96-11165. National Emission Standards for Hazardous Air Pollutants; National Emission Standard for Radon Emissions From Phosphogypsum Stacks  

  • [Federal Register Volume 61, Number 90 (Wednesday, May 8, 1996)]
    [Proposed Rules]
    [Pages 20775-20779]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-11165]
    
    
    
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    ENVIRONMENTAL PROTECTION AGENCY
    
    40 CFR Part 61
    
    [FRL-5468-4]
    RIN 2060-AF04
    
    
    National Emission Standards for Hazardous Air Pollutants; 
    National Emission Standard for Radon Emissions From Phosphogypsum 
    Stacks
    
    AGENCY: Environmental Protection Agency.
    
    ACTION: Proposed rule; Notice of Reconsideration.
    
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    SUMMARY: On March 24, 1994, EPA announced its decision concerning a 
    petition by The Fertilizer Institute (TFI) seeking reconsideration of a 
    June 3, 1992 final rule revising the National Emission Standard for 
    Radon Emissions from Phosphogypsum Stacks, 40 CFR Part 61, Subpart R. 
    EPA partially granted and partially denied the TFI petition for 
    reconsideration. Pursuant to that decision, EPA is convening a 
    rulemaking to reconsider 40 CFR 61.205, the provision of the final rule 
    which governs distribution and use of phosphogypsum for research and 
    development, and the methodology utilized under 40 CFR 61.207 to 
    establish the average radium-226 concentration for phosphogypsum 
    removed from a phosphogypsum stack. This document identifies proposed 
    changes to be considered as part of this reconsideration and specific 
    underlying issues on which EPA seeks further comment.
    
    DATES: Comments concerning this proposed rule must be received by EPA 
    on or before July 8, 1996. EPA will hold a public hearing concerning 
    this proposed rule in Washington, D.C. if a request for a hearing is 
    received by EPA by June 7, 1996. In the event a hearing is requested, 
    EPA will publish a separate notice specifying the date and location of 
    the hearing.
    
    ADDRESSES: Comments should be submitted (in duplicate if possible) to: 
    Air and Radiation Docket and
    
    [[Page 20776]]
    
    Information Center, 6102, U.S. Environmental Protection Agency, 401 M 
    St., S.W., Washington, D.C. 20460, Attn: Air Docket No. A-94-57. 
    Requests for a public hearing should be made in writing to the 
    Director, Radiation Protection Division, 6602J, Office of Radiation and 
    Indoor Air, Environmental Protection Agency, 401 M St., S.W., 
    Washington, D.C. 20460. Requests may also be faxed to EPA at (202) 233-
    9629.
    
    FOR FURTHER INFORMATION CONTACT: Jacolyn Dziuban, Center for Federal 
    Guidance and Air Standards (6602J), Office of Radiation and Indoor Air, 
    Environmental Protection Agency, Washington, DC 20460 (202) 233-9474.
    
    SUPPLEMENTARY INFORMATION:
    
    Docket
    
        Docket No. A-79-11 contains the public record supporting the final 
    rule revising 40 CFR Part 61, Subpart R, which EPA issued in 1992 (57 
    FR 23305, June 3, 1992). It also contains the August 3, 1992 TFI 
    petition which led to the initiation of this rulemaking, and the EPA 
    response partially granting and partially denying the TFI petition (59 
    FR 14040, March 24, 1994). Docket No. A-94-57 contains certain 
    documents upon which this proposal is based. These dockets are 
    available for public inspection between the hours of 8 a.m. and 4 p.m., 
    Monday through Friday, in room M1500 of Waterside Mall, 401 M Street, 
    SW, Washington, DC 20460. A reasonable fee may be charged for copying.
    
    I. Background
    
    A. Description of Phosphogypsum
    
        Phosphogypsum is a waste byproduct which results from the wet 
    process of producing phosphoric acid from phosphate rock. Phosphogypsum 
    stacks are piles of waste or mines utilized to store and dispose of 
    phosphogypsum. Because phosphate ore contains a relatively high 
    concentration of uranium and radium, phosphogypsum piles also contain 
    high levels of these elements. The vast majority of piles are located 
    in Florida, although other states also involved in phosphate rock 
    production include Idaho, North Carolina, Tennessee, Utah, Alabama and 
    Wyoming.
    
    B. Regulatory History
    
    1. The December 15, 1989 Standard
        On December 15, 1989, EPA published a National Emission Standard 
    for Hazardous Air Pollutants (NESHAP) applicable to radon emissions 
    from phosphogypsum stacks, 40 CFR Part 61, Subpart R (54 FR 51654, 
    December 15, 1989) (Subpart R). As part of that standard, EPA adopted a 
    work practice requirement that all phosphogypsum be disposed of in 
    stacks, thereby permitting control and measurement of gaseous radon-222 
    which is emitted when the radium present in the phosphogypsum decays.
        Subsequent to the issuance of Subpart R, EPA received petitions for 
    reconsideration from The Fertilizer Institute (TFI), Consolidated 
    Minerals, Inc., and U.S. Gypsum Company. These petitioners objected to 
    the requirement that all phosphogypsum be disposed and managed in 
    stacks, because it precluded various alternative uses of phosphogypsum, 
    including use of phosphogypsum in agriculture, construction, and 
    research and development. Because EPA had not fully considered the 
    implications of its work practice standard for alternative uses, EPA 
    agreed to convene a reconsideration proceeding in which the risks 
    associated with alternative uses and the procedures under which 
    alternative uses might be permitted could be evaluated (54 FR 9612, 
    March 7, 1989).
        Rather than setting forth one specific proposal for revision of 
    Subpart R, EPA requested comment on a variety of substantive issues, 
    including specific types of proposed alternative uses of phosphogypsum 
    and the health risks associated with these alternative uses. EPA also 
    requested comment on four general options for regulation of alternative 
    uses: (1) no change in the work practice requirement, (2) changing the 
    definition of phosphogypsum to exclude from the work practice 
    requirement material with radium-226 concentrations up to 10 
    picocuries/gram (pCi/g), (3) permitting use of phosphogypsum in 
    research and development on processes to remove radium from the 
    phosphogypsum, and (4) permitting alternative use of phosphogypsum only 
    after specific permission from EPA.
    2. The June 3, 1992 Revision of Subpart R
        After analyzing the risks associated with the various alternative 
    uses of phosphogypsum which were proposed and evaluating the comments 
    which were received, EPA issued a final rule revising Subpart R (57 FR 
    23305, June 3, 1992). The approach which EPA ultimately adopted was a 
    hybrid of the options it had previously identified. For phosphogypsum 
    use in agriculture, EPA decided that it would be impractical to require 
    case-by-case approval. Based on its analysis of potential risks 
    associated with long-term use of phosphogypsum in agriculture, EPA set 
    a maximum upper limit of 10 pCi/g for radium-226 in phosphogypsum 
    distributed for use in agriculture. Rather than excluding material at 
    or below 10 pCi/g from the standard, EPA established sampling, 
    measurement, and certification procedures permitting such material to 
    be removed from stacks and sold for agricultural use. Based on an 
    analysis of potential risks associated with the research and 
    development use, EPA decided to permit the use of up to 700 pounds of 
    phosphogypsum for a particular research and development activity. EPA 
    also decided to adopt procedures permitting approval of other uses of 
    phosphogypsum on a case-by-case basis.
        After EPA issued its final rule concluding the reconsideration 
    proceeding and revising Subpart R, The Fertilizer Institute (TFI) 
    sought judicial review of the 1992 revisions of Subpart R in The 
    Fertilizer Institute v. Environmental Protection Agency, No. 92-1320 
    (D.C. Cir.). TFI also filed a petition dated August 3, 1992 seeking 
    further reconsideration of the revisions of the rule pursuant to Clean 
    Air Act Section 307(d)(7)(B). TFI, EPA, and ManaSota-88, another 
    petitioner who sought review of the 1992 rule in ManaSota-88 v. 
    Browner, No. 92-1330 (D.C. Cir.), later reached an agreement to jointly 
    move the D.C. Circuit Court of Appeals to stay judicial review of the 
    1992 rule, and the Court granted the motion. As part of that agreement, 
    EPA agreed to make a final decision whether to grant or to deny the TFI 
    petition for reconsideration. After a careful review of all of the 
    objections set forth in the petition for reconsideration, EPA decided 
    to partially deny and to partially grant the petition (59 FR 14040, 
    March 24, 1994).
    
    II. Standard for Reconsideration
    
        Under Clean Air Act Section 307(d)(7)(B), the EPA Administrator is 
    required to convene a reconsideration proceeding if: (1) the person 
    raising an objection to a rule can demonstrate to the Administrator 
    that it was impracticable to raise such objection within the time 
    permitted for public comment or the grounds for the objection arose 
    after the period for public comment, and (2) if the Administrator 
    determines that the objection is of central relevance to the outcome of 
    the rule. Therefore, reconsideration is not required if the objections 
    by a petitioner were raised or could reasonably have been raised during 
    the pendency of the rulemaking. Moreover, even in the circumstance
    
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    where a particular objection could not have been raised earlier, 
    reconsideration is not required if EPA determines that such objections 
    would not have altered the outcome of the rule had they been raised 
    earlier.
        In the notice announcing the Agency's decision to partially deny 
    and partially grant TFI's Petition for Reconsideration (59 FR 14040, 
    March 24, 1994), EPA concluded that most of the objections raised by 
    TFI did not warrant convening a reconsideration proceeding, but that 
    some of the objections by TFI did warrant reconsideration of certain 
    provisions of the 1992 rule. EPA found that many of the technical and 
    policy objections by TFI to the EPA analysis of the potential risks of 
    phosphogypsum use were not of central relevance to the outcome of the 
    1992 rule, and that some of the other policy objections could have been 
    raised during the public comment period. Therefore, EPA denied the 
    petition for those objections.
        EPA also determined, as explained in the March 24, 1994 notice, 
    that it was not practicable for TFI to raise some of its objections 
    during the previous reconsideration proceeding, and that these 
    objections might have affected the content of the 1992 rule had they 
    been raised during the comment period. EPA therefore concluded that 
    these specific objections were of central relevance to the outcome of 
    the 1992 rule for the specific provisions of the rule which they 
    concern, and stated that the Agency would convene a rulemaking to 
    reconsider these provisions of the rule.
    
    III. Issues To Be Reconsidered
    
    A. The 700 Pound Limitation
    
        In the EPA analysis of potential risks associated with the research 
    and development use of phosphogypsum upon which the 1992 revisions of 
    Subpart R were based, EPA assumed that all of the free radon generated 
    by phosphogypsum containing 26 pCi/g radium-226 would be released to 
    one small laboratory room. As part of its analysis of the TFI petition, 
    EPA concluded that most laboratory experiments using phosphogypsum 
    would not result in such a high emanation rate. In addition, EPA 
    discovered during its review of the TFI petition that the EPA analysis 
    upon which the 1992 rule was based erroneously assumed that five 700 
    pound drums would be stored or utilized in the same area of the 
    laboratory, even though only a single 700 pound drum limit was 
    permitted by the 1992 rule. Based on these two factors, EPA decided 
    that it would be appropriate to reassess the risks associated with the 
    use of phosphogypsum in laboratory research and development activities 
    and to reconsider the 700 pound limitation in light of that 
    reassessment. The Agency's new risk assessment for laboratory use of 
    phosphogypsum entitled ``Addendum--Risk Assessment for Research and 
    Development Uses'' of Phosphogypsum has been included in the docket for 
    this proposed rule and may also be obtained from the EPA contact person 
    listed at the beginning of this notice.
        The new EPA risk assessment for laboratory use of phosphogypsum 
    concludes that use of 700 pounds of phosphogypsum is expected to cause 
    an increase in lifetime cancer risk for the researchers working with 
    this material of approximately 1.2 x 10-6 for each year of 
    exposure. If it is assumed that a researcher might work with this 
    phosphogypsum in a laboratory for 10 years, this would result in a 
    total increase in lifetime cancer risk for that researcher of 
    approximately 1 x 10-5. Utilizing the two-step process for 
    determining the emission level which would provide an ``ample margin of 
    safety'' which was established by the Court in the vinyl chloride 
    decision, Natural Resources Defense Council v. EPA, 824 F.2d 1146 (D.C. 
    Cir. 1987), EPA has determined in some prior instances that increases 
    in lifetime cancer risk of approximately 1 x 10-4 are acceptable. 
    However, the second step of the methodology required by the vinyl 
    chloride decision involves considering the economic feasibility of 
    further reductions in exposure and the associated risks. Therefore, to 
    properly apply this methodology in selecting an appropriate limit, EPA 
    must determine whether there are circumstances where it would be 
    helpful to researchers to utilize quantities of phosphogypsum greater 
    than 700 pounds in a laboratory setting. EPA is specifically requesting 
    comments on whether any individual believes it would be useful to use 
    more than the current limit of 700 pounds of phosphogypsum in any 
    single laboratory research and development project and if so, what 
    practical advantages a higher limit would provide.
        In its petition, TFI also argued that it was not clear from the 
    text of the 1992 rule whether more than one research and development 
    activity utilizing 700 pounds of phosphogypsum would be permitted at a 
    single facility, as well as whether or not a single research activity 
    would be limited to a total of 700 pounds or only to 700 pounds at any 
    given time for a given activity. EPA responded that multiple research 
    and development activities each utilizing 700 pounds of phosphogypsum 
    would be permitted at a single facility, and that the 700 pound limit 
    applies only to the amount of phosphogypsum on hand at any given time. 
    However, the request for clarification by TFI also underscores another 
    limitation in the risk assessment supporting the 1992 rule. The EPA 
    risk analysis failed to consider that a given laboratory worker might 
    be exposed to radiation as a result of more than one research and 
    development activity utilizing phosphogypsum. Therefore, EPA is 
    requesting comment on whether there should be any limit on multiple 
    research and development activities at a single facility or by a 
    particular investigator.
        Since multiple research and development activities involving use of 
    phosphogypsum may be undertaken in the same laboratory or at the same 
    facility, EPA believes that it may be difficult for researchers, as 
    well as enforcement personnel, to clearly distinguish between the 
    phosphogypsum intended for use in different research and development 
    activities. In view of this difficulty, it may be simpler and less 
    cumbersome to establish a single quantitative limit for the total 
    amount of phosphogypsum which may be utilized for all research and 
    development activities at a single facility. If quantities of 
    phosphogypsum in excess of the present limit of 700 pounds would be 
    useful for a particular research activity, a single larger limit for 
    all activities could afford greater flexibility, while still limiting 
    the overall radon exposure and cancer risk. The Agency's new risk 
    assessment for laboratory use of phosphogypsum suggests that an overall 
    limit per facility of 7000 pounds of phosphogypsum would assure that no 
    individual has an increased cancer risk over a ten year period in 
    excess of 1 x 10-4. Therefore, EPA is requesting comment on 
    whether it would be preferable to establish a single aggregate limit on 
    laboratory use of phosphogypsum for research and development purposes 
    at each facility, rather than a separate limit for each individual 
    experiment.
    
    B. Use Outside of a Laboratory Setting
    
        In its petition for reconsideration, TFI argued that the limitation 
    of 700 pounds of phosphogypsum for each specific research and 
    development activity effectively bans research activities in the field. 
    EPA responded that 40 CFR Section 61.205 was designed to permit 
    research and development activities involving phosphogypsum to proceed 
    in the laboratory, not to authorize large scale field research. The 
    risk assessment
    
    [[Page 20778]]
    
    underlying the research and development provision in the 1992 rule 
    considered the potential hazard of radon exposure for laboratory 
    workers, but it did not and could not consider those other risks to 
    humans or the environment which might result from research activities 
    utilizing phosphogypsum in the field. It was always the Agency's 
    expectation that proposals to conduct field studies utilizing 
    phosphogypsum would be submitted for EPA approval pursuant to 40 CFR 
    Section 61.206, and EPA has in fact approved field research under this 
    provision since promulgation of the 1992 rule. Accordingly, EPA is also 
    proposing to clarify the language of 40 CFR Section 61.205 to limit 
    that provision to research and development activities undertaken in a 
    controlled laboratory setting.
    
    C. Sampling and Certification Requirements for Laboratory Use
    
        In its petition, TFI objected to the requirement that owners or 
    operators conduct sampling or measurement of radium-226 and include 
    such information in certification documents accompanying the 
    phosphogypsum distributed for use in research and development. TFI 
    noted correctly that there is no quantitative limit on the amount of 
    radium-226 which phosphogypsum distributed for the research and 
    development use may contain. Because there is no upper limit on the 
    amount of radium permitted in phosphogypsum distributed for research 
    and development use, EPA has assumed in its analysis of potential risks 
    associated with such use that the phosphogypsum would contain high 
    levels of radium. EPA believes that in most instances analysis of the 
    radium-226 content in phosphogypsum distributed for use by laboratories 
    in research and development projects will be necessary as part of the 
    research activity. However, EPA has concluded that requiring 
    certification documents accompanying phosphogypsum distributed for use 
    in research and development to include quantitative analyses of radium 
    content is not necessary to monitor compliance. Thus EPA is proposing 
    to eliminate the requirement that owners or operators of phosphogypsum 
    stacks analyze the radium-226 content of phosphogypsum distributed for 
    research and development and the requirement that certification 
    documents accompanying phosphogypsum distributed for research and 
    development include information on radium-226 content. EPA requests 
    comment on this proposal.
    
    D. Sampling Statistics
    
        In its petition, TFI objected that the formula set forth in 40 CFR 
    Section 61.207(d), which is used to establish the number of samples 
    necessary to determine a representative average radium-226 
    concentration, is ambiguous, because it does not specify the amount of 
    allowable error. EPA agreed with this objection and stated it would 
    reconsider this issue.
        EPA has carefully evaluated the methods which can be utilized to 
    demonstrate that the radium-226 concentration is less than 10 pCi/g in 
    phosphogypsum removed from a stack for agricultural purposes, under the 
    provisions of 40 CFR Section 61.204, and to measure the radium-226 
    concentration in phosphogypsum to be used for other purposes, under the 
    provisions of 40 CFR Section 61.206. EPA has concluded that the 
    equations used for determining the radium-226 concentration in the 
    phosphogypsum should be clarified, and that the methods for determining 
    the sample size and testing needed to demonstrate that the 
    concentration is less than 10 pCi/g should be revised. The revised 
    techniques do not utilize the error term required by the present 
    version of 40 CFR Section 61.207.
        The proposed revisions of these methods are set forth in a document 
    entitled ``Statistical Procedures for Certifying Phosphogypsum for 
    Entry into Commerce, as Required by Section 61.207 of 40 CFR Part 61, 
    Subpart R.'' A copy of this document has been included in the docket 
    for this rulemaking and is also available from the EPA contact person 
    listed at the beginning of this notice. EPA requests comments 
    concerning the proposed revisions of the statistical methods described 
    in this document.
    
    IV. Miscellaneous
    
    A. Paperwork Reduction Act
    
        Eliminating the requirement that owners or operators of 
    phosphogypsum stacks analyze the radium-226 content of phosphogypsum 
    distributed for research and development and the associated 
    certification documents will eliminate the current burden, of 100 hours 
    per year per stack.
    
    B. Executive Order 12866
    
        Under Executive Order 12866, (58 FR 57735, October 4, 1993), the 
    Agency must determine whether this regulation, if promulgated, is 
    ``significant'' and therefore subject to review by the Office of 
    Management and Budget under 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.
        This action will not result in an annual effect on the economy of 
    $100 million or another adverse economic impact; it does not create a 
    serious inconsistency or interfere with another agency's action; it 
    does not materially alter the budgetary impacts of entitlements, 
    grants, user fees, etc.; and it does not raise novel legal or policy 
    issues. Thus, EPA has determined that this proposal to reconsider 
    Subpart R is not a ``significant regulatory action'' under the terms of 
    Executive Order 12866.
    
    C. Regulatory Flexibility Analysis
    
        Section 603 of the Regulatory Flexibility Act, 5 U.S.C. 603, 
    requires EPA to prepare and make available for comment an ``initial 
    regulatory flexibility analysis'' which describes the effect of the 
    proposed rule on small business entities. However, Section 604(b) of 
    the Act provides that an analysis not be required when the head of an 
    Agency certifies that the rule will not, if promulgated, have a 
    significant economic impact on a substantial number of small entities.
        EPA has determined that there will be no significant impact on any 
    of the institutions and businesses affected by the revisions proposed 
    in this notice. Accordingly, I certify that the revisions proposed in 
    this notice, if adopted, will not have a significant economic impact on 
    a substantial number of small entities.
    
    D. Unfunded Mandates Reform Act
    
        Title II of the Unfunded Mandates Reform Act of 1995 (UMRA), P.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. Under Section 202 of the UMRA, EPA 
    generally must prepare a written
    
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    statement, including a cost-benefit analysis, for proposed and final 
    rules with ``Federal mandates'' that may result in expenditures to 
    State, local, and tribal governments, in the aggregate, or to the 
    private sector, of $100 million or more in any one year. Under section 
    203 of the UMRA, before EPA establishes any regulatory requirements 
    that may significantly or uniquely affect small governments, including 
    tribal governments, it must develop a small government agency plan.
        The intended purpose of this proposed rule is to relax existing 
    regulatory requirements, rather than to impose any new enforceable 
    duties on State, local, or tribal governments or the private sector. In 
    any event, EPA has determined that none of the options discussed in 
    this proposal would, if adopted, include any Federal mandate that may 
    result in expenditures of $100 million or more for State, local, and 
    tribal governments, in the aggregate, or the private sector in any one 
    year. EPA has also determined that none of the options discussed in 
    this proposal might, if adopted, significantly or uniquely affect small 
    governments.
    
        Dated: April 26, 1996.
    Carol M. Browner,
    Administrator.
    [FR Doc. 96-11165 Filed 5-7-96; 8:45 am]
    BILLING CODE 6560-50-P
    
    

Document Information

Published:
05/08/1996
Department:
Environmental Protection Agency
Entry Type:
Proposed Rule
Action:
Proposed rule; Notice of Reconsideration.
Document Number:
96-11165
Dates:
Comments concerning this proposed rule must be received by EPA on or before July 8, 1996. EPA will hold a public hearing concerning this proposed rule in Washington, D.C. if a request for a hearing is received by EPA by June 7, 1996. In the event a hearing is requested, EPA will publish a separate notice specifying the date and location of the hearing.
Pages:
20775-20779 (5 pages)
Docket Numbers:
FRL-5468-4
RINs:
2060-AF04: NESHAP: Radon Emissions From Phosphogypsum Stacks
RIN Links:
https://www.federalregister.gov/regulations/2060-AF04/neshap-radon-emissions-from-phosphogypsum-stacks
PDF File:
96-11165.pdf
CFR: (1)
40 CFR 61