96-20834. Procedures for Processing Petitions for Interim Compliance Waivers  

  • [Federal Register Volume 61, Number 162 (Tuesday, August 20, 1996)]
    [Notices]
    [Pages 43113-43115]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 96-20834]
    
    
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    DEPARTMENT OF TRANSPORTATION
    Federal Aviation Administration
    [Docket No. 28661]
    
    
    Procedures for Processing Petitions for Interim Compliance 
    Waivers
    
    AGENCY: Federal Aviation Administration, DOT.
    
    ACTION: Notice.
    
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    SUMMARY: This document presents a review of the procedures and 
    information necessary for an operator of a Stage 2 noise level airplane 
    subject to the phaseout regulations, resulting from the Airport Noise 
    and Capacity Act of 1990, to submit a request for a compliance waiver. 
    As a result of its experience preceding the first interim Stage 2 
    phaseout compliance date, December 31, 1994, the Federal Aviation 
    Administration (FAA) reminds all affected operators of the procedures 
    for applying for interim compliance waivers. This document also serves 
    as a reminder to operators that as of March 14, 1995, new compliance 
    arrangements that rely on sharing Stage 3 airplanes for noise 
    compliance purposes by placing them on the operators specifications of 
    more than one operator are prohibited, and that existing share 
    arrangements may not be used for compliance with the December 31, 1996, 
    requirements.
    
    FOR FURTHER INFORMATION CONTACT:
    
    Mr. William W. Albee, Policy and Regulatory Division (AEE-300), Office 
    of Environment and Energy, Federal Aviation Administration, 800 
    Independence Avenue, SW., Washington, DC 20591; telephone (202) 267-
    3553, facsimile (202) 267-5594.
    
    SUPPLEMENTARY INFORMATION: 
    
    Background
    
        Sections 91.865 and 91.867 of 14 CFR each require that as of 
    December 31, 1996, an operator of Stage 2 airplanes either reduce the 
    number of Stage 2 airplanes it operates by 50% from its base level, 
    achieve a fleet mix of airplanes that is 65% Stage 3 airplanes, or in 
    the case of a new entrant, achieve a fleet mix that is 50% Stage 3 
    airplanes. Section 91.871 allows operators to request waivers from 
    interim compliance dates in limited circumstances. In order to 
    facilitate compliance with the December 31, 1996, requirement, the FAA 
    is summarizing the regulatory requirements for waiver requests from the 
    Stage 3 transition regulations.
    
    Filing Requests
    
        As stated in Sec. 91.871, applications for waivers must be filed at 
    least 120 days prior to the compliance date from which the waiver is 
    requested. This means that applications must be filed no later than 
    Tuesday, September 3, 1996, to ensure that they will be considered 
    before the December 31, 1996, compliance date.
        Each petition for an interim compliance waiver will be reviewed to 
    determine whether it meets the basic criteria listed 14 CFR 91.871. If 
    the criteria are not met, the petitioner will receive a letter 
    indicating that all of the required information has not been submitted. 
    Petitioners will have an opportunity to submit missing information 
    before any disposition is final.
    
    Criteria (14 CFR 91.871)
    
        All applications for a waiver must contain all of the following:
        1. The operator's plan to achieve interim and final compliance;
        2. An explanation of the operator's efforts to date to achieve 
    compliance; and
        3. Evidence or other information showing that a grant of the 
    requested waiver is in the public interest.
        In addition to the three criteria listed above, each petitioner 
    must also explain why compliance with the December 31, 1996, 
    requirement would be at least one of the following:
        1. Financially onerous;
        2. Physically impossible;
        3. Technologically infeasible; or
        4. Have an adverse effect either on competition or service to small 
    communities.
    
    Scope of Request
    
        Each waiver will be considered only for the airplanes operated by 
    he petitioner on the date the petition was submitted to the FAA. 
    Operators are expected to have submitted viable compliance plans and 
    abided by them. The FAA's analysis of any petition will take into 
    account the total circumstances of the operator, including all actions 
    taken up to the date of the petition.
    
    Publication
    
        Upon completion of the review and determination that the petition 
    is complete in accordance with the criteria described above, a summary 
    of the petition will be published in the Federal Register for public 
    comment for a minimum of 14 days. A docket will be opened that contains 
    the petition, any other pertinent information, and any comments 
    received.
    
    Response
    
        After the close of the comment period, the Office of Environment 
    and Energy (AEE) will analyze each request and draft a response that 
    contains a narrative analysis of each required element. If the results 
    of the analysis show that the petitioner has met the criteria, AEE will 
    prepare documentation to grant the petition for waiver. If the analysis 
    shows that the petitioner has failed to meet the criteria, AEE will 
    prepare documentation to deny the petition. Part of a request may also 
    be granted at the agency's discretion, depending on the circumstances. 
    A copy of the approval or denial document will be placed in the docket, 
    and it will be made available for public inspection.
    
    Length of Waiver
    
        Any waiver granted will be for the shortest possible time as 
    required by the circumstances presented by the petitioner and the 
    findings of the FAA. If the petitioner cannot achieve compliance within 
    the time frame provided in a waiver, the petitioner must submit a new 
    petition that will be evaluated under the same criteria as the original 
    petition. New petitions that fail to provide more information than the 
    original will be denied.
    
    Summary of 1994 Interim Waiver Denials
    
        Ten operators petitioned the FAA for interim compliance waivers in 
    1994; seven petitions were denied and three were withdrawn. For 
    operators that may
    
    [[Page 43114]]
    
    be contemplating applying for a waiver from the 1996 compliance date, 
    the following summaries of the 1994 denials are provided to illustrate 
    the FAA's analysis of such requests for compliance with the Stage 3 
    transition regulations.
        No. 1 petitioner: By petition dated August 29, 1994, Docket No. 
    27894, the petitioner petitioned the FAA for a waiver that would allow 
    it to import Stage 2 airplanes from foreign markets, and begin and 
    continue operation with an all-Stage 2 fleet beyond the interim 
    compliance date of December 31, 1994. At the time of the waiver 
    petition, it did not own or operate any airplanes.
        Denial of Waiver: It is FAA policy to consider for the possibility 
    of waiver only those airplanes in operation by an operator on the date 
    of the petition. In this instance, the petitioner did not have any 
    airplanes in operation. It is also FAA policy that no prospective 
    relief be granted. Since the petitioner had not yet achieved FAA 
    certification to operate, it was not yet operating under the provisions 
    of Sec. 91.867 to be considered a new entrant or to ask relief from 
    that regulation.
        No. 2 petitioner: By petition dated September 1, 1994, Docket No. 
    27899, the petitioner petitioned the FAA for a waiver that would allow 
    it to operate an all-Stage 2 fleet until June 30, 1995.
        The petitioner began service in June 1994 flying passenger 
    charters; it began scheduled passenger service in early October 1994. 
    At the time it petitioned, the petitioner was operating two leased 
    Stage 2 Boeing 737-200 airplanes. It planned to acquire two more Stage 
    2 737-200 airplanes in late 1994, and one more in the spring of 1995. 
    Under Sec. 91.867, the addition of the two airplanes in late 1994 would 
    require one of the resulting total of four airplanes in its fleet to be 
    a Stage 3 airplane after December 31, 1994. The petitioner's plans to 
    acquire the described Stage 2 airplanes led to its waiver request.
        Denial of Waiver: It is FAA policy to consider for the possibility 
    of waiver only those airplanes in operation by an operator on the date 
    of the petition. In this instance, the petitioner had not yet leased 
    the airplanes for which it requested a waiver. Also, the petitioner 
    submitted no information as to why its current business plan did not 
    take into account the upcoming compliance date without needing a 
    waiver. An operator must plan to achieve compliance without reliance on 
    a waiver in order for FAA to consider that a viable plan was made but 
    could not be adhered to.
        No. 3 petitioner: By letter dated August 30, 1994, Docket No. 
    27888, the petitioner petitioned the FAA for a waiver that would allow 
    it to operate a fleet of six Stage 2 airplanes until December 31, 1996.
        The petitioner is a foreign operator of the Stage 2 AN-124 
    airplane, and at the same time the waiver was submitted, the petitioner 
    was operating a fleet of six of these airplanes on its U.S. operations 
    specifications, conducting 25 to 50 charter flights per year to the 
    U.S. The petitioner is a new entrant that received its authority to 
    operate in the U.S. on May 28, 1993. The petitioner would have been 
    eligible to operate three AN-124 airplanes past the December 31, 1994, 
    compliance date without a waiver. If the petitioner wanted to continue 
    operating all six of its AN-124 airplanes past the December 31, 1994, 
    compliance date, it needed to add one Stage 3 airplane to its U.S. 
    operations specifications to obtain the proper fleet mix for a new 
    entrant under Sec. 91.867. The petitioner otherwise had to remove three 
    of the Stage 2 AN-124 airplanes from its U.S. operations 
    specifications.
        Denial of Waiver: The petitioner stated that a waiver was in the 
    public interest because of the unique cargo capability of the AN-124 
    airplane and its operation as an ad hoc charter rather than regularly 
    scheduled service. The FAA determined that a grant of the petitioner's 
    request for a waiver would not be in the public interest. The FAA found 
    that since the petitioner did not show that, given its record of use, 
    specialized shipping needs could not be met with three rather than six 
    airplanes, and since they had the ability to change the individual 
    airplanes that appeared on the operations specifications at any given 
    time, there was no public benefit to be gained by granting a waiver to 
    an operator for the purpose of making its operations scheduling easier. 
    Further, the petitioner did not show that it ever had a plan to meet 
    the December 1994 compliance date, or that it made any effort to do so. 
    Evidence of a viable compliance plan and a good faith effort to achieve 
    compliance are considered critical elements of any request for a 
    waiver, as indicated by the presence of these criteria in 
    Sec. 91.871(c), the criteria that all applicants must meet. Since the 
    FAA had no compliance plan information on file and the petitioner did 
    not submit any with its application for waiver, the FAA concluded that 
    the petitioner had never developed any plan to comply with the December 
    1994 compliance date.
        No. 4 petitioner: By petition dated September 1, 1994, Docket No. 
    27898, counsel for the petitioner petitioned the FAA on behalf of the 
    petitioner for a waiver that would allow the petitioner to operate an 
    all-Stage 2 fleet until it obtained an installed hushkits that were 
    under development at the time of the petition.
        The petitioner operates scheduled and charter interstate and 
    foreign air cargo operations. It began operating on November 11, 1992, 
    under a temporary DOT certificate and obtained permanent DOT authority 
    in April 1994. As of July 22, 1994, the petitioner's fleet consisted of 
    10 DC-8 series airplanes, all of which were Stage 2. To comply with the 
    December 31, 1994, interim compliance requirement, the petitioner 
    needed to retrofit or ground seven of its airplanes, or to add three 
    Stage 3 airplanes to continue operating all 10 of its Stage 2 DC-8's.
        Denial of Waiver: In its first required filing, the petitioner 
    reported that, as a new entrant, it would comply with Sec. 91.967. In a 
    subsequent report (for 1993), the petitioner stated that it ``intends 
    to apply for an exemption or waiver from the requirements for 
    compliance for the December 31, 1994, compliance date.'' At the time of 
    its petition, the petitioner reported a fleet of 10 Stage 2 DC-8's with 
    a plan to add two more before the end of 1994, and that it had no plans 
    to acquire any other type of airplane. It is FAA policy to consider for 
    the possibility of waiver only those airplanes in operation by an 
    operator on the date of the petition. Further, the FAA could not find 
    to be viable a plan that relied solely on the grant of a waiver. The 
    petitioner also stated that its principles had contracted for hushkit 
    development and that ``the expected date of certification for this 
    Stage 3 project is early 1995.'' While the FAA found a public benefit 
    in the development of a hushkit for the subject DC-8 airplanes, that 
    benefit had no logical connection to the waiver requested by an 
    individual operator that knew the hushkit would not be available before 
    the compliance date but chose to take no other action.
        No. 5 operator: By petition dated September 1, 1994, Docket No. 
    27906, the petitioner petitioned the FAA for a waiver that would allow 
    it to operate a fleet of five Stage 2 airplanes until December 31, 
    1995.
        The petitioner began scheduled service in July 1994. From August to 
    October 1994, the petitioner expanded its service. The petitioner began 
    operating with three Stage 2 Boeing 737-200 airplanes. The petitioner 
    took delivery of two more airplanes of the same model in September and 
    October 1994. Under Sec. 91.867, the fourth airplane in the 
    petitioner's fleet would be required to be Stage 3 after December 31, 
    1994; the planned acquisition of the
    
    [[Page 43115]]
    
    fourth and fifth airplanes led to this request for a waiver.
        Denial of Waiver: It is FAA policy to consider for the possibility 
    of waiver only those airplanes in operation by an operator on the date 
    of the petition. In this instance, the petitioner was operating three 
    Boeing 737-200 airplanes, but it had already committed to leasing two 
    more that were scheduled for delivery in September and October 1994. As 
    early as March 1994, before its airplane leases began, the petitioner 
    was investigating bringing the airplanes it planned to operate into 
    compliance. However, since the petitioner elected to lease a Stage 2 
    airplane as its fourth airplane and take delivery of it in September, 
    as well as a fifth airplane in October, the FAA found that the 
    petitioner was apparently unwilling to adapt its business plans to 
    achieve compliance with a regulation that predates the existence of the 
    airline. During this time, the petitioner also began discussions 
    regarding the lease of a Stage 3 airplane, and indicated to the FAA 
    that even if such a lease were negotiated, it could not bring the 
    airplane into service in time to meet the compliance date. The FAA 
    found that commencing such complex actions so close to the compliance 
    date was not a viable compliance plan nor did it demonstrate a good 
    faith effort to comply. Also, the FAA was unable to conclude that the 
    public interest claimed by the petitioner in its providing service 
    outweighed the larger public interest in compliance and the integrity 
    of the phased transition to an all Stage 3 fleet by the year 2000.
        No. 6 petitioner: By petition dated August 3, 1994, Docket No. 
    27869, counsel for the petitioner petitioned the FAA on behalf of the 
    petitioner for a waiver that would allow the petitioner to operate all 
    of its Stage 2 airplanes beyond the interim compliance date of December 
    31, 1994.
        The petitioner operates an all-cargo service on a charter basis 
    worldwide and by scheduled service between the United States and 
    Central and South America. The petitioner operated a fleet of four 
    Stage 2 airplanes, three Boeing 707's and one McDonnell Douglas DC-8. 
    To comply with the December 31, 1994, interim compliance date in 
    Sec. 91.865, the petitioner needed to retrofit or ground one of its 
    four airplanes or replace it with a Stage 3 airplane.
        Denial of Waiver: The petitioner initially reported to the FAA that 
    it planned to meet the compliance requirements by ``retirement of Stage 
    2 or addition of Stage 3 aircraft.'' In two subsequent reports, the 
    petitioner indicated that it planned to comply in 1994 by phasing out 
    25% of its Stage 2 airplanes without further detail. The petitioner's 
    petition did not contain any information as to changed circumstances or 
    why the retirement of one airplane was no longer feasible. The FAA 
    cannot accept the nonexistence of retrofit equipment as the basis for a 
    waiver. If it did, the agency would be obligated to grant a waiver to 
    every operator of such equipment, ostensibly for the entire interim 
    compliance period. In this case, the FAA determined that no good faith 
    effort had been demonstrated, since the petitioner did not show a 
    willingness to adhere to its own compliance plan, but appeared to be 
    relying on the existence of the waiver provision to continue the same 
    level of operations after the December 31, 1994, compliance date.
        No. 7 petitioner: By petition dated December 7, 1994, Docket No. 
    27994, the petitioner petitioned the FAA for a waiver that would allow 
    it to operate a fleet of four all Stage 2 airplanes until January 31, 
    1995.
        The petitioner is a new entrant air carrier that began service on 
    December 4, 1994. At the time the petitioner petitioned for a waiver on 
    December 7, 1994, it operated a fleet of two Stage 2 airplanes. The 
    petitioner exercised an option to add two additional Stage 2 airplanes 
    to its fleet and was awaiting delivery of another airplane currently 
    undergoing installation of Stage 3 hushkits. Since this Stage 3 
    airplane was not to be delivered to the petitioner until January 16, 
    1995, to comply with the December 31, 1994, interim compliance date in 
    Sec. 91.867, the petitioner would have had to ground one of its four 
    Stage 2 airplanes.
        Denial of Waiver: After the petitioner knew that there was a 
    possibility that its hushkitted airplane would be delayed until after 
    the compliance date, it chose to apply for a waiver for airplanes it 
    had not yet exercised its option to lease. The petitioner then 
    exercised the lease option, apparently doing so knowing that the 
    possibility of delay existed for the delivery of its Stage 3 airplane. 
    Accordingly, the FAA cannot accept the argument that the petitioner 
    made a good faith effort to comply or conclude that a waiver was even 
    necessary when the application was submitted. When the petitioner 
    exercised its option to lease the airplanes, it made a business 
    decision to possibly put itself out of compliance, and knew that on the 
    compliance date it might possibly possess a fleet of airplanes that 
    required a waiver to operate fully. If the petitioner had committed to 
    leasing the two additional Stage 2 airplanes and later been informed 
    that the delivery of its Stage 3 airplane would be delayed until after 
    the compliance date, the FAA might have been able to look at the 
    circumstances more favorably given the petitioner's efforts to secure 
    the timely delivery of a Stage 3 airplane. But the statement in the 
    petitioner's petition that it knew there might be a problem before it 
    exercised its lease option denies that this was the case. The FAA is 
    unable to conclude that the petitioner's statements reflect a net 
    public benefit in the grant of a waiver. The possibility that the 
    petitioner would have had to ground one of its airplanes for a short 
    time, partially because of its own actions taken after it was told of a 
    possible problem with the delivery of its Stage 3 airplane, does not 
    outweigh the significant public interest inherent in full compliance 
    with the rule.
    
    Use of Interchange Agreements for Noise Compliance
    
        The FAA reminds all operators of Stage 2 noise level airplanes 
    subject to the phaseout under Secs. 91.865 or 91.867 that, as of March 
    14, 1995, new compliance arrangements that rely on sharing Stage 3 
    airplanes by placing them on the operators specifications of more than 
    one operator are prohibited, and that existing arrangements cannot be 
    used to comply with December 31, 1996, and subsequent requirements. 
    This prohibition applies to U.S. and non-U.S. operators of Stage 2 
    airplanes covered by the Stage 3 transition rules. A full statement of 
    this policy and the reasons for its adoption were published in the 
    Federal Register on March 14, 1995, at 60 FR 13627.
    
        Issued in Washington, DC on August 9, 1996.
    James D. Erickson,
    Director of Environment and Energy.
    [FR Doc. 96-20834 Filed 8-19-96; 8:45 am]
    BILLING CODE 4910-13-M
    
    
    

Document Information

Published:
08/20/1996
Department:
Federal Aviation Administration
Entry Type:
Notice
Action:
Notice.
Document Number:
96-20834
Pages:
43113-43115 (3 pages)
Docket Numbers:
Docket No. 28661
PDF File:
96-20834.pdf