98-34342. Incentive Grants for Alcohol-Impaired Driving Prevention Programs  

  • [Federal Register Volume 63, Number 249 (Tuesday, December 29, 1998)]
    [Rules and Regulations]
    [Pages 71688-71707]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 98-34342]
    
    
    
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    Part IV
    
    
    
    
    
    Department of Transportation
    
    
    
    
    
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    National Highway Traffic Safety Administration
    
    
    
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    23 CFR Part 1313
    
    
    
    Incentive Grants for Alcohol-Impaired Driving Prevention Programs; 
    Interim Final Rule
    
    Federal Register / Vol. 63, No. 249 / Tuesday, December 29, 1998 / 
    Rules and Regulations
    
    [[Page 71688]]
    
    
    
    DEPARTMENT OF TRANSPORTATION
    
    National Highway Traffic Safety Administration
    
    23 CFR Part 1313
    
    [Docket No. NHTSA-98-4942]
    RIN 2127-AH42
    
    
    Incentive Grants for Alcohol-Impaired Driving Prevention Programs
    
    AGENCY: National Highway Traffic Safety Administration (NHTSA), (DOT).
    
    ACTION: Interim final rule; request for comments.
    
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    SUMMARY: This interim final rule amends the regulations that implement 
    the Section 410 program, under which States can receive incentive 
    grants for alcohol-impaired driving prevention programs. The amendments 
    to the regulations reflect changes that were made to the Section 410 
    program by the Transportation Equity Act for the 21st Century (TA-21).
        As a result of this interim final rule, the basic grant program now 
    provides States with two alternative means for qualifying for a basic 
    grant. Under the first alternative, States may qualify for a 
    ``Programmatic Basic Grant'' if they submit materials demonstrating 
    that they meet five out of seven grant criteria. Under the second 
    alternative, States may qualify for a ``Performance Basic Grant'' by 
    submitting data demonstrating that the State has successfully reduced 
    the percentage of alcohol-impaired fatally injured drivers in the State 
    over a three-year period. If States qualify for both a Programmatic and 
    a Performance Basic Grant, they may receive both grants. This rule also 
    provides that States that are eligible for one or both of the basic 
    grants may qualify also for a supplemental grant.
        This interim final rule establishes the criteria States must meet 
    and the procedures they must follow to qualify for Section 410 
    incentive grants, beginning in FY 1999.
    
    DATES: This interim final rule becomes effective on January 28, 1999. 
    Comments on this interim rule are due no later than March 1, 1999.
    
    ADDRESSES: Written comments should refer to the docket number of this 
    notice and be submitted (preferably in two copies) to: Docket 
    Management, PL-401, Nassif Building, 400 Seventh Street, SW., 
    Washington, DC 20590. (Docket hours are Monday-Friday from 10 a.m. to 5 
    p.m., excluding holidays.) The docket is also accepting comments 
    electronically, through the worldwide web, at www.dms.dot.gov.
    
    FOR FURTHER INFORMATION CONTACT: Ms. Marlene Markison, Office of State 
    and Community Services, NSC-10, National Highway Traffic Safety 
    Administration, 400 Seventh Street SW., Washington, DC 20590 telephone 
    (202) 366-2121; or Mr. Otto G. Matheke III, Office of Chief Counsel, 
    NCC-20, National Highway Traffic Safety Administration, 400 Seventh 
    Street, SW., Washington, DC 20590, telephone (202) 366-5253.
    
    SUPPLEMENTARY INFORMATION: 
    
    Table of Contents
    
    I. Background
    II. Programmatic Basic Grant Criteria
        A. Administrative License Suspension or Revocation System
        B. Underage Drinking Prevention Program
        C. Statewide Traffic Enforcement Program
        D. Graduated Driver's Licensing System
        E. Program for Drivers With High BAC
        F. Young Adult Drinking and Driving Programs
        G. Testing for BAC
    III. Performance Basic Grant Criteria
    IV. Supplemental Grant Criteria
        A. Video Equipment Program
        B. Self-Sustaining Drunk Driving Prevention Program
        C. Reduction of Driving with a Suspended License
        D. Passive Alcohol Sensor Program
        E. Effective DWI Tracking System
        F. Other Innovative Programs
    V. Administrative Issues
        A. Qualification Requirements
        B. Limitation on Grants
        C. Award Procedures
    VI. Interim Final Rule
    VII. Written Comments
    VIII. Regulatory Analyses and Notices
        A. Executive Order 12612 (Federalism)
        B. Executive Order 12778 (Civil Justice Reform)
        C. Executive Order 12866 (Regulatory Planning and Review) and 
    DOT Regulatory Policies and Procedures
        D. Regulatory Flexibility Act
        E. Paperwork Reduction Act
        F. National Environmental Policy Act
        G. Unfunded Mandates Reform Act
    
    I. Background
    
        The Section 410 program was created by the Drunk Driving Prevention 
    Act of 1988 and codified in 23 U.S.C. 410. As originally conceived, 
    States could qualify for basic and supplemental grants under the 
    Section 410 program if they met certain criteria. To qualify for a 
    basic grant, States had to provide for an expedited driver's license 
    suspension or revocation system and a self-sustaining drunk driving 
    prevention program. To qualify for a supplemental grant, States had to 
    be eligible for a basic grant and provide for a mandatory blood alcohol 
    testing program, an underage drinking program, an open container and 
    consumption program, or a suspension of registration and return of 
    license plate program.
        A number of technical corrections contained in the 1991 
    Appropriations Act for the Department of Transportation and Related 
    Agencies, enacted on January 12, 1990, led to changes in the basic 
    grant requirements, but did not add any new criteria to the program.
        A number of modifications were made to the Section 410 program in 
    1991 by the enactment of the Intermodal Surface Transportation 
    Efficiency Act of 1991 (ISTEA). In addition to modifying award amounts 
    and procedures, ISTEA changed the criteria that States were required to 
    meet to qualify for basic and supplemental grant funds. To qualify for 
    a basic grant under the amended program, States were required to 
    provide for four out of the following five criteria: an expedited 
    administrative driver's license suspension or revocation system; a per 
    se law at 0.10 BAC (during the first three fiscal years in which a 
    basic grant is received based on this criterion and a per se law at 
    0.08 BAC in each subsequent fiscal year); a statewide program for 
    stopping motor vehicles; a self-sustaining drunk driving prevention 
    program; and a minimum drinking age prevention program.
        States eligible for basic grants could qualify also for 
    supplemental grants if they provided for one or more of the following: 
    a per se law at 0.02 BAC for persons under age 21; an open container 
    and consumption law; a suspension of registration and return of license 
    plate program; a mandatory blood alcohol concentration testing program; 
    a drugged driving prevention program; a per se law at 0.08 BAC (during 
    the first three fiscal years in which a basic grant is received); and a 
    video equipment program.
        In 1992, the Section 410 program was modified again. The Department 
    of Transportation and Related Agencies Appropriations Act for FY 1993, 
    which was signed into law on October 6, 1992, essentially repealed the 
    modifications to Section 410 relating to award amounts and procedures 
    that were enacted by ISTEA. The Act also added a sixth basic grant 
    criterion, and provided that to be eligible for a basic grant, a State 
    now must meet five out of six basic grant criteria. The new criterion 
    required States to show that they impose certain mandatory sentences on 
    repeat offenders.
        The National Highway System Designation Act of 1995 led to further 
    amendments to the Section 410 program. The criterion for a statewide 
    program for stopping motor vehicles was modified to accommodate States 
    in which roadblocks were unconstitutional. In addition, the per se
    
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    law at 0.02 BAC for persons under age 21 requirement was eliminated as 
    supplemental grant criterion , and became instead a basic grant 
    criterion (thereby increasing the total number of basic grant criteria 
    from six to seven). With this change, States could qualify for a basic 
    grant by meeting five out of seven criteria.
        On June 9, 1998, The Transportation Equity Act for the 21st Century 
    (TEA-21) was enacted into law (Pub. L. 105-178). Section 2004 of TEA-21 
    contained a new set of amendments to 23 U.S.C. 410. These amendments 
    modified both the grant amounts to be awarded and the criteria that 
    States must meet to qualify for both basic and supplemental grant funds 
    under the Section 410 program.
        The TEA-21 amendments, which take effect in FY 1999, establish two 
    separate basic grants, plus six supplemental grant criteria. The 
    statute provides that the amount of each basic grant shall equal up to 
    25 percent of the amount apportioned to the qualifying State for fiscal 
    year 1997 under 23 U.S.C. 402, and that up to 10 percent of the amounts 
    available to carry out the Section 410 program shall be available for 
    making Section 410 supplemental grants.
        Under the TEA-21 amendments, States can qualify for one of the 
    basic grants (named a ``Programmatic Basic Grant'' in the interim 
    regulation) by demonstrating that the State meets five out of the 
    following seven criteria: an administrative driver's license suspension 
    or revocation system; an underage drinking prevention program; a 
    statewide traffic enforcement program; a graduated driver's licensing 
    system; a program to target drivers with high BAC; a program to reduce 
    drinking and driving among young adults (between the ages of 21 and 
    34); and a BAC testing program. States can qualify for the other basic 
    grant (named a ``Performance Basic Grant'' in the interim regulation) 
    by demonstrating that the percentage of fatally injured drivers in the 
    State with a blood alcohol concentration (BAC) of 0.10 or more has 
    decreased in each of the three most recent calendar years for which 
    statistics are available and that the percentage of fatally injured 
    drivers with a BAC of 0.10 or more in the State has been lower than the 
    average percentage for all States in each of the same three calendar 
    years.
        To qualify for supplemental grant funds under Section 410, as 
    amended by TEA-21, a State must be eligible to receive a Programmatic 
    and/or a Performance Basic Grant, and must provide for one or more of 
    the following six criteria: a video equipment program; a self-
    sustaining drunk driving prevention program; a program to reduce 
    driving with a suspended driver's license; a passive alcohol sensor 
    program; an effective DWI tracking system; or other innovative programs 
    to reduce traffic safety problems that result from individuals who 
    drive while under the influence of alcohol or controlled substances.
    
    II. Programmatic Basic Grant
    
        Prior to the enactment of TEA-21, the Section 410 basic grant 
    criteria included the following: an expedited administrative driver's 
    licenses suspension or revocation system; a per se law at 0.10 BAC 
    (during the first three fiscal years in which a basic grant is received 
    based on this criterion and a per se law at 0.08 BAC in each subsequent 
    fiscal year); a statewide program for stopping motor vehicles; a self-
    sustaining drunk driving prevention program; a minimum drinking age 
    prevention program; mandatory sentences for repeat offenders; and a per 
    se law at 0.02 BAC for persons under age 21.
        TEA-21 removed some of these criteria from the section 410 program. 
    A per se law at 0.08 BAC became the criterion for a separate incentive 
    grant program, 23 U.S.C. 163, under which States may qualify for a 
    total of $500 million over a six year period, and a per se law at 0.02 
    BAC for persons under age 21 became (in 1995) became the criterion for 
    a sanction program, 23 U.S.C. 161, under which States will be subject 
    to the withholding of highway construction funds beginning in FU 2000 
    unless they have enacted and are enforcing such a law. Most of the 
    criteria (or modifications thereof) continue to be features of the 
    Section 410 program.
        With the enactment of TEA-21, to qualify for a programmatic basic 
    grant, a State must demonstrate compliance with five out of the 
    following seven grant criteria: an administrative license suspension or 
    revocation system; an underage drinking prevention program; a statewide 
    traffic enforcement program; a graduated driver's licensing system; a 
    program to target drivers with high BAC; a program to reduce drinking 
    and driving among young adults; and a BAC testing program.
        Of these criteria, the graduated driver's licensing system, the 
    program that targets drivers with high BAC, and the young adult 
    drinking and driving programs are new to the Section 410 program. Three 
    of the criteria (the administrative license suspension or revocation 
    system, the underage drinking prevention program and the statewide 
    traffic enforcement program) were basic grant criteria prior to the 
    enactment of TEA-21. The BAC testing program represents a modification 
    of a former Section 410 criterion, which encouraged States to provide 
    for mandatory BAC testing of drivers in certain motor vehicle crashes.
    
    A. Administrative License Suspension or Revocation System
    
        Studies show that when States adopt an administrative license 
    suspension or revocation law, they experience an average 6-9 percent 
    reduction in alcohol-related fatalities.
        An administrative (or expedited) license suspension or revocation 
    system has been a basic grant criterion under the Section 410 program 
    since the program's inception. TEA-21 continues to include this basic 
    grant criterion in Section 410, but the Act streamlines the elements 
    that States must meet to demonstrate compliance with this criterion. 
    TEA-21 provides that, to qualify for a grant based on this criterion, a 
    State must demonstrate:
    
        An administrative driver's license suspension or revocation 
    system for individuals who operate motor vehicles while under the 
    influence of alcohol that requires that--
        (i) In the case of an individual who, in any 5-year period 
    beginning after the date of enactment of [TEA-21], is determined on 
    the basis of a chemical test to have been operating a motor vehicle 
    while under the influence of alcohol or is determined to have 
    refused to submit to such a test as proposed by a law enforcement 
    officer, the State agency responsible for administering drivers' 
    licenses, upon receipt of the report of the law enforcement 
    officer--
        (I) Shall suspend the driver's license of such individual for a 
    period of not less than 90 days if such individual is a first 
    offender in such 5-year period; and
        (II) Shall suspend the driver's license of such individual for a 
    period of not less than 1 year, or revoke such license, if such 
    individual is a repeat offender in such 5-year period; and
        (ii) The suspension and revocation referred to * * * shall take 
    effect not later than 30 days after the day on which the individual 
    refused to submit to a chemical test or received notice of having 
    been determined to be driving under the influence of alcohol, in 
    accordance with the procedures of the State.
    
        Prior to the enactment of TEA-21, this criterion contained a number 
    of specific procedural requirements, including that the officer serve 
    the driver with a written notice and take possession of the driver's 
    license at the time of the stop, that the notice contain certain 
    information about the administrative procedures under which the State 
    may suspend or revoke the driver's license, that the State provide for 
    due process of
    
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    law and that the officer immediately report to the State entity 
    responsible for administering driver's licenses all information 
    relevant to the action taken. These specific requirements, which States 
    in past years argued were overly prescriptive, were removed from this 
    criterion in TEA-21. Accordingly, they have been removed from the 
    regulation as well.
        To qualify under this criterion, as amended by TEA-21, a State must 
    provide simply that first offenders will be subject to a 90-day 
    suspension, that repeat offenders will be subject to a one-year 
    suspension or revocation, and that suspensions or revocations will take 
    effect within 30 days after the offender refuses to submit to a 
    chemical test or receives notice of having failed the test.
        The interim final rule continues to provide that these suspension 
    and revocation terms must be hard (i.e., that during these terms, all 
    driving privileges are suspended or revoked), except that first 
    offenders who submitted to and were determined to have failed a 
    chemical test, may be subject to a 30-day hard suspension, and then may 
    receive restricted driving privileges or a hardship license for the 
    remainder of the 90-day term.
        The interim final rule continues to provide that States may 
    demonstrate compliance with this criterion as either ``Law States'' or 
    ``Data States.'' The rule, however, simplifies the information States 
    must submit to demonstrate compliance in subsequent fiscal years.
        As provided in the interim rule, a ``Law State'' is a State that 
    has a law, regulation or binding policy directive implementing or 
    interpreting the law or regulation that meets each element of the 
    criterion. A ``Data State'' is a State that has a law, regulation or 
    binding policy directive that provides for an administrative license 
    suspension or revocation system, but it does not meet each element of 
    the criterion. For example, the law may permit restricted licenses 
    during the 90-day or one-year period or the law may not specifically 
    provide that suspensions must take effect within 30 days.
        To demonstrate compliance in the first fiscal year a State 
    qualifies for a grant based on this criterion, a Law State need only 
    submit a copy of its conforming law, regulation or binding policy 
    directive. A Data State must submit its law, regulation or binding 
    policy directive, and data demonstrating compliance with any element 
    not specifically provided for in the State's law.
        In the past, to demonstrate compliance with this criterion in 
    subsequent fiscal years, both Law States and Data States were required 
    to submit data regarding the number of licenses suspended, the average 
    lengths of suspension, and the average length of time that elapsed 
    until suspensions took effect for both first and repeat offenders.
        The agency has decided to streamline this requirement, which should 
    reduce reporting requirements for States considerably. Under the 
    interim final rule, to demonstrate compliance with this criterion in 
    subsequent fiscal years, a Law State need only submit a copy of any 
    changes to the State's law, regulation or binding policy directive. If 
    there have been no changes in the State's law, regulation or binding 
    policy directive since the previous year's submission, the State shall 
    submit instead a certification to that effect.
        To demonstrate compliance with this criterion in subsequent fiscal 
    years, Data States must submit the same information as Law States, plus 
    they must provide updated data demonstrating compliance with any 
    element not specifically provided for in the State's law.
        Although States are no longer required by the statute and the 
    interim regulation to show that law enforcement officers take 
    possession of driver licenses at the time of the stop, the agency 
    encourages States nonetheless to continue this practice. NHTSA has 
    found that the practice of immediately seizing a driver's license is a 
    powerful deterrent and should be used whenever possible.
    
    B. Underage Drinking Prevention Program
    
        Drinking by drivers under 21 years of age continues to be a 
    significant safety problem, and studies show that when States adopt a 
    minimum drinking age of 21 years, they experience an average 12 percent 
    decrease in alcohol-related fatalities in the affected age group. Many 
    States, however, do not enforce minimum drinking age laws as vigorously 
    as possible.
        An underage drinking (or minimum drinking age) prevention program 
    has been a grant criterion under Section 410 since the program's 
    inception, first as a supplemental grant criterion and later as a 
    criterion for a basic grant. TEA-21 continues to include this basic 
    grant criterion in Section 410, but the Act modifies it slightly. TEA-
    21 provides that, to qualify for a grant based on this criterion, a 
    State must demonstrate:
    
        An effective system * * * for preventing operators of motor 
    vehicles under age 21 from obtaining alcoholic beverages and for 
    preventing persons from making alcoholic beverages available to 
    individuals under age 21. Such system may include the issuance of 
    drivers' licenses to individuals under age 21 that are easily 
    distinguishable in appearance from drivers' licenses issued to 
    individuals age 21 or older and the issuance of drivers' licenses 
    that are tamper resistant.
    
        This criterion is almost identical to the minimum drinking age 
    prevention program criterion contained in Section 410 prior to the 
    enactment of TEA-21, except that TEA-21 added two elements to the 
    criterion. Under TEA-21, the system must not only prevent drivers under 
    the age of 21 from obtaining alcoholic beverages, it must also take 
    steps that prevent persons of any age from making alcoholic beverages 
    available to those who are under 21. In other words, the system must 
    target young drinkers and also providers. In addition, States must 
    demonstrate both that driver's licenses that are issued to individuals 
    under the age of 21 are distinguishable from those issued to 
    individuals over 21 years of age, and that they are tamper resistant.
        The interim final rule incorporates these new elements into the 
    implementing regulation, and includes in Appendix A to the regulation a 
    list of security features that States may include on their driver's 
    licenses to make them tamper resistant.
        While States are required under this interim final rule to adopt 
    only one of the listed security features, the agency urges States to 
    consider incorporating as many of the security features as possible 
    into their driver's licenses to prevent underage drivers from altering 
    existing licenses or from obtaining or producing counterfeits.
        The interim final rule also makes two additional modifications to 
    this criterion. It specifies that public information programs targeted 
    to underage drivers publicize drinking age laws, zero tolerance laws 
    and the penalties associated with a violation of these statutes, and it 
    provides that the overall enforcement strategy developed under this 
    program must be capable of being implemented locally throughout the 
    State. The agency believes these elements are important to ensure the 
    effectiveness of underage drinking prevention programs.
        In the past, to demonstrate compliance with this criterion, a State 
    was required to submit a plan (or an updated plan) for conducting an 
    underage drinking prevention program. Under the interim final rule, to 
    demonstrate compliance in the first fiscal year a State receives a 
    grant based on this criterion, the State must submit information 
    demonstrating that a program that meets each programmatic element of 
    this criterion is already in place. This change conforms the
    
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    regulation to the practices that States already have been following. As 
    in past years, States must also submit sample driver's licenses. The 
    samples must demonstrate that licenses issued to drivers under the age 
    of 21 are easily distinguishable from licenses issued to older drivers 
    and that they are tamper resistant.
        To demonstrate compliance in subsequent fiscal years, States need 
    only submit information documenting any changes to the State's driver's 
    licenses or underage driving prevention program, or a certification 
    stating that there have been no changes since the state's previous 
    year's submission.
        The agency notes that the Office of Juvenile Justice and 
    Delinquency Prevention of the U.S. Department of Justice (DOJ) awarded 
    $25 million in grants in FY 1998 to States to encourage the enforcement 
    of minimum drinking age laws. An additional $25 million in grants will 
    be available for this purpose in FY 1999. States that do not already 
    meet each element of the underage drinking prevention program criterion 
    under Section 410 may consider using DOJ grant funds to develop 
    programs that will enable these States to qualify for Section 410 
    funding.
    
    C. Statewide Traffic Enforcement Program
    
        Highly visible, widely publicized and frequently conducted 
    impaired-driving traffic enforcement programs are very effective at 
    reducing alcohol-related fatalities. NHTSA research strongly supports 
    the use of roadside sobriety checkpoints and other checkpoint programs 
    to reduce impaired driving deaths and injuries. Decreases in alcohol-
    related crashes have been reported consistently in States where 
    checkpoints are employed. A recent study of a highly publicized 
    Statewide sobriety checkpoint program (``Checkpoint Tennessee'') found 
    a 20 percent reduction in impaired driving-related fatal crashes, when 
    compared to five surrounding States with no intervention during the 
    same period.
        In addition, selective traffic enforcement programs, saturation 
    patrols, and special impaired driving patrols, particularly when 
    accompanied by aggressive public information programs and applied in a 
    coordinated Statewide effort, have been found to be very effective 
    tools for reducing alcohol-related fatalities.
        A basic grant criterion for Statewide programs for stopping motor 
    vehicles has been a feature of the Section 410 program since 1991. 
    Initially, only roadblock or checkpoint programs were considered 
    acceptable under this criterion, but the criterion was expanded later 
    to permit, in certain cases, other intensive and highly publicized 
    traffic enforcement techniques.
        TEA-21 continues to include in Section 410 a basic grant criterion 
    for a Statewide traffic enforcement program, but the Act provides for 
    added flexibility regarding the elements States must meet to comply. 
    TEA-21 provides that, to qualify for a grant based on this criterion, a 
    State must demonstrate:
    
        A statewide program for stopping motor vehicles on a 
    nondiscriminatory, lawful basis for the purpose of determining 
    whether the operators of such motor vehicles are driving while under 
    the influence of alcohol; or a statewide special traffic enforcement 
    program for impaired driving that emphasizes publicity for the 
    program.
    
        In other words, any State may qualify by having either a Statewide 
    program for stopping motor vehicles or a Statewide special traffic 
    enforcement program (STEP) for impaired driving that emphasizes 
    publicity regarding the program.
        The agency has modified this criterion to reflect the changes made 
    by TEA-21. As provided in the interim final rule, whether the State has 
    established a Statewide program for stopping motor vehicles or a STEP, 
    the State program must provide for the following components: motor 
    vehicles must be stopped or STEP's must be conducted on a Statewide 
    basis (in major areas covering at least 50 percent of the State's 
    population); stops must be made or STEP's must be conducted not less 
    than monthly; stops must be made or STEP's must be conducted by both 
    State and local law enforcement agencies; and effective public 
    information efforts must be conducted to inform the public about these 
    enforcement activities.
        To demonstrate compliance in the first fiscal year the State 
    receives a grant based on this criterion, the State must submit a plan 
    for its Statewide traffic enforcement program, which meets each element 
    of this criterion. The plan must include guidelines, policies or 
    operation procedures governing the program, and provide approximate 
    dates and locations of programs planned in the coming year. The plan 
    must also include the names of law enforcement agencies expected to 
    participate and describe the public information efforts to be 
    conducted.
        To demonstrate compliance in subsequent fiscal years, the State 
    must submit an updated plan, and information documenting that the prior 
    year's plan was implemented effectively including, for example, samples 
    of public information materials used and information that documents the 
    enforcement activities that took place.
    
    D. Graduated Driver's Licensing System
    
        There is growing support nationwide for the adoption of graduated 
    driver's licensing (GDL) systems. A GDL system generally consists of a 
    multi-staged (usually, a three-stage) process for issuing driver's 
    licenses to young people. During the first stage, the applicant 
    generally is issued a learner's permit and may operate a motor vehicle 
    only while under the supervision of an licensed driver over the age of 
    21. During the second stage, the applicant is issued an intermediate 
    (or restricted) license and may operate a motor vehicle without a 
    supervising adult, but only under certain conditions. Additional 
    restrictions also generally apply during these first two stages. Once 
    drivers meet all of the conditions and restrictions of the first two 
    stages, they can reach the third stage and earn an unrestricted 
    license.
        Some of the significant benefits of this system are that young 
    drivers are able to gain valuable driving experience under controlled 
    circumstances, and they must demonstrate responsible driving behavior 
    and proficiency to move through each stage of the system before 
    graduating to the next.
        Approximately 20 States have established some form of GDL system in 
    the last five years, and studies indicate that the use of such systems 
    results in improved highway safety. The adoption of GDL systems 
    resulted in a five percent reduction in crashes in California and 
    Maryland, an eight percent reduction in New Zealand, a 16 percent 
    reduction for young male drivers in Oregon, and a 31 percent reduction 
    in Ontario, Canada.
        TEA-21 adds a new graduated driver's licensing system basic grant 
    criterion to the Section 410 program. TEA-21 provides that, to qualify 
    for a grant based on this criterion, a State must demonstrate:
    
        A 3-stage graduated licensing system for young drivers that 
    includes nighttime driving restrictions during the first 2 stages, 
    requires all vehicle occupants to be properly restrained, and makes 
    it unlawful for a person under age 21 to operate a motor vehicle 
    with a blood alcohol concentration of 0.02 percent or greater.
    
        To qualify under this criterion, the agency's implementing 
    regulations require States to have a three-stage program that includes 
    a learner's permit stage (Stage I), an intermediate (or restricted) 
    license stage (Stage II), and a final stage, under which the driver 
    receives an unrestricted license (Stage
    
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    III). Stage I must last for at least three months and the combined 
    period of Stages I and II must last for at least one year.
        The regulations provide that applicants must be tested for 
    knowledge and vision before they receive a Stage I learner's permit. To 
    move to a Stage II intermediate license, applicants must have met all 
    the conditions of the Stage I learner's permit for a period of at least 
    three months, and they must pass a driving skills test. To receive an 
    unrestricted license under Stage III, applicants must have met all the 
    conditions of the Stage I learner's permit and the Stage II 
    intermediate license for a combined period of at least one year.
        The regulations also specify the conditions that must be imposed 
    during Stages I and II. Drivers with Stage I learner's permits and 
    Stage II intermediate licenses must abide by the State's seat belt use 
    laws and zero tolerance laws if they are under the age of 21, and they 
    must remain crash and conviction free. During Stage I, permit holders 
    may not operate a motor vehicle at any time (day or night) unless they 
    are accompanied by a licensed driver who is 21 years of age or older. 
    During Stage II, drivers may not operate a motor vehicle during certain 
    nighttime hours unless they are accompanied by a licensed driver who is 
    at least 21 years of age or covered by a State-approved exception to 
    this restriction. These hours are to be specified by the State, and 
    they must cover some period of time between the hours of 10:00 p.m. abd 
    6:00 a.m.
        Permits and licenses issued at all three stages must be 
    distinguishable from each other. Since drivers, once they reach Stage 
    III, are eligible to receive an unrestricted license, none of the other 
    conditions listed above need to apply during that stage of the system.
        The interim regulation provides that the GDL must cover ``young 
    drivers,'' but it does not define this term. Most States that have 
    already adopted GDL systems cover novice teenage drivers, up to a 
    specified age, although one State covers all novice drivers. The agency 
    defers to the States to determine the age of drivers that should be 
    covered by their GDL systems.
        To demonstrate compliance in the first fiscal year a State receives 
    a grant based on this criterion, a State must submit a copy of the law, 
    regulation or binding policy directive implementing or interpreting the 
    law or regulation, which provides for each element of the graduated 
    driver's licensing system criterion. To demonstrate compliance in 
    subsequent fiscal years, the State need only submit a copy of any 
    changes to the State's law, regulation or binding policy directive. If 
    there have been no changes in the State's law, regulation or bindng 
    policy directive since the previous year's submission, the State shall 
    submit instead a certification to that effect.
        Although not required under the regulation, NHTSA urges States to 
    consider including certain features in their graduated driver's 
    licensing systems, because these features are consistent with the 
    provisions recommended by NHTSA, the National Safety Council and other 
    National organizations in ``Saving Teenage Lives: The Call for 
    Graduated Driver Licensing'' (in press). For example, States should 
    consider requiring that applicants complete a basic skills or 
    ``driver's education'' course, with both classroom instruction and 
    supervised driving practice, before they receive a Stage II 
    intermediate license. In addition, States should consider requiring the 
    following conditions during Stage II: advanced driver training; 
    supervised practice; lower thresholds of accumulated points before 
    sanctions or corrective actions are imposed; limits on the number of 
    non-family passengers under the age of 21 who may accompany the driver 
    in the vehicle; advanced driver testing before receiving an 
    unrestricted license; a requirement that learner's permit holders 
    remain crash and conviction free for six (rather than three) months 
    before moving to the next phase; that intermediate license holders 
    remain crash and conviction free for an additional 12 months before 
    moving to the next phase; and a nighttime driving restriction during 
    the intermediate stage that is in effect during the entire 10:00 p.m. 
    to 6:00 a.m. time period.
    
    E. Drivers With High BAC
    
        NHTSA is keenly aware of the hazards posed by drinking drivers with 
    a blood alcohol concentration (BAC) that significantly exceeds existing 
    legal levels. Research indicates that drivers with a highly elevated 
    BAC not only are at increased risk of causing alcohol-related crashes 
    and fatalities, but also are placing themselves at increased risk of 
    incurring more serious injuries.
        According to the Fatality Analysis Reporting System (FARS), 30 
    percent of persons killed in motor vehicle crashes in 1997 were in 
    crashes involving a driver or non-occupant with a BAC of 0.10 or 
    greater. Drivers with a BAC of 0.15 or greater are estimated to have 
    risks that increase to more than 300 times that of sober drivers. NHTSA 
    estimates that more than half of all drinking drivers involved in fatal 
    crashes have a BAC that exceeds 0.15 percent. Moreover, a high BAC is a 
    strong indicator that the driver is a problem drinker and is at risk of 
    becoming a repeat offender.
        To combat the dangers posed by drivers with a high BAC, TEA-21 adds 
    a new basic grant criterion for programs that target these drivers. 
    TEA-21 provides that, to qualify for a grant based on this criterion, a 
    State must demonstrate:
    
        Programs to target individuals with high blood alcohol 
    concentrations who operate a motor vehicles. Such programs may 
    include implementation of a system of graduated penalties and 
    assessment of individuals convicted of driving under the influence 
    of alcohol.
    
        This interim final rule provides that, to qualify for a grant based 
    on this criterion, a State must have a system for imposing enhanced 
    penalties on those drivers who have been convicted of operating a motor 
    vehicle while under the influence of alcohol and determined to have a 
    high BAC. These enhanced penalties must be either more severe or more 
    numerous than those applicable to persons who have been convicted of 
    operating a motor vehicle while under the influence of alcohol, but 
    were not determined to have a high BAC.
        In order to provide States with a high degree of latitude in 
    fashioning appropriate enhanced penalties on these drivers, NHTSA has 
    not specified in the interim rule the particular minimum sanctions that 
    must apply. The enhanced penalties may include longer terms of license 
    suspension, increased fines, additional or extended sentences of 
    confinement, vehicle sanctions, or mandatory assessment and treatment 
    as appropriate.
        For the purposes of this criterion, the interim rule provides that 
    the threshold level at which high BAC sanctions must begin to apply may 
    be at any level above the standard BAC level at which sanctions for 
    non-commercial drivers begin to apply, but it must begin at or below 
    0.20 BAC. For example, if the standard BAC level in a State is 0.08, 
    then the State may begin to impose enhanced sanctions on offenders 
    determined to have a BAC of 0.09 or greater, or the state could choose 
    interest to begin imposing such sanctions on offenders with a BAC of 
    0.12 and above. If the State does not begin to impose such sanctions 
    until offenders are determined to be at 0.21 BAC or greater, however, 
    the State system will not comply.
        The agency is aware of ten States that have such graduated penalty 
    programs. In these States, the enhanced or
    
    [[Page 71693]]
    
    additional penalties begin to apply at levels ranging from 0.15 to 0.20 
    BAC.
        To demonstrate compliance in the first fiscal year a State receives 
    a grant based on this criterion, a State must submit a copy of the law, 
    regulation or binding policy directive implementing or interpreting the 
    law or regulation, which provides for each element of the program for 
    drivers with high BAC criterion. The law, regulation or binding policy 
    must specify the penalties that are to be imposed on drivers determined 
    to have a high BAC, and these penalties must be greater than those that 
    apply to other convicted drivers. To demonstrate compliance in 
    subsequent fiscal years, the State need only submit a copy of any 
    changes to the State's law, regulation or binding policy directive. If 
    there have been no changes in the State's law, regulation or binding 
    policy directive since the previous year's submission, the State shall 
    submit instead a certification to that effect.
    
    F. Young Adult Drinking and Driving Programs
    
        Alcohol involvement in crashes reaches its highest rate for those 
    between the ages of 21 and 34. FARS data for 1997 indicates that 45 
    percent of all drinking drivers in alcohol-related fatal crashes were 
    in this age group. More than 50 percent of those drivers 21 to 34 years 
    of age who were killed in fatal crashes had alcohol in their system--
    the highest percentage of any age group. Data from a 1996 Roadside 
    Survey show that although the percentage of all drivers with a BAC of 
    0.05 or above had decreased since 1986 (from 8.4 percent to 7.7 
    percent), the percentage of those age 21-34 with a BAC of 0.05 or above 
    increased (from 9.9 percent to 11.3 percent). The same tread was true 
    for those with a BAC of 0.10 or above--the percentage of all drivers 
    with a BAC of 0.10 or above decreased (from 3.2 percent to 2.8 percent) 
    while the percentage of those age 21-34 with a BAC of 0.10 or above 
    increased (from 3.3 percent to 3.8 percent). Self-reported survey data 
    indicate that adults age 21-29 are the most likely to drive after 
    drinking. Since the drivers in this age group can drink lawfully, the 
    laws and enforcement strategies that are used to target teenage drivers 
    are not available for them. Therefore, other prevention and enforcement 
    strategies must be identified to target drivers in this age group.
        TEA-21 adds a new basic grant criterion to the Section 410 program 
    to encourage the development of young adult drinking and driving 
    programs. TEA-21 provides that, to qualify for a grant based on this 
    criterion, a State must demonstrate:
    
        Programs to reduce driving while under the influence of alcohol 
    by individuals age 21 through 34. Such programs may include 
    awareness campaigns; traffic safety partnerships with employers, 
    colleges, and the hospitality industry; assessments of first time 
    offenders; and incorporation of treatment into judicial sentencing.
    
        The interim final rule provides that, to qualify under this 
    criterion, States must meet two requirements. First, they must 
    demonstrate that they have in place a public information and awareness 
    campaign aimed at persons between the ages of 21 and 34. Such a program 
    must be conducted on a Statewide basis, and it must be designed to 
    increase awareness among young adults (age 21-34) regarding alcohol-
    impaired driving laws and the penalties, costs and other consequences 
    of alcohol-impaired driving.
        Second, they must demonstrate that they have in place certain 
    partnership activities that seek to promote prevention. The interim 
    regulation identifies four such activities: activities involving the 
    participation of employers; activities involving the participation of 
    colleges or universities; activities involving the participation of the 
    hospitality industry; and activities involving the participation of 
    appropriate State officials that will encourage the assessment and 
    incorporation of treatment as appropriate in judicial sentencing for 
    young adult drivers.
        The agency does not expect that States will have all such 
    partnership activities in place during the first year of the Section 
    410 program. Accordingly, the interim final rule provides States with 
    an opportunity to put these activities into place over time. To qualify 
    in the first fiscal year a State receives a grant based on this 
    criterion, the State must be engaged in one of these four partnership 
    activities, and it must have a plan for expanding into the other areas. 
    To qualify in subsequent fiscal years, the State must be engaged in all 
    four activities.
        To demonstrate compliance in the first fiscal year a State receives 
    a grant based on this criterion, the State must submit a description 
    and sample materials documenting the Statewide public information and 
    awareness campaign, a description and sample materials documenting the 
    ongoing partnership activities involving at least one of the four 
    components listed above, and a plan that outlines proposed efforts to 
    conduct activities involving all four of these components. To 
    demonstrate compliance in subsequent fiscal years, the State must 
    submit an updated description of its Statewide public information and 
    awareness campaign and of all ongoing partnership activities, with 
    information documenting that all four components are involved.
    
    G. Testing for BAC
    
        Improving the rate of testing for blood alcohol concentration (BAC) 
    of drivers involved in fatal crashes is a critical component of any 
    alcohol-impaired driving program. Increased BAC testing helps us to 
    understand the problem, identify offenders, and take steps to develop 
    effective solutions to reduce the tragic consequences of impaired 
    driving. According to FARS data, only 43.7 percent of all drivers 
    involved in fatal crashes in 1997 were tested for BAC and the results 
    are known. NHTSA estimates that thousands of drivers each year are 
    impaired by alcohol when involved in a fatal crash, but are not 
    detected or charged because a BAC test was not administered or the 
    results are not available. If more drivers were tested for BAC and the 
    results are made available, estimates of alcohol involvement in fatal 
    crashes would be more accurate, more offenders would be prosecuted and 
    the data collected would facilitate the development of better alcohol-
    impaired driving countermeasures.
        Mandatory BAC testing has been a supplemental grant criterion under 
    Section 410 since the inception of the program. TEA-21 modifies this 
    criterion and makes it, for the first time, a criterion for a basic 
    grant. Under TEA-21, to qualify for a grant based on this criterion, a 
    State must demonstrate:
    
        An effective system for increasing the rate of testing of the 
    blood alcohol concentrations of motor vehicle drivers involved in 
    fatal accidents and, in fiscal year 2001 and each fiscal year 
    thereafter, a rate of such testing that is equal to or greater than 
    the national average.
    
        Prior to the enactment of TEA-21, States could qualify for a 
    supplemental grant based on this criterion if they demonstrated that 
    they provided for mandatory testing of drivers involved in fatal or 
    serious-injury crashes for the presence of alcohol when there was 
    probable cause to do so. States could demonstrate compliance as either 
    Law States or Data States. Law States were required to submit a law 
    that provided that law enforcement officials were required to order and 
    that offenders were required to submit to a chemical test in all fatal 
    and serious injury crashes where there was probable cause to order the 
    test. Data States were required to submit data showing that 
    substantially all drivers in fatal and
    
    [[Page 71694]]
    
    serious injury crashes were in fact tested.
        TEA-21 changed this criterion by focusing solely on fatal (and not 
    serious injury) crashes and by shifting the emphasis of this criterion 
    from program design to performance. TEA-21 provides that, to qualify 
    for a grant based on this criterion in FY 1999 and 2000, a State must 
    show an effective system for improving the rate of testing (without 
    specifying the method for doing so). To qualify, beginning in FY 2001, 
    a State must have a testing rate that is above the national average.
        The agency believes Congress intended to encourage States to take a 
    variety of steps in the first two fiscal years of this program (in FY's 
    1999 and 2000) to increase their particular testing rates and, thereby, 
    increase testing rates in the nation as a whole. Then, in FY 2001 and 
    beyond, only those States that exceed the national average will be 
    eligible for a grant based on this criterion.
        Accordingly, the agency has decided to provide additional 
    flexibility in the interim final rule by permitting States to qualify 
    for a grant based on this criterion in FY's 1999 and 2000 through 
    various methods.
        States may continue to qualify based on a law or data. A State can 
    qualify based on its law, if the law provides that law enforcement 
    officials are required to order and that offenders are required to 
    submit to a chemical test in all fatal crashes. A State can qualify 
    based on data, if the data shows that the State's percentage of BAC 
    testing among drivers involved in fatal motor vehicle crashes is equal 
    to or exceeds the national average, as determined under the most 
    recently available FARS data as of the first day of the fiscal year for 
    which grant funds are being sought.
        Alternatively, the interim final rule provides that States may 
    qualify instead by agreeing to conduct a symposium or workshop designed 
    to increase the percentage of BAC testing for drivers involved in fatal 
    motor vehicle crashes. The symposium or workshop must be attended by a 
    broad range of individuals in the State who play a role and can have an 
    impact on the State's percentage of BAC testing, including 
    representatives of law enforcement officials, prosecutors, hospital 
    officials, medical examiners and/or coroners, physicians and judges. 
    States have conducted these types of workshops or symposia, with 
    positive results. The agency believes States that take this step can be 
    effective at increasing their BAC testing percentages.
        The information States must submit to demonstrate compliance with 
    this criterion differs, depending on the fiscal year in which the State 
    is applying, whether this is a first or a subsequent-year application, 
    and the method the State is using to qualify. The interim final rule 
    provides a detailed account of the information that must be submitted 
    in each individual case.
        For example, to demonstrate compliance in FY 1999 or 2000 based on 
    a law, the State must submit a copy of the law, regulation or binding 
    policy directive implementing or interpreting the law or regulation 
    that provides for each element of this criterion. To demonstrate 
    compliance in FY 1999 or 2000 based on data, the State must submit a 
    statement certifying that the percentage of BAC testing among drivers 
    involved in fatal motor vehicle crashes in the State is equal to or 
    greater than the national average, as determined under the most 
    recently available FARS data as of the first day of the fiscal year for 
    which grant funds are being sought. NHTSA will verify the actual 
    testing percentages.
        To demonstrate compliance in FY 1999 or 2000 based on an agreement 
    to conduct a symposium or workshop, the State must describe the 
    symposium or workshop that is planned, and submit a copy of the 
    proposed agenda and a list of the names and affiliations of the 
    individuals who are expected to attend. If the symposium or workshop 
    has already taken place, the State must describe the event and submit 
    the actual agenda and list of attendees.
        If a State demonstrated compliance in FY 1999 based on an agreement 
    to conduct a symposium, then to demonstrate compliance in FY 2000 using 
    the same method, the State must submit the report or other 
    documentation that was generated as a result of the symposium or 
    workshop, with the recommendations that were developed, and a plan that 
    outlines how the recommendations will be implemented.
        Beginning in FY 2001, to demonstrate compliance for a grant based 
    on this criterion, a State need only submit a statement certifying that 
    the percentage of BAC testing among drivers involved in fatal motor 
    vehicle crashes in the State is equal to or exceeds the national 
    average, as determined under the most recently available FARS data as 
    of the first day of the fiscal year for which grant funds are being 
    sought. NHTSA will verify the actual testing percentages.
    
    III. Performance Grant Criteria
    
        In past years, some have challenged the approach taken by the 
    Section 410 program, under which States qualify for grants if they 
    adopt programs from a prescribed list established by Congress. They 
    argue that States should be provided the opportunity to qualify for 
    grants based on their performance, without regard to the particular 
    programs that the States chose to use to obtain their results.
        The new Section 410 program, as amended by TEA-21, addresses this 
    concern by providing for not one, but two, basic grants. States may 
    qualify for funds under a programmatic basic grant if they conduct 
    programs that are outlined in the programmatic basic grant criteria. 
    Alternatively, States may qualify for funds under a performance basic 
    grant simply by demonstrating State performance. (Moreover, States that 
    meet both sets of requirements can qualify to receive both basic 
    grants.)
        To qualify for a performance basic grant, a State must demonstrate 
    each of the following:
    
        (A) The percentage of fatally injured drivers with 0.10 percent 
    or greater blood alcohol concentration in the State has decreased in 
    each of the 3 most recent calendar years for which statistics for 
    determining such percentages are available; and
        (B) The percentage of fatally injured drivers with 0.10 percent 
    or greater blood alcohol concentration in the State has been lower 
    than the average percentage for all States in each of the [3 most 
    recent] calendar years [for which statistics for determining such 
    percentages are available].
    
        The interim final rule adopts these two conditions, and establishes 
    two methods for calculating the percentages described above.
        Each calendar year, NHTSA will calculate the percentage of fatally 
    injured drivers with a BAC of 0.10 percent or greater for each State 
    and the average percentage for all States for each of the three most 
    recent calendar years for which the data are available as of the first 
    day of the fiscal year for which grant funds are being sought, using 
    data contained in the FARs, and NHTSA's method for estimating alcohol 
    involvement (as developed and published by Klein, 1986). The agency 
    then will make the information available through its regional offices.
        Any State that meets the two requirements outlined above, based on 
    the percentages calculated by NHTSA, may demonstrate compliance simply 
    by submitting a certification statement. NHTSA will verify the actual 
    percentages.
        Alternatively, any State with a percentage of BAC testing among 
    fatally injured drivers of 85 percent or greater in the three most 
    recent calendar years for which FARS data are available as of
    
    [[Page 71695]]
    
    the first day of the fiscal year for which grant funds are being 
    sought, as determined by the FARS data, may perform its own 
    calculations. The State would calculate the percentage of fatally 
    injured drivers with a BAC of 0.10 percent or greater in that State for 
    these three calendar years, using only data for drivers with a known 
    BAC.
        The State would demonstrate compliance by submitting its 
    calculations and a statement certifying that the State meets the 
    requirements, based on the State's calculation of the percentage of 
    fatally injured drivers with such a BAC in the State and NHTSA's 
    calculation of this percentage in all States. NHTSA will verify the 
    actual percentages submitted using FARS data.
    
    IV. Supplemental Grant Criteria
    
        Prior to the enactment of TEA-21, the Section 410 supplemental 
    grant criteria included the following: an open container and 
    consumption law; a suspension of registration and return of license 
    plate program; a mandatory blood alcohol concentration testing program; 
    a drugged driving prevention program; a per se law at 0.08 BAC (during 
    the first three fiscal years in which a basic grant was received); and 
    a video equipment program.
        TEA-21 removed some of these criteria from the Section 410 program. 
    A per se law at 0.08 BAC became the criterion for a separate incentive 
    grant program, 23 U.S.C. 163, under which States may qualify for a 
    total of $500 million over a six-year period. An open container and 
    consumption law became the criterion for a new transfer program, 23 
    U.S.C. 154, under which States will be subject to a transfer of highway 
    construction funds beginning in FY 2001 unless they have enacted and 
    are enforcing such a law. Some of the supplemental criteria (or 
    modifications thereof) continue to be features of the Section 410 
    program.
        With the enactment of TEA-21, to qualify for a supplemental grant, 
    a State must be eligible for at least one of the two Section 410 basic 
    grants, and it must demonstrate compliance with one or more of the 
    following six supplemental grant criteria: a video equipment program; a 
    self-sustaining drunk driving prevention program; the reduction of 
    driving with a suspended license; a passive alcohol sensor program; an 
    effective DWI tracking system; or other innovative programs.
        Of these criteria, the passive alcohol sensor program, an effective 
    DWI tracking system and other innovative programs are new to Section 
    410. Two of the criteria were features of Section 410 prior to the 
    enactment of TEA-21 (the video equipment program was a supplemental 
    grant criterion and the self-sustaining drunk driving prevention 
    program was a criterion for a basic grant). The reduction of driving 
    with a suspended license criterion represents a modification of a 
    former Section 410 criterion, which encouraged States to provide for 
    the suspension of registration and return of license plates for certain 
    serious offenses.
    
    A. Video Equipment Program
    
        The use of in-vehicle video equipment to record DWI investigations 
    has increased in recent years, and officers who have used the equipment 
    identify many positive results. They indicate, for example, that use of 
    the equipment provides evidence of what happened at the time of the 
    arrest, it convinces many defendants to plead guilty, it helps officers 
    testify in court and it protects officers from false allegations and 
    liability suits. Use of the equipment also helps the persons who have 
    been detained. It helps to ensure that officers follow correct 
    procedures and otherwise protects the suspects' rights.
        The majority of law enforcement agencies that use video equipment 
    have written policies governing its use. These policies address what 
    types of arrests should be recorded, who is responsible for maintaining 
    the equipment, evidentiary issues and information about training. A 
    model policy has been developed by the International Association of 
    Chiefs of Police.
        A video equipment program has been a supplemental grant criterion 
    under Section 410 since 1991. TEA-21 continues to include this program 
    as a supplemental grant criterion, without change. To qualify for a 
    grant based on this criterion, a State must demonstrate that:
    
        The State provides for a program to acquire video equipment to 
    be used in detecting persons who operate motor vehicles while under 
    the influence of alcohol and in prosecuting those persons, and to 
    train personnel in the use of that equipment.
    
        The requirements that States must meet and the information they 
    must submit to demonstrate compliance with this criterion are 
    essentially unchanged. Accordingly, there are not substantive changes 
    to this portion of the agency's implementing regulation.
        To demonstrate compliance in the first fiscal year a State receives 
    a grant based on this criterion, as before, the State must submit a 
    plan for the acquisition and use of video equipment in law enforcement 
    vehicles for the enforcement of impaired driving laws, including: a 
    schedule for the areas where the equipment has been and will be 
    installed and used; a plan for training law enforcement personnel, 
    prosecutors and judges in the use of this equipment; and a plan for 
    public information and education programs to enhance the general 
    deterrent effect of the equipment.
        To demonstrate compliance in subsequent years, the State must 
    submit information on the use and effectiveness of the equipment and an 
    updated plan for any acquisition and use of additional equipment.
    
    B. Self-Sustaining Drunk Driving Prevention Program
    
        Self-sustaining drunk driving prevention programs ensure that 
    resources are generated while a State is enforcing its impaired driving 
    laws, and then are made available to detect, arrest, prosecute and 
    sanction other DWI offenders and to educate the public about impaired 
    driving. A self-sustaining program provides for fines, reinstatement 
    fees or other charges to be assessed, and for the funds received to be 
    used directly to sustain a comprehensive Statewide drunk driving 
    prevention program. States that have institute such programs have been 
    very effective in reducing alcohol-related crashes and fatalities.
        A self-sustaining drunk driving prevention program has been a basic 
    grant criterion under the Section 410 program since the program's 
    inception. TEA-21 continues to include this grant criterion in Section 
    410, but changes it from a basic to a supplemental criterion and makes 
    some modifications to the elements that States must meet to demonstrate 
    compliance with this criterion. TEA-21 provides that, to qualify for a 
    grant based on this criterion, a State must demonstrate that:
    
        The State provides for a self-sustaining drunk driving 
    prevention program under which a significant portion of the fines or 
    surcharges collected from individuals apprehended and fined for 
    operating a motor vehicle while under the influence of alcohol are 
    returned to those communities which have comprehensive programs for 
    the prevention of such operations of motor vehicles.
    
        Prior to the enactment of TEA-21, States could qualify under this 
    criterion if a significant portion of the fines or surcharges collected 
    from individuals apprehended and fined for operating a motor vehicle 
    while under the influence of alcohol was either returned or an 
    equivalent amount was provided to communities with self-sustaining 
    comprehensive drunk driving prevention programs. TEA-21 amended
    
    [[Page 71696]]
    
    this criterion to provide that providing an equivalent amount of funds 
    is no longer sufficient. The actual fines or surcharges collected now 
    must be returned to those communities in order for a State to comply. 
    This statutory change has been incorporated into the implementing 
    regulation.
        The agency recognizes that this change may prevent some States, 
    such as those whose Constitution prohibits such a dedicated non-
    discretionary use of fines and penalties obtained from driving 
    offenders, from qualifying under this criterion. However, NHTSA notes 
    that Congress changed this criterion from a basic to a supplemental 
    grant criterion. Accordingly, a State's inability to comply with this 
    criterion will not inhibit any State's ability to obtain a basic grant.
        In previous years, States were required to submit a great deal of 
    information to demonstrate compliance with this criterion. In an effort 
    to streamline the administration of this program, and to reduce the 
    recordkeeping and reporting burdens on the States, the agency has 
    simplified this portion of the regulation. To demonstrate compliance in 
    the first year a State receives a grant based on this criterion, the 
    State now need only submit a copy of the law, regulation or binding 
    policy directive that provides for a self-sustaining drunk driving 
    prevention program and certain Statewide data (or a representative 
    sample).
        The law, regulation or binding policy directive must provide for 
    fines or surcharges to be imposed on individuals apprehended for 
    operating a motor vehicle while under the influence of alcohol and for 
    such fines or surcharges collected to be returned to communities with 
    comprehensive drunk driving prevention programs. The interim final rule 
    defines the elements of such a program. The data must show the 
    aggregate amount of fines or surcharges collected, the aggragate amount 
    of revenues returned to communities with comprehensive drunk driving 
    prevention programs under the State's self-sustaining system, and the 
    aggregate cost of the State's comprehensive drunk driving prevention 
    programs.
        To demonstrate compliance in subsequent years, States need only 
    submit updated data and either a copy of any changes to the State's 
    law, regulation or binding policy directive or, if there have been no 
    changes to the State's law, regulation or binding policy directive, 
    then a certification statement to that effect.
    
    C. Reduction of Driving With a Suspended License
    
        Driving with a suspended license (DWS) is illegal in all States, 
    yet many drivers with suspended licenses continue to drive. Studies 
    estimate that, in some States, as many as 60-80 percent of drivers with 
    suspended or revoked licenses continue to drive, although it is 
    believed that these drivers tend to operate their vehicles less 
    frequently and more carefully, to avoid detection.
        A program for the suspension of the registration and the return of 
    license plates has been a supplemental grant criterion since the 
    inception of the Section 410 program. TEA-21 adopts as a supplemental 
    grant criterion a modification of this program, which encourages the 
    development of a program to reduce driving with a suspended license. 
    TEA-21 provides that, to qualify for a grant based on this criterion, a 
    State must demonstrate that:
    
        The State enacts and enforces a law to reduce driving with a 
    suspended license. Such law . . . may require a ``zebra'' stripe 
    that is clearly visible on the license plate of any motor vehicle 
    owned and operated by a driver with a suspended license.
    
        Some States, such as Oregon, have enacted ``zebra stripe'' laws 
    (although no such laws are currently in effect). The Oregon ``zebra 
    stripe'' program, which included strong public information and 
    enforcement components, showed a marked reduction in driving with a 
    suspended license. Other laws have been shown to be effective at 
    reducing this problem, as well; in particular, laws that provide for 
    vehicle sanctions. Accordingly, the agency has decided that States can 
    qualify under this criterion if they have in effect any one of a number 
    of vehicle-related sanctions. The sanctions may provide for either: the 
    suspension of the registration and the return of license plates; or the 
    impoundment, immobilization, forfeiture or confiscation of motor 
    vehicles; as well as the use of ``zebra stripes'' or other distinctive 
    markings on license plates.
        Prior to TEA-21, to qualify under the criterion for the suspension 
    of the registration and the return of license plates, State laws had to 
    apply to DWS offenders and repeat DWI offenders. Under TEA-21 and the 
    revised regulation, this criterion requires that the vehicle sanctions 
    apply only to the former.
        In addition, prior to TEA-21, the vehicle sanction had to be in 
    place during the entire term during which the individual's driver's 
    license was under suspension or revocation. Under TEA-21 and the 
    revised regulation, this criterion does not specify a minimum length of 
    time during which the vehicle sanction must apply. The regulation 
    requires only that the sanction must be in place for some time period, 
    to be specified by the State, during the offender's driver's license 
    suspension or revocation term. Consistent with past practice, and the 
    requirements of similar criteria currently being administered by the 
    agency Under other programs, the sanction must apply to any motor 
    vehicle owned by the individual.
        NHTSA recognizes that the suspension of the registration and the 
    return of license plates, as well as the impoundment, immobilization, 
    forfeiture or confiscation of a motor vehicle could have serious 
    adverse consequences on individuals other than the offender. 
    Accordingly, although the agency does not encourage States to create 
    exceptions to their laws, and exceptions certainly are not required to 
    be included for a State to qualify for a grant under this criterion, 
    the interim final rule provides that a State may provide limited 
    exceptions to their vehicle sanctions on an individual basis to avoid 
    undue hardship to any individual who is completely dependent on the 
    motor vehicle for the necessities of life. Such individuals may include 
    any family member of the convicted individual, and any co-owner of the 
    motor vehicle, but not the convicted individual.
        Such exceptions may be issued only in accordance with a State law, 
    regulation or binding policy directive establishing the conditions 
    under which motor vehicles or license plates may be released by the 
    State or under Statewide published guidelines and in exceptional 
    circumstances specific to the offender's motor vehicle, and may not 
    result in unrestricted use of the motor vehicle.
        To demonstrate compliance in the first fiscal year a State receives 
    a grant based on this criterion, a State must submit a copy of the law, 
    regulation or binding policy directive implementing or interpreting the 
    law or regulation, which provides for each element of the reduction of 
    driving with a suspended license criterion. To demonstrate compliance 
    in subsequent fiscal years, the State need only submit a copy of any 
    changes to the State's law, regulation or binding policy directive. If 
    there have been no changes in the State's law, regulation or binding 
    policy directive since the previous year's submission, the State shall 
    submit instead a certification to that effect.
    
    [[Page 71697]]
    
    D. Passive Alcohol Sensors
    
        Passive alcohol sensors are designed to enhance the ability of law 
    enforcement officials to detect alcohol use by a driver. These sensors 
    often are used to enhance the capabilities of officers at sobriety 
    checkpoints or investigative stops. Research reports indicate that 
    passive sensor use increased the detection of BACs of 0.10 or more by 
    15 percent. An officer's ability to detect alcohol at lower BACs (e.g., 
    between 0.05 and 0.10), where it is more difficult for the officer to 
    detect alcohol, was nearly doubled with the use of passive alcohol 
    sensors, thereby making these procedures more efficient. Passive 
    alcohol detection serves as an extension of the officers' ability to 
    detect alcohol with their senses, thereby enhancing the enforcement of 
    alcohol-related traffic safety laws. The detection of alcohol typically 
    provides sufficient grounds to further investigate whether an alcohol-
    related traffic law (e.g., driving under the influence) has been 
    violated.
        TEA-21 adds a new supplemental grant criterion to the Section 410 
    program to encourage the use of passive alcohol sensors. TEA-21 
    provides that, to qualify for a grant based on this criterion, a State 
    must demonstrate that:
    
        The State provides for a program to acquire passive alcohol 
    sensors to be used by police officers in detecting persons who 
    operate motor vehicles while under the influence of alcohol, and to 
    train police officers in the use of that equipment.
    
        To qualify for an incentive grant based on this new criterion, a 
    State must have a passive alcohol sensor program that calls for the 
    acquisition and use of passive alcohol sensors and provides for 
    training law enforcement personnel in their use.
        The information States must submit to demonstrate compliance with 
    this criterion is similar to the information they must submit to 
    demonstrate compliance with the video equipment program. To demonstrate 
    compliance in the first fiscal year a State receives a grant based on 
    this criterion, the State must submit a plan for the acquisition and 
    use of passive alcohol sensors. The plan must include: A schedule for 
    the areas where the equipment has been and will be used; a plan to 
    train law enforcement personnel and to inform prosecutors and judges 
    about the purpose and use of these devices; and a plan for a public 
    information and education program to enhance the general deterrent 
    effect of the equipment. To demonstrate compliance in subsequent fiscal 
    years, the State must submit information on the use and effectiveness 
    of the equipment and an updated plan for any acquisition and use of 
    additional equipment.
    
    E. Effective DWI Tracking System
    
        Each year, more than 1.4 million drivers are arrested for DWI. The 
    development of an effective DWI tracking system in a State can enhance 
    the deterrent effect of sanctions by ensuring that offenders do not 
    fail to complete conditions of sentences, administrative actions, or 
    assessment and treatment due to oversight or insufficient access to 
    records. Effective DWI tracking systems also can assure that offenders 
    subsequently charged with DWI are sanctioned at the time of posting 
    bond and sentencing as repeat, not first, offenders. In addition, 
    effective tracking systems serve to focus resources on those offenders 
    who pose the greatest risk to themselves and others--repeat offenders 
    and problem drinkers with a high BAC.
        In 1997, NHTSA completed a comprehensive study and published a 
    three-volume report entitled ``Driving While Intoxicated Tracking 
    Systems.'' The study concludes that an effective DWI tracking system 
    should provide the means to accomplish two ends.
        First, the DWI ``critical path'' of each offender should be 
    monitored from arrest through dismissal or sentence completion. Any 
    weakness in the critical path may be perceived by an offender as an 
    inability of ``the system'' to provide adequate punishment and may not 
    deter the offender from repeating the offense. For example, if alcohol 
    treatment was a condition of a sentence, but the offender successfully 
    regained driving privilege without completing treatment, program 
    effectiveness for that individual may be reduced. General deterrence 
    could be reduced as well, due to the perception that sanctions are not 
    enforced.
        Second, the DWI tracking system should provide aggregate DWI data 
    on various demographic groups that will allow legislators, 
    policymakers, treatment professionals, and others to evaluate the 
    current DWI environment, countermeasure programs, and laws designed to 
    reduce DWI, or to rehabilitate DWI offenders. At a minimum, annual 
    statistical reports should be available that provide data on arrests, 
    convictions, fines assessed and paid, pleas, sanctions, sentences, and 
    treatment effectiveness by various demographic groups.
        TEA-21 adds a new supplemental grant criterion to the Section 410 
    program for States that develop effective DWI tracking systems. TEA-21 
    provides that, to qualify for a grant based on this criterion, a State 
    must demonstrate:
    
        An effective driving while intoxicated (DWI) tracking system. 
    Such a system * * * may include data covering arrests, case 
    prosecutions, court dispositions and sanctions, and provide for the 
    linkage of such data and traffic records systems to appropriate 
    jurisdictions and offices within the State.
    
        To qualify for a grant based on this criterion, a State must 
    demonstrate that it has established a tracking system with the ability 
    to: collect, store, and retrieve data on individual DWI cases, from 
    arrest through all stages, until dismissal or until all applicable 
    sanctions have been completed; link the DWI tracking system to 
    appropriate jurisdictions and offices within the State to provide all 
    appropriate officials with timely and accurate information concerning 
    individuals charged with an alcohol-related driving offense; and 
    provide aggregate data, organized by specific categories, suitable for 
    allowing appropriate State officials to evaluate the DWI environment in 
    the State.
        To demonstrate compliance in the first fiscal year a State receives 
    a grant based on this criterion, the State must submit information 
    describing the system, including the means used to collect, store and 
    retrieve data and an explanation of how the system is linked to 
    appropriate jurisdictions and offices within the State. The State must 
    submit also an example of available statistical reports and analyses 
    and a sample data run showing tracking of a DWI arrest, through final 
    disposition. To demonstrate compliance in subsequent fiscal years, the 
    State must submit information demonstrating the use of the system.
    
    F. Other Innovative Programs
    
        NHTSA has long sought ways to encourage the development of 
    innovative programs to address impaired driving and other highway 
    safety issues. The agency has sought also to identify innovative 
    programs that have been demonstrated to be effective, and to publicize 
    these successful programs, so that others can duplicate them in their 
    States or communities. This technique, of encouraging the development 
    and then the duplication of effective, innovative programs, 
    accomplishes several objectives. It encourages experimentation, 
    identifies success, promotes the best use of available resources and 
    helps States and communities avoid having to ``reinvent the wheel.''
        Since 1993, NHTSA has published the Traffic Safety Digest, which 
    highlights innovative programs in 12 different
    
    [[Page 71698]]
    
    areas of traffic safety. The Digest is published quarterly.
        TEA-21 adds a new supplemental grant criterion to the Section 410 
    program to encourage the development of innovative programs. TEA-21 
    provides that, to qualify for a grant based on this criterion, a State 
    must demonstrate:
    
        Other innovative programs to reduce traffic safety problems 
    resulting from individuals driving while under the influence of 
    alcohol or controlled substances, including programs that seek to 
    achieve such a reduction through legal, judicial, enforcement, 
    educational, technological, or other approaches.
    
        To qualify for an incentive grant based on this new criterion, a 
    State must demonstrate that it has implemented an innovative program 
    designed to reduce alcohol- or drug-impaired driving. To ensure that 
    programs are operational and current, the interim regulation provides 
    that the program must have been implemented within the last two years. 
    It must also have been shown to be effective.
        The agency will consider a program to be innovative if it contains 
    one or more substantial components that make the program different from 
    those previously conducted in the State. The program may be an 
    adaptation or combination of approaches that have been used before, but 
    it must include one or more features (that are more than incidental) 
    that make the program unique. For example, innovative programs may 
    demonstrate new ways to reach target populations (such as teenagers or 
    Native Americans) more effectively, involve non-traditional partners in 
    efforts to deter impaired driving (as the CODES project did when it 
    encouraged data sharing between the law enforcement and medical 
    communities), or be based on the passage of a unique law or ordinance 
    that is designed to address alcohol- or drug-impaired driving.
        To qualify for a grant based on this criterion, the innovative 
    component(s) of the program must not have been used by the State in 
    this or a previous fiscal year to qualify for a Section 410 grant based 
    on any other criterion. For example, a State that qualifies for a grant 
    based on its use of video or passive sensor equipment could not qualify 
    for a grant under the ``other innovative programs'' criterion based on 
    its use of such equipment, unless the State uses the equipment in a 
    unique and innovative way, and the State's unique or innovative method 
    for using the equipment has been determined to be effective.
        In addition, the innovative component(s) of the program may be used 
    only once to qualify for a supplemental Section 410 under the ``other 
    innovative programs'' criterion.
        To demonstrate compliance with this criterion, States must submit a 
    description of the program. The information that must be included in 
    the description listed in the interim regulation. The description may 
    be presented in the same format used by States when submitting 
    proposals to NHTSA's Traffic Safety Digest. Programs described by a 
    State in its Section 410 application and determined by NHTSA to qualify 
    under the ``other innovative programs'' criterion will enable the State 
    to qualify for supplemental grant funds, and also will be considered 
    for publication in the Traffic Safety Digest.
    
    V. Administrative Issues
    
    A. Qualification Requirements
    
        To agency's Section 410 implementing regulation continues to 
    outline, in the qualification requirements section, 23 CFR 1313.4(a), 
    certain procedural steps that must be followed when States wish to 
    apply for a grant under this program.
        State applications must be received by the agency no later than 
    August 1 of the fiscal year in which the States are applying for funds. 
    The application must contain certifications stating that: (1) the State 
    has an alcohol-impaired driving prevention program that meets the grant 
    requirements; (2) it will use funds awarded only for the implementation 
    and enforcement of alcohol-impaired driving prevention programs; (3) it 
    will administer the funds in accordance with relevant regulations and 
    OMB Circulars; and (4) the State will maintain its aggregate 
    expenditures from all other sources for its alcohol-impaired driving 
    prevention programs at or above the average level of such expenditures 
    in fiscal years 1996 and 1997. The regulation provides that either 
    State or Federal fiscal year may be used.
        Consistent with current procedures being followed in other highway 
    safety grant programs being administered by NHTSA, once a State has 
    been informed that it is eligible for a grant, the State must include 
    documentation in the State's Highway Safety Plan, prepared under 
    Section 402, that indicates how it intends to use the grant funds. The 
    documentation must include a Program Cost Summary (HS Form 217) 
    obligating the Section 410 funds to alcohol-impaired driving prevention 
    programs.
        Upon receipt and subsequent approval of a State's application, 
    NHTSA will award grant funds to the State and will authorize the State 
    to incur costs after receipt of an HS Form 217. Vouchers must be 
    submitted to the appropriate NHTSA Regional Administrator and 
    reimbursement will be made to States for authorized expenditures. The 
    funding guidelines applicable to the Section 402 Highway Safety Program 
    will be used to determine reimbursable expenditures under the Section 
    410 program. As with requests for reimbursement under the Section 402 
    program, States should indicate on the vouchers what amount of the 
    funds expended are eligible for reimbursement under Section 410.
    
    B. Limitation on Grants
    
        Prior to the enactment of TEA-21, qualifying States were eligible 
    to receive each Section 410 grant for up to five fiscal years. Basic 
    grants were limited to an amount equal to 30 percent of the State's 
    Section 402 apportionment for fiscal year 1992. Each supplemental grant 
    was limited to five percent of the State's fiscal year 1992 Section 402 
    apportionment. In addition, States were required to match the grant 
    funds they received, so that the Federal share did not exceed 75 
    percent of the cost of the program adopted under Section 410 in the 
    first fiscal year the State received funds, 50 percent in the second 
    fiscal year the State received funds and 25 percent in the third, 
    fourth and fifth fiscal year.
        Under the new Section 410 program, as amended by TEA-21, States are 
    eligible to receive Section 410 grants for up to six fiscal years, 
    beginning in FY 1998. A total of $219.5 million is authorized for the 
    program over a six-year period. Specifically, TEA-21 authorized $34.5 
    million for FY 1998, $35 million for FY 1999, $36 million for FY 2000, 
    $36 million for FY 2001, $38 million for FY 2002 and $40 million for FY 
    2003.
        TEA-21 created two separate basic grants, which have been 
    designated in this interim final rule as programmatic and performance 
    basic grants. Beginning in FY 1999, a State that qualifies for either a 
    programmatic or a performance basic grant shall receive grant funds in 
    an amount equal to 25 percent of the State's Section 402 apportionment 
    for FY 1997, subject to the availability of funds. However, States are 
    at liberty to apply for both basic grants. A State that qualifies for 
    both basic grants shall receive basic grant funds in an amount equal to 
    50 percent of the State's FY 1997 Section 402 apportionment, subject to 
    the availability of funds.
        Section 410, as amended by TEA-21, limits the funds that will be 
    available each fiscal year for supplemental grants to 10 percent of the 
    funding for the
    
    [[Page 71699]]
    
    entire Section 410 program for that fiscal year. TEA-21 does not 
    specify how each State's supplemental grant is to be calculated.
        The interim final rule provides that supplemental grants will be 
    calculated by multiplying the number of supplemental grant criteria a 
    State meets by five percent of the State's Section 402 apportionment 
    for FY 1997. The agency believes such a calculation takes into account, 
    in an appropriate way, the size of the State in terms of population and 
    highway mileage (in accordance with the formula used under Section 402) 
    and the accomplishments the State has demonstrated in its alcohol-
    impaired driving prevention program.
        States continue to be required to match the grant funds they 
    receive. Under the matching requirements, the Federal share may not 
    exceed 75 percent of the cost of the program adopted under Section 410 
    in the first and second fiscal year the State receives funds, 50 
    percent in the third and fourth fiscal year the State receives funds 
    and 25 percent in the fifth and sixth fiscal year. For those States 
    that received Section 410 grants in FY 1998, that year will be 
    considered the State's first fiscal year for matching purposes.
        The agency will continue to accept a ``soft'' match in Section 
    410's administration. By this, NHTSA means the State's share may be 
    satisfied by the use of either allowable costs incurred by the State or 
    the value of in-kind contributions applicable to the period to which 
    the matching requirement applies. A State could not, however, use any 
    Federal funds, such as its Section 402 funds or DOJ funds (mentioned 
    above), to satisfy the matching requirements. In addition, a State can 
    use each non-Federal expenditure only once for matching purposes.
    
    C. Award Procedures
    
        The release of the full grant amounts under Section 410 shall be 
    subject to the availability of funding for that fiscal year. If there 
    are expected to be insufficient funds to award full grant amounts to 
    all eligible States in any fiscal year, NHTSA may release less than the 
    full grant amounts upon initial approval of the State's application and 
    documentation, and the remainder of the full grant amounts up to the 
    State's proportionate share of available funds, before the end of that 
    fiscal year. Project approval, and the contractual obligation of the 
    Federal government to provide grant funds, shall be limited to the 
    amount of funds released.
        The Secretary may transfer any amounts remaining available under 23 
    U.S.C. Sections 405, 410 and 411 to the amounts made available under 
    any other of these programs to ensure, to the maximum extent possible, 
    that each State receives the maximum incentive funding for which it is 
    eligible.
    
    VI. Interim final rule
    
        These regulations are being published as an interim final rule. 
    Accordingly, the revised regulations in Part 1313 are fully in effect 
    30 days after the date of the document's publication. No further 
    regulatory action by the agency is necessary to make these regulations 
    effective.
        These regulations have been published as an interim final rule 
    because insufficient time was available to provide for prior notice and 
    opportunity for comment. Grants will be available under these revised 
    regulations, beginning in FY 1999. Many of the grant criteria require 
    States to enact legislation in order to comply. States are preparing 
    their legislative agendas now for their 1999 legislative sessions. The 
    States have a need to know what the criteria for grants under this 
    program will be as soon as possible so they can enact conforming 
    legislation.
        In the agency's view, the States will not be impeded by the use of 
    an interim final rule. The procedures that States must follow to apply 
    for grants under this program are not altered in any significant way 
    from the procedures they have followed in the past to apply for Section 
    410 incentive grant funds. Those procedures were established by 
    rulemaking and were subject to notice and the opportunity for comment.
        The criteria States must meet to qualify for funds are derived from 
    the Federal statute, and many of them are the same or similar to 
    criteria previously contained in the Section 410 and other grant 
    programs administered by NHTSA. For these reasons, the agency believes 
    that there is good cause to find that providing notice and comment in 
    connection with this rulemaking action is impracticable, unnecessary, 
    and contrary to the public interest.
        The agency requests written comments on these new regulations. All 
    comments submitted in response to this document will be considered by 
    the agency. Following the close of the comment period, the agency will 
    publish a document in the Federal Register responding to the comments 
    and, if appropriate, will make further amendments to the provisions of 
    Part 1313.
    
    VII. Written Comments
    
        Interested persons are invited to comment on this interim final 
    rule. It is requested, but not required, that two copies be submitted.
        All comments must be limited to 15 pages in length. Necessary 
    attachments may be appended to those submissions without regard to the 
    15-page limit (49 CFR 553.21). This limitation is intended to encourage 
    commenters to detail their primary arguments in a concise fashion.
        Written comments to the public docket must be received by March 1, 
    1999. To expedite the submission of comments, simultaneous with the 
    publication of this notice, NHTSA will provide copies to all Governors' 
    Representatives for Highway Safety.
        All comments received before the close of business on the comment 
    closing date will be considered and will be available for examination 
    in the docket at the above address before and after that date. To the 
    extent possible, comments filed after the closing date will also be 
    considered. However, the rulemaking action may proceed at any time 
    after that date.
        NHTSA will continue to file relevant material in the docket as it 
    becomes available after the closing date, and it is recommended that 
    interested persons continue to examine the docket for new material.
        Those persons who wish to be notified upon receipt of their 
    comments in the docket should enclose, in the envelope with their 
    comments, a self-addressed stamped postcard. Upon receiving the 
    comments, the docket supervisor will return the postcard by mail.
        Copies of all comments will be placed in the Docket for this 
    interim final rule in the Office of Docket Management, Room PL-401, 
    Nassif Building, 400 Seventh Street, S.W., Washington, D.C. 20590.
    
    VIII. Rulemaking Analyses and Notices
    
    A. Executive Order 12612 (Federalism)
    
        This action has been analyzed in accordance with the principles and 
    criteria contained in Executive Order 12612, and it has been determined 
    that this action will not have sufficient federalism implications to 
    warrant the preparation of a Federalism Assessment. Accordingly, a 
    Federalism Assessment has not been prepared.
    
    B. Executive Order 12778 (Civil Justice Reform)
    
        This interim final rule will not have any preemptive or retroactive 
    effect. The enabling legislation does not establish a procedure for 
    judicial review of rules
    
    [[Page 71700]]
    
    promulgated under its provisions. There is no requirement that 
    individuals submit a petition for reconsideration or other 
    administrative proceedings before they may file suit.
    
    C. Executive Order 12866 (Regulatory Planning and Review) and DOT 
    Regulatory Policies and Procedures
    
        The agency has examined the impact of this action and has 
    determined that it is not a significant action within the meaning of 
    Executive Order 12866 or significant within the meaning of the 
    Department of Transportation Regulatory Policies and Procedures.
        The action will not have an annual effect on the economy of $100 
    million or more or adversely affect in a material way a sector of the 
    economy, competition, jobs, the environment, public health or safety, 
    or State, local or tribal governments or communities. It will not 
    create a serious inconsistency or otherwise interfere with an action 
    taken or planned by another agency, and it will not materially alter 
    the budgetary impact of entitlements, grants, user fees, or loan 
    programs or the rights and obligations of recipients thereof. Nor does 
    it raise novel legal or policy issues.
        In addition, the costs associated with this rule are not 
    significant and are expected to be offset by the grant funds received 
    and the resulting highway safety benefits. The adoption of alcohol-
    impaired driving prevention programs should help to reduce impaired 
    driving, which is a serious and costly problem in the United States. 
    Accordingly, further economic assessment is not necessary.
    
    D. Regulatory Flexibility Act
    
        In compliance with the Regulatory Flexibility Act (Pub. L. 96-354, 
    5 U.S.C. 601-612), the agency has evaluated the effects of this action 
    on small entities.
        Based on the evaluation, we certify that this action will not have 
    a significant impact on a substantial number of small entities. States 
    are the recipients of any funds awarded under the Section 410 program, 
    and they are not considered to be small entities, under the Regulatory 
    Flexibility Act.
    
    E. Paperwork Reduction Act
    
        The requirements in this interim final rule that provide that 
    States retain and report information to the Federal government which 
    demonstrates compliance with the alcohol-impaired driving prevention 
    incentive grant criteria, are considered to be information collection 
    requirements, as that term is defined by the Office of Management and 
    Budget (OMB) in 5 CFR Part 1320.
        Accordingly, these requirements have been submitted previously to 
    and approved by OMB, pursuant to the Paperwork Reduction Act (44 U.S.C. 
    3501, et seq.). These requirements have been approved under OMB No. 
    2127-0501, through January 31, 2000. This interim final rule reduces 
    for the States previous information collection requirements associated 
    with demonstrating compliance with many of the criteria.
    
    F. National Environmental Policy Act
    
        The agency has analyzed this action for the purpose of the National 
    Environmental Policy Act of 1969 (42 U.S.C. 4321 et seq.) and has 
    determined that it will not have any significant impact on the quality 
    of the human environment.
    
    G. Unfunded Mandates Reform Act
    
        The Unfunded Mandates Reform Act of 1995 (Public Law 104-4) 
    requires agencies to prepare a written assessment of the costs, 
    benefits and other effects of final rules that include a Federal 
    mandate likely to result in the expenditure by State, local or tribal 
    governments, in the aggregate, or by the private sector, of more than 
    $100 million annually. This interim final rule does not meet the 
    definition of a Federal mandate, because the resulting annual 
    expenditures will not exceed the $100 million threshold. In addition, 
    this incentive grant program is completely voluntary and States that 
    choose to apply and qualify will receive incentive grant funds.
    
    List of Subjects in 23 CFR Part 1313
    
        Alcohol and alcoholic beverages, Grant programs-transportation, 
    Highway safety, Reporting and recordkeeping requirements.
    
        In consideration of the foregoing, NHTSA revises Part 1313, chapter 
    III, of Title 23 of the Code of Federal Regulations to read as follows:
    
    PART 1313--INCENTIVE GRANT CRITERIA FOR ALCOHOL-IMPAIRED DRIVING 
    PREVENTION PROGRAMS
    
    Sec.
    1313.1  Scope.
    1313.2  Purpose.
    1313.3  Definitions.
    1313.4  General requirements.
    1313.5  Requirements for a programmatic basic grant.
    1313.6  Requirements for a performance basic grant.
    1313.7  Requirements for a supplemental grant.
    1313.8  Award procedures.
    Appendix A to Part 1313--Tamper Resistant Driver's License
    
        Authority: 23 U.S.C. 410; delegation of authority at 49 CFR 
    1.50.
    
    
    Sec. 1313.1  Scope.
    
        This part establishes criteria, in accordance with 23 U.S.C. 410, 
    for awarding incentive grants to States that adopt and implement 
    effective programs to reduce traffic safety problems resulting from 
    individuals driving motor vehicles while under the influence of 
    alcohol.
    
    
    Sec. 1313.2  Purpose.
    
        The purpose of this part is to encourage States to adopt and 
    implement effective programs to reduce traffic safety problems 
    resulting from individuals driving motor vehicles while under the 
    influence of alcohol. The criteria established are intended to ensure 
    that State alcohol-impaired driving prevention programs for which 
    incentive grants are awarded meet or exceed minimum levels designed to 
    improve the effectiveness of such programs.
    
    
    Sec. 1313.3  Definitions.
    
        (a) ``Alcoholic beverage'' means wine containing one-half of one 
    percent or more of alcohol by volume, beer and distilled spirits. Beer 
    includes, but is not limited to, ale, lager, porter, stout, sake, and 
    other similar fermented beverages brewed or produced from malt, wholly 
    or in part, or from any substitute therefor. Distilled spirits include 
    alcohol, ethanol, or spirits or wine in any form, including all 
    dilutions and mixtures thereof from whatever process produced.
        (b) ``Blood alcohol concentration'' or ``BAC'' means grams of 
    alcohol per deciliter or 100 milliliters blood or grams of alcohol per 
    210 liters of breath.
        (c) ``Controlled substance'' has the meaning given such term under 
    section 102(6) of the Controlled Substances Act, 21 U.S.C. 802(6).
        (d) ``FARS'' means NHTSA's Fatality Analysis Reporting System, 
    previously called the Fatal Accident Reporting System.
        (e) ``Motor vehicle'' means a vehicle driven or drawn by mechanical 
    power and manufactured primarily for use on public streets, roads and 
    highways, but does not include a vehicle operated only on a rail line.
        (f) ``Operating a motor vehicle while under the influence of 
    alcohol'' means operating a vehicle while the alcohol concentration in 
    the blood or breath, as determined by chemical or other tests, equals 
    or exceeds the level established by the State that would be deemed to 
    be or equivalent to the standard driving while intoxicated offense in 
    the State.
    
    [[Page 71701]]
    
        (g) ``Standard driving while intoxicated (DWI) offense'' means the 
    law in the State that makes it a criminal offense to operate a motor 
    vehicle while under the influence of or intoxicated by alcohol, but 
    does not require a measurement of alcoholic content.
    
    
    Sec. 1313.4  General requirements.
    
        (a) Qualification requirements. To qualify for a grant under 23 
    U.S.C. 410, a State must, for each fiscal year it seeks to qualify:
        (1) Submit an application to the appropriate NHTSA Regional Office 
    that demonstrates that it meets the requirements of Sec. 1313.5 and/or 
    Sec. 1313.6 and, if applicable, Sec. 1313.7, and includes 
    certifications that:
        (i) It has an alcohol-impaired driving prevention program that 
    meets the requirements of 23 U.S.C. 410 and 23 CFR Part 1313;
        (ii) It will use the funds awarded under 23 U.S.C. 410 only for the 
    implementation and enforcement of alcohol-impaired driving prevention 
    programs;
        (iii) It will administer the funds in accordance with 49 CFR Part 
    18 and OMB Circulars A-102 and A-87; and
        (iv) It will maintain its aggregate expenditures from all other 
    sources for its alcohol-impaired driving prevention programs at or 
    above the average level of such expenditures in fiscal years 1996 and 
    1997 (either State or Federal fiscal year 1996 and 1997 can be used); 
    and
        (2) After being informed by NHTSA that it is eligible for a grant, 
    submit to the agency, within 30 days, a Program Cost Summary (HS Form 
    217) obligating the Section 410 funds to alcohol-impaired driving 
    prevention programs.
        (3) Submit a State Highway Safety Plan by September 1 of each year, 
    pursuant to 23 U.S.C. 402 and 23 CFR Part 1200, that documents how the 
    State intends to use the Section 410 grant funds.
        (4) Submit an application for grant funds, which must be received 
    by the agency not later than August 1 of the fiscal year for which the 
    State is applying for funds.
        (b) Limitation on grants. A State may receive grants for up to six 
    fiscal years beginning after September 30, 1997, subject to the 
    following limitations:
        (1) After September 30, 1998, the amount of each basic grant in a 
    fiscal year, under Sec. 1313.5 or Sec. 1313.6, shall equal 25 percent 
    of the State's apportionment under 23 U.S.C. 402 for FY 1997, subject 
    to the availability of funds. If a State qualifies for basic grants in 
    a fiscal year under both Sec. 1313.5 and Sec. 1313.6, the total amount 
    of basic grants in the fiscal year shall equal 50 percent of the 
    State's 23 U.S.C. 402 apportionment for FY 1997, subject to the 
    availability of funds.
        (2) After September 30, 1998, the amount of a State's supplemental 
    grant in a fiscal year, under Sec. 1313.7, shall be determined by 
    multiplying the number of supplemental grant criteria the State meets 
    by five percent of the State's 23 U.S.C. 402 apportionment for FY 1997, 
    except that the amount shall be subject to the availability of funds. 
    The amount available for supplemental grants for all States in a fiscal 
    year, under Sec. 1313.7, shall not exceed ten percent of the total 
    amount made available under 23 U.S.C. 410 for the fiscal year.
        (3) In the first and second fiscal years a State receives a basic 
    or supplemental grant, it shall be reimbursed for up to 75 percent of 
    the cost of its alcohol-impaired driving prevention program adopted 
    pursuant to 23 U.S.C. 410.
        (4) In the third and fourth fiscal years a State receives a basic 
    or supplemental grant, it shall be reimbursed for up to 50 percent of 
    the cost of its alcohol-impaired driving prevention program adopted 
    pursuant to 23 U.S.C. 410.
        (5) In the fifth and sixth fiscal years a State receives a basic or 
    supplemental grant, it shall be reimbursed for up to 25 percent of the 
    cost of its alcohol-impaired driving prevention program adopted 
    pursuant to 23 U.S.C. 410.
    
    
    Sec. 1313.5  Requirements for a programmatic basic grant.
    
        To qualify for a programmatic basic incentive grant of 25 percent 
    of the State's 23 U.S.C. 402 apportionment for FY 1997, a State must 
    adopt and demonstrate compliance with at least five of the following 
    criteria:
        (a) Administrative license suspension or revocation system.
        (1) Criterion. An administrative driver's license suspension or 
    revocation system for individuals who operate motor vehicles while 
    under the influence of alcohol that requires that:
        (i) In the case of an individual who, in any five-year period 
    beginning after June 9, 1998, is determined on the basis of a chemical 
    test to have been operating a motor vehicle while under the influence 
    of alcohol or is determined to have refused to submit to such a test as 
    proposed by a law enforcement officer, the State entity responsible for 
    administering driver's licenses, upon receipt of the report of the law 
    enforcement officer, shall:
        (A) Suspend all driving privileges for a period of not less than 90 
    days if the individual refused to submit to a chemical test and is a 
    first offender;
        (B) Suspend all driving privileges for a period of not less than 90 
    days, or not less than 30 days followed immediately by a period of not 
    less than 60 days of a restricted, provisional or conditional license, 
    if the individual was determined on the basis of a chemical test to 
    have been operating a motor vehicle while under the influence of 
    alcohol, and is a first offender. A restricted, provisional or 
    conditional license may be issued only in accordance with a State law, 
    regulation or binding policy directive establishing the conditions 
    under which such a license may be issued, or with statewide published 
    guidelines, and in exceptional circumstances specific to the offender; 
    and
        (C) Suspend or revoke all driving privileges for a period of not 
    less than one year if the individual was determined on the basis of a 
    chemical test to have been operating a motor vehicle while under the 
    influence of alcohol or refused to submit to such a test, and is a 
    repeat offender; and
        (ii) The suspension or revocation shall take effect not later than 
    30 days after the day on which the individual refused to submit to a 
    chemical test or received notice of having been determined to be 
    operating a motor vehicle while under the influence of alcohol, in 
    accordance with the procedures of the State.
        (2) Definitions. (i) ``First offender'' means an individual who a 
    law enforcement officer has probable cause under State law to believe 
    has committed an alcohol-related traffic offense, and who is determined 
    on the basis of a chemical test to have been operating a motor vehicle 
    while under the influence of alcohol or who refused to submit to such a 
    test, once in any five-year period beginning after June 9, 1998.
        (ii) ``Repeat offender'' means an individual who a law enforcement 
    officer has probable cause under State law to believe has committed an 
    alcohol-related traffic offense, and who is determined on the basis of 
    a chemical test to have been operating a motor vehicle while under the 
    influence of alcohol or who refused to submit to such a test, more than 
    once in any five-year period beginning after June 9, 1998.
        (3) Demonstrating compliance for Law States. (i) To demonstrate 
    compliance in the first fiscal year the State receives a grant based on 
    this criterion, a Law State shall submit a copy of the law, regulation 
    or binding policy directive implementing or interpreting the law or 
    regulation, which provides for each element of this criterion.
        (ii) To demonstrate compliance in subsequent fiscal years, a Law 
    State
    
    [[Page 71702]]
    
    shall submit a copy of any changes to the State's law, regulation or 
    binding policy directive or, if there have been no changes, the State 
    shall submit a statement certifying that there have been no changes in 
    the State's laws, regulations or binding policy directives.
        (iii) For purposes of this paragraph, ``Law State'' means a State 
    that has a law, regulation or binding policy directive implementing or 
    interpreting an existing law or regulation that provides for each 
    element of this criterion.
        (4) Demonstrating compliance for Data States. (i) To demonstrate 
    compliance in the first fiscal year the State receives a grant based on 
    this criterion, a Data State shall submit a copy of the law, regulation 
    or binding policy directive implementing or interpreting the law or 
    regulation, which provides for an administrative license suspension or 
    revocation system, and data showing that the State substantially 
    complies with each element of this criterion not specifically provided 
    for in the State's law, regulation or binding policy directive.
        (ii) To demonstrate compliance in subsequent fiscal years, a Data 
    State shall submit, in addition to the information identified in 
    paragraph (a)(3)(ii) of this section, data showing that the State 
    substantially complies with each element of this criterion not 
    specifically provided for in the State's law, regulation or binding 
    policy directive.
        (iii) The State can provide the necessary data based on a 
    representative sample, on the average number of days it took to suspend 
    or revoke a driver's license and on the average lengths of suspension 
    or revocation periods, except that data on the average lengths of 
    suspension or revocation periods must not include license suspension 
    periods that exceed the terms actually prescribed by the State, and 
    must reflect terms only to the extent that they are actually completed.
        (iv) For the purpose of this paragraph, ``Data State'' means a 
    State that has a law, regulation or binding policy directive 
    implementing or interpreting an existing law or regulation that 
    provides for an administrative license suspension or revocation system, 
    but the State's laws, regulations or binding policy directives do not 
    specifically provide for each element of this criterion.
    (b) Underage Drinking Prevention Program
        (1) Criterion. An effective underage drinking prevention program 
    designed to prevent persons under the age of 21 from obtaining 
    alcoholic beverages and to prevent persons of any age from making 
    alcoholic beverages available to persons under the age of 21, that 
    provides for:
        (i) The issuance of tamper resistant driver's licenses to persons 
    under age 21 that are easily distinguishable in appearance from 
    driver's licenses issued to persons 21 years of age and older;
        (ii) Public information programs targeted to underage drivers 
    regarding drinking age laws, zero tolerance laws, and respective 
    penalties;
        (iii) A program to educate alcoholic beverage retailers and servers 
    about both on- and off-premise consumption, and the civil, 
    administrative and/or criminal penalties associated with the illegal 
    sale of alcoholic beverages to underage drinkers;
        (iv) An overall enforcement strategy directed at the sale and 
    purchase of alcoholic beverages involving persons under the age of 21 
    that can be implemented locally throughout the State; and
        (v) A prevention program that enlists the aid of persons under the 
    age of 21.
        (2) Definitions. ``Tamper resistant driver's license'' means a 
    driver's license that has one or more of the security features listed 
    in Appendix A.
        (3) Demonstrating compliance. (i) To demonstrate compliance in the 
    first fiscal year the State receives a grant based on this criterion, 
    the State shall submit a description and sample materials documenting 
    an underage drinking prevention program that covers each element of 
    paragraphs (b)(1) (ii) through (v) of this section. The State shall 
    also submit sample driver's licenses issued to persons both under and 
    over 21 years of age that demonstrate the distinctive appearance of 
    licenses for drivers under age 21 and the tamper resistance of these 
    licenses.
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall document any changes to the State's driver's licenses or 
    underage drinking prevention program or, if there have been no changes, 
    a statement certifying that there have been no changes in the State's 
    driver's licenses or its underage drinking prevention program.
    (c) Statewide Traffic Enforcement Program
        (1) Criterion. A Statewide traffic enforcement program that 
    emphasizes publicity and is either:
        (i) a program for stopping motor vehicles on a non-discriminatory, 
    lawful basis for the purpose of determining whether or not the 
    operators of such motor vehicles are driving under the influence of 
    alcohol; or
        (ii) a special traffic enforcement program to detect impaired 
    drivers operating motor vehicles while under the influence of alcohol.
        (2) Demonstrating compliance. (i) To demonstrate compliance in the 
    first fiscal year the State receives a grant based on this criterion, 
    the State shall submit a comprehensive plan to conduct a program under 
    which:
        (A) Motor vehicles are stopped or special traffic enforcement is 
    conducted on a Statewide basis, in major areas covering at least 50 
    percent of the State's population;
        (B) Stops are made or special traffic enforcement is conducted not 
    less than monthly;
        (C) Stops are made or special traffic enforcement is conducted by 
    both State and local (county and city) law enforcement agencies; and
        (D) Effective public information efforts are conducted to inform 
    the public about these enforcement programs.
        (ii) The plan shall include guidelines, policies or operation 
    procedures governing the Statewide enforcement program and provide 
    approximate dates and locations of programs planned in the upcoming 
    year, and the names of the law enforcement agencies expected to 
    participate. The plan shall describe the public information efforts to 
    be conducted.
        (iii) to demonstrate compliance in subsequent fiscal years, the 
    State shall submit an updated plan for conducting a Statewide 
    enforcement program in the following year and information documenting 
    that the prior year's plan was effectively implemented.
    (d) Graduated Driver's Licensing System
        (1) Criterion. A graduated driver's licensing system for young 
    drivers that consists of the following three stages:
        (i) Stage I. A learner's permit may be issued after an applicant 
    passes vision and knowledge test, including tests about the rules of 
    the road, signs and signals. The State I learner's permit must be 
    subject to the following conditions:
        (A) Stage I learner's permit holders under the age of 21 are 
    prohibited from operating a motor vehicle with a BAC of 0.02 or 
    greater;
        (B) Stage I learner's permit holders are prohibited from operating 
    a motor vehicle while any occupant in the vehicle is not properly 
    restrained in accordance with State or local safety belt and child 
    restraint laws;
        (C) A licensed driver who is 21 years of age or older must be in 
    any motor vehicle operated by the Stage I learner's permit holder at 
    all times;
    
    
    [[Page 71703]]
    
    
        (D) Stage I learner's permit holders must remain crash and 
    conviction free; and
    
        (E) The Stage I learner's permit must be distinguishable from Stage 
    II and III driver's licenses;
    
        (ii) Stage II. An intermediate driver's license may be issued after 
    an applicant has successfully complied with the conditions of the Stage 
    I learner's permit for not less than three months and passed a driving 
    skills test. The Stage II intermediate driver's license must be subject 
    to the following conditions:
    
        (A) Stage II intermediate driver's license holders under the age of 
    21 are prohibited from operating a motor vehicle with a BAC of 0.02 or 
    greater;
    
        (B) Stage II intermediate driver's license holders are prohibited 
    from operating a motor vehicle while any occupant in the vehicle is not 
    properly restrained in accordance with state or local safety belt and 
    child restraint laws;
    
        (C) A licensed driver who is 21 years of age or older must be in 
    any motor vehicle operated by the Stage II intermediate driver's 
    license holder, during some period of time between the hours of 10:00 
    p.m. and 6:00 a.m.. as specified by the State, unless covered by a 
    State-approved exception;
    
        (D) Stage II intermediate driver's license holders must remain 
    crash and conviction free; and
    
        (E) The Stage II intermediate driver's license must be 
    distinguishable from Stage I learner's permits and Stage III driver's 
    licenses; and
    
        (iii) Stage III. A driver's license may be issued after an 
    applicant has successfully complied with the conditions of the Stage I 
    learner's permit and the Stage II intermediate driver's license for a 
    combined period of not less than one year. The Stage III driver's 
    license must be distinguishable from Stage I learner's permits and 
    Stage II intermediate driver's licenses.
    
        (2) Definitions. (i) ``Conviction free'' means that the individual, 
    during the term of the permit or license, has not been charged with and 
    subsequently convicted of any offense under State or local law relating 
    to the use or operating of a motor vehicle.
    
        (ii) ``Crash free'' means that the individual, during the term of 
    the permit or license, has not been determined to be the party at fault 
    in any police reportable motor vehicle crash.
    
        (3) Demonstrating compliance. (i) To demonstrate compliance in the 
    fiscal year the State receives a grant based on this criterion, the 
    State shall submit a copy of the law, regulation or binding policy 
    directive implementing or interpreting the law or regulation, which 
    provides for each element of this criterion.
    
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall submit a copy of any changes to the State's law, regulation 
    or binding policy directive or, if there have been no changes, the 
    State shall submit a statement certifying that there have been no 
    changes in the State's laws, regulations or binding policy directives.
    
    (e) Program for Drivers With High BAC
    
        (1) Criterion. Programs to target individuals with a high BAC who 
    operate a motor vehicle.
    
        (i) The programs shall establish a system of graduated sanctions 
    for individuals convicted of operating a motor vehicle while under the 
    influence of alcohol, under which enhanced or additional sanctions 
    apply to such individuals if they were determined to have a high BAC.
    
        (ii) The threshold level at which the high BAC sanctions must begin 
    to apply may be any BAC level that is higher than the BAC level 
    established by the State that is deemed to be or equivalent to the 
    standard driving while intoxicated (DWI) offense, and less than or 
    equal to 0.20 BAC.
    
        (2) Definitions. ``Enhanced or additional sanctions'' means the 
    imposition of longer terms of license suspension, increased fines, 
    additional or extended sentences of confinement, vehicle sanctions, 
    mandatory assessment and treatment as appropriate, or other 
    consequences that do not apply to individuals who were not determined 
    to have a high BAC.
    
        (3) Demonstrating compliance. (i) To demonstrate compliance in the 
    first fiscal year the State receives a grant based on this criterion, 
    the State shall submit a copy of the law, regulation or binding policy 
    directive implementing or interpreting the law or regulation, which 
    provides for each element of this criterion. In addition, the State 
    shall submit the provisions that set forth the sanctions under its 
    standard DWI offense.
    
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall submit a copy of any changes to the State's law, regulation 
    or binding policy directive or, if there have been no changes, the 
    State shall submit a statement certifying that there have been no 
    changes in the State's laws, regulations or binding policy directives.
    
    (f) Young Adult Drinking and Driving Program
    
        (1) Criterion A young adult drinking and driving program designed 
    to reduce the incidence of operating a motor vehicle while under the 
    influence of alcohol by individuals between the ages of 21 and 34 that 
    provides for:
    
        (i) A Statewide public information and awareness campaign for young 
    adult drivers regarding alcohol-impaired driving laws, and the legal 
    and economic consequences of alcohol-impaired driving; and
    
        (ii) Activities, implemented at the State and local levels, 
    designed to reduce the incidence of alcohol-impaired driving by drivers 
    between the ages of 21 and 34 that involve:
    
        (A) the participation of employers;
    
        (B) the participation of colleges or universities;
    
        (C) the participation of the hospitality industry; or
    
        (D) the participation of appropriate State officials to encourage 
    the assessments and incorporation of treatment as appropriate into 
    judicial sentencing for drivers between the ages for 21 and 34 who have 
    been convicted for the first time of operating a motor vehicle while 
    under the influence of alcohol.
    
        (2) Demonstrating compliance. (i) To demonstrate compliance in the 
    first fiscal year the State receives a grant based on this criterion, 
    the State shall submit:
    
        (A) a description and sample materials documenting the State's 
    Statewide public information and awareness campaign;
    
        (B) a description and sample materials documenting activities 
    designed to reduce the incidence of alcohol-impaired driving by young 
    drivers, which must involve at least one of the four components 
    contained in paragraph (f)(1)(ii) of this section; and
    
        (C) a plan that outlines proposed efforts to involve in these 
    activities all four components contained in paragraph (f)(1)(ii) of 
    this section.
    
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall submit an updated description of its Statewide public 
    information and awareness campaign and of other activities designed to 
    reduce the incidence of alcohol-impaired driving by young adult 
    drivers. The State shall submit information documenting that these 
    activities involve all four components contained in paragraph 
    (f)(1)(ii) of this section.
    
    
    [[Page 71704]]
    
    
    (g) Testing for BAC
    
        (1) Criterion. (i) In FY 1999 and FY 2000, an effective system for 
    increasing the percentage of BAC testing among drivers involved in 
    fatal motor vehicle crashes, under which:
    
        (A) BAC testing law. The State's law provides for mandatory BAC 
    testing for any driver involved in a fatal motor vehicle crash;
    
        (B) BAC testing data. The State's percentage of BAC testing among 
    drivers involved in fatal motor vehicle crashes is equal to or greater 
    than the national average, as determined under the most recently 
    available FARS data as of the first day of the fiscal year for which 
    grant funds are being sought.
    
        (C) BAC testing symposium. The State has plans to conduct, or 
    conducted no more than two years prior to the date of its application, 
    a symposium or workshop designed to increase the percentage of BAC 
    testing for drivers involved in fatal motor vehicle crashes. The 
    symposium or workshop must be attended by law enforcement officials, 
    prosecutors, hospital officials, medical examiners, coroners, 
    physicians, and judges; and must address the medical, ethical, and 
    legal impediments to increasing the percentage of BAC testing among 
    drivers involved in fatal motor vehicle crashes.
    
        (ii) In FY 2001 and each subsequent fiscal year, a percentage of 
    BAC testing among drivers involved in fatal motor vehicle crashes that 
    is equal to or greater than the national average, as determined under 
    the most recently available FARS data as of the first day of the fiscal 
    year for which grant funds are being sought.
    
        (2) Definitions. (i) ``Drivers involved in fatal motor vehicle 
    crashes'' includes both drivers who are fatally injured in motor 
    vehicle crashes and drivers who survive a motor vehicle crash in which 
    someone else is killed.
    
        (ii) ``Mandatory BAC testing'' means a law enforcement officer must 
    request each driver involved in a fatal motor vehicle crash to submit 
    to BAC testing.
    
        (3) Demonstrating compliance in FY 1999 and FY 2000. (i) To 
    demonstrate compliance based on this criterion in FY 1999 or FY 2000, 
    the State shall submit:
    
        (A) a copy of the law, regulation or binding policy directive 
    implementing or interpreting the law or regulation, which provides for 
    each element of the mandatory BAC testing requirement, as provided in 
    paragraph (g)(1)(i)(A) of this section;
    
        (B) a statement certifying that the percentage of BAC testing among 
    drivers involved in fatal motor vehicle crashes in the State is equal 
    to or greater than the national average, as determined under the most 
    recently available FARS data as of the first day of the fiscal year for 
    which grant funds are being sought; or
    
        (C) a description of the planned or completed symposium or 
    workshop, including a copy of the actual or proposed agenda and a list 
    of the names and affiliations of the individuals who attended or who 
    are expected to be invited to attend, except as provided in paragraph 
    (g)(3)(ii)(C).
    
        (ii) To demonstrate compliance in FY 2000:
    
        (A) If in the first fiscal year the State demonstrated compliance 
    under paragraph (g)(3)(i)(A), the State may submit instead a copy of 
    any changes to the State's law, regulation or binding policy directive 
    or, if there have been no changes, the State shall submit a statement 
    certifying that there have been no changes in the States laws, 
    regulations or binding policy directives.
    
        (B) If in the first fiscal year the State demonstrated compliance 
    under paragraph (g)(3)(i)(B), the State may submit instead a statement 
    certifying that the percentage of BAC testing among drivers involved in 
    fatal motor vehicle crashes in the State continues to be equal to or 
    greater than the national average, as determined under the most 
    recently available FARS data as of the first day of the fiscal year for 
    which grant funds are being sought.
    
        (C) If in the first fiscal year the State demonstrated compliance 
    under paragraph (g)(3)(i)(C), the State shall submit instead a copy of 
    the report or other documentation that was generated as a result of the 
    symposium or workshop, with recommendations designed to increase BAC 
    testing for drivers involved in fatal motor vehicle crashes, and a plan 
    that outlines how the recommendations will be implemented in the State.
    
        (4) Demonstrating compliance beginning in FY 2001. To demonstrate 
    compliance for a grant based on this criterion in FY 2001 or any 
    subsequent fiscal year, the State shall submit a statement certifying 
    that the percentage of BAC testing among drivers involved in fatal 
    motor vehicle crashes in the State is equal to or greater than the 
    national average, as determined under the most recently available FARS 
    data as of the first day of the fiscal year for which grant funds are 
    being sought.
    
    Sec. 1313.6
    
      Requirements for a performance basic grant.
    
        (a) Criterion. A State will qualify for a performance basic 
    incentive grant of 25 percent of the State's 23 U.S.C. 402 
    apportionment for FY 1997 if:
    
        (1) the percentage of fatally injured drivers in the State with a 
    BAC of 0.10 percent or greater has decreased in each of the three most 
    recent calendar years for which statistics for determining such 
    percentages are available as of the first day of the fiscal year for 
    which grant funds are being sought; and
    
        (2) the percentage of fatally injured drivers in the State with a 
    BAC of 0.10 percent or greater has been lower than the average 
    percentage for all States in each of the same three calendar years.
    
        (b) Calculating percentage. (1) The percentage of fatally injured 
    drivers with a BAC of 0.10 percent or greater in each State is 
    calculated by NHTSA for each calendar year, using the most recently 
    available data contained in the FARS as of the first day of the fiscal 
    year for which grant funds are being sought and NHTSA's method for 
    estimating alcohol involvement.
    
        (2) The average percentage of fatally injured drivers with a BAC of 
    0.10 percent or greater for all States is calculated by NHTSA for each 
    calendar year, using the most recently available data contained in the 
    FARS as of the first day of the fiscal year for which grant funds are 
    being sought and NHTSA's method for estimating alcohol involvement.
    
        (3) Any State with a percentage of BAC testing among fatally 
    injured drivers of 85 percent or greater in each of the three most 
    recent calendar years, as determined by the FARS as of the first day of 
    the fiscal year for which grant funds are being sought, may calculate 
    for submission to NHTSA the percentage of fatally injured drivers with 
    a BAC of 0.10 percent or greater in that State for those calendar 
    years, using State data.
    
        (c) Demonstrating compliance. (1) To demonstrate compliance with 
    this criterion, a State shall submit a statement certifying that the 
    State meets each element of this criterion, based on the percentages 
    calculated in accordance with paragraphs (b)(1) and (b)(2) of this 
    section.
    
        (2) Alternatively, a State with a percentage of BAC testing among 
    fatally injured drivers of 85 percent or greater, as determined under 
    the FARS as of the first day of the fiscal year for which grant funds 
    are being sought, may demonstrate compliance with this criterion by 
    submitting its calculations developed under paragraph (b)(3) of this 
    section and a statement certifying that the State meets each element of 
    this criterion, based on the percentages calculated in accordance with
    
    [[Page 71705]]
    
    paragraphs (b)(2) and (b)(3) of this section.
    
    Sec. 1313.7
    
       Requirements for a supplemental grant.
    
        To qualify for a supplemental grant under this section, a State 
    must qualify for a programmatic basic grant under Sec. 1313.5, a 
    performance basic grant under Sec. 1313.6, or both, and meet one or 
    more of the following criteria:
    
    (a) Video Equipment Program
    
        (1) Criterion. A program:
    
        (i) To acquire video equipment to be installed in law enforcement 
    vehicles and used in detecting persons who operate motor vehicles while 
    under the influence of alcohol or a controlled substance;
    
        (ii) To effectively prosecute those persons; and
    
        (iii) To train personnel in the use of that equipment.
    
        (2) Demonstrating compliance. (i) To demonstrate compliance in the 
    first fiscal year the State receives a grant based on this criterion, 
    the State shall submit a plan for the acquisition and use of video 
    equipment in law enforcement vehicles for the enforcement of impaired 
    driving laws, including:
    
        (A) A schedule for the areas where the equipment has been and will 
    be installed and used;
    
        (B) A plan for training law enforcement personnel, prosecutors and 
    judges in the use of this equipment; and
    
        (C) A plan for public information and education programs to enhance 
    the general deterrent effect of the equipment.
    
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall submit information on the use and effectiveness of the 
    equipment and an updated plan for any acquisition and use of additional 
    equipment.
    
    (b) Self-Sustaining Drunk Driving Prevention Program
    
        (1) Criterion. A self-sustaining drunk driving prevention program 
    under which a significant portion of the fines or surcharges collected 
    from individuals apprehended and fined for operating a motor vehicle 
    while under the influence of alcohol are returned to communities with 
    comprehensive programs for the prevention of such operations of motor 
    vehicles.
    
        (2) Definitions. (i) A ``comprehensive drunk driving prevention 
    program'' means a program that includes, as a minimum, the following 
    components:
    
        (A) Regularly conducted, peak-hour traffic enforcement efforts 
    directed at impaired driving;
    
        (B) Prosecution, adjudication and sanctioning resources are 
    adequate to handle increased levels of arrests for operating a motor 
    vehicle while under the influence of alcohol;
    
        (C) Other programs directed at prevention other than enforcement 
    and adjudication activities, such as school, worksite or community 
    education; server training; or treatment programs; and
    
        (D) A public information program designed to make the public aware 
    of the problem of impaired driving and of the efforts in place to 
    address it.
    
        (ii) ``Fines or surcharges collected'' means fines, penalties, fees 
    or additional assessments collected.
    
        (3) Demonstrating compliance. (i) To demonstrate compliance in the 
    first fiscal year the State receives a grant based on this criterion, a 
    State shall submit:
    
        (A) A copy of the law, regulation or biding policy directive 
    implementing or interpreting the law or regulation, which provides:
    
        (1) For fines or surcharges to be imposed on individuals 
    apprehended for operating a motor vehicle while under the influence of 
    alcohol; and
    
        (2) For such fines or surcharges collected to be returned to 
    communities with comprehensive drunk driving prevention programs; and
    
        (B) Statewide data (or a representative sample) showing:
    
        (1) The aggregate amount of fines or surcharges collected;
    
        (2) The aggregate amount of revenues returned to communities with 
    comprehensive drunk driving prevention programs under the State's self-
    sustaining system; and
    
        (3) The aggregate cost of the State's comprehensive drunk driving 
    prevention programs.
    
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall submit, in addition to the data identified in paragraph 
    (b)(3)(i)(B) of this section, a copy of any changes to the State's law, 
    regulation or binding policy directive or, if there have been no 
    changes, the State shall submit a statement certifying that there have 
    been no changes in the State's laws, regulations or binding policy 
    directives.
    
    (c) Reduction of Driving With a Suspended License
    
        (1) Criterion. A law to reduce driving with a suspended driver's 
    license. The law must impose one of the following sanctions on any 
    individual who has been convicted of driving with a driver's license 
    that was suspended or revoked by reason of a conviction for an alcohol-
    related traffic offense. Such sanctions must include at least one of 
    the following for some period of time during the term of the 
    individual's driver's license suspension or revocation, as specified by 
    the State:
    
        (i) The suspension of the registration of, and the return to such 
    State of the license plates for, any motor vehicle owned by the 
    individual;
    
        (ii) The impoundment, immobilization, forfeiture or confiscation of 
    any motor vehicle owned by the individual; or
    
        (iii) The placement of a distinctive license plate on any motor 
    vehicle owned by the individual.
    
        (2) Definitions. ``Suspension and return'' means the temporary 
    debarring of the privilege to operate or maintain a particular 
    registered motor vehicle on the public highways and the confiscation or 
    impoundment of the motor vehicle's license plates.
    
        (3) Exceptions. (i) A State may provide limited exceptions to the 
    sanctions listed in paragraphs (c)(1)(i) and (c)(1)(ii) of this section 
    on an individual basis, to avoid undue hardship to any individual who 
    is completely dependent on the motor vehicle for the necessities of 
    life, including any family member of the convicted individual, and any 
    co-owner of the motor vehicle, but not including the offender.
    
        (ii) Such exceptions may be issued only in accordance with a State 
    law, regulation or binding policy directive establishing the conditions 
    under which motor vehicles or license plates may be released by the 
    State or under Statewide published guidelines and in exceptional 
    circumstances specific to the offender's motor vehicle, and may not 
    result in the unrestricted use of the motor vehicle by the individual.
    
        (4) Demonstrating compliance. (i) To demonstrate compliance in the 
    first fiscal year the State receives a grant based on this criterion, 
    the State shall submit a copy of the law, regulation or binding policy 
    directive implementing or interpreting the law or regulation, which 
    provides for each element of this criterion.
    
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall submit a copy of any changes to the State's law, regulation 
    or binding policy directive or, if there have been no changes, the 
    State shall submit a statement certifying that there have been
    
    [[Page 71706]]
    
    no changes in the State's laws, regulations or binding policy 
    directives.
    
    (d) Passive Alcohol Sensor Program
    
        (1) Criterion. A program:
    
        (i) To acquire passive alcohol sensors to be used during 
    enforcement activities to enhance the detection of the presence of 
    alcohol in the breath of drivers; and
    
        (ii) To train law enforcement personnel and inform judges and 
    prosecutors about the purpose and use of the equipment.
    
        (2) Definitions. ``Passive alcohol sensor'' means a screening 
    device used to sample the ambient air in the vicinity of the driver's 
    exhaled breath to determine whether or not it contains alcohol.
    
        (3) Demonstrating compliance. (i) To demonstrate compliance in the 
    first fiscal year the State receives a grant based on this criterion, 
    the State shall submit a plan for the acquisition and use of passive 
    alcohol sensors to enhance the enforcement of impaired driving laws, 
    including:
    
        (A) A schedule for the areas where the equipment has been and will 
    be used;
    
        (B) A plan for training law enforcement personnel in the 
    recommended procedures for use of these devices in the field, and for 
    informing prosecutors and judges about the purpose and use of the 
    equipment; and
    
        (C) A plan for public information and education programs to enhance 
    the general deterrent effect of the equipment.
    
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall submit information on the use and effectiveness of the 
    equipment and an updated plan for any acquisition and use of additional 
    equipment.
    
    (e) Effective DWI Tracking System
    
        (1) Criterion. An effective driving while intoxicated (DWI) 
    tracking system containing the ability to:
    
        (i) Collect, store, and retrieve data on individual DWI cases from 
    arrest, through case prosecution and court disposition and sanction 
    (including fines assessed and paid), until dismissal or until all 
    applicable sanctions have been completed;
    
        (ii) Link the DWI tracking system to appropriate data and traffic 
    records systems in jurisdictions and offices within the State to 
    provide prosecutors, judges, law enforcement officers, motor vehicle 
    administration personnel, and other officials with timely and accurate 
    information concerning individuals charged with an alcohol-related 
    driving offense; and
    
        (iii) Provide aggregate data, organized by specific categories 
    (geographic locations, demographic groups, sanctions, etc.), suitable 
    for allowing legislators, policymakers, treatment professionals, and 
    other State officials to evaluate the DWI environment in the State.
    
        (2) Demonstrating compliance. 
    
        (i) To demonstrate compliance in the first fiscal year the State 
    receives a grant based on this criterion, the State shall submit a 
    description of its DWI tracking system, including:
    
        (A) A description of the means used for the collection, storage and 
    retrieval of data;
    
        (B) An explanation of how the system is linked to data and traffic 
    records systems in appropriate jurisdictions and offices within the 
    State;
    
        (C) An example of available statistical reports and analyses; and
    
        (D) A sample data run showing tracking of a DWI arrest through 
    final disposition.
    
        (ii) To demonstrate compliance in subsequent fiscal years, the 
    State shall submit a report or analysis using the DWI tracking system 
    data, demonstrating that the system is still in operation.
    
    (f) Other Innovative Programs
    
        (1) Criterion. An innovative program to reduce traffic safety 
    problems resulting from individuals operating motor vehicles while 
    under the influence of alcohol or controlled substances, through legal 
    judicial, enforcement, educational, technological or other approaches. 
    The program must:
    
        (i) Have been implemented within the last two years;
    
        (ii) Contain one or more substantial components that:
    
        (A) Make this program different from programs previously conducted 
    in the State; and
    
        (B) Have not been used by the State to qualify for a grant in a 
    previous fiscal year based on this criterion or in any fiscal year 
    based on any other criterion contained in Secs. 1313.5, 1313.6 or 
    1313.7 of this part; and
    
        (iii) Be shown to have been effective.
    
        (2) Demonstrating compliance. To demonstrate compliance for a grant 
    based on this criterion, the State shall submit a description of the 
    innovative program, which includes:
    
        (i) The name of the program;
    
        (ii) The area or jurisdiction where it has been implemented and the 
    population(s) targeted;
    
        (iii) The specific condition or problem the program was intended to 
    address, the goals and objectives of the program and the strategies or 
    means used to achieve those goals;
    
        (iv) The actual results of the program and the means used to 
    measure the results;
    
        (v) All sources of funds that were applied to the problem; and
    
        (vi) The name, address and telephone number of a contact person.
    
    Sec. 1313.8
    
       Award procedures.
    
        (a) In each Federal fiscal year, grants will be made to eligible 
    States upon submission and approval of the application required by 
    Sec. 1313.4(a) and subject to the limitations in Sec. 1313.4(b). The 
    release of grant funds under this part shall be subject to the 
    availability of funding for that fiscal year. If there are expected to 
    be insufficient funds to award full grant amounts to all eligible 
    States in any fiscal year, NHTSA may release less than the full grant 
    amounts upon initial approval of the State's application and 
    documentation and the remainder of the full grant amounts up to the 
    State's proportionate share of available funds, before the end of that 
    fiscal year. Project approval, and the contractual obligation of the 
    Federal government to provide grant funds, shall be limited to the 
    amount of funds released.
    
        (b) If any amounts authorized for grants under this part for a 
    fiscal year are expected to remain unobligated in that fiscal year, the 
    Administrator may transfer such amounts to the programs authorized 
    under 23 U.S.C. 405 and 23 U.S.C. 411, to ensure to the extent possible 
    that each State receives the maximum incentive funding for which it is 
    eligible.
    
        (c) If any amounts authorized for grants under 23 U.S.C. 405 and 23 
    U.S.C. 411 are transferred to the grant program under this part in a 
    fiscal year, the Administrator shall distribute the transferred amounts 
    so that each eligible State receives a proportionate share of these 
    amounts, subject to the conditions specified in Sec. 1313.4.
    
    Appendix A to Part 1313--Tamper Resistant Driver's License
    
        A tamper resistant driver's license or permit is a driver's 
    license or permit that has one or more of the following security 
    features:
    
    
    (1) Ghost image.
    
    (2) Ghost graphic.
    
    (3) Hologram.
    
    (4) Optical variable device.
    
    (5) Microline printing.
    
    (6) State seal or a signature which overlaps the individual's 
    photograph or information.
    
    
    [[Page 71707]]
    
    
    (7) Security laminate.
    
    (8) Background containing color, pattern, line or design.
    
    (9) Rainbow printing.
    
    (10) Guilloche pattern or design.
    
    (11) Opacity mark.
    
    (12) Out of gamut colors (i.e., pastel print).
    
    (13) Optical variable ultra-high-resolution lines.
    
    (14) Block graphics.
    
    (15) Security fonts and graphics with known hidden flaws.
    
    (16) Card stock, layer with colors.
    
    (17) Micro-graphics.
    
    (18) Retroflective security logos.
    
    (19) Machine readable technologies such as magnetic strips, a 1D bar 
    code or a 2D bar code.
    
    
        Issued on: December 22, 1998.
    
    Ricardo Martinez,
    
    Administrator, National Highway Traffic Safety Administration.
    
    [FR Doc. 98-34342 Filed 12-24-98; 12:01 pm]
    
    BILLING CODE 4910-59-M
    
    
    

Document Information

Effective Date:
1/28/1999
Published:
12/29/1998
Department:
National Highway Traffic Safety Administration
Entry Type:
Rule
Action:
Interim final rule; request for comments.
Document Number:
98-34342
Dates:
This interim final rule becomes effective on January 28, 1999. Comments on this interim rule are due no later than March 1, 1999.
Pages:
71688-71707 (20 pages)
Docket Numbers:
Docket No. NHTSA-98-4942
RINs:
2127-AH42: Alcohol-Impaired Driving Countermeasures Incentive Grants
RIN Links:
https://www.federalregister.gov/regulations/2127-AH42/alcohol-impaired-driving-countermeasures-incentive-grants
PDF File:
98-34342.pdf
CFR: (11)
23 CFR 1313.4(a)
23 CFR 0.10
23 CFR 1.50
23 CFR 1313.1
23 CFR 1313.2
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