98-20781. Policy on Conduct Of Adjudicatory Proceedings; Policy Statement  

  • [Federal Register Volume 63, Number 150 (Wednesday, August 5, 1998)]
    [Notices]
    [Pages 41872-41875]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 98-20781]
    
    
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    NUCLEAR REGULATORY COMMISSION
    
    
    Policy on Conduct Of Adjudicatory Proceedings; Policy Statement
    
    AGENCY: Nuclear Regulatory Commission.
    
    ACTION: Policy statement: update.
    
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    SUMMARY: The Nuclear Regulatory Commission (Commission) has reassessed 
    and updated its policy on the conduct of adjudicatory proceedings in 
    view of the potential institution of a number of proceedings in the 
    next few years to consider applications to renew reactor operating 
    licenses, to reflect restructuring in the electric utility industry, 
    and to license waste storage facilities.
    
    DATES: This policy statement is effective on August 5, 1998, while 
    comments are being received. Comments are due on or before October 5, 
    1998.
    
    ADDRESSES: Send written comments to: The Secretary of the Commission, 
    U.S. Nuclear Regulatory Commission, Washington, DC 20555, ATTN: 
    Rulemakings and Adjudications Staff. Hand deliver comments to: 11555 
    Rockville Pike, Rockville, Maryland, between 7:45 am and 4:15 pm, 
    Federal workdays. Copies of comments received may be examined at the 
    NRC Public Document Room, 2120 L Street, NW. (Lower Level), Washington, 
    DC.
    
    FOR FURTHER INFORMATION CONTACT: Robert M. Weisman, Litigation 
    Attorney, U.S. Nuclear Regulatory Commission, Washington, DC 20555, 
    (301) 415-1696.
    
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    Statement of Policy on Conduct of Adjudicatory Proceedings
    
    [CLI-98-12]
    
    I. Introduction
    
        As part of broader efforts to improve the effectiveness of the 
    agency's programs and processes, the Commission has critically 
    reassessed its practices and procedures for conducting adjudicatory 
    proceedings within the framework of its existing Rules of Practice in 
    10 CFR Part 2, primarily Subpart G. With the potential institution of a 
    number of proceedings in the next few years to consider applications to 
    renew reactor operating licenses, to reflect restructuring in the 
    electric utility industry, and to license waste storage facilities, 
    such assessment is particularly appropriate to ensure that agency 
    proceedings are conducted efficiently and focus on issues germane to 
    the proposed actions under consideration. In its review, the Commission 
    has considered its existing policies and rules governing adjudicatory 
    proceedings, recent experience and criticism of agency proceedings, and 
    innovative techniques used by our own hearing boards and presiding 
    officers and by other tribunals. Although current rules and policies 
    provide means to achieve a prompt and fair resolution of proceedings, 
    the Commission is directing its hearing boards and presiding officers 
    to employ certain measures described in this policy statement to ensure 
    the efficient conduct of proceedings.
        The Commission continues to endorse the guidance in its current 
    policy, issued in 1981, on the conduct of adjudicatory proceedings. 
    Statement of Policy on Conduct of Licensing Proceedings, CLI-81-8,13 
    NRC 452 (May 20, 1981); 46 FR 28533 (May 27, 1981). The 1981 policy 
    statement provided guidance to the Atomic Safety and Licensing Boards 
    (licensing boards) on the use of tools, such as the establishment and 
    adherence to reasonable schedules and discovery management, intended to 
    reduce the time for completing licensing proceedings while ensuring 
    that hearings were fair and produced adequate records. Now, as then, 
    the Commission's objectives are to provide a fair hearing process, to 
    avoid unnecessary delays in the NRC's review and hearing processes, and 
    to produce an informed adjudicatory record that supports agency 
    decision making on matters related to the NRC's responsibilities for 
    protecting public health and safety, the common defense and security, 
    and the environment. In this context, the opportunity for hearing 
    should be a meaningful one that focuses on genuine issues and real 
    disputes regarding agency actions subject to adjudication. By the same 
    token, however, applicants for a license are also entitled to a prompt 
    resolution of disputes concerning their applications.
        The Commission emphasizes its expectation that the boards will 
    enforce adherence to the hearing procedures set forth in the 
    Commission's Rules of Practice in 10 CFR Part 2, as interpreted by the 
    Commission. In addition, the Commission has identified certain specific 
    approaches for its boards to consider implementing in individual 
    proceedings, if appropriate, to reduce the time for completing 
    licensing and other proceedings. The measures suggested in this policy 
    statement can be accomplished within the framework of the Commission's 
    existing Rules of Practice. The Commission may consider further changes 
    to the Rules of Practice as appropriate to enable additional 
    improvements to the adjudicatory process.
    
    II. Specific Guidance
    
        Current adjudicatory procedures and policies provide a latitude to 
    the Commission, its licensing boards and presiding officers to instill 
    discipline in the hearing process and ensure a prompt yet fair 
    resolution of contested issues in adjudicatory proceedings. In the 1981 
    policy statement, the Commission encouraged licensing boards to use a 
    number of techniques for effective case management including: setting 
    reasonable schedules for proceedings; consolidating parties; 
    encouraging negotiation and settlement conferences; carefully managing 
    and supervising discovery; issuing timely rulings on prehearing 
    matters; requiring trial briefs, pre-filed testimony, and cross-
    examination plans; and issuing initial decisions as soon as practicable 
    after the parties file proposed findings of fact and conclusions of 
    law. Licensing boards and presiding officers in current NRC 
    adjudications use many of these techniques, and should continue to do 
    so.
        As set forth below, the Commission has identified several of these 
    techniques, as applied in the context of the current Rules of Practice 
    in 10 CFR Part 2, as well as variations in procedure permitted under 
    the current Rules of Practice that licensing boards should apply to 
    proceedings. The Commission also intends to exercise its inherent 
    supervisory authority, including its power to assume part or all of the 
    functions of the presiding officer in a given adjudication, as 
    appropriate in the context of a particular proceeding. See, e.g., 
    Public Service Co. of New Hampshire (Seabrook Station, Units 1 and 2), 
    CLI-90-3, 31 NRC 219, 229 (1990). The Commission intends to promptly 
    respond to adjudicatory matters placed before it, and such matters 
    should ordinarily take priority over other actions before the 
    Commissioners.
    
    1. Hearing Schedules
    
        The Commission expects licensing boards to establish schedules for 
    promptly deciding the issues before them, with due regard to the 
    complexity of the contested issues and the interests of the parties. 
    The Commission's regulations in 10 CFR 2.718 provide licensing boards 
    all powers necessary to regulate the course of proceedings, including 
    the authority to set schedules, resolve discovery disputes, and take 
    other action appropriate to avoid delay. Powers granted under 
    Sec. 2.718 are sufficient for licensing boards to control the 
    supplementation of petitions for leave to intervene or requests for 
    hearing, the filing of contentions, discovery, dispositive motions, 
    hearings, and the submission of findings of fact and conclusions of 
    law.
        Many provisions in Part 2 establish schedules for various filings, 
    which can be varied ``as otherwise ordered by the presiding officer.'' 
    Boards should exercise their authority under these options and 10 CFR 
    2.718 to shorten the filing and response times set forth in the 
    regulations to the extent practical in a specific proceeding. In 
    addition, where such latitude is not explicitly afforded, as well as in 
    instances in which sequential (rather than simultaneous) filings are 
    provided for, boards should explore with the parties all reasonable 
    approaches to reduce response times and to provide for simultaneous 
    filing of documents.
        Although current regulations do not specifically address service by 
    electronic means, licensing boards, as they have in other proceedings, 
    should establish procedures for electronic filing with appropriate 
    filing deadlines, unless doing so would significantly deprive a party 
    of an opportunity to participate meaningfully in the proceeding. Other 
    expedited forms of service of documents in proceedings may also be 
    appropriate. The Commission encourages the licensing boards to consider 
    the use of new technologies to expedite proceedings as those 
    technologies become available.
        Boards should forego the use of motions for summary disposition, 
    except upon a written finding that such
    
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    a motion will likely substantially reduce the number of issues to be 
    decided, or otherwise expedite the proceeding. In addition, any 
    evidentiary hearing should not commence before completion of the 
    staff's Safety Evaluation Report (SER) or Final Environmental Statement 
    (FES) regarding an application, unless the presiding officer finds that 
    beginning earlier, e.g., by starting the hearing with respect to safety 
    issues prior to issuance of the SER, will indeed expedite the 
    proceeding, taking into account the effect of going forward on the 
    staff's ability to complete its evaluations in a timely manner. Boards 
    are strongly encouraged to expedite the issuance of interlocutory 
    rulings. The Commission further strongly encourages presiding officers 
    to issue decisions within 60 days after the parties file the last 
    pleadings permitted by the board's schedule for the proceeding.
        Appointment of additional presiding officers or licensing boards to 
    preside over discrete issues simultaneously in a proceeding has the 
    potential to expedite the process, and the Chief Administrative Judge 
    of the Atomic Safety and Licensing Board Panel (ASLBP) should consider 
    this measure under appropriate circumstances. In doing so, however, the 
    Commission expects the Chief Administrative Judge to exercise the 
    authority to establish multiple boards only if: (1) the proceeding 
    involves discrete and severable issues; (2) the issues can be more 
    expeditiously handled by multiple boards than by a single board; and 
    (3) the multiple boards can conduct the proceeding in a manner that 
    will not unduly burden the parties. Private Fuel Storage, L.L.C. 
    (Private Fuel Storage Facility), CLI-98-7, 47 NRC ____ (1998).
        The Commission itself may set milestones for the completion of 
    proceedings. If the Commission sets milestones in a particular 
    proceeding and the board determines that any single milestone could be 
    missed by more than 30 days, the licensing board must promptly so 
    inform the Commission in writing. The board should explain why the 
    milestone cannot be met and what measures the board will take insofar 
    as is possible to restore the proceeding to the overall schedule.
    
    2. Parties' Obligations
    
        Although the Commission expects its licensing boards to set and 
    adhere to reasonable schedules for the various steps in the hearing 
    process, the Commission recognizes that the boards will be unable to 
    achieve the objectives of this policy statement unless the parties 
    satisfy their obligations. The parties to a proceeding, therefore, are 
    expected to adhere to the time frames specified in the Rules of 
    Practice in 10 CFR Part 2 for filing and the scheduling orders in the 
    proceeding. As set forth in the 1981 policy statement, the licensing 
    boards are expected to take appropriate actions to enforce compliance 
    with these schedules. The Commission, of course, recognizes that the 
    boards may grant extensions of time under some circumstances, but this 
    should be done only when warranted by unavoidable and extreme 
    circumstances.
        Parties are also obligated in their filings before the board and 
    the Commission to ensure that their arguments and assertions are 
    supported by appropriate and accurate references to legal authority and 
    factual basis, including, as appropriate, citation to the record. 
    Failure to do so may result in material being stricken from the record 
    or, in extreme circumstances, in a party being dismissed.
    
    3. Contentions
    
        Currently, in proceedings governed by the provisions of Subpart G, 
    10 CFR 2.714(b)(2)(iii) requires that a petitioner for intervention 
    shall provide sufficient information to show that a genuine dispute 
    exists with the applicant on a material issue of law or fact. 
    1 The Commission has stated that a board may appropriately 
    view a petitioner's support for its contention in a light that is 
    favorable to the petitioner, but the board cannot do so by ignoring the 
    requirements set forth in Sec. 2.714(b)(2). Arizona Public Service Co. 
    (Palo Verde Nuclear Generating Station, Units 1, 2, and 3), CLI-91-12, 
    34 NRC 149, 155 (1991). The Commission re-emphasizes that licensing 
    boards should continue to require adherence to Sec. 2.714(b)(2), and 
    that the burden of coming forward with admissible contentions is on 
    their proponent. A contention's proponent, not the licensing board, is 
    responsible for formulating the contention and providing the necessary 
    information to satisfy the basis requirement for the admission of 
    contentions in 10 CFR 2.714(b)(2). The scope of a proceeding, and, as a 
    consequence, the scope of contentions that may be admitted, is limited 
    by the nature of the application and pertinent Commission regulations. 
    For example, with respect to license renewal, under the governing 
    regulations in 10 CFR Part 54, the review of license renewal 
    applications is confined to matters relevant to the extended period of 
    operation requested by the applicant. The safety review is limited to 
    the plant systems, structures, and components (as delineated in 10 CFR 
    54.4) that will require an aging management review for the period of 
    extended operation or are subject to an evaluation of time-limited 
    aging analyses. See 10 CFR 54.21(a) and (c), 54.29, and 54.30. In 
    addition, the review of environmental issues is limited by rule by the 
    generic findings in NUREG-1427, ``Generic Environmental Impact 
    Statement (GEIS) for License Renewal of Nuclear Plants.'' See 10 CFR 
    55.71(d) and 51.95(c).
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        \1\ ``[A]t the contention filing stage[,] the factual support 
    necessary to show that a genuine dispute exists need not be in 
    affidavit or formal evidentiary form and need not be of the quality 
    necessary to withstand a summary disposition motion.'' Rules of 
    Practice for Domestic Licensing Proceedings--Procedural Changes in 
    the Hearing Process, Final Rule, 54 FR 33168, 33171 (Aug. 11, 1989).
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        Under the Commission's Rules of Practice, a licensing board may 
    consider matters on its motion only where it finds that a serious 
    safety, environmental, or common defense and security matter exists. 10 
    CFR 2.760a. Such authority is to be exercised only in extraordinary 
    circumstances. If a board decides to raise matters on its own 
    initiative, a copy of its ruling, setting forth in general terms its 
    reasons, must be transmitted to the Commission and the General Counsel. 
    Texas Utilities Generating Co. (Comanche Peak Steam Electric Station, 
    Units 1 and 2), CLI-81-24, 14 NRC 614 (1981). The board may not proceed 
    further with sua sponte issues absent the Commission's approval. The 
    scope of a particular proceeding is limited to the scope of the 
    admitted contentions and any issues the Commission authorizes the board 
    to raise sua sponte.
        Currently, 10 CFR 2.714a allows a party to appeal a ruling on 
    contentions only if (a) the order wholly denies a petition for leave to 
    intervene (i.e., the order denies the petitioner's standing or the 
    admission of all of a petitioner's contentions) or (b) a party other 
    than the petitioner alleges that a petition for leave to intervene or a 
    request for a hearing should have been wholly denied. Although the 
    regulation reflects the Commission's general policy to minimize 
    interlocutory review, under this practice, some novel issues that could 
    benefit from early Commission review will not be presented to the 
    Commission. For example, matters of first impression involving 
    interpretation of 10 CFR Part 54 may arise as the staff and licensing 
    board begin considering applications for renewal of power reactor 
    operating licenses. Accordingly, the Commission encourages the 
    licensing boards to refer rulings or certify questions on proposed 
    contentions involving novel issues to
    
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    the Commission in accordance with 10 CFR 2.730(f) early in the 
    proceeding. In addition, boards are encouraged to certify novel legal 
    or policy questions related to admitted issues to the Commission as 
    early as possible in the proceeding. The Commission may also exercise 
    its authority to direct certification of such particular questions 
    under 10 CFR 2.718(i). The Commission, however, will evaluate any 
    matter put before it to ensure that interlocutory review is warranted.
    
    4. Discovery Management
    
        Efficient management of the pre-trial discovery process is critical 
    to the overall progress of a proceeding. Because a great deal of 
    information on a particular application is routinely placed in the 
    agency's public document rooms, Commission regulations already limit 
    discovery against the staff. See, e.g.,10 CFR 2.720(h), 2.744. Under 
    the existing practice, however, the staff frequently agrees to 
    discovery without waiving its rights to object to discovery under the 
    rules, and refers any discovery requests it finds objectionable to the 
    board for resolution. This practice remains acceptable.
        Application in a particular case of procedures similar to 
    provisions in the 1993 amendments to Rule 26 of the Federal Rules of 
    Civil Procedure or informal discovery can improve the efficiency of the 
    discovery process among other parties. The 1993 amendments to Rule 26 
    provide, in part, that a party shall provide certain information to 
    other parties without waiting for a discovery request. This information 
    includes the names and addresses, if known, of individuals likely to 
    have discoverable information relevant to disputed facts and copies or 
    descriptions, including location, of all documents or tangible things 
    in the possession or control of the party that are relevant to the 
    disputed facts. The Commission expects the licensing boards to order 
    similar disclosure (and pertinent updates) if appropriate in the 
    circumstances of individual proceedings. With regard to the staff, such 
    orders shall provide only that the staff identify the witnesses whose 
    testimony the staff intends to present at hearing. The licensing boards 
    should also consider requiring the parties to specify the issues for 
    which discovery is necessary, if this may narrow the issues requiring 
    discovery.
        Upon the board's completion of rulings on contentions, the staff 
    will establish a case file containing the application and any 
    amendments to it, and, as relevant to the application, any NRC report 
    and any correspondence between the applicant and the NRC. Such a case 
    file should be treated in the same manner as a hearing file established 
    pursuant to 10 CFR 2.1231. Accordingly, the staff should make the case 
    file available to all parties and should periodically update it.
        Except for establishment of the case file, generally the licensing 
    board should suspend discovery against the staff until the staff issues 
    its review documents regarding the application. Unless the presiding 
    officer has found that starting discovery against the staff before the 
    staff's review documents are issued will expedite the hearing, 
    discovery against the staff on safety issues may commence upon issuance 
    of the SER, and discovery on environmental issues upon issuance of the 
    FES. Upon issuance of an SER or FES regarding an application, and 
    consistent with such limitations as may be appropriate to protect 
    proprietary or other properly withheld information, the staff should 
    update the case file to include the SER and FES and any supporting 
    documents relied upon in the SER or FES not already included in the 
    file.
        The foregoing procedures should allow the boards to set reasonable 
    bounds and schedules for any remaining discovery, e.g., by limiting the 
    number of rounds of interrogatories or depositions or the time for 
    completion of discovery, and thereby reduce the time spent in the 
    prehearing stage of the hearing process. In particular, the board 
    should allow only a single round of discovery regarding admitted 
    contentions related to the SER or the FES, and the discovery respective 
    to each document should commence shortly after its issuance.
    
    III. Conclusion
    
        The Commission reiterates its long-standing commitment to the 
    expeditious completion of adjudicatory proceedings while still ensuring 
    that hearings are fair and produce an adequate record for decision. The 
    Commission intends to monitor its proceedings to ensure that they are 
    being concluded in a fair and timely fashion. The Commission will take 
    action in individual proceedings, as appropriate, to provide guidance 
    to the boards and parties and to decide issues in the interest of a 
    prompt and effective resolution of the matters set for adjudication.
    
        Dated at Rockville, Maryland, this 28th day of July, 1998.
    
        For the Nuclear Regulatory Commission.
    Annette Vietti-Cook,
    Assistant Secretary of the Commission.
    [FR Doc. 98-20781 Filed 8-4-98; 8:45 am]
    BILLING CODE 7590-01-P
    
    
    

Document Information

Effective Date:
8/5/1998
Published:
08/05/1998
Department:
Nuclear Regulatory Commission
Entry Type:
Notice
Action:
Policy statement: update.
Document Number:
98-20781
Dates:
This policy statement is effective on August 5, 1998, while comments are being received. Comments are due on or before October 5, 1998.
Pages:
41872-41875 (4 pages)
PDF File:
98-20781.pdf
CFR: (1)
10 CFR 2.718