[Federal Register Volume 67, Number 83 (Tuesday, April 30, 2002)]
[Rules and Regulations]
[Pages 21522-21530]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 02-10403]
[[Page 21521]]
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Part V
Environmental Protection Agency
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40 CFR Part 97
Section 126 Rule: Revised Deadlines; Final Rule
Federal Register / Vol. 67 , No. 83 / Tuesday, April 30, 2002 / Rules
and Regulations
[[Page 21522]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 97
[FRL-7203-2]
Section 126 Rule: Revised Deadlines
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
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SUMMARY: In today's action, EPA is revising the compliance date and
other related dates for sources subject to a final rule published on
January 18, 2000, known as the Section 126 Rule. The EPA promulgated
the rule in response to petitions submitted by four Northeastern States
under section 126 of the Clean Air Act (CAA) for the purpose of
mitigating interstate transport of nitrogen oxides (NOX) and
ozone. Nitrogen oxides are one of the main precursors of ground-level
ozone pollution. The Section 126 Rule requires electric generating
units (EGUs) and non-electric generating units (non-EGUs) located in 12
States and the District of Columbia to reduce their NOX
emissions through a NOX cap-and-trade program.
Originally, EPA harmonized the Section 126 Rule with a related
ozone transport rule, known as the NOX State implementation
plan call (NOX SIP Call), by establishing the same
compliance date, May 1, 2003. A court action subsequently delayed the
NOX SIP Call compliance deadline until May 31, 2004. More
recently, on August 24, 2001, the court temporarily tolled (suspended)
the Section 126 Rule compliance date for EGUs pending EPA's resolution
of an issue remanded by the court related to EGU growth factors. On
April 23, 2002, EPA issued its response to the growth factor remand.
That action reactivated the compliance period for EGUs after nearly a
year delay. Therefore, with this final rule, EPA is resetting the EGU
compliance date and other related dates, such as the monitoring
certification date. The EPA is also resetting the dates for non-EGU
sources to match the new dates for EGUs. The new compliance date is May
31, 2004. In general, other related dates are extended by one year from
the original deadlines. Today's rule once again aligns the Section 126
Rule with the NOX SIP Call.
DATES: This final rule is effective April 30, 2002.
ADDRESSES: Documents relevant to this action are available for
inspection at the Docket Office, located at 401 M Street SW, Room M-
1500, Washington, DC 20460, between 7:30 a.m. and 5:30 p.m., Monday
through Friday, excluding legal holidays. A reasonable fee may be
charged for copying.
FOR FURTHER INFORMATION CONTACT: Questions concerning today's action
should be addressed to Carla Oldham, Office of Air Quality Planning and
Standards, Air Quality Strategies and Standards Division, C539-02, 4930
Old Page Road, Research Triangle Park, NC, 27711, telephone (919) 541-
3347, e-mail at [email protected].
SUPPLEMENTARY INFORMATION:
Availability of Related Information
The official record for the Section 126 Rule, as well as the public
version, has been established under docket number A-97-43. A public
version of this record, including printed, paper versions of electronic
comments, which does not include any information claimed as
confidential business information, is available for inspection from
7:30 a.m. to 5:30 p.m., Monday through Friday, excluding legal
holidays. The official rulemaking record is located at the address in
ADDRESSES at the beginning of this document. In addition, the Federal
Register rulemaking actions and associated documents are located at
http://www.epa.gov/ttn/rto/126.
The EPA has issued a separate rule on NOX transport
entitled, ``Findings of Significant Contribution and Rulemaking for
Certain States in the Ozone Transport Assessment Group Region for
Purposes of Reducing Regional Transport of Ozone,'' (known as the
NOX SIP Call). The rulemaking docket for the NOX
SIP Call (Docket No. A-96-56) contains information and analyses that
EPA has relied upon in the section 126 rulemaking, and hence documents
in that docket are part of the rulemaking record for this rule.
Documents related to the NOX SIP call rulemaking are
available for inspection in docket number A-96-56 at the address and
times given above.
Outline
I. What is the Background on the Relationship Between the Section
126 Rule and the NOX SIP Call?
A. How Did EPA Originally Harmonize the Section 126 Rule and the
NOX SIP Call?
B. How Did Court Actions Affect the Harmonization of the Section
126 Rule and the NOX SIP Call?
1. Court Actions on the NOX SIP Call
2. Court Actions on the Section 126 Rule
II. What is EPA's Response to the Court Remand on EGU Growth
Factors?
III. What are the New Deadlines for the Section 126 Rule Federal
NOX Budget Trading Program?
A. What is the Revised Compliance Date?
1. EGUs
2. Non-EGUs
B. What Are the Other Revised Dates Related to the Compliance
Date?
1. Submission of NOX Budget Permit Applications.
2. Timing Requirements for NOX Allowance Allocations.
3. Compliance Supplement Pool.
4. Recordation of NOX Allowance Allocations.
5. Compliance--Deduction of Banked Allowances.
6. Monitoring.
C. What Are the Dates that EPA is Not Changing?
1. Monitoring and Reporting Deadlines for Early Reduction
Credits.
2. Other Miscellaneous Dates
IV. What are the Rulemaking Procedures?
V. What is the Future Rulemaking on the Section 126 Rule Withdrawal
Provision?
VI. What are the Administrative Requirements?
A. Executive Order 12866: Regulatory Planning and Review
B. Unfunded Mandates Reform Act
C. Executive Order 13132: Federalism
D. Executive Order 13175: Consultation and Coordination with
Indian Tribal Governments
E. Regulatory Flexibility Act
F. Executive Order 13045: Protection of Children from
Environmental Health Risks and Safety Risks
G. National Technology Transfer and Advancement Act
H. Paperwork Reduction Act
I. Executive Order 13211: Actions Concerning Regulations that
Significantly Affect Energy Supply, Distribution, or Use
J. Judicial Review
K. Congressional Review Act
I. What Is the Background on the Relationship Between the Section
126 Rule and the NOX SIP Call?
A. How Did EPA Originally Harmonize the Section 126 Rule and the
NOX SIP Call?
In the past several years, EPA has been engaged in two separate
rulemakings to address the interstate ozone transport problem in the
eastern half of the United States. These rules, known as the
NOX SIP Call and the Section 126 Rule, both require
reductions in NOX emissions, which are precursors to ground-
level ozone formation.
On October 27, 1998 (63 FR 57356), EPA promulgated the
NOX SIP Call thereby requiring 22 Eastern States and the
District of Columbia to reduce statewide NOX emissions to a
specified level. The rule established dates by which the States must
submit and implement their NOX reduction plans. Originally,
EPA established the compliance date as May 1, 2003. The primary
statutory provision for this rule is CAA section 110(a)(2)(D)(i), under
[[Page 21523]]
which, in general, each SIP is required to include provisions to assure
that sources within the State do not emit pollutants in amounts that
significantly contribute to nonattainment or interfere with maintenance
problems downwind.
In 1997, while EPA was in the process of developing the
NOX SIP Call, eight Northeastern States submitted petitions
under section 126 of the CAA seeking to mitigate significant interstate
transport of NOX and ozone. Section 126 refers to State
obligations under CAA section 110(a)(2)(D)(i) as does the
NOX SIP Call. Section 126 authorizes a State to request EPA
to make a finding that any major source or group of stationary sources
in upwind States are significantly contributing to nonattainment, or
interfering with maintenance, in the petitioning State. If EPA makes
such a finding, EPA is authorized to establish Federal emission limits
for the affected sources. The petitions requested that EPA make such
findings for EGUs and other industrial sources in about 30 States.
On May 25, 1999 (64 FR 28250), EPA issued a final rule on the
section 126 petitions. The EPA determined that large EGUs and large
industrial boilers and turbines (non-EGUs) in 12 States and the
District of Columbia were significantly contributing to nonattainment
problems in four of the petitioning States under the 1-hour ozone
national ambient air quality standard. The Section 126 Rule overlaps
considerably with the NOX SIP Call. Both the section 126
petitions and the NOX SIP Call were based on much the same
set of facts regarding the same pollutants. All of the sources affected
by the Section 126 Rule are located in States that are covered by the
NOX SIP Call.
When EPA issued the May 25, 1999 Section 126 Rule, there was an
existing requirement under the NOX SIP Call for States to
reduce their NOX emissions and an explicit and expeditious
schedule to do so. Therefore, EPA was able to coordinate, or harmonize,
the Section 126 Rule with the NOX SIP Call. The EPA
established the same compliance date, May 1, 2003 for both rules. In
addition, EPA concluded that it was appropriate to structure its action
on the section 126 petitions to give a State the opportunity to address
its NOX transport first under the NOX SIP Call
before EPA would directly regulate sources in the State under the
Section 126 Rule. Under this approach, EPA gave upwind States an
opportunity to address the ozone transport problem themselves, but did
not delay implementation of the NOX transport remedy beyond
May 1, 2003. Thus, in the May 25, 1999 Section 126 Rule, EPA made
technical determinations as to which sources were significantly
contributing but deferred making the Section 126 findings, which would
trigger the control requirements, as long as States and EPA stayed on
track to meet the NOX SIP Call obligations. Where a State
submitted and EPA approved a NOX SIP fully meeting the
NOX SIP Call, the Section 126 Rule for sources in that State
would automatically be withdrawn. (See 64 FR 28271-28274; May 25,
1999). Therefore, in this particular context in which EPA promulgated
the NOX SIP Call and acted on the section 126 petitions
within the same time frame, the Federal Section 126 Rule would not go
into place unless States failed to control their NOX
transport. This was a practical way to address the overlap between the
actions that would be required under the NOX SIP Call and
under the rulemaking on the section 126 petitions. The basis for
harmonizing the two rules and the interplay of the underlying statutory
provisions are discussed at length in the May 25, 1999 final rule.
B. How Did Court Actions Affect the Harmonization of the Section 126
Rule and the NOX SIP Call?
1. Court Actions on the NOX SIP Call
The NOX SIP Call originally required States to submit
their NOX SIPs to EPA by September 30, 1999. On May 25,
1999, in response to a request by States challenging the NOX
SIP Call, the U.S. Court of Appeals for the District of Columbia
Circuit (D.C. Circuit or the court) issued a stay of the SIP submission
deadline pending further order of the court. Michigan v. EPA, 213 F.3d
663 (D.C. Cir., 2000), cert. denied, 121 S.Ct. 1225 (2001), No. 98-1497
order (May 25, 1999) (order granting stay in part). Inasmuch as the
compliance date is linked with the SIP submission date, the stay
created uncertainty regarding the compliance date. Because there was no
longer a schedule for the NOX SIP Call, EPA no longer had a
basis for deferring action under the Section 126 Rule. Therefore, in a
final rule published on January 18, 2000, EPA moved forward to make the
findings and activate the control requirements under the Section 126
Rule (65 FR 2674).
However, the Section 126 Rule continued to contain a provision
whereby the section 126 requirements would be automatically withdrawn
for sources in a State if EPA approved a State's SIP that provided for
the NOX SIP Call emission reduction requirements by the May
1, 2003 compliance date.
On March 3, 2000, a panel of the D.C. Circuit largely upheld the
NOX SIP Call in Michigan v. EPA, 213 F.3d 663 (D.C. Cir.,
2000), cert. denied, 121 S. Ct. 1225 (2001). Subsequently, on April 11,
2000, EPA filed a motion with the court to lift the stay of the SIP
submission date. In response, on June 22, 2000, the court ordered that
EPA allow the States 128 days from the June 22, 2000 date of the order
to submit their SIPs. Therefore, SIPs in response to the NOX
SIP Call were due October 30, 2000.\1\
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\1\ October 30, 2000 was the first business day following the
expiration of the 128-day period.
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On August 30, 2000, the D.C. Circuit ordered that the deadline for
full implementation of the NOX SIP Call be extended from May
1, 2003 to May 31, 2004. This extension was calculated in the same
manner used by the court in extending the deadline for SIP submissions,
so that sources in States subject to the NOX SIP Call would
have 1,309 days for implementing the SIP as provided in the original
NOX SIP Call. This action was in response to a motion filed
by the industry/labor petitioners.
As a result of this court order, the NOX SIP Call then
had a later compliance date than the Section 126 Rule. Thus, where
States submitted SIPs with the new 2004 deadline, the Section 126 Rule
would have gone into place for a year before the State began
controlling its NOX transport under its implementation plan.
2. Court Actions on the Section 126 Rule
On May 15, 2001, the court ruled on a number of challenges to EPA's
Section 126 Rule. See Appalachian Power v. EPA, 249 F.3d 1032 (D.C.
Cir. 2001). While the court's decision largely upheld the Section 126
Rule, the Court remanded two issues to EPA. The court directed EPA to:
(1) properly justify either the current or a new set of EGU heat input
growth rates to be used in estimating State heat input in 2007, and (2)
either properly justify or alter its categorization of cogenerators
that sell electricity to the electric grid as EGUs. The EPA is
responding to the remand related to the categorization of cogenerators
in a rulemaking that was proposed on February 22, 2002 (67 FR 8396).
The EPA's response to the growth factor remand is discussed below in
section II.
On August 24, 2001, the D.C. Circuit Court tolled (suspended) the
compliance period for EGUs under the Section 126 Rule as of the May 15,
2001 decision pending EPA's response to the
[[Page 21524]]
growth factor remand. Appalachian Power v. EPA, 249 F.3d 1052 (D.C. Cir
2001), Order (August 24, 2001). The temporary suspension of the
compliance period created uncertainty regarding the ultimate compliance
date and also how other related dates in the Section 126 Rule would be
affected. Because of the time needed to fully respond to the growth
factor remand, the tolling of the compliance period has resulted in a
delay in the implementation of the Section 126 Rule until the 2004
ozone season. This has created a need for EPA to once again harmonize
the Section 126 Rule with the NOX SIP Call.
II. What Is EPA's Response to the Court Remand on EGU Growth
Factors?
Over the past 8 months, EPA has been developing its response to the
court remand on EGU growth factors. The EPA has reviewed information in
the rulemaking record and also examined more recent data. The EPA
published two notices of data availability that describe the new data
and announced their availability in the rulemaking docket (66 FR 40609;
August 3, 2001 and 67 FR 10844; March 11, 2002).
The EPA recently completed its response to the remand on EGU growth
factors and is publishing the response in the notice section of the
Federal Register. (See ``Notice in Response to Court Remand on
NOX SIP Call and Section 126 Rule''.) The response to the
remand notice explains why the growth rates were reasonable, based on
the information that was available to EPA at the time EPA promulgated
the Section 126 Rule and confirmed by new information on activity to
date.
The signature of EPA's response to the EGU growth factor remand
constitutes EPA's resolution of the issue. Therefore, in accordance
with the August 24, 2001 court ruling, the compliance period for EGUs
is no longer tolled (suspended) as of the April 23, 2002 signature date
of the response to the remand.
III. What are the New Deadlines for the Section 126 Rule Federal
NOX Budget Trading Program?
The EPA promulgated the Federal NOX Budget Trading
program under 40 CFR part 97 as the control remedy for sources affected
by the Section 126 findings (65 FR at 2727; January 18, 2000). A cap-
and-trade program is the most cost-effective approach for achieving the
necessary emissions reductions. The trading program sets an emission
limitation and compliance schedule for the sources (known as
NOX budget units). The emission limitation for each unit is
the requirement that the tons of NOX emitted during the
ozone season control period (May 1--September 30) cannot exceed the
amount authorized by the NOX allowances that the unit holds.
Allowances are allocated to units subject to the program, and the total
number of allowances allocated to all such units for each control
period is fixed, or ``capped,'' at a specified level. The compliance
schedule is set by establishing a deadline by which units must begin to
comply with the requirement to hold allowances sufficient to cover
emissions. Part 97 includes applicability, permitting, allowance,
excess emissions, monitoring and reporting, opt-in, and general
provisions for the trading program.
Today's final rule amends the part 97 Federal NOX Budget
Trading Program by revising the compliance date and other related
dates. As discussed above, EPA is taking today's action as a result of
an August 24, 2001 court decision which temporarily suspended (and as a
result, delayed) the Section 126 Rule compliance date. Although the
court's action affected only the compliance deadline, there are other
dates in the rule for related requirements that must also be extended
because they were established relative to the original compliance
deadline. The new dates are discussed below and shown in the amended
regulatory text. Also discussed below are a few dates that EPA is not
changing. The dates being revised are summarized in Table 1. The
unrevised dates are summarized in Table 2.
Table 1.--Sections of Part 97 Containing Dates That EPA Is Revising in Today's Rule
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Part 97 section Original date Revised date
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Sec. 97.4 Applicability................... 2003............................. 2004.
Sec. 97.5 Retired unit exemption.......... May 1, 2003...................... May 1, 2004.
Sec. 97.6 Standard requirements........... May 1, 2003...................... May 31, 2004.
Sec. 97.21 Submission NOX budget permit January 1, 2000.................. January 1, 2001
applications. May 1, 2003...................... May 31, 2004.
Sec. 97.41 Timing requirements for NOX 2003 through 2007................ 2004 through 2007
allowance allocations. April 1, 2003.................... April 1, 2004.
Sec. 97.42 NOX allowance allocations...... Removes the word five, wherever ................................
it appears.
Sec. 97.43 Compliance supplement pool..... 2001 or 2002..................... 2001 through 2003.
February 1, 2003................. February 1, 2004
2001 and 2002.................... 2001 through 2003.
Apri1 1, 2003.................... April 1, 2004.
May 1, 2003...................... May 1, 2004.
2003 or 2004..................... 2004 or 2005.
2004............................. 2005.
Sec. 97.53 Recordation of NOX allowance 2003............................. 2004.
allocations.
May 1, 2001...................... May 1, 2003.
2004............................. 2005.
May 1, 2002...................... May 1, 2003.
2005............................. 2006.
May 1, 2003...................... May 1, 2004.
2006............................. 2007.
2004............................. 2005.
Sec. 97.54 Compliance..................... 2005............................. 2006.
Sec. 97.70 General requirements........... May 1, 2000...................... May 1, 2001.
January 1, 2002.................. January 1, 2003.
May 1, 2002...................... May 1, 2003.
Sec. 97.74 Recordkeeping and reporting.... May 1, 2002...................... May 1, 2003.
May 1, 2002 through June 30, 2002 May 1, 2003 through June 30,
2003.
Appendices A and B......................... 2003-2007........................ 2004-2007.
[[Page 21525]]
Appendix C................................. Removes 2003-2007................
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Table 2.--Sections of Part 97 Containing Dates That Are Not Changing
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Part 97--section Item with dates that are not changing
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Sec. 97.2 Definitions.......... Definition of fossil fuel fired.
Sec. 97.4 Applicability NOX.... budget unit and NOX budget source
descriptions.
Sec. 97.42 NOX................. Baselines used for allocations;
allowance Dates related to
allocations for control periods
allocations after 2007.
Sec. 97.70 General Requirements Monitoring and reporting deadlines for
early reduction credits.
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A. What Is the Revised Compliance Date?
For the reasons discussed below, EPA is establishing May 31, 2004
as the new compliance deadline for all sources subject to the Section
126 Rule. The compliance date is established in Sec. 97.6(c)(3)
Standard Requirements and referenced in the following sections:
Sec. 97.4(b)(4)(vi) Applicability, Sec. 97.5(c)(5) Retired Unit
Exemption, Sec. 97.21(b) Submission of NOX Budget permit
applications, and Sec. 97.53 Recordation of NOX allowance
allocations.
1. EGUs
When the court suspended the compliance period for EGUs (see
discussion in section I.2. above), there were 21 months remaining for
compliance. The EPA completed its response to the growth factor remand
on April 23, 2002. That action officially reactivated the EGU
compliance period as of that date. By the time the 21 months remaining
expire in January 2004, the 2003 ozone season will have ended. The
Section 126 Rule requires NOX reductions only during the
ozone season control period of May 1 through September 30. Thus,
compliance by January 2004 would not require actual NOX
emissions reductions until May 2004. Although May 1 is the beginning of
the ozone season, EPA is establishing May 31, 2004 as the compliance
date for EGUs under the Section 126 Rule in order to align that date
with the deadline established by the D.C. Circuit for the
NOX SIP Call. \2\
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\2\ The 2005 control season and all subsequent control seasons
will begin on May 1.
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There are two primary reasons EPA believes May 31, 2004 is the
appropriate compliance date. First, EPA strongly supports addressing
ozone transport through State action. As discussed in section I.A.,
from the beginning it has been EPA's intention to coordinate the
NOX SIP Call and the Section 126 Rule because the rules were
promulgated at about the same time. The EPA originally established the
same compliance date for the rules, May 1, 2003. Then, where a State
stayed on track to meet the NOX SIP Call, EPA would
automatically withdraw the Federal Section 126 Rule requirements before
sources in that State had to comply with the rule. The EPA believes it
makes sense to continue this approach because it helps provide States,
affected industry, and the public with a better coordinated and simpler
program for achieving these emissions reductions. (See discussion below
in section V regarding EPA's upcoming rulemaking to revise the Section
126 Rule withdrawal provision.)
Second, EPA believes it would be unnecessarily complicated and
confusing for EGUs to be controlled under the Section 126 Rule for just
one month (May 1--May 30, 2004) and then be subject to a potentially
different regime under State plans in response to the NOX
SIP Call beginning on May 31, 2004. The benefit of controls 1 month
earlier would be trivial compared to the potential complexity.
2. Non-EGUs
The court's actions related to the EGU growth factors did not
address the compliance deadline for non-EGUs subject to the Section 126
Rule. However, EPA is also extending the compliance deadline for non-
EGUs until May 31, 2004 to match the new compliance deadline for EGUs.
This is in keeping with the original Section 126 Rule which reflected
the intention to regulate EGUs and non-EGUs on the same schedule. Non-
EGUs are a very small portion of the total group of sources affected by
the Section 126 Rule, accounting for about 5 percent of the emissions
reductions. An important compliance option for these generally smaller
sources is to purchase emissions credits through trading with large
EGUs. The EPA believes the public is best served if the compliance date
for non-EGUs is the same as for the much larger category of EGUs. The
EPA's goal is to establish the most cost-effective emission control
program possible and that necessarily includes trading among all
affected sources. If the non-EGU controls were implemented a year
earlier than the EGU controls, this would offer less compliance
flexibility and would not take advantage of the more efficient outcome
that would result if non-EGUs were able to trade with EGUs throughout
the NOX SIP Call region. The EPA does not believe it makes
sense for this very small portion of affected sources to have to comply
at an earlier date with fewer control options.
B. What Are the Other Revised Dates Related to the Compliance Date?
1. Submission of NOX Budget Permit Applications
Section 97.21 requires the authorized account representative to
submit a permit application to the permitting authority at least 18
months (or such lesser time provided by the permitting authority)
before the compliance date or the date on which the NOX
Budget unit commences operation. Based on the original May 1, 2003
compliance date, the former situation resulted in a default permit
application date of November 1, 2001. Because EPA is revising the
compliance deadline to be May 31, 2004, the resulting new default
permit application date calculates to be November 30, 2002.
For NOX budget units that commence operation before
January 1, 2001, the permit applications must be submitted by at least
18 months (or such lesser time provided by the permitting authority)
before May 31, 2004. For NOX budget units that commence
operation on or after January 1, 2001, the permit applications must be
submitted by at least 18 months (or such lesser time provided by the
permitting authority) before the later of May 31, 2004 or the date the
unit commences operation.
[[Page 21526]]
2. Timing Requirements for NOX Allowance Allocations
Section 97.41 specifies the dates by which EPA will determine the
NOX allowance allocations for given control periods. Under
the Federal NOX Budget Trading Program, EPA will update the
NOX allowance allocations every 5 years. Thus, the
allocations will be the same each year for a set of 5 control periods.
The EPA published the first set of allocations in Appendices A and B to
part 97 (65 FR at 2751; January 18, 2000). Because the Section 126 Rule
compliance date is shifting from 2003 to 2004, this first set of
allocations will now apply for a 4-year period from 2004-2007 instead
of the original 5-year period from 2003-2007. After the initial 4-year
period, EPA will continue to determine NOX allowance
allocations in 5-year intervals--by April 1, 2005, April 1, 2010, April
1, 2015, and so forth. The first set of allocations for new units from
the allocation set-aside will be determined by April 1, 2004.
The title of Appendix C to part 97 showing the trading budgets by
State is changed to remove the listed years since they now will not
apply until 2004 and, under Secs. 97.40, 97.41, and 97.42, are used in
allocating allowances for 2008 through 2012 and beyond.
The allocations and budgets for the first year of the trading
program will cover a shorter compliance period because, in 2004,
compliance begins on May 31 instead of May 1.
3. Compliance Supplement Pool
Section 97.43(a) originally specified that sources may request
early reduction credits for certain emissions reductions made during
the 2001 and 2002 control periods. These credits are allocated from the
compliance supplement pool (CSP). (See 65 FR 2711; January 18, 2000.)
Now that 2003 is no longer a required compliance year, reductions made
in 2003 can be considered for early reductions credits. Because 2001
has passed and sources may have already, in good faith, reduced
emissions during the 2001 ozone season for purposes of earning early
reduction credits, EPA is not simply shifting the early reductions
period by 1 year. Instead, EPA is expanding the period during which
sources can earn early reductions credits to include 2001 through 2003.
Most of the remaining CSP-related deadlines in Sec. 97.43(b) and
(c) are extended by 1 year. The early reduction credit request must be
submitted by February 1, 2004. After February 1, 2004, EPA will report
the total amount of early reduction credits requested by sources in the
State. The EPA will determine and announce the NOX
allocations by April 1, 2004 and provide an opportunity for public
comment. The CSP allocations will be recorded by May 1, 2004.
NOX allowances from the CSP may be used for compliance
purposes during the 2004 and 2005 ozone control periods.
However, the May 1, 2000 deadline for certification of continuous
emission monitoring systems at units which are making early reductions
is not changed. This is because it is necessary to establish the level
of emissions in 2000, as the baseline used to determine the amount of
early reductions in 2001, 2002, and 2003.
4. Recordation of NOX Allowance Allocations
Section 97.53 establishes the timing for recording the
NOX allowance allocations in the accounts for the
NOX budget units. No deadline for recordation of the
allowance allocations was established for the first year of the trading
program. For later years, the rule required the allowance allocations
to be recorded by the start of the ozone control period 3 years in
advance of the year for which the allowances were allocated. Thus,
originally the rule required the 2004 NOX allowance
allocations to be recorded by May 1, 2001 and the 2005 NOX
allowance allocations to be recorded by May 1, 2002, and so forth.
Because 2004 is now the first year of the program, and because May 1,
2001 is already past, EPA is removing the deadline for recordation for
the 2004 control period. The EPA will record the allowances
sufficiently in advance for sources to make their compliance decisions.
In addition, because the May 1, 2002 recordation deadline for the 2005
control period is only a few days away, there is not adequate time for
EPA to meet that deadline. Therefore, EPA is establishing May 1, 2003
as the recordation deadline for 2005 allowance allocations. As a
result, both the 2005 and 2006 NOX allowances will be
recorded by May 1, 2003.
Recordation of allocations in compliance accounts or general
accounts and allocations to opt-in units addressed under Sec. 97.53(e)
will start in 2005.
5. Compliance--Deduction of Banked Allowances
The Federal NOX Budget Trading Program includes a
banking feature to allow sources to save allowances for use in later
years. Banking may result in more NOX allowances being used,
and therefore more NOX emissions, in one year than in
another. Section 97.54(f) provides a flow control mechanism to limit
the variability in the time of emissions by establishing a discount
rate on the use of banked allowances over a certain level. Under the
January 18, 2000 Section 126 Rule, flow control could not be triggered
until 2005 (after the first 2 years of the program). In order to
continue to allow unrestricted use of allowances during the first 2
years of the program, this date is being extended by 1 year. Therefore,
flow control cannot be triggered until 2006 (i.e., after reconciliation
in the 2005 compliance year).
6. Monitoring
Sections 97.70 through 74 contain the Monitoring and Reporting
requirements. Under Sec. 97.70, all the deadlines related to monitoring
and reporting are extended by 1 year, except for the deadlines related
to earning early reduction credits (see discussion below in section
C.1.). Part 97 requires monitoring to begin the start of the ozone
season 1 year before the compliance date. Therefore, sources not
intending to apply for early reduction credits are now required to meet
the certification and other related requirements by May 1, 2003 and
begin reporting on that date. The deadline is May 1, rather than May
31, so that units will report emissions for the full control period in
2003. The heat input for the 2003 control period will be used in
determining future allowance allocations under Part 97. New sources
that commence operation on or after January 1, 2003, are required to
meet monitoring and reporting requirements by May 1, 2003 or 90 days
after the source commenced operation, whichever is later.
Section 97.74(d) sets out the deadlines for submission of quarterly
reports. All deadlines are extended by 1 year.
C. What Are the Dates That EPA Is Not Changing?
1. Monitoring and Reporting Deadlines for Early Reduction Credits
Section 97.70(b)(1) establishes May 1, 2000 as the monitoring
certification and reporting deadline for sources that intend to apply
for early reduction credits under Sec. 97.43. This deadline is not
changing because, as discussed above in section III.B.3., EPA is not
shifting by 1 year the period during which early reduction credits can
be earned. The year 2001 will continue to be the first year during
which early reduction credit can be earned, but now the early
reductions time period is being expanded through 2003. The 2000
[[Page 21527]]
ozone season remains the baseline against which sources who intend to
request early reduction credits must demonstrate reductions.
2. Other Miscellaneous Dates
There are several other dates in the Section 126 Rule that are not
changing. These include: the 1995-1998 baseline period in
Sec. 97.42(a)(1)(i) used for initial allocations, the 2002-2004
baseline period in Sec. 97.42(a)(1)(ii) for the next set of
allocations(which is for 2008-2012), the dates related to allocations
for control periods after 2007, and the dates in the definitions of
fossil fuel fired and in the applicability provisions in Sec. 97.4.
IV. What Are the Rulemaking Procedures?
The EPA is taking this action as a final rule without prior
proposal and public comment because EPA finds that the Administrative
Procedure Act (APA) good cause exemption to the requirement for notice-
and-comment rulemaking applies here. See 5 U.S.C. 553(b)(3)(B). The EPA
believes that providing for notice-and-comment rulemaking before taking
this action is impracticable and contrary to the public interest
because the time involved would extend beyond critical dates in the
Section 126 Rule that EPA is changing.
In particular, when the court temporarily suspended the compliance
date for EGUs, it did not suspend the other related dates. The other
dates, such as the monitoring certification date, were established by
EPA based on the specific timing of the compliance date. Therefore,
substantial confusion has resulted for sources as to their obligations
to meet the related deadlines. The current May 1, 2002 monitoring
certification deadline is rapidly approaching. The monitoring deadline
was set to be 1 year prior to the compliance date. Because the court's
action effectively delayed the compliance deadline beyond 2003,
similarly the monitoring date should be delayed beyond 2002. In a
January 16, 2002 memorandum from John Seitz, Director of the Office of
Air Quality Planning and Standards, to EPA Regional Air Directors, EPA
announced that it intended to extend the deadlines that are related to
the compliance date. However, the sources remain legally subject to the
existing deadlines until EPA formally changes those dates. The time
needed to complete notice-and-comment rulemaking to revise the dates
would extend well beyond the May 1, 2002 monitoring date and would
result either in sources making expenditures that are unnecessary at
this time or being in violation of existing deadlines until EPA
finalized the rule to extend those deadlines. Therefore, EPA believes
it would be contrary to the public interest for the existing deadlines
to remain in effect while EPA conducted rulemaking to extend the
deadlines. In addition, sources need certainty as early as possible
regarding their new compliance dates so that appropriate compliance
plans and contractual agreements can be arranged. It would be
impracticable to achieve the purpose of immediate clarification
regarding sources' obligations, and hence, would also be contrary to
the public interest, if this action were delayed by providing for prior
public notice-and-comment. This rule does not change what the control
requirements are for the affected sources or substantively change the
Section 126 Rule in any way. It simply changes several dates by which
the requirements must be met, as a result of the court's actions
related to the EGU compliance date. Therefore, EPA does not believe
that prior proposal is necessary.
Given the need to have the revised dates in place prior to May 1,
2002, for the reasons discussed above, EPA finds good cause to make
this rule immediately effective upon publication. The EPA believes this
is consistent with 5 U.S.C. 553(d)(1) and (3).
V. What Is the Future Rulemaking on the Section 126 Rule Withdrawal
Provision?
As mentioned above, the Section 126 Rule includes a provision to
withdraw the section 126 requirements in a State where the State is
fully controlling the NOX transport. The current Section 126
Rule withdrawal provision is based on the original compliance deadlines
in the Section 126 Rule and NOX SIP Call. This provision
automatically withdraws the section 126 findings and control
requirements for sources in a State if the State submits, and EPA gives
final approval to, a SIP revision meeting the full NOX SIP
Call requirements, including the originally promulgated May 1, 2003
compliance deadline (40 CFR 52.34(i)). The automatic withdrawal
provision does not address any other circumstances.
In particular, the withdrawal provision in its current form would
not operate where a State's NOX SIP has the new court-
established May 31, 2004 NOX SIP Call compliance deadline.
Because the Section 126 Rule compliance deadline is now May 31, 2004, a
NOX SIP to pre-empt or replace the Section 126 Rule
requirements would not need to be implemented until May 31, 2004.
Therefore, in the future, EPA intends to conduct a rulemaking to modify
the Section 126 Rule withdrawal provision to take into account the new
compliance date for the Section 126 Rule. Revising the Section 126 Rule
withdrawal provision will avoid the potential overlap of Federal
requirements under the Section 126 Rule and State requirements under
the NOX SIP Call.
VI. What Are the Administrative Requirements?
A. Executive Order 12866: Regulatory Planning and Review
Under Executive Order 12866 (58 FR 51735, October 4, 1993), the
Agency must determine whether the regulatory action is ``significant''
and, therefore, subject to Office of Management and Budget (OMB) review
and the requirements of the Executive Order. The Order defines
``significant regulatory action'' as one that is likely to result in a
rule that may:
1. Have an annual effect on the economy of $100 million or more or
adversely affect in a material way the economy, a sector of the
economy, productivity, competition, jobs, the environment, public
health or safety, or State, local, or tribal governments or
communities;
2. Create a serious inconsistency or otherwise interfere with an
action taken or planned by another agency;
3. Materially alter the budgetary impact of entitlements, grants,
user fees, or loan programs or the rights and obligations of recipients
thereof; or
4. Raise novel legal or policy issues arising out of legal
mandates, the President's priorities, or the principles set forth in
the Executive Order.
Under Executive Order 12866, this final action is not a
``significant regulatory action'' and is therefore not subject to
review by OMB. This rule does not create any additional impacts beyond
what were promulgated in the January 2000 Rule. This rule also does not
raise novel legal or policy issues. Therefore, EPA believes that this
action is not a ``significant regulatory action.''
B. Unfunded Mandates Reform Act
Title II of the Unfunded Mandates Reform Act of 1995 (UMRA), Public
Law 104-4, establishes requirements for Federal agencies to assess the
effects of their regulatory actions on State, local, and tribal
governments and the private sector. Under section 202 of the UMRA, 2
U.S.C. 1532, EPA generally must prepare a written statement, including
a cost-benefit analysis, for any proposed or final rules with ``Federal
mandates'' that may result in the expenditure by
[[Page 21528]]
State, local, and tribal governments, in the aggregate, or by the
private sector, of $100 million or more in any 1 year. A ``Federal
mandate'' is defined to include a ``Federal intergovernmental mandate''
and a ``Federal private sector mandate'' (2 U.S.C. 658(6)). A ``Federal
intergovernmental mandate,'' in turn, is defined to include a
regulation that ``would impose an enforceable duty upon State, local,
or tribal governments,'' (2 U.S.C. 658(5)(A)(i)), except for, among
other things, a duty that is ``a condition of Federal assistance'' (2
U.S.C. 658(5)(A)(I)). A ``Federal private sector mandate'' includes a
regulation that ``would impose an enforceable duty upon the private
sector,'' with certain exceptions (2 U.S.C. 658(7)(A)).
The EPA has determined that this action does not include a Federal
mandate that may result in estimated costs of $100 million or more for
either State, local, or tribal governments in the aggregate, or for the
private sector. This Federal action does not impose any new
requirements, as discussed above. Accordingly, no additional costs to
State, local, or tribal governments, or to the private sector, would
result from this action.
Because the Agency has made a ``good cause'' finding that this
action is not subject to notice-and-comment requirements under the
Administrative Procedures Act or any other statute (see section IV of
this preamble, it is not subject to sections 202 and 205 of the
Unfunded Mandates Reform Act of 1995 (UMRA) (Pub. L. 104-4).
C. Executive Order 13132: Federalism
Executive Order 13132, entitled ``Federalism'' (64 FR 43255, August
10, 1999), requires EPA to develop an accountable process to ensure
``meaningful and timely input by State and local officials in the
development of regulatory policies that have federalism implications.''
``Policies that have federalism implications'' is defined in the
Executive Order to include regulations that have ``substantial direct
effects on the States, on the relationship between the national
government and the States, or on the distribution of power and
responsibilities among the various levels of government.''
Under section 6 of Executive Order 13132, EPA may not issue a
regulation that has federalism implications, that imposes substantial
direct compliance costs, and that is not required by statute, unless
the Federal government provides the funds necessary to pay the direct
compliance costs incurred by State and local governments, or EPA
consults with State and local officials early in the process of
developing the proposed regulation. The EPA also may not issue a
regulation that has federalism implications and that preempts State
law, unless the Agency consults with State and local officials early in
the process of developing the proposed regulation.
This rule does not have federalism implications. It will not have
substantial direct effects on the States, on the relationship between
the national government and the States, or on the distribution of power
and responsibilities among the various levels of government, as
specified in Executive Order 13132. Today's rule imposes no additional
burdens beyond those imposed by the January 2000 Rule. Thus, the
requirements of section 6 of the Executive Order do not apply to this
rulemaking action.
D. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
Executive Order 13175, entitled ``Consultation and Coordination
with Indian Tribal Governments'' (65 FR 67249, November 6, 2000),
requires EPA to develop an accountable process to ensure ``meaningful
and timely input by tribal officials in the development of regulatory
policies that have tribal implications.'' ``Policies that have tribal
implications'' is defined in the Executive Order to include regulations
that have ``substantial direct effects on one or more Indian tribes, on
the relationship between the Federal government and the Indian tribes,
or on the distribution of power and responsibilities between the
Federal government and Indian tribes.''
This rule does not have tribal implications. It will not have
substantial direct effects on tribal governments, on the relationship
between the Federal government and Indian tribes, or on the
distribution of power and responsibilities between the Federal
government and Indian tribes, as specified in Executive Order 13175.
Today's action does not significantly or uniquely affect the
communities of Indian tribal governments. As discussed above, today's
action imposes no new requirements that would impose compliance burdens
beyond those that would already apply under the January 2000 rule.
Accordingly, the requirements of Executive Order 13175 do not apply to
this rule.
E. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA) generally requires an agency
to prepare a regulatory flexibility analysis of any rule subject to
notice and comment rulemaking requirements under the Administrative
Procedure Act or any other statute unless the agency certifies that the
rule will not have a significant economic impact on a substantial
number of small entities. Small entities include small businesses,
small organizations, and small governmental jurisdictions.
Today's rule does not create new requirements for small entities or
other sources. Instead, this action extends the compliance dates for
sources subject to the January 2000 rule as a result of court actions.
Therefore, I certify that this action will not have a significant
economic impact on a substantial number of small entities.
Because the Agency has made a ``good cause'' finding that this
action is not subject to notice-and-comment requirements under the
Administrative Procedures Act or any other statute (see section IV of
this preamble), it is not subject to the regulatory flexibility
provisions of the Regulatory Flexibility Act (5 U.S.C. 601 et seq.).
F. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
Executive Order 13045: ``Protection of Children From Environmental
Health Risks and Safety Risks'' (62 FR 19885, April 23, 1997) applies
to any rule that (1) is determined to be ``economically significant''
as defined under Executive Order 12866, and (2) concerns an
environmental health or safety risk that EPA has reason to believe may
have a disproportionate effect on children. If the regulatory action
meets both criteria, the Agency must evaluate the environmental health
or safety effects of the planned rule on children, and explain why the
planned regulation is preferable to other potentially effective and
reasonably feasible alternatives considered by the agency.
The EPA interprets Executive Order 13045 as applying only to those
regulatory actions that are based on health or safety risks, such that
the analysis required under section 5-501 of the Order has the
potential to influence the regulation. This rule is not subject to
Executive Order 13045, because this action is not ``economically
significant'' as defined under Executive Order 12866 and the Agency
does not have reason to believe the environmental health risks or
safety risks addressed by this action present a disproportionate risk
to children.
G. National Technology Transfer and Advancement Act
Section 12(d) of the National Transfer and Advancement Act of 1995
[[Page 21529]]
(``NTTAA,'' Pub. L. 104-113 section 12(d) 15 U.S.C. 272 note) directs
EPA to use voluntary consensus standards in its regulatory activities
unless to do so would be inconsistent with applicable law or otherwise
impractical. Voluntary consensus standards are technical standards
(e.g., materials specifications, test methods, sampling procedures, and
business practices) that are developed or adopted by voluntary
consensus standards bodies. The NTTAA directs EPA to provide Congress,
through OMB, explanations when the Agency decides not to use available
and applicable voluntary consensus standards.
The National Technology Transfer and Advancement Act of 1997 does
not apply because today's action does not impose any new technical
standards. This action extends deadlines for sources subject to the
January 2000 Rule, as the result of court actions.
H. Paperwork Reduction Act
Today's action does not impose any new information collection
request requirements. Therefore, an information collection request
document is not required.
I. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
This rule is not subject to Executive Order 13211, ``Actions
Concerning Regulations That Significantly Affect Energy Supply,
Distribution, or Use'' (66 FR 28355; May 22, 2001) because it is not a
significant regulatory action under Executive Order 12866. Today's
action does not impose any new regulatory requirements.
J. Judicial Review
Section 307(b)(1) of the CAA indicates which Federal Courts of
Appeal have venue for petitions of review of final actions by EPA. This
section provides, in part, that petitions for review must be filed in
the Court of Appeals for the District of Columbia Circuit (i) when the
agency action consists of ``nationally applicable regulations
promulgated, or final actions taken, by the Administrator,'' or (ii)
when such action is locally or regionally applicable, if ``such action
is based on a determination of nationwide scope or effect and if in
taking such action the Administrator finds and publishes that such
action is based on such a determination.''
For the reasons discussed in the May 25, 1999 final rule (64 FR
28250), the Administrator determined that final action regarding the
section 126 petitions is of nationwide scope and effect for purposes of
section 307(b)(1). Thus, any petitions for review of final actions
regarding the section 126 rulemaking must be filed in the Court of
Appeals for the District of Columbia Circuit within 60 days from the
date final action is published in the Federal Register.
K. Congressional Review Act
The Congressional Review Act (CRA), 5 U.S.C. 801 et seq., as added
by the Small Business Regulatory Enforcement Fairness Act of 1996,
generally provides that before a rule may take effect, the agency
promulgating the rule must submit a rule report, which includes a copy
of the rule, to each House of the Congress and to the Comptroller
General of the United States. Section 808 of the CRA provides an
exception to this requirement. For any rule for which an agency for
good cause finds that notice and comment are impracticable,
unnecessary, or contrary to the public interest, the rule may take
effect on the date set by the Agency. The EPA will submit a report
containing this rule and other required information to the U.S. Senate,
the U.S. House of Representatives, and the Comptroller General of the
United States prior to publication of the rule in the Federal Register.
This action is not a ``major rule'' as defined by 5 U.S.C. 804(2). As
EPA is finding good cause to promulgate this rule without prior notice
and comment, this rule will be effective April 30, 2002.
List of Subjects in 40 CFR Part 97
Administrative practice and procedure, Air pollution control,
Intergovernmental Relations, Nitrogen oxides, Ozone, Reporting and
record keeping requirements.
Dated: April 23, 2002.
Christine Todd Whitman,
Administrator.
For the reasons set forth in the preamble, chapter I of title 40 of
the Code of Federal Regulations is amended as follows:
PART 97--FEDERAL NOX BUDGET TRADING PROGRAM
1. The authority citation for part 97 continues to read as follows:
Authority: 42 U.S.C. 7401, 7403, 7426, and 7601.
Sec. 97.4 [Amended]
2. In Sec. 97.4 paragraphs (b)(4)(vi)(A) and (b)(4)(vi)(B) are
amended by revising the date ``2003'' to read ``2004'', wherever it
appears.
Sec. 97.5 [Amended]
3. In Sec. 97.5 paragraphs (c)(5)(i) and (c)(5)(ii) are amended by
revising the date ``May 1, 2003'' to read ``May 31, 2004,'' wherever it
appears.
Sec. 97.6 [Amended]
4. In Sec. 97.6 paragraph (c)(3) is amended by revising the date
``May 1, 2003'' to read ``May 31, 2004''.
Sec. 97.21 [Amended]
5. In Sec. 97.21 paragraphs (b)(1)(i), (b)(1)(ii), (b)(2)(i), and
(b)(2)(ii) are amended by revising the date ``January 1, 2000'' to read
``January 1, 2001'' and the date ``May 1, 2003'' to read ``May 31,
2004,'' wherever they appear.
Sec. 97.41 [Amended]
6. In Sec. 97.41 by amending:
a. Paragraph (a) by revising the date ``2003 through 2007'' to read
``2004 through 2007''; and
b. Paragraph (d) by revising the date ``April 1, 2003'' to read
``April 1, 2004''.
Sec. 97.42 [Amended]
7. In Sec. 97.42 by amending:
a. Paragraph (b) by removing the word ``five'; and
b. Paragraph (c) by removing the word ``five'.
Sec. 97.43 [Amended]
8. In Sec. 97.43 by amending:
a. Paragraph (a) introductory text by revising the date ``2001 or
2002'' to read ``2001 through 2003'';
b. Paragraph (a)(4) introductory text by revising the date ``2001
or 2002'' to read ``2001 through 2003'';
c. Paragraph (a)(4)(ii) by revising the date ``February 1, 2003''
to read ``February 1, 2004'';
d. Paragraph (b)(1) by revising the date ``2001 or 2002'' to read
``2001 through 2003,'' wherever it appears;
e. Paragraph (b)(2) by revising the date ``February 1, 2003'' to
read ``February 1, 2004'';
f. Paragraphs (c)(2), (c)(3), and (c)(4) by revising the date
``February 1, 2003'' to read ``February 1, 2004,'' wherever it appears;
g. Paragraphs (c)(3) and (c)(4) by revising ``2001 and 2002'' to
read ``2001 through 2003,'' wherever it appears;
h. Paragraph (c)(5) by revising the date ``April 1, 2003'' to read
``April 1, 2004'';
i. Paragraph (c)(6) by revising the date ``May 1, 2003'' to read
``May 1, 2004'';
j. Paragraph (c)(7) by revising the date ``2003 or 2004'' to read
``2004 or 2005'; and
k. Paragraph (c)(8) by revising the date ``2004'' to read ``2005''.
[[Page 21530]]
Sec. 97.53 [Amended]
9. In Sec. 97.53 by amending:
a. Paragraph (a) by revising the date ``2003'' to read ``2004'',
wherever it appears;
b. Paragraph (b) by revising the date ``May 1, 2001'' to read ``May
1, 2003'' and revising the date ``2004'' to read ``2005'', wherever
they appear;
c. Paragraph (c) by revising the date ``May 1, 2002'' to read ``May
1, 2003'' and revising the date ``2005'' to read ``2006'', wherever
they appear;
d. Paragraph (d) by revising the date ``May 1, 2003'' to read ``May
1, 2004'' and revising the date ``2006'' to read ``2007'', wherever
they appear; and
e. Paragraph (e) introductory text by revising the date ``2004'' to
read ``2005''.
Sec. 97.54 [Amended]
10. In Sec. 97.54 paragraph (f) is amended by revising the date
``2005'' to read ``2006''.
Sec. 97.70 [Amended]
11. In Sec. 97.70 by amending:
a. Paragraph (b)(1) by revising the date ``May 1, 2000'' to read
``May 1, 2001''; and
b. Paragraphs (b)(2), (b)(3), introductory text (b)(4), (b)(5),
(b)(5)(i), and (b)(6) by revising the date ``January 1, 2002'' to read
``January 1, 2003'' and revising the date ``May 1, 2002'' to read ``May
1, 2003,'' wherever they appear.
c. Paragraph (b)(3)(i) by revising the date ``May 1, 2002'' to read
``May 1, 2003.''
Sec. 97.74 [Amended]
12. In Sec. 97.74 paragraphs (d)(1)(ii), (d)(1)(iii),
(d)(2)(ii)(B), (d)(2)(ii)(C), and (d)(2)(ii)(D) are amended by revising
the date ``May 1, 2002'' to read ``May 1, 2003'' and revising the date
``May 1, 2002 through June 30, 2002'' to read ``May 1, 2003 through
June 30, 2003,'' wherever they appear.
Appendix A to Part 97 [Amended]
13. In Appendix A the table heading is amended by revising the date
``2003-2007'' to read ``2004-2007''.
Appendix B to Part 97 [Amended]
14. In Appendix B the table heading is amended by revising the date
``2003-2007'' to read ``2004-2007''.
Appendix C to Part 97 [Amended]
15. In Appendix C the table heading is amended by removing the date
'', 2003-2007''.
[FR Doc. 02-10403 Filed 4-29-02; 8:45 am]
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