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PA Bulletin, Doc. No. 21-1235

PROPOSED RULEMAKING

ENVIRONMENTAL QUALITY BOARD

[ 25 PA. CODE CHS. 121 AND 129 ]

Additional RACT Requirements for Major Sources of NOx and VOCs for the 2015 Ozone NAAQS

[51 Pa.B. 4333]
[Saturday, August 7, 2021]

 The Environmental Quality Board (Board) proposes to amend Chapters 121 and 129 (relating to general provisions; and standards for sources) to read as set forth in Annex A. This proposed rulemaking would amend Chapter 129 by adopting additional presumptive reasonably available control technology (RACT) requirements and RACT emission limitations for certain major stationary sources of oxides of nitrogen (NOx) and volatile organic compound (VOC) emissions in existence on or before August 3, 2018, to address the 2015 8-hour ozone National Ambient Air Quality Standards (NAAQS).

 This proposed rulemaking would amend § 121.1 (relating to definitions) by adding the terms ''combustion source'' and ''natural gas compression and transmission facility fugitive VOC air contamination source'' to support the proposed amendments to Chapter 129.

 This proposed rulemaking will be submitted to the United States Environmental Protection Agency (EPA) for approval as a revision to the Commonwealth's State Implementation Plan (SIP) following promulgation of the final-form rulemaking.

 This proposed rulemaking was adopted by the Board at its meeting on May 19, 2021.

A. Effective Date

 This proposed rulemaking will be effective upon final-form publication in the Pennsylvania Bulletin.

B. Contact Persons

 For further information, contact Viren Trivedi, Chief, Division of Permits, Bureau of Air Quality, Rachel Carson State Office Building, P.O. Box 8468, Harrisburg, PA 17105-8468, (717) 783-9476; or Jesse C. Walker, Assistant Counsel, Bureau of Regulatory Counsel, Rachel Carson State Office Building, P.O. Box 8464, Harrisburg, PA 17105-8464, (717) 787-7060. Information regarding submitting comments on this proposed rulemaking appears in section J of this preamble. Persons with a disability may use the Pennsylvania Hamilton Relay Service, (800) 654-5984 (TDD users) or (800) 654-5988 (voice users). This proposed rulemaking is available on the Department of Environmental Protection's (Department) web site at www.dep.pa.gov (select ''Public Participation,'' then ''Environmental Quality Board'').

C. Statutory Authority

 This proposed rulemaking is authorized under section 5(a)(1) of the Air Pollution Control Act (APCA) (35 P.S. § 4005(a)(1)), which grants the Board the authority to adopt rules and regulations for the prevention, control, reduction and abatement of air pollution in this Commonwealth; and section 5(a)(8) of the APCA, which grants the Board the authority to adopt rules and regulations designed to implement the provisions of the Clean Air Act (CAA) (42 U.S.C.A. §§ 7401—7671q).

D. Background and Purpose

 This proposed rulemaking would establish §§ 129.111—129.115 (relating to additional RACT requirements for major sources of NOx and VOCs for the 2015 ozone NAAQS) to meet CAA requirements. Emissions of NOx and VOCs are precursors for ground-level ozone formation. Ground-level ozone, a public health and welfare hazard, is not emitted directly to the atmosphere from air contamination sources, but forms from the photochemical reaction between emissions of VOCs and NOx in the presence of sunlight.

 Ground-level ozone is a highly reactive gas which at sufficient concentrations can produce a wide variety of harmful effects. At elevated concentrations, ground-level ozone can adversely affect human health, vegetation, materials, economic values, and personal comfort and well-being. It can cause damage to important food crops, forests, livestock and wildlife. Repeated exposure to ground-level ozone pollution may cause a variety of adverse health effects for both healthy people and those with existing conditions including difficulty in breathing, chest pains, coughing, nausea, throat irritation and congestion. It can worsen bronchitis, heart disease, emphysema and asthma, reduce lung capacity and lead to increased morbidity. Asthma is a significant and growing threat to children and adults. High levels of ground-level ozone also affect animals including pets, livestock and wildlife in ways similarly to humans.

 The EPA is responsible for establishing NAAQS, or maximum allowable concentrations in the ambient air, for six criteria pollutants considered harmful to public health and welfare, including the environment: ground-level ozone; particulate matter; NOx; carbon monoxide; sulfur dioxide; and lead. Section 109 of the CAA (42 U.S.C.A. § 7409) established two types of NAAQS: primary standards, which are limits set to protect public health; and secondary standards, which are limits set to protect public welfare and the environment, including protection against visibility impairment and from damage to animals, crops, vegetation and buildings. The EPA established primary and secondary ground-level ozone NAAQS to protect public health and welfare.

 On April 30, 1971, the EPA promulgated primary and secondary NAAQS for photochemical oxidants, which include ozone, under section 109 of the CAA. See 36 FR 8186 (April 30, 1971). These were set at an hourly average of 0.08 parts per million (ppm) total photochemical oxidants not to be exceeded more than 1 hour per year. On February 8, 1979, the EPA announced a revision to the then-current 1-hour standard. See 44 FR 8202 (February 8, 1979). The final rulemaking revised the level of the primary 1-hour ozone standard from 0.08 ppm to 0.12 ppm and set the secondary standard identical to the primary standard. This revised 1-hour standard was reaffirmed on March 9, 1993. See 58 FR 13008 (March 9, 1993).

 Section 110(a) of the CAA (42 U.S.C.A. § 7410(a)) gives states the primary responsibility for achieving the NAAQS. Section 110(a) of the CAA provides that each state shall adopt and submit to the EPA a plan to implement measures (a SIP) to enforce the NAAQS or a revision to the NAAQS promulgated under section 109(b) of the CAA. A SIP includes the regulatory programs, actions and commitments a state will carry out to implement its responsibilities under the CAA. Once approved by the EPA, a SIP is legally enforceable under both Federal and state law.

 Section 172(c)(1) of the CAA (42 U.S.C.A. § 7502(c)(1)) provides that SIPs for nonattainment areas must include ''reasonably available control measures,'' including RACT, for affected sources of emissions. RACT is defined as the lowest emissions limitation that a particular source is capable of meeting by the application of control technology that is reasonably available considering technological and economic feasibility. See 44 FR 53762 (September 17, 1979). Section 182 of the CAA (42 U.S.C.A. § 7511a) requires that, for areas that exceed the NAAQS for ozone, states shall develop and administer a program that mandates that certain major stationary sources implement RACT. Under sections 182(f)(1) and 184(b)(2) of the CAA (42 U.S.C.A. §§ 7511a(f)(1) and 7511c(b)(2)), these RACT requirements are applicable to all sources in this Commonwealth that emit or have a potential to emit 100 tons per year (TPY) or more of NOx. Under sections 182(b)(2) and 184(b)(2) of the CAA (42 U.S.C.A. § 7511c(b)(2)), these RACT requirements are applicable to all sources in this Commonwealth that emit or have a potential to emit at least 50 TPY of VOCs.

 For RACT implementation purposes, this entire Commonwealth is treated as a ''moderate'' ozone nonattainment area, because this Commonwealth is included in the Ozone Transport Region (OTR) established by operation of law under sections 176A and 184 of the CAA (42 U.S.C.A. §§ 7506a and 7511c). Section 184(b) of the CAA addresses provisions for the SIP of a state included in the OTR. Section 184(b)(1)(B) of the CAA requires that states in the OTR, including this Commonwealth, submit a SIP revision requiring implementation of RACT for all major stationary sources of NOx and VOC emissions in the state and not just for those sources that are located in designated nonattainment areas of the state. The proposed RACT requirements would apply to all major facilities or sources in this Commonwealth that emit or have a potential to emit equal to or greater than 100 TPY of NOx or 50 TPY of VOCs, as required under section 184 of the CAA for states in the OTR. Consequently, the Commonwealth's SIP must include RACT regulations applicable Statewide to affected major stationary sources of NOx and VOC emissions. The Commonwealth's RACT regulations under §§ 129.91—129.95 (relating to stationary sources of NOx and VOCs) were implemented Statewide in January 1994 for the 1979 and 1993 1-hour ozone standard. See 24 Pa.B. 467 (January 15, 1994). Additionally, because the five-county Philadelphia area was designated as severe ozone nonattainment for the 1979 1-hour standard, existing sources of 25 TPY or more of either pollutant in the five-county Philadelphia area were required under section 182(d) of the CAA to implement the RACT requirements in §§ 129.91—129.95. These requirements remain applicable to these sources of 25 TPY or more in the five-county Philadelphia area.

 On July 18, 1997, the EPA concluded that revisions to the then-current 1-hour ozone primary standard to provide increased public health protection were appropriate at this time to protect public health with an adequate margin of safety. Further, the EPA determined that it was appropriate to establish a primary standard of 0.08 ppm averaged over 8 hours. At this time, the EPA also established a secondary standard equal to the primary standard. See 62 FR 38856 (July 18, 1997). In 2004, the EPA designated 37 counties in this Commonwealth as 8-hour ozone nonattainment areas for the 1997 8-hour ozone NAAQS. See 69 FR 23858, 23931 (April 30, 2004).

 On March 27, 2008, the EPA lowered the primary and secondary 8-hour ozone standards from 0.08 ppm to 0.075 ppm. See 73 FR 16436 (March 27, 2008). The EPA made designations for the 2008 8-hour ozone standards on April 30, 2012, with an effective date of July 20, 2012. The EPA designated all or portions of Allegheny, Armstrong, Beaver, Berks, Bucks, Butler, Carbon, Chester, Delaware, Fayette, Lancaster, Lehigh, Montgomery, Northampton, Philadelphia, Washington and Westmoreland Counties as ''marginal'' nonattainment for the 2008 8-hour ozone NAAQS, with the rest of this Commonwealth designated unclassifiable/attainment. See 77 FR 30088, 30143 (May 21, 2012).

 The Commonwealth's RACT regulations under §§ 129.96—129.100 (relating to additional RACT requirements for major sources of NOx and VOCs) were implemented in April 2016 for the 1997 and 2008 8-hour ozone standards. See 46 Pa.B. 2036 (April 23, 2016).

 On October 26, 2015, the EPA lowered the primary and secondary 8-hour ozone standards from 0.075 ppm to 0.070 ppm. See 80 FR 65292 (October 26, 2015). The EPA made designations for the 2015 8-hour ozone standards on June 4, 2018, with an effective date of August 3, 2018. On June 4, 2018, the EPA designated Bucks, Chester, Delaware, Montgomery and Philadelphia Counties as ''marginal'' nonattainment, with the rest of this Commonwealth designated attainment/unclassifiable. See 83 FR 25776, 25828 (June 4, 2018). The Department's preliminary analysis of the 2020 ambient air ozone season monitoring data shows that all ozone samplers in this Commonwealth are monitoring attainment of the 2015 8-hour ozone NAAQS except these three: the Bristol sampler in Bucks County and the Philadelphia Air Management Services Northeast Airport and Northeast Waste samplers in Philadelphia County; all ozone samplers in this Commonwealth are projected to monitor attainment of the 2008 and 1997 8-hour ozone NAAQS.

 The EPA's final rules to implement the 2008 and 2015 8-hour ozone NAAQS require states with areas classified as ''moderate'' nonattainment or higher to submit a demonstration, as a revision to the SIP, that their current regulations fulfill 8-hour ozone RACT requirements for all control technique guideline (CTG) categories and all major non-CTG sources. See 80 FR 12264 (March 6, 2015) and 83 FR 62998 (December 6, 2018). Therefore, a re-evaluation of what constitutes RACT for affected sources must be fulfilled each time the EPA revises a NAAQS. This was the case in 1997 when the EPA replaced the 1993 1-hour ozone standard with the 8-hour ozone standard and was the case in 2008 and 2015 for the 8-hour ozone standard. State regulations to control emissions of NOx and VOCs from major stationary sources will be reviewed by the EPA to determine if the provisions meet the RACT requirements of the CAA and its implementing regulations designed to attain and maintain the ozone NAAQS. Therefore, the Commonwealth must submit a SIP revision to demonstrate how it will attain and maintain the 2015 8-hour ozone standard in the nonattainment areas.

 The EPA's past implementation of regulations for revised NAAQS ozone standards have required OTR states to submit RACT SIP revisions based on the timeframe provided in section 184 of the CAA as measured from the effective date of designations made for those revised NAAQS, rather than from November 15, 1990. This requirement was first codified in 40 CFR 51.916 (relating to what are the requirements for an Ozone Transport Region under the 8-hour NAAQS?) for the 1997 8-hour ozone NAAQS, later codified for the 2008 8-hour ozone NAAQS in 40 CFR 51.1116 (relating to requirements for an Ozone Transport Region) and most recently codified for the 2015 8-hour ozone NAAQS in 40 CFR 51.1316 (relating to requirements for an Ozone Transport Region). Under these provisions, states in the OTR are required to submit SIP revisions addressing the RACT requirements of section 184 of the CAA not later than 2 years after the effective date of designations for nonattainment areas for the revised 2015 8-hour ozone NAAQS, or by August 3, 2020.

 The Department must ensure that the 1997, 2008 and 2015 8-hour ozone NAAQS are attained and maintained by implementing permanent and Federally-enforceable control measures. Reductions in ozone precursor emissions that are achieved following the adoption and implementation of RACT emission control measures for source categories covered by this proposed rulemaking will assist the Commonwealth in making substantial progress in achieving and maintaining the 1997, 2008 and 2015 8-hour ozone NAAQS. The Board has determined that the proposed requirements are reasonably necessary to attain and maintain the health-based and welfare-based 8-hour ozone NAAQS in this Commonwealth and to satisfy related CAA requirements.

 The Department conducted a generic RACT analysis to determine if additional controls would represent RACT for the 2015 8-hour ozone NAAQS. That generic analysis identified existing affected source categories by size and fuel type; identified available feasible NOx or VOC control options, or both, for each type of existing source; estimated emission reduction potential for each control technology; identified costs for technologies, using appropriate updates; and evaluated cost-effectiveness using the guidance provided in the EPA Air Pollution Control Cost Manual, EPA/452/B-02-001, 6th Edition, January 2002, as amended, for both uncontrolled and controlled sources (combinations of technologies). After conducting this analysis, the Department determined the RACT for each source category.

 Based on this analysis, the Board has determined that additional cost-effective controls represent RACT for the 2015 8-hour ozone NAAQS. There are ten existing source categories that would be affected by this proposed rulemaking: combustion units; municipal solid waste landfills; municipal waste combustors; process heaters; turbines; stationary internal combustion engines; cement kilns; glass melting furnaces; lime kilns; and direct-fired heaters, furnaces or ovens; as well as other existing source categories that are not regulated elsewhere under Chapter 129.

 The proposed RACT requirements would apply to all sources in this Commonwealth that emit or have a potential to emit 100 TPY or more of NOx or 50 TPY of VOCs. There are approximately 500 Title V facilities in this Commonwealth under the Department's jurisdiction that may be subject to this proposed rulemaking. The Department preliminarily determined that the owners and operators of approximately 10—30 affected major facilities under the Department's jurisdiction meet the definition of ''small business'' specified in section 3 of the Regulatory Review Act (71 P.S. § 745.3). The owners and operators of the affected facilities are familiar with the existing requirements for emissions control, recordkeeping and reporting for their entity and have the professional and technical skills needed for continued compliance with these requirements.

 The Board has determined that this proposed rulemaking would fulfill requirements for re-evaluation and be less resource intensive than imposing case-by-case analysis for affected facilities in the covered categories. As more fully discussed in section E of this preamble, the Board proposes a compliance option hierarchy whereby the owner or operator of a subject source that cannot meet the presumptive RACT emission limitations and requirements under proposed § 129.112 (relating to presumptive RACT requirements, RACT emission limitations and petition for alternative compliance schedule) may apply for a facility-wide or system-wide NOx emissions averaging plan under proposed § 129.113 (relating to facility-wide or system-wide NOx emissions averaging plan general requirements) or an alternative case-by-case RACT determination under proposed § 129.114 (relating to alternative RACT proposal and petition for alternative compliance schedule).

 The Department consulted with the Air Quality Technical Advisory Committee (AQTAC) in the development of this proposed rulemaking. On October 17, 2019, the Department presented an overview of this proposed rulemaking to AQTAC. On February 13, 2020, the Department presented more refined concepts of this proposed rulemaking to AQTAC. The draft proposed Annex A was presented to AQTAC as an action item at its meeting on April 16, 2020. However, the AQTAC postponed voting and requested additional information for a special meeting on May 7, 2020. After discussion at its meeting of May 7, 2020, the AQTAC voted 17-2-0 to concur with the Department's recommendation to move this proposed rulemaking forward to the Board for consideration as a proposed rulemaking. The draft proposed Annex A was presented to the Small Business Compliance Advisory Committee (SBCAC) on April 22, 2020. The SBCAC voted 7-0-0 to concur with the Department's recommendation to move this proposed rulemaking forward to the Board for consideration as proposed rulemaking. The Department also conferred with the Citizens Advisory Council's (CAC) Policy and Regulatory Oversight Committee concerning this proposed rulemaking on May 8, 2020. On May 19, 2020, the full CAC concurred with the Department's recommendation to move this proposed rulemaking forward to the Board for consideration.

 The Department made revisions to this proposed rulemaking after presentations were made to the AQTAC, SBCAC and CAC, which are explained more thoroughly in section E. The Department revised § 129.112(g)(1)(xv) to correct a cross-reference. The Department deleted § 129.112(g)(1)(xvi) and (xvii), which specified emission rates for the electric generating units at the Brunner Island Steam Electric Plant. The Department deleted § 129.112(g)(1)(vii), (viii) and (x)—(xiv) because the presumptive NOx RACT emission limitations and requirements were no longer deemed approvable by the EPA as a result of the United State Court of Appeals for the Third Circuit's decision in Sierra Club v. EPA, (Sierra Club) 972 F.3d 290 (3d Cir. 2020). The Department also deleted plant-specific Portland cement kiln and lime kiln emission rates in § 129.112(h) and (j). Section 129.112(g)(1), (h) and (j) are revised as explained in section E. The Department also deleted § 129.112(g)(2)(v) for simple cycle or regenerative cycle combustion turbines with a rated output equal to or greater than 60,000 bhp to evaluate emerging NOx control technology as explained in section E. The Department also revised § 129.112(g)(3)(i) and (ii) from 2,500 bhp to 3,500 bhp due to a correction made to the cost analysis.

E. Summary of Regulatory Requirements

§ 121.1. Definitions

 This proposed rulemaking would amend § 121.1 to add the terms ''combustion source'' and ''natural gas compression and transmission facility fugitive VOC air contamination source'' to support the proposed amendments to Chapter 129. The term originally presented to the AQTAC on May 7, 2020, was ''natural gas compression and transmission facility VOC air contamination source.'' That term has been amended in this proposed rulemaking to ''natural gas compression and transmission facility fugitive VOC air contamination source'' and the definition has also been amended from what was presented to AQTAC on May 7, 2020, based on a comment received from a member of the AQTAC.

 A natural gas compression and transmission facility fugitive VOC air contamination source is defined as the group of fugitive-VOC-emitting components associated with an individual stationary source. As defined in § 121.1, fugitive emissions are those emissions which could not reasonably pass through a stack, chimney, vent or other functionally equivalent opening. The group of fugitive-VOC-emitting components is considered an individual VOC emitting source and the fugitive VOC emissions from the group of fugitive-VOC-emitting components are not aggregated with the VOC emissions from the associated individual stationary source. For example, a dehydrator unit would be an individual stationary source. All fugitive-VOC-emitting components such as flanges, crankcase vents, compressor seals, seal vents, valves and connectors associated with this dehydrator unit would be grouped together as a separate natural gas compression and transmission facility fugitive VOC air contamination source. Additionally, all pipeline pigging operations at the natural gas compression or transmission facility would be grouped together as one individual fugitive-VOC-emitting source.

 If a natural gas compression and transmission facility fugitive VOC air contamination source has a potential to emit VOCs greater than 2.7 TPY, then a VOC RACT presumptive requirement or limitation under § 129.112 would not apply. The owner or operator would be subject to § 129.114 and required to submit a case-by-case VOC RACT proposal.

§ 129.111. Applicability

 Proposed subsection (a) provides that, except as specified in subsection (c), the NOx requirements of this section and §§ 129.112—129.115 would apply Statewide to the owner and operator of a major NOx emitting facility, and the VOC requirements of this section and §§ 129.112—129.115 would apply Statewide to the owner and operator of a major VOC emitting facility that were in existence on or before August 3, 2018, for which a requirement or emission limitation, or both, has not been established in §§ 129.51, 129.52(a)—(k) and Table I categories 1—11, 129.52a—129.52e, 129.54—129.63a, 129.64—129.69, 129.71—129.73, 129.75, 129.77 and 129.101—129.107. The owner or operator shall identify and list the sources in paragraphs (1) and (2) in the written notification required under § 129.115(a) (relating to written notification, compliance demonstration and recordkeeping and reporting requirements).

 Proposed subsection (b) provides that, except as specified in subsection (c), the NOx requirements of this section and §§ 129.112—129.115 would apply Statewide to the owner and operator of a NOx emitting facility, and the VOC requirements of this section and §§ 129.112—129.115 would apply Statewide to the owner and operator of a VOC emitting facility when the installation of a new source or a modification or change in operation of an existing source after August 3, 2018, results in the source or facility meeting the definition of a major NOx emitting facility or a major VOC emitting facility and for which a requirement or an emission limitation, or both, has not been established in §§ 129.51, 129.52(a)—(k) and Table I categories 1—11, 129.52a—129.52e, 129.54—129.63a, 129.64—129.69, 129.71, 129.72, 129.73, 129.75, 129.77 and 129.101—129.107. The owner or operator shall identify and list the sources in paragraphs (1) and (2) in the written notification required under § 129.115(a).

 Proposed subsection (c) establishes that §§ 129.112—129.114 do not apply to the owner and operator of a NOx air contamination source that has the potential to emit less than 1 TPY of NOx located at a major NOx emitting facility subject to subsection (a) or (b), or of a VOC air contamination source that has the potential to emit less than 1 TPY of VOC located at a major VOC emitting facility subject to subsection (a) or (b). The owner or operator shall identify and list these sources in the written notification required under § 129.115(a).

 Proposed subsection (d) establishes that this section and §§ 129.112—129.115 do not apply to the owner and operator of a facility that is not a major NOx emitting facility or a major VOC emitting facility on or before the effective date of the final-form rulemaking.

§ 129.112. Presumptive RACT requirements, RACT emission limitations and petition for alternative compliance schedule

 Proposed subsection (a) establishes that the owner and operator of a source listed in one or more of subsections (b)—(k) located at a major NOx emitting facility or major VOC emitting facility subject to § 129.111 (relating to applicability) shall comply with the applicable presumptive RACT requirement or RACT emission limitation, or both, beginning with the specified compliance date in paragraph (1) or (2), unless an alternative compliance schedule is submitted and approved under subsections (n)—(p) or under § 129.114. Paragraph (1) specifies the compliance date of January 1, 2023, for a source subject to § 129.111(a). Paragraph (2) specifies the compliance date of January 1, 2023, or 1 year after the date the source meets the definition of a major NOx emitting facility or major VOC emitting facility, whichever is later, for a source subject to § 129.111(b). The owner or operator shall meet the applicable standards or regulations within the time frame required by standards or regulations even if the permit is not revised to incorporate the standards or regulations.

 Proposed subsection (b) establishes that the owner and operator of the combustion unit types listed in paragraph (1)(i) and (ii) that are located at a major NOx emitting facility or major VOC emitting facility subject to § 129.111 shall comply with the applicable presumptive RACT requirement for that source, which includes, among other things, inspection and adjustment requirements. Paragraph (3) specifies that compliance with the applicable presumptive RACT requirements in paragraph (1) and recordkeeping and reporting requirements in paragraph (2) assures compliance with the provisions in §§ 129.93(b)(2)—(5) and 129.97(b)(1)—(3) (relating to presumptive RACT emissions limitations; and presumptive RACT requirements, RACT emission limitations and petition for alternative compliance schedule).

 Proposed subsection (c) establishes that the owner and operator of a source listed in this subsection located at a major NOx emitting facility or major VOC emitting facility subject to § 129.111 shall comply with the applicable presumptive RACT requirement, which is the installation, maintenance and operation of the source in accordance with the manufacturer's specifications and with good operating practices.

 Proposed subsection (d) establishes that, except as specified in subsection (c), the owner and operator of a combustion unit, brick kiln, cement kiln, lime kiln or other combustion source located at a major VOC emitting facility subject to § 129.111 shall comply with the specified presumptive RACT requirement, which is the installation, maintenance and operation of the source in accordance with the manufacturer's specifications and with good operating practices for the control of the VOC emissions from the combustion unit or other combustion source.

 Proposed subsection (e) establishes that the owner and operator of a municipal solid waste landfill subject to § 129.111 shall comply with the applicable presumptive RACT requirement specified in paragraphs (1)—(3). Paragraph (2) was amended and paragraph (3) was added after the advisory committee meetings to incorporate new Federal requirements for municipal solid waste landfills.

 Proposed subsection (f) establishes that the owner and operator of a municipal waste combustor subject to § 129.111 shall comply with the presumptive RACT emission limitation of 150 ppmvd NOx @ 7% oxygen. The presumptive NOx emission limitation presented to the AQTAC on May 7, 2020, was 180 ppmvd NOx @ 7% oxygen. After the advisory committee meetings, the Ozone Transport Commission provided updated information on the emissions from municipal waste combustors. The Department re-analyzed continuous emissions monitoring system (CEMS) data for NOx emissions from these sources in this Commonwealth in light of the additional information from the Ozone Transport Commission, and revised the presumptive RACT emission limitation to 150 ppmvd NOx @ 7% oxygen in Annex A of this proposed rulemaking. The Board is specifically seeking comment on the presumptive RACT emission limitation of 150 ppmvd NOx @ 7% oxygen.

 Proposed subsection (g) establishes that, except as specified in subsection (c), the owner and operator of a NOx air contamination source listed in this subsection that is located at a major NOx emitting facility or a VOC air contamination source listed in this subsection that is located at a major VOC emitting facility subject to § 129.111 may not cause, allow or permit NOx or VOCs to be emitted from the air contamination source in excess of the applicable presumptive RACT emission limitation specified in paragraphs (1)—(4). Subsection (g)(1) was revised after the advisory committee and CAC meetings. Subparagraphs (xvi) and (xvii) as presented to the advisory committees and the CAC specified limitations for the electric generating units at the Brunner Island Steam Generating Plant based on the requirements expressed in the consent decree signed on May 16, 2018, between the Sierra Club, Talen Energy Corporation and Brunner Island, LLC. The Department determined that the requirements of subparagraphs (xvi) and (xvii) are not RACT for the Brunner Island facility and deleted these subparagraphs in this proposed rulemaking. The Department deleted § 129.112(g)(1)(vii), (viii) and (x)—(xiv) because the form of these presumptive NOx RACT provisions was no longer deemed to be approvable by the EPA as a result of the Third Circuit Court of Appeals Sierra Club decision. In Sierra Club, the Third Circuit issued an opinion vacating and remanding three aspects of the EPA's May 9, 2019, approval of the Commonwealth's 2016 RACT II Rule based on the administrative record. See 84 FR 20274 (May 9, 2019). Because of operating parameter variability and other plant-specific characteristics of large coal-fired combustion units, the Department concludes that a case-by-case approach for NOx RACT is more appropriate than setting a presumptive NOx RACT emission limitation for all large coal-fired combustion units. Case-by-case RACT determinations include a top-down analysis. The Department will review the proposed case-by-case determinations and incorporate the final determinations and associated conditions into the facility's Title V operating permit upon consideration of public comments. The RACT determinations incorporated into the Title V operating permit would then be submitted to the EPA as part of the SIP revision. A coal-fired combustion unit with a rated heat input equal to or greater than 250 million Btu/hour that is not a circulating fluidized bed coal-fired combustion unit is currently required to submit an alternative RACT proposal under § 129.99 (relating to alternative RACT proposal and petition for alternative compliance schedule). The enumerator for subparagraph (ix) in § 129.112(g)(1) was revised to subparagraph (vii). The enumerators for subparagraphs (xiv) and (xv) in § 129.112(g)(1) were revised to subparagraphs (vii) and (viii). The Department added clarification that § 129.112(g)(1)(viii) only applies to circulating fluidized bed coal-fired combustion units. The Department made minor clarifying revisions to § 129.112(g)(1)(vi) and (vii). After the advisory committee meetings, the Department revised § 129.112(g)(1)(vi) to establish two different fuel categories for circulating fluidized bed boilers. The categories are gob and culm, which are types of waste coal or coal refuse. The Department is seeking comment on the presumptive NOx RACT emission limitation for circulating fluidized bed boilers firing primarily culm. After the advisory committee meetings, the Department deleted § 129.112(g)(2)(v) for simple cycle or regenerative cycle combustion turbines with a rated output equal to or greater than 60,000 bhp. The Department determined that the baseline NOx emission rates for this category are wide-ranging and, therefore, not appropriate to establish a presumptive NOx RACT emission limit at this time. In addition, it is more appropriate for owners and operators of turbines in this category to submit case-by-case RACT proposals that employ emerging retrofit NOx reduction technologies, such as can-annular, reverse-flow combustion systems. After the advisory committee meetings, the Department revised § 129.112(g)(3)(i) and (ii) from 2,500 bhp to 3,500 bhp due to a correction made to the cost analysis.

 Proposed subsection (h) establishes that the owner and operator of a Portland cement kiln subject to § 129.111 shall comply with the applicable presumptive RACT emission limitation in paragraphs (1)—(3). The draft proposed rulemaking Annex A presented to the advisory committees and the CAC included paragraphs (1)—(5). After the advisory committee and CAC meetings, paragraph (1) was revised from what was presented to the advisory committees and the CAC based on a comment received from a member of AQTAC. The proposed NOx RACT emission limitation for a long wet-process cement kiln in paragraph (1) was revised from 2.30 to 3.88 pounds of NOx per ton of clinker produced. Also, after the advisory committee and CAC meetings, the Department determined that the plant-specific cement kiln emission rates in paragraphs (4) and (5) were unnecessary and paragraphs (4) and (5) are deleted in this proposed rulemaking.

 Proposed subsection (i) establishes that the owner and operator of a glass melting furnace subject to § 129.111 shall comply with the applicable presumptive RACT emission limitation in paragraphs (1)—(5).

 Proposed subsection (j) establishes that the owner and operator of a lime kiln subject to § 129.111 shall comply with the applicable presumptive RACT emission limitation. Subsection (j) was revised after the advisory committee and CAC meetings. The draft proposed rulemaking Annex A presented to the advisory committees and the CAC included paragraphs (1)—(4). When expressed as pounds of NOx per ton of lime produced rather than pounds of NOx per hour, the applicable operating permit plant-specific lime kiln emission rates for the three lime kilns in paragraphs (1)—(3) comply with the presumptive RACT emission limitation in paragraph (4) of 4.6 pounds of NOx per ton of lime produced. Therefore, the Department deletes paragraphs (1)—(4) and amends subjection (j) to only specify the presumptive RACT emission limitation of 4.6 pounds of NOx per ton of lime produced.

 Proposed subsection (k) establishes that the owner and operator of a direct-fired heater, furnace or oven with a rated heat input equal to or greater than 20 million Btu/hour subject to § 129.111 shall comply with the applicable presumptive RACT emission limitation.

 Proposed subsection (l) provides that the requirements and emission limitations of this section would supersede the requirements and emission limitations of a RACT permit issued to the owner or operator of an air contamination source subject to one or more of subsections (b)—(k) prior to the effective date of the final-form rulemaking under §§ 129.91—129.95 or under §§ 129.96—129.100 to control, reduce or minimize NOx emissions or VOC emissions, or both, from the air contamination source unless the RACT permit contains more stringent requirements or emission limitations, or both.

 Proposed subsection (m) provides that the requirements and emission limitations of this section would supersede the requirements and emission limitations of §§ 129.201—129.205, 145.111—145.113 and 145.141—145.146 (relating to additional NOx requirements; emissions of NOx from stationary internal combustion engines; and emissions of NOx from cement manufacturing) unless the requirements or emission limitations of §§ 129.201—129.205, 145.111—145.113 or 145.141—145.146 are more stringent.

 Proposed subsection (n) establishes that the owner or operator of a major NOx emitting facility or a major VOC emitting facility subject to § 129.111 that includes an air contamination source subject to one or more of subsections (b)—(k) that cannot meet the applicable presumptive RACT requirement or RACT emission limitation without installation of an air cleaning device may submit a petition to the Department or appropriate approved local air pollution control agency, in writing, requesting an alternative compliance schedule in accordance with paragraphs (1) and (2).

 Proposed subsection (o) provides that the Department or appropriate approved local air pollution control agency would review the timely and complete written petition requesting an alternative compliance schedule submitted in accordance with subsection (n) and approve or deny the petition in writing.

 Proposed subsection (p) provides that approval or denial under subsection (o) of the timely and complete petition for an alternative compliance schedule submitted under subsection (n) would be effective on the date the letter of approval or denial of the petition is signed by the authorized representative of the Department or appropriate approved local air pollution control agency.

 Proposed subsection (q) provides that the Department will submit each petition for an alternative compliance schedule approved under subsection (o) to the Administrator of the EPA for approval as a revision to the Commonwealth's SIP. The owner and operator of the facility shall bear the costs of public hearings and notifications, including newspaper notices, required for the SIP submittal. Subsection (q) was added after the advisory committee meetings to address concerns from the EPA.

§ 129.113. Facility-wide or system-wide NOx emissions averaging plan general requirements

 Proposed subsection (a) provides that the owner or operator of a major NOx emitting facility subject to § 129.111 that includes an air contamination source subject to a NOx RACT emission limitation in § 129.112 that cannot meet the applicable NOx RACT emission limitation may elect to meet the applicable NOx RACT emission limitation in § 129.112 by averaging NOx emissions on either a facility-wide or system-wide basis. System-wide emissions averaging must be among sources under common control of the same owner or operator within the same ozone nonattainment area in this Commonwealth.

 Proposed subsection (b) provides that the owner or operator of each facility that elects to comply with subsection (a) shall submit a written NOx emissions averaging plan to the Department or appropriate approved local air pollution control agency as part of an application for an operating permit modification or a plan approval, if otherwise required. The application incorporating the requirements of this section shall be submitted by the applicable date specified in paragraph (1) or (2).

 Proposed subsection (c) provides that each NOx air contamination source included in the application for an operating permit modification or a plan approval, if otherwise required, for averaging NOx emissions on either a facility-wide or system-wide basis submitted under subsection (b) must be an air contamination source subject to a NOx RACT emission limitation in § 129.112.

 Proposed subsection (d) provides that the application for the operating permit modification or the plan approval, if otherwise required, for averaging NOx emissions on either a facility-wide or system-wide basis submitted under subsection (b) must demonstrate that the aggregate NOx emissions emitted by the air contamination sources included in the facility-wide or system-wide NOx emissions averaging plan are not greater than the NOx emissions that would be emitted by the group of included sources if each source complied with the applicable NOx RACT emission limitation in § 129.112 on a source-specific basis.

 Proposed subsection (e) provides that the application for the operating permit modification or a plan approval, if otherwise required, specified in subsections (b)—(d) may include facility-wide or system-wide NOx emissions averaging only for NOx emitting sources or NOx emitting facilities that are owned or operated by the applicant.

 Proposed subsection (f) provides that the application for the operating permit modification or a plan approval, if otherwise required, specified in subsections (b)—(e) must include the information identified in paragraphs (1)—(3). Paragraph (1) specifies that the application must identify each air contamination source included in the NOx emissions averaging plan. Paragraph (2) specifies that the application must list each air contamination source's applicable emission limitation in § 129.112. Paragraph (3) specifies that the application must include methods for demonstrating compliance and recordkeeping and reporting requirements in accordance with § 129.115 for each source included in the NOx emissions plan submitted under subsection (b).

 Proposed subsection (g) provides that an air contamination source or facility included in the facility-wide or system-wide NOx emissions averaging plan submitted in accordance with subsections (b)—(f) may be included in only one facility-wide or system-wide NOx emissions averaging plan.

 Proposed subsection (h) provides that the Department or appropriate approved local air pollution control agency will review the timely and complete NOx emissions averaging plan submitted in accordance with subsection (b) and approve, deny or modify the NOx emissions averaging plan, in writing.

 Proposed subsection (i) provides that the proposed NOx emissions averaging plan submitted under subsection (b) will be approved, denied or modified by the Department or appropriate approved local air pollution control agency in accordance with subsection (h) in writing through the issuance of a plan approval or operating permit modification prior to the owner or operator implementing the NOx emissions averaging plan.

 Proposed subsection (j) provides that the owner or operator of an air contamination source or facility included in the facility-wide or system-wide NOx emissions averaging plan submitted in accordance with subsections (b)—(g) shall submit the reports and records specified in subsection (f)(3) to the Department or appropriate approved local air pollution control agency to demonstrate compliance with § 129.115.

 Proposed subsection (k) provides that the owner or operator of an air contamination source or facility included in a facility-wide or system-wide NOx emissions averaging plan submitted in accordance with subsections (b)—(g) that achieves emission reductions in accordance with other emission limitations required under the APCA or the CAA, or regulations adopted under the APCA or the CAA, that are not NOx RACT emission limitations may not substitute those emission reductions for the emission reductions required by the facility-wide or system-wide NOx emissions averaging plan submitted to the Department or appropriate approved local air pollution control agency under subsection (b).

 Proposed subsection (l) provides that the owner or operator of an air contamination source subject to a NOx RACT emission limitation in § 129.112 that is not included in a facility-wide or system-wide NOx emissions averaging plan submitted under subsection (b) shall operate the source in compliance with the applicable NOx RACT emission limitation in § 129.112.

 Proposed subsection (m) provides that the owner and operator of the air contamination source included in a facility-wide or system-wide NOx emissions averaging plan submitted under subsection (b) shall be liable for a violation of an applicable NOx RACT emission limitation at each source included in the NOx emissions averaging plan.

 Proposed subsection (n) provides that the Department will submit each NOx emissions averaging plan approved under subsection (i) to the Administrator of the EPA for approval as a revision to the SIP. The owner and operator of the facility shall bear the costs of public hearings and notifications, including newspaper notices, required for the SIP submittal.

§ 129.114. Alternative RACT proposal and petition for alternative compliance schedule

 Proposed subsection (a) provides that the owner or operator of an air contamination source subject to § 129.112 located at a major NOx emitting facility or major VOC emitting facility subject to § 129.111 that cannot meet the applicable presumptive RACT requirement or RACT emission limitation of § 129.112 may propose an alternative RACT requirement or RACT emission limitation in accordance with subsection (d).

 Proposed subsection (b) provides that the owner or operator of a NOx air contamination source with a potential emission rate equal to or greater than 5.0 tons of NOx per year that is not subject to § 129.112 or §§ 129.201—129.205 located at a major NOx emitting facility subject to § 129.111 shall propose a NOx RACT requirement or RACT emission limitation in accordance with subsection (d).

 Proposed subsection (c) provides that the owner or operator of a VOC air contamination source with a potential emission rate equal to or greater than 2.7 tons of VOC per year that is not subject to § 129.112 located at a major VOC emitting facility subject to § 129.111 shall propose a VOC RACT requirement or VOC RACT emission limitation in accordance with subsection (d).

 Proposed subsection (d) provides that the owner or operator proposing an alternative RACT requirement or RACT emission limitation under subsection (a), (b) or (c) shall comply with all of the requirements in paragraphs (1)—(7).

 Proposed subsection (e) provides that the Department or appropriate approved local air pollution control agency will review the timely and complete alternative RACT proposal submitted in accordance with subsection (d) and approve, modify or deny in writing the application as specified in paragraphs (1)—(3).

 Proposed subsection (f) provides that the proposed alternative RACT requirement or RACT emission limitation and the implementation schedule will be approved, denied or modified by the Department or appropriate approved local air pollution control agency in accordance with subsection (e) in writing through the issuance of a plan approval or operating permit modification prior to the owner or operator implementing the alternative RACT requirement or RACT emission limitation.

 Proposed subsection (g) provides that the emission limit and requirements specified in the plan approval or operating permit issued by the Department or appropriate approved local air pollution control agency under subsection (f) supersede the emission limit and requirements in the existing plan approval or operating permit issued to the owner or operator of the source prior to the effective date of the final-form rulemaking, on the date specified in the plan approval or operating permit issued by the Department or appropriate approved local air pollution control agency under subsection (f), except to the extent the existing plan approval or operating permit contains more stringent requirements.

 Proposed subsection (h) provides that the Department will submit each alternative RACT requirement or RACT emission limitation approved under subsection (f) to the Administrator of the EPA for approval as a revision to the SIP. The owner and operator of the facility shall bear the costs of public hearings and notifications, including newspaper notices, required for the SIP submittal.

 Proposed subsection (i) provides that compliance with the requirements in § 129.99(a)—(h) assures compliance with the provisions in subsections (a)—(h), except for sources subject to § 129.112(b)(11), (h)(4) and (5) or (i)—(k).

 Proposed subsection (j) provides that the owner and operator of a facility proposing to comply with the applicable RACT requirement or RACT emission limitation under subsection (a), (b) or (c) through the installation of an air cleaning device may submit a petition, in writing, requesting an alternative compliance schedule in accordance with paragraphs (1) and (2).

 Proposed subsection (k) provides that the Department or appropriate approved local air pollution control agency will review the timely and complete written petition requesting an alternative compliance schedule submitted in accordance with subsection (j) and approve or deny the petition in writing.

 Proposed subsection (l) provides that the emission limit and requirements specified in the plan approval or operating permit issued by the Department or appropriate approved local air pollution control agency under subsection (k) supersede the emission limit and requirements in the existing plan approval or operating permit issued to the owner or operator of the source prior to the effective date of the final-form rulemaking, on the date specified in the plan approval or operating permit issued by the Department or appropriate approved local air pollution control agency under subsection (k), except to the extent the existing plan approval or operating permit contains more stringent requirements.

 Proposed subsection (m) provides that approval or denial under subsection (k) of the timely and complete petition for an alternative compliance schedule submitted under subsection (j) will be effective on the date the letter of approval or denial of the petition is signed by the authorized representative of the Department or appropriate approved local air pollution control agency.

 Proposed subsection (n) provides that the Department will submit each petition for an alternative compliance schedule approved under subsection (k) to the Administrator of the EPA for approval as a revision to the Commonwealth's SIP. The owner and operator of the facility shall bear the costs of public hearings and notifications, including newspaper notices, required for the SIP submittal. Subsection (n) was added after the advisory committee meetings to address concerns from the EPA.

§ 129.115. Written notification, compliance demonstration and recordkeeping and reporting requirements

 Proposed subsection (a) provides that the owner and operator of an air contamination source subject to this section and § 129.111 shall submit a written notification to the appropriate Regional Manager by 6 months after the effective date of the final-form rulemaking that proposes how the owner and operator intend to comply with the requirements of this section and §§ 129.111—129.114. This written notification shall include the information specified in paragraphs (1)—(6). After the advisory committee meetings, the language of subsection (a)(1), (2), (4) and (5) was revised to clarify the information that is required to be included in the written notification.

 Proposed subsection (b) provides that, except as specified in subsection (d), the owner and operator of an air contamination source subject to a NOx RACT requirement or RACT emission limitation or VOC RACT requirement or RACT emission limitation, or both, listed in § 129.112 shall demonstrate compliance with the applicable RACT requirement or RACT emission limitation by performing the monitoring or testing procedures under paragraphs (1)—(5). Due to the deletion of § 129.112(g)(1)(vii), (viii) and (x)—(xiv), the Department amended § 129.115(b)(1) to reference § 129.112(g)(1) and deleted § 129.115(b)(1)(i). The enumerators for subparagraphs (ii) and (iii) in § 129.115(b)(1) were amended to subparagraphs (i) and (ii). The Department amended § 129.115(b)(4) to reference § 129.112(g)(1). After the advisory committee meetings, the Department amended § 129.115(b)(5) to require stack testing to demonstrate initial compliance and subsequently on a schedule set forth in the applicable permit.

 Proposed subsection (c) provides that the owner or operator of a combined-cycle combustion turbine may comply with the requirements in § 129.112(g)(2)(ii) on a mass-equivalent basis. The actual emissions during the compliance period must be less than the allowable emissions during the compliance period. The allowable emissions are calculated by multiplying actual heat input in million Btu during the compliance period by the applicable factor listed in paragraphs (1)—(4).

 The draft proposed Annex A presented to the advisory committees contained a typographical error such that the enumerator for subsection (c) was used twice. The Annex A published with this proposed rulemaking is amended to correct this error.

 Proposed subsection (d) provides that, except as specified in §§ 129.112(n) and 129.114(j), the owner and operator of an air contamination source subject to subsection (a) shall demonstrate compliance with the applicable RACT requirement or RACT emission limitation in accordance with the procedures in subsection (a) not later than the applicable date in paragraphs (1) and (2).

 Proposed subsection (e) provides that an owner or operator of an air contamination source subject to this section and §§ 129.111—129.113 may request a waiver from the requirement to demonstrate compliance with the applicable emission limitation listed in § 129.112 if the requirements in paragraphs (1)—(4) are met.

 Proposed subsection (f) provides that the owner and operator of an air contamination source subject to this section and §§ 129.111—129.114 shall keep records to demonstrate compliance with §§ 129.111—129.114 as set forth in paragraphs (1)—(3). This subsection clarifies the owners' and operators' reporting obligations for an air contamination source as a result of the Third Circuit Court of Appeals ruling in Sierra Club. Due to the deletion of § 129.112(g)(1)(vii), (viii) and (x)—(xiv), the Department deleted § 129.115(f)(3).

 Proposed subsection (g) provides that, beginning with the compliance date specified in § 129.112(a), the owner or operator of an air contamination source claiming that the air contamination source is exempt from the applicable NOx emission rate threshold specified in § 129.114(b) and the requirements of § 129.112 based on the air contamination source's potential to emit shall maintain records that demonstrate to the Department or appropriate approved local air pollution control agency that the air contamination source is not subject to the specified emission rate threshold.

 Proposed subsection (h) provides that, beginning with the compliance date specified in § 129.112(a), the owner or operator of an air contamination source claiming that the air contamination source is exempt from the applicable VOC emission rate threshold specified in § 129.114(c) and the requirements of § 129.112 based on the air contamination source's potential to emit shall maintain records that demonstrate to the Department or appropriate approved local air pollution control agency that the air contamination source is not subject to the specified emission rate threshold.

 Proposed subsection (i) provides that the owner or operator of a combustion unit subject to § 129.112(b) shall record each adjustment conducted under the procedures in § 129.112(b). This record must contain, at a minimum, the information specified in paragraphs (1)—(6).

 Proposed subsection (j) provides that the owner or operator of a Portland cement kiln subject to § 129.112(h) shall maintain a daily operating log for each Portland cement kiln. The record for each kiln must include the information specified in paragraphs (1)—(4).

 Proposed subsection (k) provides that the records shall be retained by the owner or operator for 5 years and made available to the Department or appropriate approved local air pollution control agency upon receipt of a written request from the Department or appropriate approved local air pollution control agency.

F. Benefits, Costs and Compliance

Benefits

 The Department estimates that implementation of the proposed control measures could reduce NOx emissions by as much as 9,000 TPY from engines, turbines and municipal waste combustors. These reductions in NOx emissions would benefit the health and welfare of approximately 12.8 million residents and numerous animals, crops, vegetation and natural areas of this Commonwealth by reducing the amount of ground-level ozone air pollution. Reduced ambient concentrations of ground-level ozone would reduce the incidences of hospital admissions for respiratory ailments, including asthma, and improve the quality of life for citizens overall. While children, the elderly and those with respiratory problems are most at risk, even healthy individuals may experience increased respiratory ailments and other symptoms when they are exposed to high levels of ambient ground-level ozone while engaged in activities that involve physical exertion.

 Adoption of the presumptive RACT limitations and RACT requirements in this proposed rulemaking would allow this Commonwealth to make substantial progress in achieving and maintaining the 1997, 2008 and 2015 8-hour ozone NAAQS Statewide. Implementation of and compliance with the proposed RACT control measures would assist the Commonwealth in reducing the levels of ozone precursor emissions that contribute to potential nonattainment of the 2015 8-hour ozone NAAQS. As a result, the proposed RACT control measures are reasonably necessary to attain and maintain the health-based and welfare-based 8-hour ozone NAAQS in this Commonwealth and to satisfy related CAA requirements.

 The EPA estimated that the monetized health benefits of attaining the 2008 8-hour ozone NAAQS of 0.075 ppm range from $8.3 billion to $18 billion on a National basis by 2020. Prorating that benefit to this Commonwealth, based on population, results in a public health benefit of $337 million to $732 million. Similarly, the EPA estimated that the monetized health benefits of attaining the 2015 8-hour ozone NAAQS of 0.070 ppm range from $1.5 billion to $4.5 billion on a National basis by 2025. Prorating that benefit to this Commonwealth, based on population, results in a public health benefit of $63 million to $189 million. The Department is not stating that these estimated monetized health benefits would all be the result of implementing the proposed RACT measures, but the EPA estimates are indicative of the benefits to Commonwealth residents of attaining and maintaining the 2008 and 2015 8-hour ozone NAAQS through the implementation of control measures to reduce ozone precursor emissions in the aggregate from different source categories.

 This proposed rulemaking may create economic opportunities for NOx and VOC emission control technology innovators, manufacturers and distributors through an increased demand for new or improved equipment. In addition, the owners and operators of regulated facilities may be required to install and operate an emissions monitoring system or equipment necessary for an emissions monitoring method to comply with this proposed rulemaking, thereby creating an economic opportunity for the emissions monitoring industry.

Compliance costs

 Compliance costs will vary for each facility depending on which compliance option is chosen by the owners and operators of a facility. This proposed rulemaking includes two alternative compliance options: a provision allowing the owner and operator of an affected facility that cannot meet the applicable NOx RACT or VOC RACT emission limitation to elect to meet the applicable NOx RACT requirement or NOx RACT emission limitation in § 129.112 by averaging NOx emissions on either a facility-wide or system-wide basis; and a provision allowing the affected owner and operator to submit a case-specific RACT proposal for an alternative RACT requirement or RACT emission limitation to the Department for approval.

 Under proposed § 129.113, the owner or operator of an affected major NOx emitting facility that includes an air contamination source subject to a NOx RACT requirement or emission limitation in § 129.112 that cannot meet the applicable presumptive NOx RACT requirement or NOx RACT emission limitation may elect to meet the requirement or emission limitation by averaging NOx emissions on either a facility-wide or system-wide basis. System-wide emissions averaging must be among sources under common control of the same owner or operator in this Commonwealth and within the same nonattainment area.

 Under proposed § 129.114, the owner or operator of an air contamination source that cannot meet the applicable presumptive RACT requirement or RACT emission limitation of § 129.112 may propose an alternative NOx RACT requirement, NOx RACT emission limitation, VOC RACT requirement or VOC RACT emission limitation.

 Under these alternative compliance provisions, the owner or operator is required to demonstrate to the Department's satisfaction that it is economically or technically infeasible to meet the applicable proposed NOx RACT or VOC RACT emission limitation. As such, these provisions may minimize compliance costs to the owner or operator of an affected facility.

 The RACT emission limitations and RACT requirements established by this proposed rulemaking will not require the owner or operator to submit an application for amendments to an existing operating permit. These requirements will be incorporated when the permit is renewed if less than 3 years remain in the permit term, as specified under § 127.463(c) (relating to operating permit revisions to incorporate applicable standards). If 3 years or more remain in the permit term, the requirements would be incorporated as applicable requirements in the permit within 18 months of the promulgation of the final-form rulemaking, as required under § 127.463(b). The owner or operator shall meet the applicable standards or regulations within the time frame required by standards or regulations even if the permit is not revised to incorporate the standards or regulations.

Compliance assistance plan

 The Department plans to educate and assist the public and the regulated community in understanding the proposed requirements and how to comply with them. The Department will continue to work with the Department's provider of the Small Business Stationary Source Technical and Environmental Compliance Assistance services. These services are currently provided by the Environmental Management Assistance Program (EMAP) of the Pennsylvania Small Business Development Centers. The Department has partnered with EMAP to fulfill the Department's obligation to provide confidential technical and compliance assistance to small businesses as required by the APCA, section 507 of the CAA (42 U.S.C.A. § 7661f) and authorized by the Small Business and Household Pollution Prevention Program Act (35 P.S. §§ 6029.201—6029.209).

 In addition to providing one-on-one consulting assistance and onsite assessments, EMAP also operates a toll-free phone line to field questions from small businesses, as well as businesses wishing to start up in, or relocate to, this Commonwealth. EMAP operates and maintains a resource-rich environmental assistance web site and distributes an electronic newsletter to educate and inform small businesses about a variety of environmental compliance issues.

Paperwork requirements

 The recordkeeping and reporting requirements for owners and operators of applicable sources under this proposed rulemaking are minimal because the records required are in line with the records already required to be kept for emission inventory purposes and for other Federal and State requirements.

G. Pollution Prevention

 The Pollution Prevention Act of 1990 (42 U.S.C.A. §§ 13101—13109) established a National policy that promotes pollution prevention as the preferred means for achieving state environmental protection goals. The Department encourages pollution prevention, which is the reduction or elimination of pollution at its source, through the substitution of environmentally friendly materials, more efficient use of raw materials and the incorporation of energy efficiency strategies. Pollution prevention practices can provide greater environmental protection with greater efficiency because they can result in significant cost savings to facilities that permanently achieve or move beyond compliance. Implementation of the proposed RACT requirements would allow the Department and approved local air pollution control agencies to maintain or increase the reductions of NOx and VOC emissions from the regulated sources in this Commonwealth, sustain the gains made in healthful air quality and ensure continued protection of the environment and the public health and welfare of the citizens of this Commonwealth.

H. Sunset Review

 This Board is not establishing a sunset date for this proposed rulemaking, since it is needed for the Department to carry out its statutory authority. The Department will closely monitor this proposed rulemaking after promulgation as a final-form rulemaking in the Pennsylvania Bulletin for its effectiveness and recommend updates to the Board as necessary.

I. Regulatory Review

 Under section 5(a) of the Regulatory Review Act (71 P.S. § 745.5(a)), on July 14, 2021, the Department submitted a copy of this proposed rulemaking and a copy of a Regulatory Analysis Form to the Independent Regulatory Review Commission (IRRC) and the Chairpersons of the House and Senate Environmental Resources and Energy Committees. A copy of this material is available to the public upon request.

 Under section 5(g) of the Regulatory Review Act, IRRC may convey any comments, recommendations or objections to the proposed rulemaking within 30 days of the close of the public comment period. The comments, recommendations or objections must specify the regulatory review criteria in section 5.2 of the Regulatory Review Act (71 P.S. § 745.5b) which have not been met. The Regulatory Review Act specifies detailed procedures for review, prior to final publication of the rulemaking, by the Department, the General Assembly and the Governor.

J. Public Comments

 Interested persons are invited to submit to the Board written comments, suggestions, support or objections regarding this proposed rulemaking. Comments, suggestions, support or objections must be received by the Board by October 12, 2021.

 Comments may be submitted to the Board by accessing the Board's online comment system at http://www.ahs.dep.pa.gov/eComment.

 Comments may also be submitted by e-mail to RegComments@pa.gov. A subject heading of this proposed rulemaking and a return name and address must be included in each transmission.

 If an acknowledgement of comments submitted online or by e-mail is not received by the sender within 2 working days, the comments should be retransmitted to the Board to ensure receipt. Comments submitted by facsimile will not be accepted.

 Comments may also be submitted to the Board by mail or express mail. Written comments should be mailed to the Environmental Quality Board, P.O. Box 8477, Harrisburg, PA 17105-8477. Express mail should be sent to the Environmental Quality Board, Rachel Carson State Office Building, 16th Floor, 400 Market Street, Harrisburg, PA 17101-2301.

K. Public Hearings

 The Board will hold three public hearings for the purpose of accepting comments on this proposed rulemaking. The hearings will be held at 1 p.m. on the following dates:

September 7, 2021Department of Environmental  Protection
Southwest Regional Office
Waterfront Conference Rooms
  A and B
400 Waterfront Drive
Pittsburgh, PA 15222
September 8, 2021Department of Environmental  Protection
Southeast Regional Office
Schuylkill Conference Rooms
2 East Main Street
Norristown, PA 19401
September 9, 2021Department of Environmental  Protection
Southcentral Regional Office
Susquehanna Conference Rooms
 A and B
909 Elmerton Avenue
Harrisburg, PA 17110

 Persons wishing to present testimony at a hearing are requested to contact the Environmental Quality Board, P.O. Box 8477, Harrisburg, PA 17105-8477, (717) 787-4526, RA-EPEQB@pa.gov, at least 1 week in advance of the hearing to reserve a time to present testimony. Language interpretation services are available upon request. Persons in need of language interpretation services must contact Jennifer Swan at (717) 787-4526 by 5 p.m. on August 30, 2021.

 Verbal testimony is limited to 5 minutes for each witness. Witnesses are requested to submit two written copies of their oral testimony to the hearing chairperson at the hearing. Organizations are limited to designating one witness to present testimony on their behalf at each hearing.

 Persons in need of accommodations as provided for in the Americans with Disabilities Act of 1990 should contact the Board at (717) 787-4526 or through the Pennsylvania Hamilton Relay Service at (800) 654-5984 (TDD) or (800) 654-5988 (voice users) to discuss how the Board may accommodate their needs.

PATRICK McDONNELL, 
Chairperson

Fiscal Note: 7-561. No fiscal impact; (8) recommends adoption.

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