and has not yet fully 
    analyzed the suggestions therein. Nevertheless, EPA is aware that this 
    delay in resolving the de minimis issue might result in significant 
    uncertainty for manufacturers of atypical additives, who do not know 
    whether EPA will finalize the proposed exemption or what the scope of 
    the final exemption might be, but who nonetheless face regulatory 
    deadlines in the near future. In particular, all F/FA manufacturers 
    (except some small businesses and others qualifying for specific 
    exemptions or alternative deadlines) are required by May 27, 1997 to 
    either (1) submit the results of completed Tier 2 testing to EPA, or 
    (2) demonstrate the existence of suitable arrangements for Tier 2 test 
    completion by May 27, 2000. However, if EPA does adopt a de minimis 
    provision in a future rulemaking action, some atypical manufacturers 
    would not be subject to these Tier 2 requirements.
        To permit EPA to consider all issues raised in response to the 
    proposed provision, without any unnecessary adverse impact on the 
    manufacturers, EPA is publishing elsewhere in this issue of the Federal 
    Register a direct final rule, extending each of the two deadlines 
    related to Tier 2 testing by 18 months, for all atypical F/FAs.2 
    Thus, during the time needed by EPA to complete its determination of 
    the most appropriate disposition of the de minimis proposal, 
    potentially-affected manufacturers will be relieved of compliance 
    deadlines which might no longer apply to them. EPA estimates that the 
    18-month extension will be adequate for the Agency to complete its 
    analysis and publish a final rule (or other notification as 
    appropriate), while still leaving sufficient time for manufacturers of 
    atypical F/FAs to comply with any applicable requirements to secure 
    contractual arrangements for timely completion of Tier 2 testing.
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        \2\ Deadlines for requirements not proposed to be affected by 
    the de minimis provision (i.e., Tier 1 and potential Alternative 
    Tier 2 and/or Tier 3 requirements) are not affected by these 
    extensions.
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    III. Fuel Manufacturer and Additive Definitions
    
    A. Background
    
        In the NPRM of July 11, 1996, EPA proposed several changes 
    affecting the definition of a fuel additive and the definition of a 
    fuel manufacturer. These changes were intended to ease regulatory 
    burdens by reducing the number of entities subject to F/FA registration 
    responsibilities and by streamlining certain registration requirements.
        First, EPA proposed to revise the definition of an additive (at 
    Sec. 79.2(e)) to exclude substances composed solely of carbon and/or 
    hydrogen. The proposed change would reinstate the definition that was 
    in effect prior to the final rule of May 27, 1994, and would provide 
    regulatory relief to perhaps hundreds of companies considered to be 
    ``fuel manufacturers'' only because they add common hydrocarbon stocks 
    to finished fuels.
        Similarly, EPA proposed to revise the definition of a fuel 
    manufacturer (at 79.2(d)) to exclude those parties whose 
    ``manufacturing'' activity consists only of adding small amounts of 
    detergent and/or other performance additives to fuel. Specifically, EPA 
    proposed that parties which merely add additives in amounts accounting 
    for less than 1 percent by volume of the resulting additive/fuel 
    mixture would not be considered fuel manufacturers by virture of this 
    activity. In such cases, the registration and testing requirements for 
    the additives themselves are already being met by the responsible 
    additive manufacturers. Thus, including as fuel manufacturers those 
    entities whose only relevant activity is the blending of such additives 
    into fuel has the effect of
    
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    increasing the number of F/FA registration respondents while yielding 
    little incremental information to EPA.
        The proposed ``one-percent solution'' described above would not 
    change the registration responsibilities of parties who add oxygenates 
    in amounts sufficient to produce mixtures categorized as non-
    baseline.\3\ EPA judged that it is generally appropriate for 
    manufacturers of oxygenated fuels to share (along with oxygenate 
    manufacturers) the responsibility for registering and testing these 
    mixtures. The blending of oxygenates in relatively large volumes can 
    cause substantive changes in the basic properties, emission 
    composition, and toxic potential of the fuel. Furthermore, in the case 
    of most oxygenates, the blending is accomplished ``upstream'' by fuel 
    refiners and importers. Thus, other manufacturing activities besides 
    the addition of oxygenate generally define these blenders as fuel 
    manufacturers and make them responsible for F/FA registration and 
    testing requirements.
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        \3\ As specified in Sec. 79.56(e)(3), non-baseline F/FAs contain 
    (among other criteria) no elements in addition to carbon, hydrogen, 
    oxygen, nitrogen, and sulfur, and, in the case of gasoline F/FAs, 
    contain 1.5 percent or more oxygen by weight, and, in the case of 
    diesel F/FAs, contain 1.0 percent or more oxygen by weight.
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        However, certain physical properties prevent transport of ethanol-
    containing fuel through the pipeline distribution system, so that 
    ethanol must be added to fuel downstream rather than at the refinery. 
    In addition to refiners and importers, therefore, many ethanol blenders 
    are terminal operators and truckers who are considered ``fuel 
    manufacturers'' only because of their oxygenate-blending activity. Some 
    of these entities qualify for the small business exemption at 
    79.58(d)(2), which exempts them from Tier 1 and Tier 2 testing 
    responsibilities. As fuel manufacturers, however, they must still 
    comply with the reporting requirements of the F/FA registration 
    program. As pointed out in the NPRM, these requirements may constitute 
    a significant paperwork burden for such respondents, while adding 
    little information to EPA in regard to oxygenated fuels beyond that 
    which is available through other program reporting mechanisms.
        Recognizing the unique market structure for ethanol blending 
    activities, EPA proposed to revise the fuel manufacturer definition to 
    exclude oxygenate blenders who meet the regulatory definition of a 
    small business. For convenient reference, it was also proposed that the 
    definition of ``oxygenate compound'' at 40 CFR 79.50 also be 
    incorporated at 40 CFR 79.2(k).
    
    B. Summary of Comments and Final Actions
    
        Comments about the proposed definition changes were overwhelmingly 
    supportive and, with some modification, EPA is finalizing them in 
    today's action. The modifications are discussed below.
        Several commenters said that the proposed new definition of a fuel 
    manufacturer could be misinterpreted as excluding or changing the 
    requirements of fuel refiners and importers, in addition to entities 
    whose fuel ``manufacturing'' activity is limited to the blending of 
    additives or oxygenates into fuel. EPA did not intend the proposed 
    changes to affect any of the existing registration and testing 
    responsibilities of refiners and importers for any of the fuel 
    formulations they produce or blend. Accordingly, the regulatory 
    language for the revised definitions has been modified to eliminate the 
    potential ambiguity.
        Some commenters said that all oxygenate blenders other than 
    refiners and importers should be excluded from the definition of a fuel 
    manufacturer, not just those oxygenate blenders which are small 
    businesses (docket items VII-D-06, VII-D-12, VII-D-14). They stated 
    that this broad exemption would level the playing field among blenders 
    without impeding the development of health effects data, since 
    oxygenate manufacturers and major fuel refiners and importers would 
    retain this responsibility.
        EPA has carefully considered the commenters' arguments in relation 
    to other provisions of the F/FA registration and testing program. The 
    program is structured around the concept that business entities which 
    profit from the sale of a F/FA product should generally share 
    responsibility for its potential effects on the public health and 
    welfare. Such businesses have thus been required to share in the 
    burdens associated with determining these potential effects. However, 
    this general principle is tempered by various provisions which 
    recognize that other factors, such as characteristics of the F/FA 
    marketplace and distribution system, must also be taken into account 
    when assigning the regulatory burdens. For example, the special 
    provision for relabeled additives (Sec. 79.58(a)) provides an exemption 
    based on the position of a business entity in the product marketing and 
    distribution chain. The special provisions for small businesses 
    (Sec. 79.58(d)) also grant exemptions based upon financial and 
    marketplace factors. Moreover, provisions finalized in today's action 
    permit this exemption to ``pass through'' to customers of small 
    businesses, regardless of the size of the customers, to prevent 
    disruption of marketplace relationships (see section IV.B, below).
        EPA's proposal to exclude as fuel manufacturers those oxygenate 
    blenders who meet small business criteria would certainly provide 
    additional regulatory relief to this financial segment of the industry. 
    However, as pointed out by the commenters, the proposed change would 
    not fully resolve the underlying problem it was intended to address: 
    The regulation's unequal impact on different segments of the oxygenate 
    marketplace.
        EPA identified this in the NPRM as the basic problem which was 
    proposed to be addressed through regulatory revision. Specifically, in 
    the background discussion provided in the NPRM, EPA described the 
    oxygenate marketplace characteristics which created the need for the 
    proposed change as follows: ``In the case of oxygenates other than 
    ethanol, the oxygenate is generally added to gasoline at the fuel 
    refinery, before the gasoline is distributed through the pipeline. 
    These `upstream' blenders tend to be relatively limited in number, and 
    often are large fuel manufacturing businesses. Ethanol, on the other 
    hand, is generally prohibited from transport through the pipeline * * 
    *, and must be added to the fuel downstream. Thus, rather than being 
    blended by relatively few fuel refiners, ethanol is added to fuel by 
    large numbers of terminal operators, fuel halers, and some fuel 
    retailers * * *'' (61 FR 36537).
        EPA thus recognized in the NPRM that, among the various fuel 
    oxygenates, only ethanol blending involved numerous entities other than 
    importers and refiners. Logically, the inclusion of oxygenate blenders 
    as fuel manufacturers when they are not otherwise fuel importers or 
    refiners has a potentially greater disruptive impact on the ethanol 
    marketplace than on the market for other oxygenates. To alleviate some 
    of this imbalance, EPA proposed in the NPRM to exempt small oxygenate 
    blenders from the fuel manufacturer definition, noting that many of the 
    entities involved in ethanol blending already qualify for small 
    business exemptions and thus have requirements limited only to 
    paperwork submittal. However, upon reconsideration, EPA agrees with the 
    commenters that a more equitable outcome can be attained by exempting 
    all entities whose only ``manufacturing'' activity is the blending of 
    oxygenate. This would restrict the
    
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    regulatory responsibility for registration and testing of ethanol and 
    ethanol blends to the same types of business entities that are subject 
    to these requirements with respect to other oxygenates and oxygenate 
    blends, i.e., oxygenate manufacturers, fuel refiners, and importers.
        Thus, for the reasons discussed above, this final rule revises the 
    definition of a fuel manufacturer to specifically exclude oxygenate 
    blenders, regardless of their size, if they are not also fuel refiners 
    or importers.
    
    IV. Small Business Provisions
    
    A. Tax-Based Revenue
    
        Under Sec. 79.58(d), qualification for the F/FA program's small 
    business provisions is based in part on a manufacturer's total annual 
    sales revenue: a $50 million limit for manufacturers of baseline and 
    non-baseline F/FAs, and a $10 million limit for manufacturers of 
    atypical F/FAs. After these criteria were promulgated, communications 
    from trade organizations (docket item VI-D-05) suggested that the total 
    sales limits should be revised to take tax effects into account. These 
    organizations pointed out that sales and excise taxes accumulate as the 
    fuel passes along the refining-distribution-marketing chain, but are 
    generally not included in the price paid for the fuel (nor in the gross 
    sales revenue of the seller) until the fuel is marketed at the retail 
    level. The accumulated sales and excise taxes may represent a 
    considerable portion of a small retailer's fuel-related sales revenues. 
    Thus, the commenters said, small marketers would be disadvantaged in 
    comparison with small refiners and other upstream businesses unless 
    these tax effects were reflected in the small business definition.
        EPA found these arguments persuasive, and proposed to change 
    Sec. 79.58(d) to allow revenue representing the collection of taxes to 
    be excluded from a manufacturer's total annual sales for the purpose of 
    qualifying as a small business. EPA also proposed to revise 
    Sec. 79.59(b)(5)(ii) to require the submittal, at EPA's request, of 
    documentation showing the validity of sales amounts excluded as taxes. 
    All comments received about these proposals (docket items VII-D-02, 
    VII-D-06, and VII-D-21) were supportive, and the proposed regulatory 
    changes are finalized in today's final rule.
    
    B. Extension of Applicability of Tier 2 Exemption
    
        Under the existing regulations, it is possible for the manufacturer 
    of an additive to be exempt from Tier 2 testing requirements under the 
    special provisions for small businesses, while larger fuel 
    manufacturers who buy and blend this additive into fuel do not qualify 
    for the exemption and must still test the additive/fuel mixture. As 
    described in the NPRM, this combination of circumstances has led to 
    awkward and unintended outcomes. EPA thus proposed to revise 
    Sec. 79.58(d) to exempt fuel manufacturers from Tier 2 requirements 
    arising from the use of an additive which is itself exempt from Tier 2 
    under the small business provisions.
        The one comment received on this issue (docket item VII-D-27) was 
    supportive. However, the commenter suggested that the ``pass through'' 
    of the Tier 2 exemption should apply not only to parties who blend an 
    exempted additive into fuel, but also to other additive manufacturers 
    who buy and blend the exempted additive with other additives and then 
    bring the resulting multifunctional additive to the marketplace. The 
    commenter was concerned that non-exempt customers who are secondary 
    additive manufacturers, just like those who are fuel manufacturers, 
    might stop purchasing the additive in lieu of having to conduct their 
    own Tier 2 testing.
        EPA agrees that this situation falls within the intent of the 
    proposal. That is, passing the Tier 2 exemption through to secondary 
    additive manufacturers as well as fuel manufacturers will help preserve 
    the business base of small additive manufacturers by shielding their 
    customers from Tier 2 requirements. The new regulatory language at 
    Sec. 79.58(d)(6) extends the applicability of the small business 
    exemption accordingly. However, the ``pass through'' of the Tier 2 
    exemption to secondary additive manufacturers only applies if the 
    secondary manufacturer blends the exempted additive with one or more 
    other registered additives and/or substances containing only carbon 
    and/or hydrogen. This approach is consistent with the conditions 
    qualifying for exemption from periodic additive reporting requirements, 
    under Sec. 79.5(b).
    
    C. Small Business Definition Basis
    
        While supportive of the tax-related changes discussed above, one 
    commenter also said that the small business definition should be 
    further changed, such that only fuel-related revenue would be included 
    in determining whether a business is considered ``small'' for the 
    purpose of this program (docket item VII-D-02). The revenue amounts 
    specified in the small business definition adopted in May 1994 were 
    selected to strike a reasonable balance between EPA's scientific (and 
    statutorily-mandated) need for information and the financial ability of 
    responsible business entities to provide that information. Thus, the 
    revenue cut-off points were selected on the basis of the total sales 
    revenue of the ultimate parent companies of registered F/FA 
    manufacturers. EPA did not propose to change this basic aspect of the 
    small business definition, and is not addressing this issue in this 
    rulemaking.
    
    V. Biodiesel Provisions
    
    A. Background
    
        Biodiesel fuels and most blends of bio-and conventional diesel fuel 
    contain more than 1.0 weight percent oxygen and thus, according to 
    Sec. 79.56(e)(3)(ii)(B), fall into the non-baseline diesel category. 
    Under Sec. 79.56(e)(4)(ii)(B)(2), as adopted in May 1994, biodiesel 
    fuels derived from vegetable oil (``mixed alkyl esters of plant 
    origin'') are grouped separately from biodiesel fuels derived from 
    animal fat (``mixed alkyl esters of animal origin''). For each group, 
    the representative to be used in health effects testing is required to 
    be that member product with the highest maximum recommended 
    concentration reported in its registration data. During testing, the 
    selected product is to be used at this maximum concentration.
        In the rule promulgated in May, 1994, EPA established the two 
    separate biodiesel groups because of concern that the composition of 
    animal-derived and vegetable-derived fuels might differ considerably, 
    and thus might demonstrate different toxicological properties. Both 
    vegetable oil and animal fat are composed of triglycerides, and the 
    process used to convert the triglycerides to fuel (i.e., an 
    esterification process in which an alcohol is reacted with fat or oil) 
    is the same for both. As discussed in the preamble to the May 1994 
    rule, EPA understood that up to 3.0 percent of the resulting chemical 
    mixture may be composed of non-esterified reactants, other reaction 
    products, and possible contaminants, and EPA was concerned that these 
    components could vary significantly between the different feedstocks.
        In subsequent communications with EPA (see docket item VI-E-01), 
    representatives of the industry asserted that biodiesel produced from 
    different lipid sources are substantially the same. As a result of its 
    evaluation of these arguments, EPA proposed to revise the
    
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    grouping rules in Sec. 79.56(e)(4)(ii)(B)(2) to permit animal-and 
    vegetable-derived biodiesels to be grouped together. EPA requested 
    comment on this proposed change, as well as data comparing the 
    composition and emissions of biodiesel fuels derived from different 
    feedstocks.
        In the NPRM, EPA also requested comment on a possible change to the 
    rule governing the biodiesel blend selected to serve as the group 
    representative, such that a particular percent blend would be specified 
    (e.g., 100 percent or 20 percent) rather than requiring the highest 
    concentration registered for a biodiesel product to be used. Comments 
    were also requested on the practicality of different blend options with 
    respect to their compatibility with test vehicles or engines.
    
    B. Summary of Comments
    
        Comments submitted by the National Biodiesel Board (NBB) and the 
    Fats and Proteins Research Foundation, Inc. (FPRF) supported the 
    proposal to permit biodiesel F/FAs derived from animal fats, vegetable 
    fats, used/recycled vegetable oils, fats and greases to be consolidated 
    into one group (Docket items VII-D-17 and VII-D-19). NBB and FPRF 
    commented that biodiesel F/FAs from these various sources have similar 
    composition. They stated that the primary difference is a shift in the 
    composition of saturated fatty esters, e.g., soybean oil is typically 
    12-15 percent saturated while tallow is typically 50 percent saturated. 
    NBB stated that this difference appears to have little effect on 
    biodiesel emission characteristics, and submitted a recent study 
    demonstrating that these fuels respond in a similar manner when burned 
    in a diesel engine.\4\ The FPRF commented that it would be inconsistent 
    with the treatment of petroleum-based fuels and economically 
    detrimental to biodiesel manufacturers to require duplicate testing for 
    different biofuels.
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        \4\ Van Gerpen, J. Comparison of the Engine Performance and 
    Emission Characteristics of Vegetable Oil-Based and Animal Fat-Based 
    BIodiesel. Iowa State University, August 1996. (Docket item VII-D-
    19).
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        In regard to EPA's concerns about the non-esterified portion of 
    biodiesel, NBB noted that the American Society for Testing and 
    Materials (ASTM) Biodiesel Task force (within Committee D2, Section E2 
    on diesel fuels) has been working actively to develop and promulgate a 
    standard for biodiesel. According to NBB, the ASTM standard will 
    minimize any source-related differences which might exist in the non-
    ester fraction. The standard is expected to set a minimum conversion of 
    the starting fats and oils to 97.9% ester product, based on the free 
    and total glycerine specification. NBB said that the remaining 2.1% of 
    non-ester materials is nearly all composed of partially reacted lipids, 
    primarily monoglycerides and diglycerides. Under the ASTM standard, 
    trace byproducts would be limited in composition and amount by ash, 
    flashpoint, free glycerine, acid value, carbon residue, and sediment 
    specifications. The NBB suggested that, once the ASTM standard for 
    biodiesel is finalized, the Agency should incorporate it into the 
    specifications for the biodiesel group representative.
        In response to EPA's request for comment about the most appropriate 
    biodiesel blend for use in health effects testing, one commenter 
    (docket item VII-D-28) felt that testing should be done on a 
    formulation which reflects the levels at which biodiesel would actually 
    be expected to be blended, i.e., 20 percent or less. On the other hand, 
    the NBB supported the choice of 100 percent biodiesel as the group 
    representative. NBB said that valid approximations of the potential 
    health effects of biodiesel blends may be determined from utilizing 
    data resulting from the testing of base diesel fuel and 100 percent 
    biodiesel, extrapolating the data based on scientific observations of 
    the linear trends of emissions. NBB stated that the use of 100 percent 
    biodiesel in health effects testing need not be precluded by concerns 
    about engine compatibility, so long as recognized problems (i.e., 
    accelerated deterioration of fuel hoses and fuel pump seals) are 
    addressed in the testing protocol. However, NBB also noted that the 
    potential market applications for biodiesel range from less than 5 
    percent for low blend/premium diesel to 100 percent applications in 
    marine and underground mining markets. Vehicles subject to urban bus 
    and/or clean fuel fleet regulatory programs are likely to operate on 20 
    percent blends due to operating performance features such as increased 
    lubricity and economic competitiveness vis-a-vis other alternative 
    fuels. Off-road markets such as underground mining and marine will 
    likely use blends approaching 100 percent in order to comply with 
    environmental and safety regulations.
    
    C. Analysis and Conclusions
    
        While the available data are not comprehensive, EPA agrees with 
    industry commenters that plant- and animal-derived biodiesel fuels 
    appear to have generally similar chemical composition. It is EPA's 
    understanding that, whether the feedstock is plant or animal, the 
    nonesterified fraction of biofuel is mostly composed of partially 
    reacted lipids of different chain lengths, primarily monoglycerides and 
    diglycerides. EPA is encouraged to learn that ASTM is developing 
    compositional standards designed to ensure biodiesel quality. For the 
    reasons discussed in the previous section, the ASTM standards, when 
    finalized, should serve to further limit both the amount and chemical 
    variability of non-ester components and any other differences that may 
    exist between biodiesel fuels derived from plant and animal feedstocks. 
    Thus, the Agency's earlier concern about the possible variation in non-
    ester components depending on plant or animal lipid source is largely 
    allayed.
        For these reasons, grouping of biodiesel F/FAs based upon their 
    plant vs. animal feedstock origin does not appear to be warranted at 
    this time. Accordingly, as proposed, the Agency is today revising the 
    grouping rule for biodiesel F/FAs to permit plant and animal biodiesel 
    F/FAs to group together and be represented by one group representative 
    for compliance with Tier 1 and Tier 2 testing requirements.
        Nevertheless, EPA wishes to emphasize that the data currently 
    available do not demonstrate equivalent composition and emission 
    characteristics across all biodiesel formulations. In fact, significant 
    variations may exist even within the same feedstock. For example, 
    soybeans grown under different climatological conditions may have 
    different chemical compositions and, therefore, could have different 
    emission profiles. The potential use of waste cooking oils and recycled 
    grease as biodiesel feedstocks may also present cause for concern. In 
    addition to lipid source, the identity of the alcohol used in the 
    biodiesel production process may also have significant effects on both 
    regulated and unregulated emissions. Furthermore, if the proposed ASTM 
    standards for biodiesel fuels are not finalized, or if the final 
    standards do not provide the expected level of biodiesel quality 
    control, then additional variability concerns are likely to arise.
        It is important to recall, therefore, that Tiers 1 and 2 are 
    largely intended to provide screening-level information. Under the Tier 
    3 testing authority specified in 79.54, EPA may require not only 
    follow-up testing on the group representative which underwent Tier 1 
    and Tier 2 testing, but also may require testing of one or more other 
    members of a group. Thus, even though this final rule will allow all 
    biodiesel F/FAs to
    
    [[Page 12569]]
    
    group together and be represented in Tier 1 and Tier 2 testing by one 
    test substance, EPA is not precluded from requiring any other 
    vegetable-derived, animal-derived, or other biodiesel F/FAs to undergo 
    separate testing in the future under the Tier 3 authority.
        In regard to selecting the biodiesel group representative, EPA has 
    decided that 100 percent biofuel is most appropriate for the screening 
    purposes of Tiers 1 and 2. EPA has received industry assurances, both 
    in written comments (docket item VII-D-19) and in follow-up 
    communications,\5\ that the use of 100 percent biofuel does not require 
    significant engine modifications. Furthermore, while 20 percent 
    biodiesel formulations are expected to predominate in the commercial 
    marketplace during the short term, both lower and higher percent blends 
    may see greater market penetration in the future. For example, the 
    state of Iowa has announced plans for a one-year trial of five percent 
    biodiesel fuel in its vehicle fleet.\6\ At the other extreme, some 
    biodiesel manufacturers have registered blends of up to 50 percent, and 
    100 percent biofuels are anticipated for certain nonroad applications.
    ---------------------------------------------------------------------------
    
        \5\ See memorandum of December 6, 1996 from Joseph Sopata to 
    Docket A-90-07, entitled, ``Phone Conversations with Leroy Watson of 
    the National Biodiesel Board (NBB).''
        \6\ ``Iowa DOT to Use 5% blends of Biodiesel in State Fleet,'' 
    Oxyfuel News, Vol VIII, No. 45, Page 6, November 18, 1996.
    ---------------------------------------------------------------------------
    
        In view of the diversity of biodiesel fuel blend percentages and 
    the uncertainty about future usage patterns, EPA believes that Tier 1 
    and Tier 2 testing on 100 percent biofuel will provide the most useful 
    and widely applicable screening information. These tests will furnish a 
    detailed profile of the emissions produced during the combustion of 
    biofuel itself as well as screening information on the potential 
    toxicity of these emissions. Such data can be expected to help inform 
    EPA's initial evaluation, not only of 100 percent biofuel, but also of 
    various percentage biodiesel fuels. It must be noted, however, that EPA 
    does not accept the biodiesel industry's suggestion that such data can 
    just be extrapolated to give valid approximations of the effects of 
    various biodiesel blends. This suggestion implicitly assumes that the 
    emissions generated by any given biodiesel percentage blend are simply 
    the weighted sum of the emissions generated separately by baseline 
    diesel fuel and 100 percent biofuel, without regard to possible 
    interactions between them. To strengthen the credibility of this 
    assumption, detailed characterization of the combustion emissions from 
    biodiesel blends would be required. EPA therefore encourages the 
    biodiesel industry group to consider conducting, on a voluntary basis, 
    emission characterization tests on one or more biodiesel percentage 
    blends, parallel to the Tier 1 testing required to be run on the 100 
    percent biofuel group representative. If submitted to EPA along with 
    the required Tier 1 submittal, such information could help to allay 
    EPA's concerns about the possible variability of different biodiesel 
    blends.
        A direct final rule published elsewhere in this issue of the 
    Federal Register (see discussion in section II.B of this preamble) 
    includes a change extending the Tier 1 deadline for biodiesel F/FAs to 
    one year from today's date. Interested readers should consult that 
    notice for additional information.
    
    VI. Synthetic Fuel Provisions
    
    A. Background
    
        Under Secs. 79.56(e)(3) (i)(B) and (ii)(B), a fuel derived from any 
    source other than conventional petroleum is assigned to a non-baseline 
    category. Further, under Sec. 79.56(e)(4)(ii) (A)(3) and (B)(3), 
    separate non-baseline groups are defined for formulations derived in 
    whole or in part from each non-conventional source or process, 
    including coal, tar or oil sands, shale, and recycled chemical or 
    petrochemical products. The objective of these grouping provisions was 
    to assure separate testing for fuels which EPA expected would differ 
    from conventional fuels in composition or other properties, and which 
    therefore might have different public health impacts.
        Following promulgation of the regulations in May 1994, EPA received 
    communications from some affected industries (e.g., see docket items 
    VI-D-02 and VI-D-03), indicating that fuels derived from ``synthetic'' 
    feedstocks (``synfuels'') do not necessarily differ from fuels derived 
    from conventional petroleum sources. Based on this information, EPA 
    solicited substantive comment and supporting data relevant to possible 
    revision of the rules for grouping these fuels. Several alternatives 
    were discussed in the proposal, including (1) case-by-case assignment 
    of a synfuel to a baseline or non-baseline group, determined by 
    comparative compositional analysis, (2) baseline or non-baseline 
    assignment determined by the proportion of the final fuel derived from 
    a non-conventional source, and (3) elimination of the distinction 
    between conventional petroleum and some or all non-conventional crude 
    sources as a criterion for group assignment. Changes to the rules for 
    selecting group representatives were also proposed. In addition, EPA 
    proposed to eliminate the phrase ``non-conventional process'' as a 
    grouping criterion [in Secs. 79.56(e)(4) (ii)(A)(3) and (ii)(B)(3)], 
    because the phrase was open to misinterpretation and confusion.
    
    B. Summary of Comments
    
        EPA received over twenty written comments on these issues, all 
    strongly in favor of removing the general distinction between synthetic 
    and conventional sources as a criterion for group assignment. Some 
    commenters provided analytic data and other information showing that 
    properties of crude oil derived from tar (or oil) sands are well within 
    the range for conventional crude and that, after processing, these 
    fuels are frequently lower in sulfur, olefins, and metal content than 
    conventional fuels (see, for example, docket items VII-D-03, VII-D-04, 
    VII-D-15, VII-D-25, VII-D-29, VII-D-34, VII-D-42). Commenters pointed 
    out that commercialized synfuels are subject to the same EPA 
    regulations and industry specifications (e.g., ASTM and pipeline 
    requirements) as conventional fuels, and are totally commingled and 
    fungible with them. They felt that grouping based on the proportion of 
    synthetically-derived component would therefore not only be arbitrary, 
    but would create unjustifiable market restrictions.
        Information submitted in regard to coal-derived fuels similarly 
    supported their categorization as baseline fuels, without respect to 
    blend ratio. One commenter, reporting the results of a recent analysis 
    of fuels derived from coal liquefaction processes, stated that these 
    distillates are similar to petroleum in terms of hydrocarbon 
    composition and are of adequate quality to be blended directly into 
    refinery streams (docket item VII-D-41). The U.S. Department of 
    Energy's Pittsburgh Energy Technology Center submitted data (docket 
    item VII-D-43) showing that coal-derived Fischer-Tropsch diesel fuels 
    were superior to petroleum-derived fuels in terms of performance 
    (higher cetane number and lower aromatic content) and ``cleanliness'' 
    (heteroatom composition and paraffin distribution).
    
    C. Conclusions
    
        EPA has reviewed the qualitative and quantitative information 
    submitted by the commenters and agrees that motor vehicle fuels derived 
    from oil or tar sands or synthesized from coal appear
    
    [[Page 12570]]
    
    to fall within the broad range of properties  and  components  of  
    other  F/FAs that are categorized as baseline. Today's final rule 
    deletes fuels derived from these sources from the list of 
    synthetically-derived fuels considered to be non-baseline, thus 
    allowing them to join the baseline F/FA groups. As noted in section 
    V.C. of this preamble, however, EPA retains the authority in Sec. 79.54 
    to require additional testing at the Tier 3 level, including testing of 
    different representative(s) of a group than those tested at the Tier 1 
    and/or Tier 2 level. For example, under Tier 3, EPA could require 
    special analyses of the composition or emissions of members of the 
    baseline F/FA group that are derived from non-conventional sources. 
    Separate toxicology testing of these or other group members could also 
    be required under Tier 3.
        In addition to the change described above, today's final rule 
    deletes ``non-conventional process'' from the non-baseline grouping 
    criteria. No comments were received regarding the grouping of motor 
    vehicle fuels which might be synthesized from shale or from recycled or 
    other petrochemical sources (e.g., used motor oils, recovered chemical 
    spills, recycled plastics, industrial waste streams), and EPA has not 
    changed the grouping rules or group representative specifications for 
    these fuels.
    
    VII. Tier I Exposure Analysis
    
        In the NPRM, EPA proposed to delete the Tier 1 requirement [at 
    Sec. 79.52(c)] to provide a qualitative discussion of potential public 
    exposure to F/FA emission products. Since it was to be based on data 
    already required to be submitted for registration (e.g., annual and 
    projected production volume, marketing,  and  distribution  data  for  
    F/FA products), EPA concluded upon review that the required discussion 
    would add little or no incremental value to other data requirements. 
    Public commenters agreed that this requirement was redundant and should 
    be deleted.
        In this final rule, therefore, EPA has deleted Sec. 79.52(c) and 
    modified the introductory paragraph in Sec. 79.52(a) accordingly. 
    Deletion of this Tier 1 requirement does not in any way imply that EPA 
    considers population exposure data to be unimportant. On the contrary, 
    information on exposures is necessary for quantitative risk assessment. 
    However, rigorous population exposure studies that would be useful to 
    risk assessment are complex, expensive, and beyond the intended scope 
    of the Tier 1 and Tier 2 screening requirements. As described above and 
    in the proposed rule, the information that was to be submitted under 
    the original Tier 1 requirement would generally be based on production 
    and sales data. The resulting qualitative analysis would be only 
    inferentially related to actual population exposure and, in any case, 
    is already available to EPA in manufacturers' basic registration data 
    submittals (see Secs. 79.59(b) (2) and (3)). As such, it would be 
    duplicative and of little incremental value in assessing risk.
    
    VIII. Administrative Requirements
    
    A. Administrative Designation and Regulatory Analysis
    
        Under Executive Order 12866 (58 FR 51735, Oct. 4, 1993), the Agency 
    must determine whether this regulatory action is ``significant'' and 
    therefore subject to OMB review and the requirements of the Executive 
    Order. The order defines ``significant regulatory action'' as any 
    regulatory action 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, EPA has determined 
    that this direct final rule is not a ``significant regulatory action''. 
    In fact, the provisions finalized by this action will decrease the 
    number of parties to which these regulations apply and will reduce the 
    requirements and costs of other parties subject to the regulations.
    
    B. Regulatory Flexibility
    
        The Regulatory Flexibility Act (RFA) generally requires an agency 
    to conduct a regulatory flexibility analysis of any rule subject to 
    notice and comment rulemaking requirements unless the agency certifies 
    that the rule will not have a significant impact on a substantial 
    number of small entities. Small entities include small businesses, 
    small not-for-profit enterprises, and small governmental jurisdictions. 
    This rule will reduce or eliminate the reporting and testing 
    requirements for many small businesses, and will simplify compliance 
    and reduce potential testing requirements for all affected parties.
    
    C. Paperwork Reduction Act
    
        Per the Paperwork Reduction Act 44 U.S.C. 3501 et seq., and 
    implementing regulations, 5 CFR part 1320, this action does not involve 
    the addition of any collection of information as defined therein.
    
    D. Unfunded Mandates Reform Act
    
        Under section 202 of the Unfunded Mandates Reform Act of 1995 
    (``Unfunded Mandates Act''), signed into law on March 22, 1995, EPA 
    must prepare a budgetary impact statement to accompany any proposed or 
    final rule that includes a Federal mandate that may result in 
    expenditure by State, local, and tribal governments, in the aggregate; 
    or by the private sector, of $100 million or more. Under Section 205, 
    EPA must select the most cost-effective and least burdensome 
    alternative that achieves the objectives of the rule and is consistent 
    with statutory requirements. Section 203 requires EPA to establish a 
    plan for informing and advising any small governments that may be 
    significantly or uniquely impacted by the rule.
        EPA has determined that the action promulgated today does not 
    include a federal mandate that may result in estimated costs of $100 
    million or more to either State, local, or tribal governments in the 
    aggregate, or to the private sector. This final rule does not establish 
    regulatory requirements that may significantly or uniquely affect small 
    governments. In fact, this final rule has the net effect of reducing 
    the burden of the fuel and fuel additive registration program on 
    regulated entities. Therefore, the requirements of the Unfunded 
    Mandates Act do not apply.
    
    E. Submission to Congress and the General Accounting Office
    
        Under 5 U.S.C. 801(a)(1)(A) as added by the Small Business 
    Regulatory Enforcement Fairness Act of 1996, EPA submitted a report 
    containing this rule and other required information to the U.S. Senate, 
    the U.S. House of Representatives and the Comptroller General of the 
    General Accounting Office prior to publication of the rule in today's 
    Federal Register. This rule is not a ``major rule'' as defined by 5 
    U.S.C. 804(2).
    
    List of Subjects in 40 CFR Part 79
    
        Environmental protection, Fuel additives, Gasoline, Motor vehicle
    
    [[Page 12571]]
    
    pollution, Penalties, Reporting and recordkeeping requirements.
    
        Dated: March 4, 1997.
    Carol M. Browner,
    Administrator.
    
        For the reasons set out in the preamble, part 79 of chapter I of 
    title 40 of the Code of Federal Regulations is amended as follows:
    
    PART 79--[AMENDED]
    
        1. The authority citation for part 79 continues to read as follows:
    
        Authority: 42 U.S.C. 7414, 7524, 7545 and 7601.
    
        2. Section 79.2 is amended by revising paragraphs (d) and (e) and 
    by adding paragraph (k), to read as follows:
    
    
    Sec. 79.2  Definitions.
    
    * * * * *
        (d) Fuel manufacturer means any person who, for sale or 
    introduction into commerce, produces, manufactures, or imports a fuel 
    or causes or directs the alteration of the chemical composition of a 
    bulk fuel, or the mixture of chemical compounds in a bulk fuel, by 
    adding to it an additive, except:
        (1) A party (other than a fuel refiner or importer) who adds a 
    quantity of additive(s) amounting to less than 1.0 percent by volume of 
    the resultant additive(s)/fuel mixture is not thereby considered a fuel 
    manufacturer.
        (2) A party (other than a fuel refiner or importer) who adds an 
    oxygenate compound to fuel in any otherwise allowable amount is not 
    thereby considered a fuel manufacturer.
        (e) Additive means any substance, other than one composed solely of 
    carbon and/or hydrogen, that is intentionally added to a fuel named in 
    the designation (including any added to a motor vehicle's fuel system) 
    and that is not intentionally removed prior to sale or use.
    * * * * *
        (k) Oxygenate compound means an oxygen-containing, ashless organic 
    compound, such as an alcohol or ether, which may be used as a fuel or 
    fuel additive.
        3. Section 79.52 is amended by revising the first sentence in 
    paragraph (a) and removing and reserving paragraph (c), to read as 
    follows:
    
    
    Sec. 79.52  Tier 1.
    
        (a) General Specifications. Tier 1 requires manufacturers of 
    designated fuels or fuel additives (or groups of manufacturers pursuant 
    to Sec. 79.56) to supply to the Administrator the identity and 
    concentration of certain emission products of such fuels or additives 
    and any available information regarding the health and welfare effects 
    of the whole and speciated emissions of such fuels or additives. * * *
    * * * * *
        4. Section 79.56 is amended by revising paragraphs (e)(3)(i)(A)(5), 
    (e)(3)(i)(B), (e)(3)(ii)(A)(5), (e)(3)(ii)(B), (e)(4)(ii)(A)(3) 
    introductory text, (e)(4)(ii)(A)(3)(i), (e)(4)(ii)(B)(1), 
    (e)(4)(ii)(B)(1), (e)(4)(ii)(B)(2) introductory text, 
    (e)(4)(ii)(B)(2)(ii), (e)(4)(ii)(B)(3) introductory text, and 
    (e)(4)(ii)(B)(3)(i); and by adding paragraph (e)(4)(ii)(B)(2)(iv) to 
    read as follows:
    
    
    Sec. 79.56  Fuel and fuel additive grouping system.
    
    * * * * *
        (e) * * *
        (3) * * *
        (i) * * *
        (A) * * *
        (5) Derived only from conventional petroleum, heavy oil deposits, 
    coal, tar sands, and/or oil sands.
        (B) The Non-Baseline Gasoline category is comprised of gasoline 
    fuels and associated additives which conform to the specifications in 
    paragraph (e)(3)(i)(A) of this section for the Baseline Gasoline 
    category except that they contain 1.5 percent or more oxygen by weight 
    and/or may be derived from sources other than those listed in paragraph 
    (e)(3)(i)(A)(5) of this section.
    * * * * *
        (ii) * * *
        (A) * * *
        (5) Derived only from conventional petroleum, heavy oil deposits, 
    coal, tar sands, and/or oil sands.
        (B) The Non-Baseline Diesel category is comprised of diesel fuels 
    and associated additives which conform to the specifications in 
    paragraph (e)(3)(ii)(A) of this section for the Baseline Diesel 
    category except that they contain 1.0 percent or more oxygen by weight 
    and/or may be derived from sources other than those listed in paragraph 
    (e)(3)(ii)(A)(5) of this section.
    * * * * *
        (4) * * *
        (ii) * * *
        (A) * * *
        (3) Separate non-baseline gasoline groups shall also be defined for 
    gasoline formulations derived from each particular petroleum source not 
    listed in paragraph (e)(3)(i)(A)(5) of this section.
        (i) Such groups may include, but are not limited to, those derived 
    from shale, used oil, waste plastics, and other recycled chemical/
    petrochemical products.
    * * * * *
        (B) * * *
        (1) For diesel fuel and additive products which contain 1.0 percent 
    or more oxygen by weight in the form of alcohol(s) and/or ether(s):
        (i) A separate non-baseline diesel group shall be defined by each 
    individual alcohol or ether listed as a component in the registration 
    application or basic registration data of any such fuel or additive.
        (ii) For each such group, the representative to be used in testing 
    shall be a formulation consisting of the diesel base fuel blended with 
    the relevant alcohol or ether in an amount equivalent to the highest 
    actual or recommended concentration-in-use of the alcohol or ether 
    recorded in the basic registration data of any member fuel or additive 
    product.
        (2) A separate non-baseline diesel group is also defined for each 
    of the following classes of oxygenating compounds: mixed nitroso-
    compounds; mixed nitro-compounds; mixed alkyl nitrates; mixed alkyl 
    nitrites; peroxides; furans; mixed alkyl esters of plant and/or animal 
    origin (biodiesel). For each such group, the representative to be used 
    in testing shall be formulated as follows:
    * * * * *
        (ii) The selected compound shall be the one recorded in any member 
    product's registration application with the highest actual or 
    recommended maximum concentration-in-use.
    * * * * *
        (iv) The compound thus selected shall be the group representative, 
    and shall be used in testing at the following concentration:
        (A) For biodiesel groups, the representative shall be 100 percent 
    biodiesel fuel.
        (B) Otherwise, the group representative shall be the selected 
    compound mixed into diesel base fuel at the maximum recommended 
    concentration-in-use.
        (3) Separate non-baseline diesel groups shall also be defined for 
    diesel formulations derived from each particular petroleum source not 
    listed in paragraph (e)(3)(i)(A)(5) of this section.
        (i) Such groups may include, but are not limited to, those derived 
    from shale, used oil, waste plastics, and other recycled chemical/
    petrochemical products.
    * * * * *
        5. Section 79.58 is amended by revising the last sentence of 
    paragraph (d)(1) and adding paragraph (d)6), to read as follows:
    
    
    Sec. 79.58  Special provisions.
    
    * * * * *
    
    [[Page 12572]]
    
        (d) * * *
        (1) * * * Total annual sales means the average of the 
    manufacturer's total sales revenue, excluding any revenue which 
    represents the collection of federal, state, or local excise taxes or 
    sales taxes, in each of the three years prior to such manufacturer's 
    submittal to EPA of the basic registration information pursuant to 
    Sec. 79.59(b)(2) through (b)(5).
    * * * * *
        (6) In the case of an additive for which the manufacturer is not 
    required to meet the requirements of Tier 2 pursuant to paragraph 
    (d)(3) of this section:
        (i) A fuel manufacturer which blends such an additive into fuel 
    shall not be required to meet the requirements of Tier 2 with respect 
    to such additive/fuel mixture.
        (ii) An additive manufacturer which blends such an additive with 
    one or more other registered additive products and/or with substances 
    containing only carbon and/or hydrogen shall not be required to meet 
    the requirements of Tier 2 with respect to such additive or additive 
    blend.
    * * * * *
    
    
    Sec. 79.59  [Amended]
    
        6. Section 79.59 is amended by removing paragraph (c)(4)(iii) and 
    by removing and reserving paragraph (c)(7)(iii).
    
    [FR Doc. 97-6023 Filed 3-14-97; 8:45 am]
    BILLING CODE 6560-50-P
    
    
    

Document Information

Effective Date:
5/16/1997
Published:
03/17/1997
Department:
Environmental Protection Agency
Entry Type:
Rule
Action:
Final rule.
Document Number:
97-6023
Dates:
This action will be effective on May 16, 1997.
Pages:
12564-12572 (9 pages)
Docket Numbers:
FRL-5707-7
PDF File:
97-6023.pdf
CFR: (12)
40 CFR 79.59(b)(2)
40 CFR 79.59(b)(5)(ii)
40 CFR 79.52(c)]
40 CFR 79.58(d)(6)
40 CFR 79.58(d)
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