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  <VOL>77</VOL>
  <NO>56</NO>
  <DATE>Thursday, March 22, 2012</DATE>
  <UNITNAME>Contents</UNITNAME>
  <CNTNTS>
    <AGCY>
      <EAR>African</EAR>
      <PRTPAGE P="iii"/>
      <HD>African Development Foundation</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Board of Directors,</SJDOC>
          <PGS>16802</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6920</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Agricultural Marketing</EAR>
      <HD>Agricultural Marketing Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>National Organic Program,</SJDOC>
          <PGS>16802-16803</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6906</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Agriculture</EAR>
      <HD>Agriculture Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Agricultural Marketing Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Animal and Plant Health Inspection Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Food Safety and Inspection Service</P>
      </SEE>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Export Sales Reporting Requirements; Withdrawal,</DOC>
          <PGS>16768</PGS>
          <FRDOCBP D="0" T="22MRP1.sgm">2012-6820</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>16802</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6915</FRDOCBP>
        </DOCENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Deschutes Provincial Advisory Committe,</SJDOC>
          <PGS>16802</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6770</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Alcohol Tobacco Tax</EAR>
      <HD>Alcohol and Tobacco Tax and Trade Bureau</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Establishment of the Wisconsin Ledge Viticultural Area,</DOC>
          <PGS>16674-16676</PGS>
          <FRDOCBP D="2" T="22MRR1.sgm">2012-6927</FRDOCBP>
        </DOCENT>
        <DOCENT>
          <DOC>Labeling Imported Wines with Multistate Appellations,</DOC>
          <PGS>16671-16674</PGS>
          <FRDOCBP D="3" T="22MRR1.sgm">2012-6930</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Animal</EAR>
      <HD>Animal and Plant Health Inspection Service</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Tuberculosis in Cattle and Bison; State and Zone Designations;</SJ>
        <SJDENT>
          <SJDOC>New Mexico; Correction,</SJDOC>
          <PGS>16661</PGS>
          <FRDOCBP D="0" T="22MRR1.sgm">2012-6904</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Army</EAR>
      <HD>Army Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Privacy Act; Systems of Records,</DOC>
          <PGS>16818-16819</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6884</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Consumer Financial Protection</EAR>
      <HD>Bureau of Consumer Financial Protection</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Request for Comment on Payday Lending Hearing Transcript,</DOC>
          <PGS>16817</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6851</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Centers Disease</EAR>
      <HD>Centers for Disease Control and Prevention</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Partnerships to Advance the National Occupational Research Agenda,</SJDOC>
          <PGS>16840-16841</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6771</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Centers Medicare</EAR>
      <HD>Centers for Medicare &amp; Medicaid Services</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Medicare Programs:</SJ>
        <SJDENT>
          <SJDOC>Solicitation for Proposals for the Medicare Graduate Nurse Education Demonstration Program,</SJDOC>
          <PGS>16841-16842</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6940</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Coast Guard</EAR>
      <HD>Coast Guard</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>General Bridge Regulation; Amendment; Withdrawal,</DOC>
          <PGS>16784-16785</PGS>
          <FRDOCBP D="1" T="22MRP1.sgm">2012-6861</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Commerce</EAR>
      <HD>Commerce Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>International Trade Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Oceanic and Atmospheric Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Patent and Trademark Office</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6868</FRDOCBP>
          <PGS>16809-16810</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6944</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Consumer Product</EAR>
      <HD>Consumer Product Safety Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>16817-16818</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-7032</FRDOCBP>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-7083</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Defense Department</EAR>
      <HD>Defense Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Army Department</P>
      </SEE>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Privacy Act of 1974; Implementation; Correction,</DOC>
          <PGS>16676</PGS>
          <FRDOCBP D="0" T="22MRR1.sgm">2012-6925</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>16818</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6899</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Education Department</EAR>
      <HD>Education Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Applications for New Awards:</SJ>
        <SJDENT>
          <SJDOC>Personnel Development to Improve Services and Results for Children with Disabilities, etc.,</SJDOC>
          <PGS>16819-16826</PGS>
          <FRDOCBP D="7" T="22MRN1.sgm">2012-6945</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Energy Department</EAR>
      <HD>Energy Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Energy Regulatory Commission</P>
      </SEE>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Energy Conservation Programs; Certain Industrial Equipment:</SJ>
        <SJDENT>
          <SJDOC>Test Procedures for Commercial Heating, Air-Conditioning, and Water-Heating Equipment,</SJDOC>
          <PGS>16769-16782</PGS>
          <FRDOCBP D="13" T="22MRP1.sgm">2012-7022</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>International Energy Agency,</SJDOC>
          <PGS>16826-16827</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6943</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Environmental Protection</EAR>
      <HD>Environmental Protection Agency</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Approvals and Promulgations of Implementation Plans and Operating Permits Program:</SJ>
        <SJDENT>
          <SJDOC>Commonwealth of Puerto Rico; Administrative Changes,</SJDOC>
          <PGS>16676-16679</PGS>
          <FRDOCBP D="3" T="22MRR1.sgm">2012-6922</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Emergency Planning and List of Extremely Hazardous Substances and Threshold Planning Quantities,</DOC>
          <PGS>16679-16688</PGS>
          <FRDOCBP D="9" T="22MRR1.sgm">2012-6910</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Approval and Promulgation of Implementation Plans and Operating Permits Program:</SJ>
        <SJDENT>
          <SJDOC>Commonwealth of Puerto Rico; Administrative Changes,</SJDOC>
          <PGS>16795-16796</PGS>
          <FRDOCBP D="1" T="22MRP1.sgm">2012-6919</FRDOCBP>
        </SJDENT>
        <SJ>Approval and Promulgation of Implementation Plans:</SJ>
        <SJDENT>
          <SJDOC>Alaska; Infrastructure Requirements for the 1997 8-Hour Ozone National Ambient Air Quality Standard,</SJDOC>
          <PGS>16785-16795</PGS>
          <FRDOCBP D="10" T="22MRP1.sgm">2012-6923</FRDOCBP>
        </SJDENT>
        <SJ>Lead Requirements for Lead-Based Paint Activities in Target Housing and Child-Occupied Facilities:</SJ>
        <SJDENT>
          <SJDOC>Arkansas; Application, Self-certification Program Authorization, etc.,</SJDOC>
          <PGS>16796-16799</PGS>
          <FRDOCBP D="3" T="22MRP1.sgm">2012-6933</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <PRTPAGE P="iv"/>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Federal Supplier (Small Business) Greenhouse Gas Inventory Pilot,</SJDOC>
          <PGS>16831-16832</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6879</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NPDES and Sewage Sludge Monitoring Reports,</SJDOC>
          <PGS>16834-16835</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6875</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NSPS for Hot Mix Asphalt Facilities,</SJDOC>
          <PGS>16833-16834</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6876</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NSPS for Lime Manufacturing,</SJDOC>
          <PGS>16835-16836</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6877</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Pesticide Registration Application, Notification and Report for Pesticide Producing Establishments,</SJDOC>
          <PGS>16829-16830</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6874</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>State Small Business Stationary Source Technical and Environmental Compliance Assistance Programs Annual Reporting Form,</SJDOC>
          <PGS>16832-16833</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6878</FRDOCBP>
        </SJDENT>
        <SJ>Clean Air Act Operating Permit Program:</SJ>
        <SJDENT>
          <SJDOC>Public Service Company of New Mexico, San Juan Generating Station,</SJDOC>
          <PGS>16836-16837</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6936</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR/>
      <HD>Executive Office of the President</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Presidential Documents</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Federal Aviation</EAR>
      <HD>Federal Aviation Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Airworthiness Directives:</SJ>
        <SJDENT>
          <SJDOC>Airbus Airplanes,</SJDOC>
          <PGS>16661-16664</PGS>
          <FRDOCBP D="3" T="22MRR1.sgm">2012-6773</FRDOCBP>
        </SJDENT>
        <SJ>Amendments of Class D and E Airspace:</SJ>
        <SJDENT>
          <SJDOC>Brooksville, FL,</SJDOC>
          <PGS>16668-16669</PGS>
          <FRDOCBP D="1" T="22MRR1.sgm">2012-6840</FRDOCBP>
        </SJDENT>
        <SJ>Establishment of Class E Airspace:</SJ>
        <SJDENT>
          <SJDOC>Bellefonte, PA,</SJDOC>
          <PGS>16669-16670</PGS>
          <FRDOCBP D="1" T="22MRR1.sgm">2012-6844</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Removal of Requirement for Individuals Granted the Special Issuance of a Medical Certificate to Carry Their Letter of Authorization While Exercising Pilot Privileges,</DOC>
          <PGS>16664-16668</PGS>
          <FRDOCBP D="4" T="22MRR1.sgm">2012-6886</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Amendment of Class E Airspace:</SJ>
        <SJDENT>
          <SJDOC>Orlando, FL,</SJDOC>
          <PGS>16783-16784</PGS>
          <FRDOCBP D="1" T="22MRP1.sgm">2012-6846</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Commercial Space Transportation Advisory Committee,</SJDOC>
          <PGS>16891</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6832</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>RTCA Special Committee 213, Enhanced Flight Visions Systems / Synthetic Vision Systems,</SJDOC>
          <PGS>16890</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6829</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>RTCA Special Committee 226, Audio Systems and Equipment,</SJDOC>
          <PGS>16890-16891</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6838</FRDOCBP>
        </SJDENT>
        <SJ>Requests to Release Airport Property:</SJ>
        <SJDENT>
          <SJDOC>Tulsa International Airport, Tulsa, OK,</SJDOC>
          <PGS>16891-16892</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6833</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Communications</EAR>
      <HD>Federal Communications Commission</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Review of the Emergency Alert System,</DOC>
          <PGS>16688-16712</PGS>
          <FRDOCBP D="24" T="22MRR1.sgm">2012-6601</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Jurisdictional Separations and Referral to the Federal-State Joint Board,</DOC>
          <PGS>16900-16902</PGS>
          <FRDOCBP D="2" T="22MRP2.sgm">2012-7065</FRDOCBP>
        </DOCENT>
        <SJ>Radio Broadcasting Services:</SJ>
        <SJDENT>
          <SJDOC>Dermott, AR, and Cleveland, MS,</SJDOC>
          <PGS>16800-16801</PGS>
          <FRDOCBP D="1" T="22MRP1.sgm">2012-6960</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Westfield, NY,</SJDOC>
          <PGS>16800</PGS>
          <FRDOCBP D="0" T="22MRP1.sgm">2012-6959</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>16837</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6928</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Deposit</EAR>
      <HD>Federal Deposit Insurance Corporation</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>16837-16838</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-7035</FRDOCBP>
        </DOCENT>
        <SJ>Receivership Terminations:</SJ>
        <SJDENT>
          <SJDOC>Millennium State Bank of Texas, Dallas, TX,</SJDOC>
          <PGS>16838</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6855</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Energy</EAR>
      <HD>Federal Energy Regulatory Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Combined Filings,</DOC>
          <PGS>16827-16828</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6881</FRDOCBP>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6882</FRDOCBP>
        </DOCENT>
        <SJ>Designation of Certain Commission Personnel as Non-Decisional:</SJ>
        <SJDENT>
          <SJDOC>Constellation Energy Commodities Group, Inc.,</SJDOC>
          <PGS>16828</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6883</FRDOCBP>
        </SJDENT>
        <SJ>Dispute Resolution Process:</SJ>
        <SJDENT>
          <SJDOC>Don Pedro Hydroelectric Project, Turlock Irrigation District and the Modesto Irrigation District,</SJDOC>
          <PGS>16828-16829</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6880</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Maritime</EAR>
      <HD>Federal Maritime Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agreements Filed,</DOC>
          <PGS>16838-16839</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6826</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Register Office</EAR>
      <HD>Federal Register Office</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Incorporation by reference,</DOC>
          <PGS>16761</PGS>
          <FRDOCBP D="0" T="22MRP1.sgm">2012-6935</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Federal Register Administrative</EAR>
      <HD>Federal Register, Administrative Committee</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Register Office</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Federal Reserve</EAR>
      <HD>Federal Reserve System</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Changes in Bank Control:</SJ>
        <SJDENT>
          <SJDOC>Acquisitions of Shares of Bank or Bank Holding Company,</SJDOC>
          <PGS>16839</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6823</FRDOCBP>
        </SJDENT>
        <DOCENT>
          <DOC>Formations of, Acquisitions by, and Mergers of Bank Holding Companies,</DOC>
          <PGS>16839</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6934</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Fish</EAR>
      <HD>Fish and Wildlife Service</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Endangered and Threatened Wildlife and Plants:</SJ>
        <SJDENT>
          <SJDOC>Establishment of a Nonessential Experimental Population; American Burying Beetle in Southwestern Missouri,</SJDOC>
          <PGS>16712-16718</PGS>
          <FRDOCBP D="6" T="22MRR1.sgm">2012-6779</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Endangered and Threatened Wildlife and Plants:</SJ>
        <SJDENT>
          <SJDOC>Application for Incidental Take Permit; Proposed Low-Effect Habitat Conservation Plan; Reed Motors, Inc., Lake County, FL,</SJDOC>
          <PGS>16853-16854</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6891</FRDOCBP>
        </SJDENT>
        <SJ>Environmental Assessments; Availability, etc.:</SJ>
        <SJDENT>
          <SJDOC>Draft Comprehensive Conservation Plan, John Heinz National Wildlife Refuge at Tinicum, et al. Counties, PA,</SJDOC>
          <PGS>16854-16856</PGS>
          <FRDOCBP D="2" T="22MRN1.sgm">2012-6892</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Food and Drug</EAR>
      <HD>Food and Drug Administration</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <SJ>Color Additive Petitions:</SJ>
        <SJDENT>
          <SJDOC>E and J Gallo Winery,</SJDOC>
          <PGS>16784</PGS>
          <FRDOCBP D="0" T="22MRP1.sgm">2012-6854</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Draft Guidance for Industry; Availability:</SJ>
        <SJDENT>
          <SJDOC>Product-Specific Bioequivalence Recommendations,</SJDOC>
          <PGS>16842-16843</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6947</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Food Safety</EAR>
      <HD>Food Safety and Inspection Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <PGS>16804-16805</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6900</FRDOCBP>
        </DOCENT>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Consumer Complaint Monitoring System and the Food Safety Mobile Questionnaire,</SJDOC>
          <PGS>16805-16806</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6902</FRDOCBP>
        </SJDENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Codex Alimentarius Commission Committee on Residues of Veterinary Drugs in Food,</SJDOC>
          <PGS>16806-16807</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6893</FRDOCBP>
        </SJDENT>
        <SJ>Requests for Nominations:</SJ>
        <SJDENT>
          <SJDOC>National Advisory Committee on Microbiological Criteria for Foods,</SJDOC>
          <PGS>16807-16809</PGS>
          <FRDOCBP D="2" T="22MRN1.sgm">2012-6895</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>General Services</EAR>
      <PRTPAGE P="v"/>
      <HD>General Services Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Privacy Act; Systems of Records,</DOC>
          <PGS>16839-16840</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6839</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Health and Human</EAR>
      <HD>Health and Human Services Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Centers for Disease Control and Prevention</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Centers for Medicare &amp; Medicaid Services</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Food and Drug Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Institutes of Health</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Homeland</EAR>
      <HD>Homeland Security Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Coast Guard</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Published Privacy Impact Assessments on the Web,</DOC>
          <PGS>16846-16848</PGS>
          <FRDOCBP D="2" T="22MRN1.sgm">2012-6847</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Housing</EAR>
      <HD>Housing and Urban Development Department</HD>
      <CAT>
        <HD>PROPOSED RULES</HD>
        <DOCENT>
          <DOC>Supplemental Standards of Ethical Conduct for Employees,</DOC>
          <PGS>16761-16768</PGS>
          <FRDOCBP D="7" T="22MRP1.sgm">R1--2012--6177</FRDOCBP>
        </DOCENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Funding Awards:</SJ>
        <SJDENT>
          <SJDOC>Fiscal Year 2011 Neighborhood Stabilization Program Technical Assistance,</SJDOC>
          <PGS>16848-16849</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6937</FRDOCBP>
        </SJDENT>
        <SJ>Realignments/Mergers of Regional Audit Offices:</SJ>
        <SJDENT>
          <SJDOC>Merging of Boston, MA with New York, NY; Gulf Coast Region with Atlanta, GA and Fort Worth, TX,</SJDOC>
          <PGS>16849-16850</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6939</FRDOCBP>
        </SJDENT>
        <SJ>Reclassification of Investigative Field Office to Regional Office:</SJ>
        <SJDENT>
          <SJDOC>Denver, CO,</SJDOC>
          <PGS>16850-16852</PGS>
          <FRDOCBP D="2" T="22MRN1.sgm">2012-6964</FRDOCBP>
        </SJDENT>
        <SJ>Reclassification of Regional Offices to Investigative Field Offices; Closures, etc.:</SJ>
        <SJDENT>
          <SJDOC>Seattle, WA, New Orleans, LA, Baltimore, MD, etc.,</SJDOC>
          <PGS>16852-16853</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6970</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Interior</EAR>
      <HD>Interior Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Fish and Wildlife Service</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Land Management Bureau</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Park Service</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Internal Revenue</EAR>
      <HD>Internal Revenue Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Taxpayer Advocacy Panel; Cancellation,</SJDOC>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6750</FRDOCBP>
          <PGS>16895</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6857</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>International Trade Adm</EAR>
      <HD>International Trade Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Countervailing Duty Administrative Reviews; Results, Extensions, Amendments, etc.:</SJ>
        <SJDENT>
          <SJDOC>Corrosion-Resistant Carbon Steel Flat Products from the Republic of Korea,</SJDOC>
          <PGS>16810</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6942</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>International Trade Com</EAR>
      <HD>International Trade Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Scheduling of a Five Year Review:</SJ>
        <SJDENT>
          <SJDOC>Tapered Roller Bearings From China,</SJDOC>
          <PGS>16859-16860</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6917</FRDOCBP>
        </SJDENT>
        <SJ>Terminations Of Investigations:</SJ>
        <SJDENT>
          <SJDOC>Certain GPS Navigation Products, Components Thereof, And Related Software,</SJDOC>
          <PGS>16860</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6907</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Certain Mobile Devices, And Related Software Thereof,</SJDOC>
          <PGS>16860-16862</PGS>
          <FRDOCBP D="2" T="22MRN1.sgm">2012-6914</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Justice Department</EAR>
      <HD>Justice Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Lodging of Consent Decrees Under CERCLA,</DOC>
          <PGS>16862</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6912</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Labor Department</EAR>
      <HD>Labor Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Mine Safety and Health Administration</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Land</EAR>
      <HD>Land Management Bureau</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>BLM-Alaska Resource Advisory Council,</SJDOC>
          <PGS>16856-16857</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6887</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Pecos District Resource Advisory Council Meeting, New Mexico,</SJDOC>
          <PGS>16856</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6885</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Mine</EAR>
      <HD>Mine Safety and Health Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Mine Mapping and Records of Opening, Closing, and Reopening of Mines,</SJDOC>
          <PGS>16863-16865</PGS>
          <FRDOCBP D="2" T="22MRN1.sgm">2012-6870</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Occupational Noise Exposure,</SJDOC>
          <PGS>16865-16866</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6872</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Training, Training Plans, and Records,</SJDOC>
          <PGS>16862-16863</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6871</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Archives</EAR>
      <HD>National Archives and Records Administration</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Register Office</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>National Credit</EAR>
      <HD>National Credit Union Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Meetings; Sunshine Act,</DOC>
          <PGS>16866</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-7090</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Highway</EAR>
      <HD>National Highway Traffic Safety Administration</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Granting of Petitions for Decisions of Inconsequential Noncompliance:</SJ>
        <SJDENT>
          <SJDOC>BMW of North America, LLC,</SJDOC>
          <PGS>16892-16893</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6850</FRDOCBP>
        </SJDENT>
        <SJ>Petitions for Decisions of Inconsequential Noncompliance:</SJ>
        <SJDENT>
          <SJDOC>Supreme Indiana Operations, Inc.,</SJDOC>
          <PGS>16893-16894</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6852</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Institute</EAR>
      <HD>National Institutes of Health</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Center for Scientific Review,</SJDOC>
          <PGS>16845</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6953</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Children's Study Advisory Committee,</SJDOC>
          <PGS>16845</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6951</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Heart, Lung, and Blood Institute,</SJDOC>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6954</FRDOCBP>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6955</FRDOCBP>
          <PGS>16843-16844</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6962</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute of Allergy and Infectious Diseases,</SJDOC>
          <PGS>16845</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6950</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Institute of Environmental Health Sciences,</SJDOC>
          <PGS>16844</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6958</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Science Advisory Board for Biosecurity,</SJDOC>
          <PGS>16846</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6949</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Oceanic</EAR>
      <HD>National Oceanic and Atmospheric Administration</HD>
      <CAT>
        <HD>RULES</HD>
        <DOCENT>
          <DOC>Pacific Halibut Fisheries; Catch Sharing Plan,</DOC>
          <PGS>16740-16760</PGS>
          <FRDOCBP D="20" T="22MRR1.sgm">2012-6858</FRDOCBP>
        </DOCENT>
        <SJ>Taking and Importing Marine Mammals:</SJ>
        <SJDENT>
          <SJDOC>Naval Explosive Ordnance Disposal School Training Operations at Eglin Air Force Base, FL,</SJDOC>
          <PGS>16718-16740</PGS>
          <FRDOCBP D="22" T="22MRR1.sgm">2012-6824</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Fisheries of the Gulf of Mexico; Southeast Data, Assessment, and Review,</SJDOC>
          <PGS>16812-16813</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6897</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Mid-Atlantic Fishery Management Council,</SJDOC>
          <PGS>16811-16812</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6905</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>New England Fishery Management Council,</SJDOC>
          <PGS>16810-16811</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6898</FRDOCBP>
        </SJDENT>
        <SJ>Requests for Nominations:</SJ>
        <SJDENT>
          <SJDOC>Olympic Coast National Marine Sanctuary Advisory Council,</SJDOC>
          <PGS>16813</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6890</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Park</EAR>
      <HD>National Park Service</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Continuation of Visitor Services,</DOC>
          <PGS>16857</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6963</FRDOCBP>
        </DOCENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Denali National Park and Preserve Aircraft Overflights Advisory Council,</SJDOC>
          <PGS>16857</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6913</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>National Park System Advisory Board,</SJDOC>
          <PGS>16858-16859</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6931</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>National Science</EAR>
      <PRTPAGE P="vi"/>
      <HD>National Science Foundation</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Requests for Recommendations for Membership:</SJ>
        <SJDENT>
          <SJDOC>Directorate and Office Advisory Committees,</SJDOC>
          <PGS>16866-16868</PGS>
          <FRDOCBP D="2" T="22MRN1.sgm">2012-6859</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Nuclear Regulatory</EAR>
      <HD>Nuclear Regulatory Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Draft Regulatory Guides; Availability:</SJ>
        <SJDENT>
          <SJDOC>Quality Verification for Plate-Type Uranium-Aluminum Fuel Elements for Use in Research and Test Reactors,</SJDOC>
          <PGS>16868</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6896</FRDOCBP>
        </SJDENT>
        <SJ>Proposed Models for Plant-Specific Adoption of Technical Specifications:</SJ>
        <SJDENT>
          <SJDOC>Revise Ventilation System Surveillance Requirements to Operate for 10 hours per Month,</SJDOC>
          <PGS>16869-16870</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6894</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Patent</EAR>
      <HD>Patent and Trademark Office</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Agency Information Collection Activities; Proposals, Submissions, and Approvals:</SJ>
        <SJDENT>
          <SJDOC>Patent Processing (Updating),</SJDOC>
          <PGS>16813-16817</PGS>
          <FRDOCBP D="4" T="22MRN1.sgm">2012-6888</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Presidential Documents</EAR>
      <HD>Presidential Documents</HD>
      <CAT>
        <HD>PROCLAMATIONS</HD>
        <SJ>Special Observances:</SJ>
        <SJDENT>
          <SJDOC>National Day of Honor (Proc. 8785),</SJDOC>
          <PGS>16903-16906</PGS>
          <FRDOCBP D="3" T="22MRD0.sgm">2012-7161</FRDOCBP>
        </SJDENT>
      </CAT>
      <CAT>
        <HD>EXECUTIVE ORDERS</HD>
        <SJ>Defense and National Security:</SJ>
        <SJDENT>
          <SJDOC>National Defense Resources Preparedness (EO 13603),</SJDOC>
          <PGS>16651-16660</PGS>
          <FRDOCBP D="9" T="22MRE0.sgm">2012-7019</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Railroad Retirement</EAR>
      <HD>Railroad Retirement Board</HD>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Agency Information Collection Activities; Proposals, Submissions, and Approvals,</DOC>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6831</FRDOCBP>
          <PGS>16870-16871</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6834</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Securities</EAR>
      <HD>Securities and Exchange Commission</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Applications:</SJ>
        <SJDENT>
          <SJDOC>First Trust Exchange-Traded Fund, et al.,</SJDOC>
          <PGS>16873-16877</PGS>
          <FRDOCBP D="4" T="22MRN1.sgm">2012-6865</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>Forward Funds, et al.,</SJDOC>
          <PGS>16871-16872</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6864</FRDOCBP>
        </SJDENT>
        <SJ>Self-Regulatory Organizations; Proposed Rule Changes:</SJ>
        <SJDENT>
          <SJDOC>International Securities Exchange, LLC,</SJDOC>
          <PGS>16883-16888</PGS>
          <FRDOCBP D="5" T="22MRN1.sgm">2012-6863</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NASDAQ OMX BX, Inc.,</SJDOC>
          <PGS>16877-16879</PGS>
          <FRDOCBP D="2" T="22MRN1.sgm">2012-6866</FRDOCBP>
        </SJDENT>
        <SJDENT>
          <SJDOC>NASDAQ OMX PHLX LLC,</SJDOC>
          <PGS>16879-16883, 16888-16889</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6862</FRDOCBP>
          <FRDOCBP D="4" T="22MRN1.sgm">2012-6867</FRDOCBP>
        </SJDENT>
        <SJ>Suspension of Trading Orders:</SJ>
        <SJDENT>
          <SJDOC>ProElite, Inc. and Universal Guardian Holdings, Inc.,</SJDOC>
          <PGS>16890</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-7010</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>State Department</EAR>
      <HD>State Department</HD>
      <CAT>
        <HD>RULES</HD>
        <SJ>Amendments to the International Traffic in Arms Regulations:</SJ>
        <SJDENT>
          <SJDOC>Sri Lanka,</SJDOC>
          <PGS>16670-16671</PGS>
          <FRDOCBP D="1" T="22MRR1.sgm">2012-6822</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Transportation Department</EAR>
      <HD>Transportation Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Federal Aviation Administration</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>National Highway Traffic Safety Administration</P>
      </SEE>
    </AGCY>
    <AGCY>
      <EAR>Treasury</EAR>
      <HD>Treasury Department</HD>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Alcohol and Tobacco Tax and Trade Bureau</P>
      </SEE>
      <SEE>
        <HD SOURCE="HED">See</HD>
        <P>Internal Revenue Service</P>
      </SEE>
      <CAT>
        <HD>NOTICES</HD>
        <DOCENT>
          <DOC>Financial Research Advisory Committee; Establishment; Request for Nominations,</DOC>
          <PGS>16894-16895</PGS>
          <FRDOCBP D="1" T="22MRN1.sgm">2012-6941</FRDOCBP>
        </DOCENT>
      </CAT>
    </AGCY>
    <AGCY>
      <EAR>Veteran Affairs</EAR>
      <HD>Veterans Affairs Department</HD>
      <CAT>
        <HD>NOTICES</HD>
        <SJ>Competitions Under the America COMPETES Reauthorization Act:</SJ>
        <SJDENT>
          <SJDOC>Project REACH Homelessness Mobile App Contest,</SJDOC>
          <PGS>16895-16898</PGS>
          <FRDOCBP D="3" T="22MRN1.sgm">2012-6830</FRDOCBP>
        </SJDENT>
        <SJ>Meetings:</SJ>
        <SJDENT>
          <SJDOC>Genomic Medicine Program Advisory Committee,</SJDOC>
          <PGS>16898</PGS>
          <FRDOCBP D="0" T="22MRN1.sgm">2012-6845</FRDOCBP>
        </SJDENT>
      </CAT>
    </AGCY>
    <PTS>
      <HD SOURCE="HED">Separate Parts In This Issue</HD>
      <HD>Part II</HD>
      <DOCENT>
        <DOC>Federal Communications Commission,</DOC>
        <PGS>16900-16902</PGS>
        <FRDOCBP D="2" T="22MRP2.sgm">2012-7065</FRDOCBP>
      </DOCENT>
      <HD>Part III</HD>
      <DOCENT>
        <DOC>Presidential Documents,</DOC>
        <PGS>16903-16906</PGS>
        <FRDOCBP D="3" T="22MRD0.sgm">2012-7161</FRDOCBP>
      </DOCENT>
    </PTS>
    <AIDS>
      <HD SOURCE="HED">Reader Aids</HD>
      <P>Consult the Reader Aids section at the end of this page for phone numbers, online resources, finding aids, reminders, and notice of recently enacted public laws.</P>
      
      <P>To subscribe to the Federal Register Table of Contents LISTSERV electronic mailing list, go to http://listserv.access.gpo.gov and select Online mailing list archives, FEDREGTOC-L, Join or leave the list (or change settings); then follow the instructions.</P>
    </AIDS>
  </CNTNTS>
  <VOL>77</VOL>
  <NO>56</NO>
  <DATE>Thursday, March 22, 2012</DATE>
  <UNITNAME>Rules and Regulations</UNITNAME>
  <RULES>
    <RULE>
      <PREAMB>
        <PRTPAGE P="16661"/>
        <AGENCY TYPE="F">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Animal and Plant Health Inspection Service</SUBAGY>
        <CFR>9 CFR Part 77</CFR>
        <DEPDOC>[Docket No. APHIS-2008-0124]</DEPDOC>
        <SUBJECT>Tuberculosis in Cattle and Bison; State and Zone Designations; NM; Correction</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Animal and Plant Health Inspection Service, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Correcting amendment.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>We are correcting an error in the regulatory text of an interim rule that amended the bovine tuberculosis regulations by establishing two separate zones with different tuberculosis risk classifications for the State of New Mexico. The interim rule was published in the<E T="04">Federal Register</E>on March 23, 2009 (74 FR 12055-12058, Docket No. APHIS-2008-0124).</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>March 22, 2012.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Dr. C. William Hench, Senior Staff Veterinarian, National Tuberculosis Eradication Program, Veterinary Services, APHIS, 2150 Centre Ave, Bldg B, MSC 3E20, Ft. Collins, CO 80526; (970) 494-7378.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>In an interim rule published in the<E T="04">Federal Register</E>on March 23, 2009 (74 FR 12055-12058, Docket No. APHIS-2008-0124), we amended the bovine tuberculosis regulations by establishing two separate zones with different tuberculosis risk classifications for the State of New Mexico. (Please note, however, that the State of New Mexico, in a subsequent rule, was declared an accredited-free State and still holds that status). In our March 2009 rule, when we removed New Mexico from the list of modified accredited advanced States, we revised § 77.9(a) and introduced an error by referring to “modified accredited States” when we should have referred to “modified accredited advanced States.” This document corrects that error.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 9 CFR Part 77</HD>
          <P>Animal diseases, Bison, Cattle, Reporting and recordkeeping requirements, Transportation, Tuberculosis.</P>
        </LSTSUB>
        
        <P>Accordingly, 9 CFR part 77 is corrected by making the following correcting amendment:</P>
        <REGTEXT PART="77" TITLE="9">
          <PART>
            <HD SOURCE="HED">PART 77—TUBERCULOSIS</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 77 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>7 U.S.C. 8301-8317; 7 CFR 2.22, 2.80, and 371.4.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="77" TITLE="9">
          <AMDPAR>2. In § 77.9, paragraph (a) is revised to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 77.9</SECTNO>
            <SUBJECT>Modified accredited advanced States or zones.</SUBJECT>
            <P>(a) The following are modified accredited advanced States: California.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Done in Washington, DC, this 16th day of March 2012.</DATED>
          <NAME>Kevin Shea,</NAME>
          <TITLE>Acting Administrator, Animal and Plant Health Inspection Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6904 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-34-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 39</CFR>
        <DEPDOC>[Docket No. FAA-2012-0273; Directorate Identifier 2011-NM-149-AD; Amendment 39-16988; AD 2012-06-07]</DEPDOC>
        <RIN>RIN 2120-AA64</RIN>
        <SUBJECT>Airworthiness Directives; Airbus Airplanes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), Department of Transportation (DOT).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule; request for comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We are superseding an existing airworthiness directive (AD) for certain Model A330-200 and -300 series airplanes, and Model A340-200, -300, -500, and -600 series airplanes. This AD was prompted by reports of loose pneumatic quick-disconnect unions on Goodrich pitot probes that might be the result of mis-torque of the affected unions at equipment manufacturing level. This AD adds airplanes to the AD applicability. We are issuing this AD to detect and correct loose unions on the pitot probes, which could lead to an air leak, resulting in incorrect total pressure measurement and consequent erroneous calibrated airspeed (CAS)/MACH parameters delivered to the flightcrew by the air data computer.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This AD becomes effective April 6, 2012.</P>
          <P>The Director of the Federal Register approved the incorporation by reference of certain documents listed in this AD as of September 22, 2010 (75 FR 50871, August 18, 2010).</P>
          <P>We must receive comments on this AD by May 7, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may send comments by any of the following methods:</P>
          <P>•<E T="03">Federal eRulemaking Portal:</E>Go to<E T="03">http://www.regulations.gov</E>. Follow the instructions for submitting comments.</P>
          <P>•<E T="03">Fax:</E>(202) 493-2251.</P>
          <P>•<E T="03">Mail:</E>U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue SE., Washington, DC 20590.</P>
          <P>•<E T="03">Hand Delivery:</E>U.S. Department of Transportation, Docket Operations, M-30, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue SE., Washington, DC, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays.</P>
        </ADD>
        <HD SOURCE="HD1">Examining the AD Docket</HD>
        <P>You may examine the AD docket on the Internet at<E T="03">http://www.regulations.gov;</E>or in person at the Docket Operations office between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. The AD docket contains this AD, the regulatory evaluation, any comments received, and other information. The street address for the Docket Operations office (telephone (800) 647-5527) is in the<E T="02">ADDRESSES</E>section. Comments will be available in the AD docket shortly after receipt.</P>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Vladimir Ulyanov, Aerospace Engineer, International Branch, ANM-116, FAA, Transport Airplane Directorate, 1601<PRTPAGE P="16662"/>Lind Avenue SW., Renton, Washington 98057-3356; telephone (425) 227-1138; fax (425) 227-1149.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Discussion</HD>
        <P>On July 30, 2010, we issued AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010). That AD required actions intended to address an unsafe condition on certain Model A330-200 and -300 series airplanes, and Model A340-200, -300, -500, and -600 series airplanes.</P>
        <P>Since we issued AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010), we have certified two new models: Model A330-223F and -243F airplanes. We are issuing this AD to include them in the requirements of that earlier AD. The European Aviation Safety Agency (EASA), which is the Technical Agent for the Member States of the European Community, has issued EASA Airworthiness Directive 2011-0138, dated July 20, 2011 (referred to after this as “the MCAI”), to correct an unsafe condition for the specified products. The MCAI states:</P>
        
        <EXTRACT>
          <P>Several reports have recently been received of loose pneumatic quick-disconnect unions on Goodrich pitot probes [part number] P/N 0851HL. These may be the result of mis-torque of the affected unions at equipment manufacturing level. Investigations are still on-going to determine the root cause(s).</P>
          <P>This condition, if not corrected, could lead to an air leak, resulting in incorrect total pressure measurement and consequent erroneous Calibrated Airspeed (CAS)/MACH parameters delivered by the Air Data Computer (ADC).</P>
          <P>As a precautionary measure, EASA issued Emergency AD 2009-0202 to require a torque check of the pneumatic quick-disconnect union on certain Goodrich P/N 0851HL pitot probes and corrective action, depending on findings.</P>
          <P>EASA AD 2009-0202-E was subsequently republished to remove an erroneous reference to Appendix A from the Reason section, as no Appendix was attached to this [EASA] AD. [EASA] AD 2009-0202 was later revised to exclude pitot probes marked with a red torque check-mark from the torque-check required by paragraph (2.1) of this [EASA] AD.</P>
          <P>This [EASA] AD retains the requirements of EASA AD 2009-0202R1 [which corresponds to FAA AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010)], which is superseded, and expands the Applicability to include the newly certified Model A330-223F and Model A330-243F aeroplanes.</P>
        </EXTRACT>
        
        <FP>Loss or fluctuation of indicated airspeed could result in misleading information provided to the flightcrew. If the quick-disconnect union fitted on the pitot probe is not adequately torqued, the corrective action includes applying torque. You may obtain further information by examining the MCAI in the AD docket.</FP>
        <HD SOURCE="HD1">Change to AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010)</HD>
        <P>We have revised certain headers throughout this AD. We have also revised the wording in paragraph (g)(3) of this AD. This revision does not change the intent of paragraph (g)(3) of AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010).</P>
        <HD SOURCE="HD1">FAA's Determination and Requirements of This AD</HD>
        <P>This product has been approved by the aviation authority of another country, and is approved for operation in the United States. Pursuant to our bilateral agreement with the State of Design Authority, we have been notified of the unsafe condition described in the MCAI and service information referenced above. We are issuing this AD because we evaluated all pertinent information and determined the unsafe condition exists and is likely to exist or develop on other products of the same type design.</P>
        <P>There are no products of this type currently registered in the United States. However, this rule is necessary to ensure that the described unsafe condition is addressed if any of these products are placed on the U.S. Register in the future.</P>
        <HD SOURCE="HD1">FAA's Determination of the Effective Date</HD>
        <P>Since there are currently no domestic operators of this product, notice and opportunity for public comment before issuing this AD are unnecessary.</P>
        <HD SOURCE="HD1">Comments Invited</HD>

        <P>This AD is a final rule that involves requirements affecting flight safety, and we did not precede it by notice and opportunity for public comment. We invite you to send any written relevant data, views, or arguments about this AD. Send your comments to an address listed under the<E T="02">ADDRESSES</E>section. Include “Docket No. FAA-2012-0273; Directorate Identifier 2011-NM-149-AD” at the beginning of your comments. We specifically invite comments on the overall regulatory, economic, environmental, and energy aspects of this AD. We will consider all comments received by the closing date and may amend this AD because of those comments.</P>
        <P>We will post all comments we receive, without change, to<E T="03">http://www.regulations.gov,</E>including any personal information you provide. We will also post a report summarizing each substantive verbal contact we receive about this AD.</P>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>Title 49 of the United States Code specifies the FAA's authority to issue rules on aviation safety. Subtitle I, section 106, describes the authority of the FAA Administrator. “Subtitle VII: Aviation Programs,” describes in more detail the scope of the Agency's authority.</P>
        <P>We are issuing this rulemaking under the authority described in “Subtitle VII, Part A, Subpart III, Section 44701: General requirements.” Under that section, Congress charges the FAA with promoting safe flight of civil aircraft in air commerce by prescribing regulations for practices, methods, and procedures the Administrator finds necessary for safety in air commerce. This regulation is within the scope of that authority because it addresses an unsafe condition that is likely to exist or develop on products identified in this rulemaking action.</P>
        <HD SOURCE="HD1">Regulatory Findings</HD>
        <P>We determined that this AD will not have federalism implications under Executive Order 13132. This AD will not have a substantial direct effect 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.</P>
        <P>
          <E T="03">For the reasons discussed above, I certify this AD:</E>
        </P>
        <P>1. Is not a ”significant regulatory action” under Executive Order 12866;</P>
        <P>2. Is not a ”significant rule” under the DOT Regulatory Policies and Procedures (44 FR 11034, February 26, 1979);</P>
        <P>3. Will not affect intrastate aviation in Alaska; and</P>
        <P>4. Will not have a significant economic impact, positive or negative, on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <P>We prepared a regulatory evaluation of the estimated costs to comply with this proposed AD and placed it in the AD docket.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 39</HD>
          <P>Air transportation, Aircraft, Aviation safety, Incorporation by reference, Safety.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Adoption of the Amendment</HD>
        <P>Accordingly, under the authority delegated to me by the Administrator, the FAA amends 14 CFR part 39 as follows:</P>
        <REGTEXT PART="39" TITLE="14">
          <PART>
            <PRTPAGE P="16663"/>
            <HD SOURCE="HED">PART 39—AIRWORTHINESS DIRECTIVES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 39 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701.</P>
          </AUTH>
          
        </REGTEXT>
        <REGTEXT PART="39" TITLE="14">
          <SECTION>
            <SECTNO>§ 39.13</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The FAA amends § 39.13 by removing AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010), and adding the following new AD:</AMDPAR>
          
          <EXTRACT>
            <FP SOURCE="FP-2">
              <E T="04">2012-06-07Airbus:</E>Amendment 39-16988. Docket No. FAA-2012-0273; Directorate Identifier 2011-NM-149-AD.</FP>
            <HD SOURCE="HD1">(a) Effective Date</HD>
            <P>This airworthiness directive (AD) becomes effective April 6, 2012.</P>
            <HD SOURCE="HD1">(b) Affected ADs</HD>
            <P>This AD supersedes AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010).</P>
            <HD SOURCE="HD1">(c) Applicability</HD>
            <P>This AD applies to the Airbus airplanes identified in paragraphs (c)(1), (c)(2), and (c)(3) of this AD; certificated in any category; all manufacturer serial numbers; with pitot probes having Goodrich part number (P/N) 0851HL, serial numbers 267328 through 270714 inclusive.</P>
            <P>(1) Model A330-201, -202, -203, -223, -223F, -243, -243F, -301, -302, -303, -321, -322, -323, -341, -342, and -343 airplanes.</P>
            <P>(2) Model A340-211, -212, -213, -311, -312, and -313 airplanes.</P>
            <P>(3) Model A340-541 and -642 airplanes.</P>
            <HD SOURCE="HD1">(d) Subject</HD>
            <P>Air Transport Association (ATA) of America Code 34: Navigation.</P>
            <HD SOURCE="HD1">(e) Reason</HD>
            <P>This AD was prompted by reports of loose pneumatic quick-disconnect unions on Goodrich pitot probes that might be the result of mis-torque of the affected unions at equipment manufacturing level. We are issuing this AD to detect and correct loose unions on the pitot probes, which could lead to an air leak, resulting in incorrect total pressure measurement and consequent erroneous calibrated airspeed (CAS)/MACH parameters delivered to the flightcrew by the air data computer (ADC).</P>
            <HD SOURCE="HD1">(f) Compliance</HD>
            <P>You are responsible for having the actions required by this AD performed within the compliance times specified, unless the actions have already been done.</P>
            <HD SOURCE="HD1">(g) Restatement of Requirements of AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010): Actions for Airplanes Other Than Models A330-223F and -243F</HD>
            <P>For all airplanes except Model A330-223F and -243F airplanes: At the time specified, do the following actions.</P>
            <P>(1) Within 14 days after September 22, 2010 (the effective date of AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010)): Perform a torque check of the pneumatic quick-disconnect union of each pitot probe having Goodrich P/N 0851HL, serial numbers 267328 through 270714 inclusive, to determine if the torque is adequate, in accordance with the instructions of the applicable service information specified in table 1 of this AD. Before further flight, do all applicable corrective actions in accordance with the instructions of the applicable service information specified in table 1 of this AD.</P>
            <GPOTABLE CDEF="s100,12,xs80" COLS="03" OPTS="L2,i1">
              <TTITLE>Table 1—Airbus Service Information</TTITLE>
              <BOXHD>
                <CHED H="1" O="L">Airbus all operators telex—</CHED>
                <CHED H="1" O="L">Revision—</CHED>
                <CHED H="1" O="L">Dated—</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">A330-34A3235 (for Model A330-201, -202, -203, -223, -243, -301, -302, -303, -321,-322, -323, -341, -342, and -343 airplanes)</ENT>
                <ENT>02</ENT>
                <ENT>March 1, 2010.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">A340-34A4241 (for Model A340-211, -212, -213, -311, -312, and -313 airplanes)</ENT>
                <ENT>02</ENT>
                <ENT>March 1, 2010.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">A340-34A5074 (for Model A340-541 and -642 airplanes)</ENT>
                <ENT>02</ENT>
                <ENT>March 1, 2010.</ENT>
              </ROW>
            </GPOTABLE>
            <P>(2) Within 30 days after performing the torque check required by paragraph (g)(1) of this AD, or within 30 days after September 22, 2010 (the effective date of AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010), whichever occurs later: Report the torque check results to Airbus, including no findings, as specified in the instructions of the applicable service information listed in table 1 of this AD.</P>
            <P>(3) This paragraph provides credit for the actions required by paragraph (g)(1) of this AD, if those actions were done before September 22, 2010 (the effective date of AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010), using the applicable service information listed in table 2 of this AD.</P>
            <GPOTABLE CDEF="s100,12,xs80" COLS="03" OPTS="L2,i1">
              <TTITLE>Table 2—Airbus Credit Service Information</TTITLE>
              <BOXHD>
                <CHED H="1" O="L">Airbus all operators telex—</CHED>
                <CHED H="1" O="L">Revision—</CHED>
                <CHED H="1" O="L">Dated—</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">A330-34A3235</ENT>
                <ENT/>
                <ENT>September 10, 2009.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">A330-34A3235</ENT>
                <ENT>1</ENT>
                <ENT>September 21, 2009.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">A340-34A4241</ENT>
                <ENT/>
                <ENT>September 10, 2009.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">A340-34A4241</ENT>
                <ENT>1</ENT>
                <ENT>September 21, 2009.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">A340-34A5074</ENT>
                <ENT/>
                <ENT>September 10, 2009.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">A340-34A5074</ENT>
                <ENT>1</ENT>
                <ENT>September 21, 2009.</ENT>
              </ROW>
            </GPOTABLE>
            <P>(4) As of September 22, 2010 (the effective date of AD 2010-17-02, Amendment 39-16392 (75 FR 50871, August 18, 2010), no person may install a pitot probe having Goodrich P/N 0851HL, serial numbers 267328 through 270714 inclusive, on any airplane, unless the actions required by paragraph (g)(1) of this AD have been done; or an intact red torque check mark is visible on the interface of the pneumatic quick disconnect union and the union mount.</P>
            <HD SOURCE="HD1">(h) New Requirements of This AD: Actions for Model A330-223F and -243F Airplanes</HD>
            <P>For Model A330-223F and -243F airplanes: At the time specified, do the following actions.</P>
            <P>(1) Within 14 days after the effective date of this AD: Perform a torque check of the pneumatic quick-disconnect union of each pitot probe having Goodrich P/N 0851HL, serial numbers 267328 through 270714 inclusive, to determine if the torque is adequate, in accordance with the instructions of Airbus All Operators Telex A330-34A3235, Revision 02, dated March 1, 2010. Before further flight, do all applicable corrective actions, in accordance with Airbus All Operators Telex A330-34A3235, Revision 02, dated March 1, 2010.</P>

            <P>(2) Within 30 days after performing the torque check required by paragraph (g)(1) of this AD, or within 30 days after the effective date of this AD, whichever occurs later: Report the torque check results to Airbus, including no findings, as specified in the instructions of Airbus All Operators Telex A330-34A3235, Revision 02, dated March 1, 2010.<PRTPAGE P="16664"/>
            </P>
            <P>(3) This paragraph provides credit for the actions required by paragraph (h)(1) of this AD, if those actions were done before the effective date of this AD using Airbus All Operators Telex A330-34A3235, dated September 10, 2009; or Airbus All Operators Telex A330-34A3235, Revision 1, dated September 21, 2009.</P>
            <P>(4) As of the effective date of this AD, no person may install a pitot probe having Goodrich P/N 0851HL, serial numbers 267328 through 270714 inclusive, on any airplane, unless the actions required by paragraph (h)(1) of this AD have been done; or an intact red torque check mark is visible on the interface of the pneumatic quick disconnect union and the union mount.</P>
            <HD SOURCE="HD1">(i) Other FAA AD Provisions</HD>
            <P>The following provisions also apply to this AD:</P>
            <P>(1)<E T="03">Alternative Methods of Compliance (AMOCs):</E>The Manager, International Branch, ANM-116, FAA, has the authority to approve AMOCs for this AD, if requested using the procedures found in 14 CFR 39.19. In accordance with 14 CFR 39.19, send your request to your principal inspector or local Flight Standards District Office, as appropriate. If sending information directly to the International Branch, send it to ATTN: Vladimir Ulyanov, Aerospace Engineer, International Branch, ANM-116, FAA, Transport Airplane Directorate, 1601 Lind Avenue SW., Renton, Washington 98057-3356; telephone (425) 227-1138; fax (425) 227-1149. Information may be emailed to:<E T="03">9-ANM-116-AMOC-REQUESTS@faa.gov.</E>Before using any approved AMOC, notify your appropriate principal inspector, or lacking a principal inspector, the manager of the local flight standards district office/certificate holding district office. The AMOC approval letter must specifically reference this AD.</P>
            <P>(2)<E T="03">Airworthy Product:</E>For any requirement in this AD to obtain corrective actions from a manufacturer or other source, use these actions if they are FAA-approved. Corrective actions are considered FAA-approved if they are approved by the State of Design Authority (or their delegated agent). You are required to assure the product is airworthy before it is returned to service.</P>
            <P>(3)<E T="03">Reporting Requirements:</E>A federal agency may not conduct or sponsor, and a person is not required to respond to, nor shall a person be subject to a penalty for failure to comply with a collection of information subject to the requirements of the Paperwork Reduction Act unless that collection of information displays a current valid OMB Control Number. The OMB Control Number for this information collection is 2120-0056. Public reporting for this collection of information is estimated to be approximately 5 minutes per response, including the time for reviewing instructions, completing and reviewing the collection of information. All responses to this collection of information are mandatory. Comments concerning the accuracy of this burden and suggestions for reducing the burden should be directed to the FAA at: 800 Independence Ave. SW., Washington, DC 20591, Attn: Information Collection Clearance Officer, AES-200.</P>
            <HD SOURCE="HD1">(j) Related Information</HD>
            <P>Refer to European Aviation Safety Agency (EASA) Airworthiness Directive 2011-0138, dated July 20, 2011, and the service information specified in table 1 of this AD, for related information.</P>
            <HD SOURCE="HD1">(k) Material Incorporated by Reference</HD>
            <P>(1) You must use the following service information to do the actions required by this AD, unless the AD specifies otherwise. The Director of the Federal Register approved the incorporation by reference (IBR) of the following service information under 5 U.S.C. 552(a) and 1 CFR part 51 on September 22, 2010 (75 FR 50871, August 18, 2010):</P>
            <P>(i) Airbus All Operators Telex A330-34A3235, Revision 02, dated March 1, 2010.</P>
            <P>(ii) Airbus All Operators Telex A340-34A4241, Revision 02, dated March 1, 2010.</P>
            <P>(iii) Airbus All Operators Telex A340-34A5074, Revision 02, dated March 1, 2010.</P>

            <P>(2) For service information identified in this AD, contact Airbus SAS—Airworthiness Office—EAL, 1 Rond Point Maurice Bellonte, 31707 Blagnac Cedex, France; telephone +33 5 61 93 36 96; fax +33 5 61 93 45 80; email<E T="03">airworthiness.A330-A340@airbus.com;</E>Internet<E T="03">http://www.airbus.com</E>.</P>
            <P>(3) You may review copies of the service information at the FAA, Transport Airplane Directorate, 1601 Lind Avenue SW., Renton, Washington. For information on the availability of this material at the FAA, call 425-227-1221.</P>

            <P>(4) You may also review copies of the service information that is incorporated by reference at the National Archives and Records Administration (NARA). For information on the availability of this material at NARA, call 202-741-6030, or go to:<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.</E>
            </P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Renton, Washington, on March 7, 2012.</DATED>
          <NAME>Ali Bahrami,</NAME>
          <TITLE>Manager, Transport Airplane Directorate, Aircraft Certification Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6773 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 67</CFR>
        <DEPDOC>[Docket No. FAA-2012-0056; Amdt. No. 67-21]</DEPDOC>
        <RIN>RIN 2120-AK00</RIN>
        <SUBJECT>Removal of the Requirement for Individuals Granted the Special Issuance of a Medical Certificate To Carry Their Letter of Authorization While Exercising Pilot Privileges</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Direct final rule; request for comments.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This rule removes a regulatory provision under Federal Aviation Administration (FAA) medical certification standards intended, in part, to require that individuals granted the Special Issuance of a Medical Certificate (Authorization) have their letter of Authorization in their physical possession or readily accessible on the aircraft while exercising pilot privileges. The FAA imposed this regulatory provision in 2008 to respond to a 2007 International Civil Aviation Organization (ICAO) adverse audit finding regarding endorsement of FAA certificates. The FAA is not aware of any individuals affected by the standard who have had to produce their letter of Authorization for any civil aviation authorities during the 3-year period the rule has been in effect. For this reason, and because affected individuals find the standard burdensome given that other longstanding FAA operational requirements already mandate that pilots carry their medical certificate when exercising pilot privileges, the FAA has identified this regulation as one that can be removed under Executive Order 13563 of January 18, 2011: “Improving Regulation and Regulatory Review.” While this action removes the burden for affected individuals to carry their medical letter of Authorization, long-standing requirements under FAA operational standards requiring individuals to carry FAA certificates while exercising pilot privileges remain unchanged.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Effective July 20, 2012.</P>

          <P>Submit comments on or before May 21, 2012. If adverse comment is received, the FAA will publish a timely withdrawal in the<E T="04">Federal Register</E>.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may send comments identified by docket number FAA-2012-0056 using any of the following methods:</P>
          <P>•<E T="03">Federal eRulemaking Portal:</E>Go to<E T="03">http://www.regulations.gov</E>and follow the online instructions for sending your comments electronically.</P>
          <P>•<E T="03">Mail:</E>Send comments to Docket Operations, M-30; U.S. Department of Transportation (DOT), 1200 New Jersey Avenue SE., Room W12-140, West Building Ground Floor, Washington, DC 20590-0001.</P>
          <P>•<E T="03">Hand Delivery or Courier:</E>Take comments to Docket Operations in Room W12-140 of the West Building Ground Floor at 1200 New Jersey Avenue SE., Washington, DC, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays.</P>
          <P>•<E T="03">Fax:</E>Fax comments to Docket Operations at (202) 493-2251.</P>
          <P>
            <E T="03">Privacy:</E>The FAA will post all comments it receives, without change,<PRTPAGE P="16665"/>to<E T="03">http://www.regulations.gov,</E>including any personal information the commenter provides. Using the search function of the docket web site, anyone can find and read the electronic form of all comments received into any FAA docket, including the name of the individual sending the comment (or signing the comment for an association, business, labor union, etc.). DOT's complete Privacy Act Statement can be found in the<E T="04">Federal Register</E>published on April 11, 2000 (65 FR 19477-19478), as well as at<E T="03">http://DocketsInfo.dot.gov</E>.</P>
          <P>
            <E T="03">Docket:</E>Background documents or comments received may be read at<E T="03">http://www.regulations.gov</E>at any time. Follow the online instructions for accessing the docket or go to Docket Operations in Room W12-140 of the West Building Ground Floor at 1200 New Jersey Avenue SE., Washington, DC, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>For technical questions concerning this action, contact Ms. Judi Citrenbaum, Office of Aerospace Medicine, Federal Aviation Administration, 800 Independence Avenue SW., Washington, DC 20591; telephone (202) 267-9689; email<E T="03">Judi.M.Citrenbaum@faa.gov</E>.</P>

          <P>For legal questions concerning this action, contact Sabrina Jawed, Office of the Chief Counsel, Regulations Division, Federal Aviation Administration, 800 Independence Avenue SW., Washington, DC 20591; telephone (202) 267-3073; email<E T="03">Sabrina.Jawed@faa.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Authority for This Rulemaking</HD>
        <P>The FAA's authority to issue rules on aviation safety is found in Title 49 of the United States Code. Subtitle I, Section 106 describes the authority of the FAA Administrator. Subtitle VII, Aviation Programs, describes in more detail the scope of the Agency's authority.</P>
        <P>This rulemaking is promulgated under the authority described in Subtitle VII, Part A, Subpart III, Chapter 447, Sections 44701, 44702 and 44703. Under Section 44701 the Administrator has the authority to prescribe regulations and minimum standards for practices, methods and procedures necessary for safety in air commerce and national security. Under Section 44702 the Administrator has the authority to issue certificates. More specifically, under Section 44703(b)(C) the Administrator has the authority to decide terms necessary to ensure safety in air commerce, including terms on the duration of certificates and tests of physical fitness. This rule removes a regulatory provision that requires individuals granted the Special Issuance of a Medical Certificate to have their letter of Authorization in their physical possession or readily accessible on the aircraft while exercising pilot privileges. For this reason, the proposed change is within the scope of the FAA's authority and is a reasonable and necessary exercise of the FAA's statutory obligations.</P>
        <HD SOURCE="HD1">The Direct Final Rule Procedure</HD>
        <P>The FAA is adopting this action without prior notice and prior public comment as a direct final rule. Individuals granted the Special Issuance of a Medical Certificate are required to carry sufficient documentation validating their medical fitness to fly, but should not have the additional burden of carrying their letter of Authorization. The FAA has identified this action as burden-relieving under Executive Order 13563 of January 18, 2011, entitled “Improving Regulation and Regulatory Review,” because affected individuals no longer will have to carry their letter of Authorization with them when exercising pilot privileges. The Regulatory Policies and Procedures of the Department of Transportation (DOT) (44 FR 1134; February 26, 1979) provide that, to the maximum extent possible, operating administrations for the DOT should provide an opportunity for public comment on regulations issued without prior notice. Accordingly, the FAA invites interested persons to participate in this rulemaking by submitting written comments, data, or views. The Agency also invites comments relating to the economic, environmental, energy, or federalism impacts that might result from adopting this final rule.</P>

        <P>Unless a written adverse or negative comment or a written notice of intent to submit an adverse or negative comment is received within the comment period, the regulation will become effective on the date specified above. After the close of the comment period, the FAA will publish a document in the<E T="04">Federal Register</E>indicating that no adverse or negative comments were received, and confirming the date on which the final rule will become effective. If the FAA does receive an adverse or negative comment within the comment period, or written notice of intent to submit such a comment, a document withdrawing the direct final rule will be published in the<E T="04">Federal Register</E>, and a notice of proposed rulemaking may be published with a new comment period.</P>

        <P>See the “Additional Information” section for information on how to comment on this direct final rule and how the FAA will handle comments received. The<E T="02">ADDRESSES</E>section contains related information about the docket, privacy, and the handling of proprietary or confidential business information. In addition, there is information on obtaining copies of related rulemaking documents.</P>
        <HD SOURCE="HD1">I. Overview of Final Rule</HD>
        <P>As discussed in greater detail throughout this document, this final rule relieves individuals vetted through the FAA special-issuance medical certification process from having to carry their FAA-issued letter of Authorization with them when exercising pilot privileges. Individuals granted special-issuance medical certification are issued a time-limited FAA medical certificate along with a letter of Authorization. Collectively both documents comprise an individual's Authorization. According to FAA records, the FAA issued 28,423 Authorizations in the 2011 fiscal year. Under Executive Order 13563 of January 18, 2011, the FAA identified this action as burden-relieving for affected individuals. This rule imposes no cost on affected pilots. It imposes only a one-time, minor administrative cost to the FAA associated with removing a reference on the FAA medical certificate (FAA Form 8500-9) to the current standard. This rule removes only the requirement to carry the letter of Authorization. It does not remove or modify longstanding operational requirements under Title 14 of the Code of Federal Regulations, Part 61, § 61.3, regarding documentation that must be in an individual's personal possession or readily accessible in the aircraft when exercising pilot privileges.</P>
        <HD SOURCE="HD1">II. Background</HD>
        <P>In November 2007, ICAO, the aviation wing of the United Nations, audited the civil aviation safety oversight system of the United States as part of the ICAO Universal Safety Oversight Audit Program (USOAP). ICAO USOAP teams assess whether signatory states, such as the United States, meet international civil aviation standards. Civil aviation licensing and credentialing system compliance with international standards is a main focus area of these audits. As a result of the 2007 audit, the United States received a finding specifying that certain U.S. licenses are not “systematically endorsed as stipulated by Article 39<SU>1</SU>
          <FTREF/>of the Chicago<PRTPAGE P="16666"/>Convention, when the holders do not satisfy in full the conditions laid down in the international standard with respect to the class of licence (sic) or certificate of holders.”</P>
        <FTNT>
          <P>
            <SU>1</SU>Article 39 of the Chicago Convention of 1944 stipulates the following: “Any person holding a<PRTPAGE/>license who does not satisfy in full the conditions laid down in the international standard relating to the class of license or certificate which he holds shall have endorsed on or attached to his licence (sic) a complete enumeration of the particulars in which he does not satisfy such conditions.”</P>
        </FTNT>
        <P>U.S. pilots who fly internationally must comply with international aviation standards. In cases where ICAO standards may exceed U.S. standards, U.S. pilots take measures to make sure they conform with ICAO standards for international operations. For example, U.S. pilots serving as second-in-command on a U.S.-registered aircraft must hold an FAA commercial pilot certificate and an FAA second-class medical certificate. ICAO standards require commercial pilots to meet ICAO Class 1 medical assessment standards, which include electrocardiography provisions. While ICAO Class 1 medical assessment standards and FAA first-class medical standards include electrocardiography provisions, FAA second-class medical standards do not. When exercising privileges internationally, therefore, U.S. second-in-command pilots would obtain an FAA first-class medical certificate to compensate for the electrocardiography difference. As specified in this example, U.S. pilots exercising privileges internationally take measures necessary to conform to ICAO standards; therefore, the FAA has not found cause to “systematically” endorse medical certificates of U.S. pilots. Explanations provided at the time of the audit in this regard, however, were not sufficient to avoid ICAO's finding for corrective action.</P>
        <P>Because Article 39 of the Chicago Convention provides that endorsements may be placed on “or attached to” a license, the focus of the corrective action plan was limited to a small population of pilots who, due to special medical considerations, are granted a time-limited, special-issuance medical certificate along with a letter of Authorization. These individuals, the FAA determined, are most likely to be most impacted by the ICAO finding. The letter of Authorization serves as an addendum to the special-issuance medical certificate for affected individuals, and provides information regarding conditions affected individuals must meet in order to exercise pilot privileges. The FAA determined that a corrective action requiring, in part, that individuals carry their Authorization when exercising pilot privileges would be more acceptable than developing and implementing burdensome new licensing procedures for all pilots.</P>
        <P>Therefore, on July 24, 2008, the FAA issued a final rule (73 FR 43059) that amended § 67.401 to add new paragraph (j) requiring individuals holding an Authorization to carry it with them when exercising pilot privileges. In addition to this regulatory requirement, the FAA also revised the FAA medical certificate (FAA Form 8500-9) not only to note this requirement for affected medical certificate holders, but also to add more elaborate regulatory references and instructions for all pilots, including instructions to consult the U.S. Aeronautical Information Publication, which contains a listing of U.S. differences with ICAO Standards and Recommended Practices, when flying internationally. By adding several important regulatory references and instructions on the medical certificate, as suggested during the ICAO audit, the FAA met the intent of the ICAO audit finding. The regulatory references and instructions added to the medical certificate will remain as enumerated on FAA medical certificates, only the “Note” making reference to the letter of Authorization will be removed by this action.</P>
        <HD SOURCE="HD1">III. Discussion of the Direct Final Rule</HD>
        <P>Before an Authorization is granted, applicants must be thoroughly vetted through a lengthy and rigorous FAA medical certification process. As specified under § 67.401, individuals with specifically disqualifying medical conditions are medically certificated only when they can demonstrate to the satisfaction of the Federal Air Surgeon that the duties authorized by the class of medical certificate applied for can be performed without endangering public safety for the period of time the certificate is held. To demonstrate ability, a special medical flight test, practical test, extensive medical evaluation, or any combination of these may be required. An individual's operational experience and any medical facts that may affect the ability of the individual to perform airman duties is taken into consideration before medical certification is granted.</P>
        <P>With such a viable and rigorous special-issuance medical certification process, the FAA did not anticipate an ICAO audit finding that would result in further regulatory requirements. As such, adding § 67.401 (j) to require affected individuals to carry their letter of Authorization was not an expected outcome of the ICAO audit, but was put forth as a negotiated compromise in the audit corrective action plan. The § 67.401 (j) requirement has not been well-received by affected U.S. pilots. The FAA continues to receive complaints from affected U.S. pilots that the full force of the requirement is overly burdensome as well as invasive. It was imposed, however, out of concern that traditional enumeration placed on U.S. medical certificates under the FAA's special-issuance medical certification process might not be detailed enough for affected U.S. pilots during a ramp check in a foreign country, for example. Having the letter of Authorization readily available was deemed to be in the affected pilots' best interest. With 3 years of experience under the rule, however, the FAA is not aware that any civil aviation authority has requested any affected U.S. pilot to produce a letter of Authorization.</P>
        <P>In August 2010, the FAA informed ICAO that the U.S. would prefer to remove this requirement, and received no objection to this request. In addition, in April 2011, the FAA conducted a briefing on this matter for a member of the ICAO Air Navigation Commission, indicating that, unless objections were raised, the United States would proceed to revise the regulation to make it less burdensome. The series of new regulatory references and instructions added to all U.S. medical certificates provides sufficient information to medical certificate holders regarding the need for compliance with international standards when exercising pilot privileges.</P>
        <P>This action, therefore, removes paragraph (j) of § 67.401 and deletes the “Note” on FAA medical certificates under the header “Conditions of Issue,” which directs affected individuals to carry their letter of Authorization. This action does not affect longstanding FAA operational requirements under § 61.3 regarding FAA certificates that must be carried while exercising pilot privileges, including FAA medical certificates.</P>

        <P>Paragraph (j) of § 67.401 no longer will apply once this rule becomes effective. This means that the “Note” under the regulatory reference to § 67.401 (j) listed under the “Conditions of Issue” on an individual's existing FAA medical certificate no longer will be necessary. This does not mean that the FAA needs or intends to re-issue medical certificates. It will be acceptable for the FAA medical certificate to reference this “Note” until an individual's medical certificate is renewed. The FAA will begin using medical certificates with updated “Conditions of Issue” that do not include reference to the removed<PRTPAGE P="16667"/>standard as soon as possible following the effective date of the rule.</P>
        <HD SOURCE="HD1">IV. Regulatory Evaluation, Regulatory Flexibility Determination, International Trade Impact Assessment, and Unfunded Mandates Assessment</HD>
        <P>Changes to Federal regulations must undergo several economic analyses. First, Executive Order 12866 and Executive Order 13563 direct that each Federal agency shall propose or adopt a regulation only upon a reasoned determination that the benefits of the intended regulation justify its costs. Second, the Regulatory Flexibility Act of 1980 (Pub. L. 96-354) requires agencies to analyze the economic impact of regulatory changes on small entities. Third, the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4) requires agencies to prepare a written assessment of the costs, benefits, and other effects of proposed or final rules that include a Federal mandate likely to result in the expenditure by State, local, or tribal governments, in the aggregate, or by the private sector, of $100 million or more annually (adjusted for inflation with base year of 1995). This portion of the preamble summarizes the FAA's analysis of the economic impacts of this proposed rule.</P>
        <P>Department of Transportation Order DOT 2100.5 prescribes policies and procedures for simplification, analysis, and review of regulations. If the expected cost impact is so minimal that a proposed or final rule does not warrant a full evaluation, this order permits a statement to that effect and the basis for it to be included in the preamble if a full regulatory evaluation of the cost and benefits is not prepared. Such a determination has been made for this direct final rule. The reasoning for this determination follows:</P>
        <HD SOURCE="HD2">A. Regulatory Evaluation</HD>
        <HD SOURCE="HD3">Benefit</HD>
        <P>The benefit of this direct final rule will be that it relieves approximately 28,000 airmen vetted through the FAA special-issuance medical certification process from having to carry their FAA-issued letter of Authorization with them when they fly.</P>
        <HD SOURCE="HD3">Costs</HD>
        <P>This rule removes a regulatory provision that requires airmen who have been granted the Special Issuance of a Medical Certificate to have their letter of Authorization in their physical possession or readily accessible on the aircraft while exercising pilot privileges. The only cost associated with this rule is FAA manpower cost associated with making a revision to the FAA medical certificate (FAA Form 8500-9) to remove a reference to the standard that is being removed.</P>
        <P>We estimate that it will take an FAA information technology program manager approximately 8 hours to make the revision to the FAA medical certificate. With a burdened labor rate of $115, the total cost is $923 ($863 present value).</P>
        <P>The FAA has, therefore, determined that this final rule is not an economically “significant regulatory action” as defined in section 3(f) of Executive Order 12866 and is not “significant” as defined in DOT's Regulatory Policies and Procedures.</P>
        <HD SOURCE="HD2">B. Regulatory Flexibility Determination</HD>
        <P>The Regulatory Flexibility Act of 1980 (RFA) establishes “as a principle of regulatory issuance that agencies shall endeavor, consistent with the objective of the rule and of applicable statutes, to fit regulatory and informational requirements to the scale of the business, organizations, and governmental jurisdictions subject to regulation.” To achieve that principle, the RFA requires agencies to solicit and consider flexible regulatory proposals and to explain the rationale for their actions. The RFA covers a wide-range of small entities including small businesses, not-for-profit organizations, and small governmental jurisdictions.</P>
        <P>Agencies must perform a review to determine whether a proposed or final rule will have a significant economic impact on a substantial number of small entities. If the agency determines that it will, the agency must prepare a regulatory flexibility analysis as described in the Act.</P>
        <P>This rule is burden-relieving; it imposes no cost on affected pilots. Consequently, as the Acting FAA Administrator I certify that the final rule will not have a significant economic impact on a substantial number of small entities.</P>
        <HD SOURCE="HD2">C. International Trade Impact Analysis</HD>
        <P>The Trade Agreements Act of 1979 (Pub. L. 96-39), as amended by the Uruguay Round Agreements Act (Pub. L. 103-465), prohibits Federal agencies from establishing standards or engaging in related activities that create unnecessary obstacles to the foreign commerce of the United States. Pursuant to these Acts, the establishment of standards is not considered an unnecessary obstacle to the foreign commerce of the United States, so long as the standard has a legitimate domestic objective, such as the protection of safety, and does not operate in a manner that excludes imports that meet this objective. The statute also requires consideration of international standards and, where appropriate, that they be the basis for U.S. standards. The FAA has assessed the potential effect of this direct final rule and determined that it will primarily have only a domestic impact and therefore no effect on international trade.</P>
        <HD SOURCE="HD2">D. Unfunded Mandates Assessment</HD>
        <P>Title II of the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4) requires each Federal agency to prepare a written statement assessing the effects of any Federal mandate in a proposed or final agency rule that may result in an expenditure of $100 million or more (in 1995 dollars) in any one year by State, local, and tribal governments, in the aggregate, or by the private sector; such a mandate is deemed to be a “significant regulatory action.” The FAA currently uses an inflation-adjusted value of $143.1 million in lieu of $100 million. This final rule does not contain such a mandate; therefore, the requirements of Title II of the Act do not apply.</P>
        <HD SOURCE="HD2">E. Paperwork Reduction Act</HD>
        <P>The Paperwork Reduction Act of 1995 (44 U.S.C. 3507(d)) requires that the FAA consider the impact of paperwork and other information collection burdens imposed on the public. According to the 1995 amendments to the Paperwork Reduction Act (5 CFR 1320.8(b)(2)(vi)), an agency may not collect or sponsor the collection of information, nor may it impose an information collection requirement unless it displays a currently valid Office of Management and Budget (OMB) control number.</P>
        <P>This rule is burden-relieving. No information collection is associated with the removal of the requirement for affected individuals to carry their letter of Authorization or with the removal of certain notation on medical certificates. The Office of Management and Budget (OMB) has approved the collection of information associated with medical certification in accordance with the provisions of the Paperwork Reduction Act of 1995 (44 U.S.C. 3507(d)) under OMB Control Number 2120-0034, valid through August 31, 2014.</P>
        <HD SOURCE="HD2">F. International Compatibility</HD>

        <P>In keeping with U.S. obligations under the Convention on International Civil Aviation, it is FAA policy to conform to International Civil Aviation Organization (ICAO) Standards and Recommended Practices to the maximum extent practicable. Prior to<PRTPAGE P="16668"/>adopting this action, the FAA consulted with ICAO counterparts in the ICAO Aviation Medicine Section and on the ICAO Air Navigation Commission to inform them this action is being taken. The FAA did not receive any objections to removing this regulatory provision.</P>
        <HD SOURCE="HD1">V. Executive Order Determinations</HD>
        <HD SOURCE="HD2">A. Executive Order 13132, Federalism</HD>
        <P>The FAA has analyzed this final rule under the principles and criteria of Executive Order 13132, Federalism. The Agency determined that this action will not have a substantial direct effect on the States, or the relationship between the Federal Government and the States, or on the distribution of power and responsibilities among the various levels of government, and, therefore, does not have Federalism implications.</P>
        <HD SOURCE="HD2">B. Executive Order 13211, Regulations That Significantly Affect Energy Supply, Distribution, or Use</HD>
        <P>The FAA analyzed this final rule under Executive Order 13211, Actions Concerning Regulations that Significantly Affect Energy Supply, Distribution, or Use (May 18, 2001). The agency has determined that it is not a “significant energy action” under the executive order and it is not likely to have a significant adverse effect on the supply, distribution, or use of energy.</P>
        <HD SOURCE="HD1">VI. Additional Information</HD>
        <HD SOURCE="HD2">A. Comments Invited</HD>
        <P>The FAA invites interested persons to participate in this rulemaking by submitting written comments, data, or views. The Agency also invites comments relating to the economic, environmental, energy, or federalism impacts that might result from adopting the rulemaking action in this document. The most helpful comments reference a specific portion of the rulemaking action, explain the reason for any recommended change, and include supporting data. To ensure the docket does not contain duplicate comments, commenters should send only one copy of written comments, or if comments are filed electronically, commenters should submit only one time.</P>
        <P>The FAA will file in the docket all comments it receives, as well as a report summarizing each substantive public contact with FAA personnel concerning this rulemaking. Before acting on this rulemaking action, the FAA will consider all comments it receives on or before the closing date for comments. The FAA will consider comments filed after the comment period has closed if it is possible to do so without incurring expense or delay. The Agency may change this rulemaking action in light of the comments it receives.</P>
        <HD SOURCE="HD2">B. Availability of Rulemaking Documents</HD>
        <P>An electronic copy of rulemaking documents may be obtained from the Internet by—</P>
        <P>1. Searching the Federal eRulemaking Portal (<E T="03">http://www.regulations.gov</E>);</P>
        <P>2. Visiting the FAA's Regulations and Policies Web page at<E T="03">http://www.faa.gov/regulations_policies</E>or</P>
        <P>3. Accessing the Government Printing Office's Web page at<E T="03">http://www.gpo.gov/fdsys/.</E>
        </P>
        <P>Copies may also be obtained by sending a request to the Federal Aviation Administration, Office of Rulemaking, ARM-1, 800 Independence Avenue SW., Washington, DC 20591, or by calling (202) 267-9680. Commenters must identify the docket or amendment number of this rulemaking.</P>
        <P>All documents the FAA considered in developing this rulemaking action, including economic analyses and technical reports, may be accessed from the Internet through the Federal eRulemaking Portal referenced in item (1) above.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 14 CFR Part 67</HD>
          <P>Aircraft, Airmen, Alcohol abuse, Drug abuse, Recreation and recreation areas, Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        <HD SOURCE="HD1">The Amendment</HD>
        <P>In consideration of the foregoing, the Federal Aviation Administration amends chapter I of title 14, Code of Federal Regulations as follows:</P>
        <REGTEXT PART="67" TITLE="14">
          <PART>
            <HD SOURCE="HED">PART 67—MEDICAL STANDARDS AND CERTIFICATION</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 67 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g), 40113, 44701-44703, 44707, 44709-44711, 45102-45103, 45301-45303.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="67" TITLE="14">
          <SECTION>
            <SECTNO>§ 67.401</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. Amend § 67.401 by removing paragraph (j).</AMDPAR>
        </REGTEXT>
        <SIG>
          <DATED>Issued in Washington, DC, on March 8, 2012.</DATED>
          <NAME>Michael P. Huerta,</NAME>
          <TITLE>Acting Administrator.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6886 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 71</CFR>
        <DEPDOC>[Docket No. FAA-2012-0013; Airspace Docket No. 12-ASO-13]</DEPDOC>
        <SUBJECT>Amendment of Class D and E Airspace; Brooksville, FL</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule, technical amendment.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This action amends Class D and E airspace at Hernando County Airport, Brooksville, FL. The geographic coordinates of the airport are being adjusted to coincide with the FAA's aeronautical database, which shows the correct coordinates. This does not affect the boundaries or operating requirements of the airspace.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Effective 0901 UTC March 22, 2012.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>John Fornito, Operations Support Group, Eastern Service Center, Federal Aviation Administration, P. O. Box 20636, Atlanta, Georgia 30320; telephone (404) 305-6364.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">History</HD>
        <P>The FAA is adjusting the geographic location of Hernando County Airport, Brooksville, FL, to be in concert with the FAAs aeronautical database, which shows the correct coordinates. This is an administrative change and does not affect the boundaries or operating requirements of the airspace, therefore, notice and public procedures under 5 U.S.C. 553(b) are unnecessary.</P>
        <P>The Class D and E airspace designations are published in Paragraphs 5000, 6002, and 6005 of FAA order 7400.9V, dated August 9, 2011, and effective September 15, 2011, which is incorporated by reference in 14 CFR 71.1. The Class D and E airspace designations listed in this document will be published subsequently in the Order.</P>
        <HD SOURCE="HD1">The Rule</HD>

        <P>This amendment to Title 14, Code of Federal Regulations (14 CFR) part 71 amends the geographic coordinates in the legal description of Class D airspace, Class E surface airspace, and Class E airspace extending upward from 700 feet above the surface, for Hernando County Airport, Brooksville, FL. This update brings the geographic coordinates of the airport in concert<PRTPAGE P="16669"/>with the FAA's Aeronautical Products database.</P>
        <P>The FAA has determined that this regulation only involves an established body of technical regulations for which frequent and routine amendments are necessary to keep them operationally current, is non-controversial and unlikely to result in adverse or negative comments. It, therefore, (1) is not a “significant regulatory action” under Executive Order 12866; (2) is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034; February 26, 1979); and (3) does not warrant preparation of a Regulatory Evaluation as the anticipated impact is so minimal. Since this is a routine matter that will only affect air traffic procedures and air navigation, it is certified that this rule, when promulgated, will not have a significant economic impact on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <P>The FAA's authority to issue rules regarding aviation safety is found in Title 49 of the United States Code. Subtitle I, Section 106 describes the authority of the FAA Administrator. Subtitle VII, Aviation Programs, describes in more detail the scope of the agency's authority.</P>
        <P>This rulemaking is promulgated under the authority described in Subtitle VII, Part A, Subpart I, Section 40103. Under that section, the FAA is charged with prescribing regulations to assign the use of airspace necessary to ensure the safety of aircraft and the efficient use of airspace. This regulation is within the scope of that authority as it amends controlled airspace at Hernando County Airport, Brooksville, FL.</P>
        <LSTSUB>
          <HD SOURCE="HED">Lists of Subjects in 14 CFR Part 71</HD>
          <P>Airspace, Incorporation by reference, Navigation (air).</P>
        </LSTSUB>
        <HD SOURCE="HD1">Adoption of the Amendment</HD>
        <P>In consideration of the foregoing, the Federal Aviation Administration amends 14 CFR Part 71 as follows:</P>
        <REGTEXT PART="71" TITLE="14">
          <PART>
            <HD SOURCE="HED">PART 71—DESIGNATION OF CLASS A, B, C, D AND E AIRSPACE AREAS; AIR TRAFFIC SERVICE ROUTES; AND REPORTING POINTS</HD>
          </PART>
          <AMDPAR>1. The authority citation for Part 71 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g); 40103, 40113, 40120; E.O. 10854, 24 FR 9565, 3 CFR, 1959-1963 Comp., p. 389.</P>
          </AUTH>
          
        </REGTEXT>
        <REGTEXT PART="71" TITLE="14">
          <SECTION>
            <SECTNO>§ 71.1</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
          <AMDPAR>2. The incorporation by reference in 14 CFR 71.1 of Federal Aviation Administration Order 7400.9V, Airspace Designations and Reporting Points, dated August 9, 2011, and effective September 15, 2011, is amended as follows:</AMDPAR>
          <EXTRACT>
            <HD SOURCE="HD2">
              <E T="03">Paragraph 5000Class D airspace.</E>
            </HD>
            <STARS/>
            <HD SOURCE="HD1">ASO FL DBrooksville, FL [Amended]</HD>
            <FP SOURCE="FP-2">Hernando County Airport, FL</FP>
            <FP SOURCE="FP1-2">(Lat. 28°28′25″ N., long. 82°27′20″ W.)</FP>
            
            <P>That airspace extending upward from the surface up to and including 1,500 feet MSL within a 5.1-mile radius of the Hernando County Airport. This Class D airspace area is effective during specific dates and times established in advance by a Notice to Airmen. The effective date and time will thereafter be continuously published in the Airport/Facility Directory.</P>
            <HD SOURCE="HD2">Paragraph 6002Class E airspace designated as surface areas.</HD>
            <STARS/>
            <HD SOURCE="HD1">ASO FL E2Brooksville, FL [Amended]</HD>
            <FP SOURCE="FP-2">Hernando County Airport, FL</FP>
            <FP SOURCE="FP1-2">(Lat. 28°28′25″ N., long. 82°27′20″ W.)</FP>
            
            <P>That airspace extending from the surface within a 5.1-mile radius of Hernando County Airport. This Class E airspace area is effective during specific dates and times established in advance by a Notice to Airmen. The effective date and time will thereafter be continuously published in the Airport/Facility Directory.</P>
            <HD SOURCE="HD2">Paragraph 6005Class E airspace areas extending upward from 700 feet or more above the surface of the earth.</HD>
            <STARS/>
            <HD SOURCE="HD1">ASO FL E5Brooksville, FL [Amended]</HD>
            <FP SOURCE="FP-2">Hernando County Airport, FL</FP>
            <FP SOURCE="FP1-2">(Lat. 28°28′25″ N., long. 82°27′20″ W.)</FP>
            
            <P>That airspace extending upward from 700 feet above the surface within a 7.6-mile radius of Hernando County Airport.</P>
          </EXTRACT>
        </REGTEXT>
        
        <SIG>
          <DATED>Issued in College Park, Georgia, on March 14, 2012.</DATED>
          <NAME>Barry A. Knight,</NAME>
          <TITLE>Manager, Operations Support Group, Eastern Service Center, Air Traffic Organization.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6840 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 71</CFR>
        <DEPDOC>[Docket No. FAA-2011-1337; Airspace Docket No. 11-AEA-23]</DEPDOC>
        <SUBJECT>Establishment of Class E Airspace; Bellefonte, PA</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This action establishes Class E airspace at Bellefonte, PA, to accommodate new Area Navigation (RNAV) Global Positioning System (GPS) Standard Instrument Approach Procedures at Bellefonte Airport. This action enhances the safety and management of Instrument Flight Rules (IFR) operations at the airport.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>Effective 0901 UTC, May 31, 2012. The Director of the Federal Register approves this incorporation by reference action under title 1, Code of Federal Regulations, part 51, subject to the annual revision of FAA Order 7400.9 and publication of conforming amendments</P>
        </DATES>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>John Fornito, Operations Support Group, Eastern Service Center, Federal Aviation Administration, P.O. Box 20636, Atlanta, Georgia 30320; telephone (404) 305-6364.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">History</HD>
        <P>On December 22, 2011, the FAA published in the<E T="04">Federal Register</E>a notice of proposed rulemaking (NPRM) to establish Class E airspace 700 feet above the surface at Bellefonte, PA (76 FR 79564). Interested parties were invited to participate in this rulemaking effort by submitting written comments on the proposal to the FAA. No comments were received. Class E airspace designations are published in paragraph 6005 of FAA Order 7400.9V dated August 9, 2011, and effective September 15, 2011, which is incorporated by reference in 14 CFR 71.1. The Class E airspace designations listed in this document will be published subsequently in the Order.</P>
        <HD SOURCE="HD1">The Rule</HD>
        <P>This amendment to Title 14, Code of Federal Regulations (14 CFR) part 71 establishes Class E airspace extending upward from 700 feet above the surface to support new standard instrument approach procedures developed at Bellefonte Airport, Bellefonte, PA. This enhances the safety and management of IFR operations at the airport.</P>

        <P>The FAA has determined that this regulation only involves an established body of technical regulations for which frequent and routine amendments are necessary to keep them operationally current, is non-controversial and unlikely to result in adverse or negative comments. It, therefore, (1) Is not a “significant regulatory action” under Executive Order 12866; (2) is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034; February 26, 1979); and (3)<PRTPAGE P="16670"/>does not warrant preparation of a Regulatory Evaluation as the anticipated impact is so minimal. Since this is a routine matter that will only affect air traffic procedures and air navigation, it is certified that this rule, when promulgated, will not have a significant economic impact on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <P>The FAA's authority to issue rules regarding aviation safety is found in Title 49 of the United States Code. Subtitle I, Section 106 describes the authority of the FAA Administrator. Subtitle VII, Aviation Programs, describes in more detail the scope of the agency's authority.</P>
        <P>This rulemaking is promulgated under the authority described in Subtitle VII, Part A, Subpart I, Section 40103. Under that section, the FAA is charged with prescribing regulations to assign the use of airspace necessary to ensure the safety of aircraft and the efficient use of airspace. This regulation is within the scope of that authority as it establishes Class E airspace at Bellefonte Airport, Bellefonte, PA.</P>
        <LSTSUB>
          <HD SOURCE="HED">Lists of Subjects in 14 CFR Part 71</HD>
          <P>Airspace, Incorporation by reference, Navigation (air).</P>
        </LSTSUB>
        <HD SOURCE="HD1">Adoption of the Amendment</HD>
        <P>In consideration of the foregoing, the Federal Aviation Administration amends 14 CFR part 71 as follows:</P>
        <REGTEXT PART="71" TITLE="14">
          <PART>
            <HD SOURCE="HED">PART 71—DESIGNATION OF CLASS A, B, C, D AND E AIRSPACE AREAS; AIR TRAFFIC SERVICE ROUTES; AND REPORTING POINTS</HD>
          </PART>
          <AMDPAR>1. The authority citation for Part 71 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g); 40103, 40113, 40120; E.O. 10854, 24 FR 9565, 3 CFR, 1959-1963 Comp., p. 389.</P>
          </AUTH>
          
          <SECTION>
            <SECTNO>§ 71.1</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="71" TITLE="14">
          <AMDPAR>2. The incorporation by reference in 14 CFR 71.1 of Federal Aviation Administration Order 7400.9V, Airspace Designations and Reporting Points, dated August 9, 2011, effective September 15, 2011, is amended as follows:</AMDPAR>
          
          <EXTRACT>
            <HD SOURCE="HD2">Paragraph 6005Class E airspace areas extending upward from 700 feet or more above the surface of the earth.</HD>
            <STARS/>
            <HD SOURCE="HD1">AEA PA E5Bellefonte, PA [New]</HD>
            <FP SOURCE="FP-2">Bellefonte Airport, PA</FP>
            <FP SOURCE="FP1-2">(Lat. 40°53′08″ N., long. 77°48′59″ W.)</FP>
            
            <P>That airspace extending upward from 700 feet above the surface within a15-mile radius of Bellefonte Airport.</P>
          </EXTRACT>
        </REGTEXT>
        <SIG>
          <DATED>Issued in College Park, Georgia, on March 14, 2012.</DATED>
          <NAME>Barry A. Knight,</NAME>
          <TITLE>Manager, Operations Support Group, Eastern Service Center, Air Traffic Organization.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6844 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF STATE</AGENCY>
        <CFR>22 CFR Part 126</CFR>
        <DEPDOC>[Public Notice 7829]</DEPDOC>
        <RIN>RIN 1400-AD10</RIN>
        <SUBJECT>Amendment to the International Traffic in Arms Regulations: Sri Lanka</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Department of State.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Department of State is amending the International Traffic in Arms Regulations to add another exception to the license denial policy toward Sri Lanka. This change allows for exports to Sri Lanka for assistance for aerial and maritime surveillance.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective date:</E>This rule is effective March 22, 2012.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Ms. Candace M. J. Goforth, Acting Director, Office of Defense Trade Controls Policy, U.S. Department of State, telephone (202) 663-2792, or email<E T="03">DDTCResponseTeam@state.gov.</E>ATTN: Regulatory Change, Part 126, Sri Lanka.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Section 126.1(n) is amended to implement section 7046(d) of Public Law 112-74, which provides that the policy of denial for defense export licenses for Sri Lanka will not apply to assistance for aerial and maritime surveillance.</P>
        <HD SOURCE="HD1">Regulatory Analysis and Notices</HD>
        <HD SOURCE="HD2">Administrative Procedure Act</HD>

        <P>The Department of State is of the opinion that controlling the import and export of defense articles and services is a foreign affairs function of the United States Government and that rules implementing this function are exempt from § 553 (Rulemaking) and § 554 (Adjudications) of the Administrative Procedure Act. Since the Department is of the opinion that this rule is exempt from 5 U.S.C. 553, it is the view of the Department of State that the provisions of § 553(d) do not apply to this rulemaking. Therefore, this rule is effective upon publication. The Department also finds that, given the national security issues surrounding U.S. policy towards Sri Lanka, notice and public procedure on this rule would be impracticable, unnecessary, or contrary to the public interest; for the same reason, the rule will be effective immediately.<E T="03">See</E>5 U.S.C. 808(2).</P>
        <HD SOURCE="HD2">Regulatory Flexibility Act</HD>
        <P>Since this amendment is not subject to 5 U.S.C. 553, it does not require analysis under the Regulatory Flexibility Act.</P>
        <HD SOURCE="HD2">Unfunded Mandates Act of 1995</HD>
        <P>This amendment does not involve a mandate that will result in the expenditure by state, local, and tribal governments, in the aggregate, or by the private sector, of $100 million or more in any year and it will not significantly or uniquely affect small governments. Therefore, no actions were deemed necessary under the provisions of the Unfunded Mandates Reform Act of 1995.</P>
        <HD SOURCE="HD2">Small Business Regulatory Enforcement Fairness Act of 1996</HD>
        <P>This amendment has been found not to be a major rule within the meaning of the Small Business Regulatory Enforcement Fairness Act of 1996.</P>
        <HD SOURCE="HD2">Executive Orders 12372 and 13132</HD>
        <P>This amendment 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. Therefore, in accordance with Executive Order 13132, it is determined that this amendment does not have sufficient federalism implications to require consultations or warrant the preparation of a federalism summary impact statement. The regulations implementing Executive Order 12372 regarding intergovernmental consultation on Federal programs and activities do not apply to this amendment.</P>
        <HD SOURCE="HD2">Executive Order 12866</HD>
        <P>The Department is of the opinion that controlling the import and export of defense articles and services is a foreign affairs function of the United States Government and that rules governing the conduct of this function are exempt from the requirements of Executive Order 12866. However, the Department has reviewed the rule to ensure its consistency with the regulatory philosophy and principles set forth in the Executive Order.</P>
        <HD SOURCE="HD2">Executive Order 12988</HD>

        <P>The Department of State has reviewed the amendment in light of sections 3(a) and 3(b)(2) of Executive Order 12988 to eliminate ambiguity, minimize<PRTPAGE P="16671"/>litigation, establish clear legal standards, and reduce burden.</P>
        <HD SOURCE="HD2">Executive Order 13563</HD>
        <P>The Department of State has considered this rule in light of Executive Order 13563, dated January 18, 2011, and affirms that this regulation is consistent with the guidance therein.</P>
        <HD SOURCE="HD2">Executive Order 13175</HD>
        <P>The Department has determined that this rulemaking will not have tribal implications, will not impose substantial direct compliance costs on Indian tribal governments, and will not preempt tribal law. Accordingly, Executive Order 13175 does not apply to this rulemaking.</P>
        <HD SOURCE="HD2">Paperwork Reduction Act</HD>
        <P>This rule does not impose any new reporting or recordkeeping requirements subject to the Paperwork Reduction Act, 44 U.S.C. Chapter 35.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 22 CFR Part 126</HD>
          <P>Arms and munitions, Exports.</P>
        </LSTSUB>
        
        <P>Accordingly, for the reasons set forth above, Title 22, Chapter I, Subchapter M, part 126 is amended as follows:</P>
        <REGTEXT PART="126" TITLE="22">
          <PART>
            <HD SOURCE="HED">PART 126—GENERAL POLICIES AND PROVISIONS</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 126 is revised to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>Secs. 2, 38, 40, 42, and 71, Pub. L. 90-629, 90 Stat. 744 (22 U.S.C. 2752, 2778, 2780, 2791, and 2797); E.O. 11958, 42 FR 4311; 3 CFR, 1977 Comp., p. 79; 22 U.S.C. 2651a; 22 U.S.C. 287c; E.O. 12918, 59 FR 28205; 3 CFR, 1994 Comp., p. 899; Sec. 1225, Pub. L. 108-375; Sec. 7089, Pub. L. 111-117; Sections 7045 and 7046, Pub. L. 112-74.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="126" TITLE="22">
          <AMDPAR>2. Section 126.1 is amended by revising paragraph (n) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 126.1</SECTNO>
            <SUBJECT>Prohibited exports, imports, and sales to or from certain countries.</SUBJECT>
            <STARS/>
            <P>(n)<E T="03">Sri Lanka.</E>It is the policy of the United States to deny licenses or other approvals for exports or imports of defense articles and defense services destined for or originating in Sri Lanka, except that a license or other approval may be issued, on a case-by-case basis, for humanitarian demining and aerial or maritime surveillance.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: March 13, 2012.</DATED>
          <NAME>Rose E. Gottemoeller,</NAME>
          <TITLE>Acting Under Secretary, Arms Control and International Security,  Department of State.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6822 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4710-25-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF THE TREASURY</AGENCY>
        <SUBAGY>Alcohol and Tobacco Tax and Trade Bureau</SUBAGY>
        <CFR>27 CFR Part 4</CFR>
        <DEPDOC>[Docket No. TTB-2010-0007; T.D. TTB-101; Re: Notice No. 110]</DEPDOC>
        <RIN>RIN 1513-AB58</RIN>
        <SUBJECT>Labeling Imported Wines With Multistate Appellations</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Alcohol and Tobacco Tax and Trade Bureau, Treasury.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule; Treasury decision.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Alcohol and Tobacco Tax and Trade Bureau is amending the wine labeling regulations to allow the labeling of imported wines with multistate appellations of origin. This amendment provides treatment for imported wines similar to that currently available to domestic wines bearing multistate appellations. It also provides consumers with additional information regarding the origin of these wines.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>This final rule is effective April 23, 2012.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Jennifer Berry, Alcohol and Tobacco Tax and Trade Bureau, Regulations and Rulings Division; telephone (202) 453-1039 ext. 275, or email<E T="03">WineRegs@ttb.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background on Wine Labeling</HD>
        <HD SOURCE="HD2">TTB Authority</HD>
        <P>Section 105(e) of the Federal Alcohol Administration Act (FAA Act), 27 U.S.C. 205(e), authorizes the Secretary of the Treasury to prescribe regulations for the labeling of wine, distilled spirits, and malt beverages. The FAA Act requires that these regulations, among other things, prohibit consumer deception and the use of misleading statements on labels, and ensure that labels provide the consumer with adequate information as to the identity and quality of the product. The Alcohol and Tobacco Tax and Trade Bureau (TTB) administers the regulations promulgated under the FAA Act.</P>
        <HD SOURCE="HD2">Use of Appellations of Origin on Wine Labels</HD>
        <P>Part 4 of the TTB regulations (27 CFR part 4) sets forth standards promulgated under the FAA Act for the labeling and advertising of wine. Section 4.25 of the TTB regulations (27 CFR 4.25) sets forth rules regarding the use of appellations of origin. An appellation of origin for an American wine is defined in § 4.25(a)(1) as:</P>
        <P>• The United States;</P>
        <P>• A State;</P>
        <P>• Two or no more than three States which are all contiguous;</P>
        <P>• A county;</P>
        <P>• Two or no more than three counties in the same State; or</P>
        <P>• A viticultural area as defined in § 4.25(e).</P>
        <P>Section 4.25(b)(1) states that an American wine is entitled to an appellation of origin other than a multicounty or multistate appellation, or a viticultural area, if, among other requirements, at least 75 percent of the wine is derived from fruit or agricultural products grown in the appellation area indicated. Use of an appellation of origin comprising two or no more than three States which are all contiguous is allowed under § 4.25(d) if:</P>
        <P>• All of the fruit or other agricultural products were grown in the States indicated, and the percentage of the wine derived from fruit or other agricultural products grown in each State is shown on the label with a tolerance of plus or minus 2 percent;</P>
        <P>• The wine has been fully finished (except for cellar treatment pursuant to 27 CFR 4.22(c) and blending that does not result in an alteration of class or type under 27 CFR 4.22(b)) in one of the labeled appellation States; and</P>
        <P>• The wine conforms to the laws and regulations governing the composition, method of manufacture, and designation of wines in all the States listed in the appellation.</P>
        <P>An appellation of origin for imported wine is defined in § 4.25(a)(2) as:</P>
        <P>• A country;</P>
        <P>• A state, province, territory, or similar political subdivision of a country equivalent to a state or county; or</P>
        <P>• A viticultural area (which is defined in § 4.25(e)(1)(ii) in the case of imported wine).</P>
        <P>Section 4.25(b)(2) states that an imported wine is entitled to an appellation of origin other than a viticultural area if: “(1) At least 75 percent of the wine is derived from fruit or agricultural products grown in the area indicated by the appellation of origin; and (2) the wine conforms to the requirements of the foreign laws and regulations governing the composition, method of production, and designation of wines available for consumption within the country of origin.” There is no provision in the current TTB regulations for the use of multistate appellations on imported wines.</P>

        <P>The existing regulations regarding appellations of origin, including the provisions permitting multistate appellations for American wines, were<PRTPAGE P="16672"/>promulgated by TTB's predecessor agency, the Bureau of Alcohol, Tobacco and Firearms (ATF), in T.D. ATF-53 (43 FR 37672), published August 23, 1978. The preamble of T.D. ATF-53 stated that the regulations provided “a comprehensive scheme for appellation of origin labeling” resulting in “more accurate information being provided to consumers about wine origin.” According to T.D. ATF-53, multistate appellations were suggested by domestic wine industry members. ATF decided to allow multistate appellations “in order to permit greater flexibility in appellation of origin labeling,” provided that all the grapes come from the named States, that the percentage of grapes from each State be shown on the label, and that the wine conform to the laws and regulations governing the composition, method of manufacture, and designation of wines in all of the States listed in the appellation. There was no discussion in T.D. ATF-53 regarding multistate appellations for foreign wines, including why multistate appellations were limited to American wines.</P>
        <HD SOURCE="HD1">Australian Petition</HD>
        <P>The Australian Wine and Brandy Corporation (AWBC), a quasi-governmental authority responsible for, among other activities, regulating the exportation of Australian wine, submitted a petition to TTB to amend § 4.25(a)(2) to permit the labeling of Australian wines with multistate appellations. This proposal would allow an Australian wine imported into the United States to bear an appellation comprised of two or three Australian States, such as “Victoria-New South Wales-South Australia.” According to the AWBC petition, Australian regulations allow wines to be labeled with up to three Geographical Indications (officially defined wine regions) provided that 95 percent of the product is from the listed regions, the regions are listed in descending order of their proportions in the blend, and a minimum of 5 percent of the wine is from each listed region. Australian Geographical Indications include Australian States, which are roughly equivalent to American States.</P>
        <HD SOURCE="HD1">Notice of Proposed Rulemaking and Comments Received</HD>
        <P>On November 3, 2010, TTB published Notice No. 110 in the<E T="04">Federal Register</E>at 75 FR 67663 proposing to amend § 4.25 to permit the use of multistate appellations for imported wines. The notice proposed, among other requirements, that the regions named in multistate appellations be contiguous and that 100 percent of the wine be derived from fruit or other agricultural products grown in those regions. These requirements mirror the current requirements, discussed above, for multistate appellations on American wines.</P>
        <P>TTB received four comments in response to Notice No. 110. The commenters were: (1) An Australian winery; (2) the Australian Department of Foreign Affairs and Trade; (3) New Zealand Winegrowers, a trade organization; and (4) the Government of New Zealand. All four commenters generally support the proposal to allow multistate appellation labeling on imported wines. However, three of the commenters express concerns about certain aspects of the proposal.</P>
        <P>The Australian Department of Foreign Affairs and Trade expresses concern about the requirement that all the named areas be contiguous, a requirement that duplicates that for American wine contained in 27 CFR 4.25(d). The commenter states that this requirement would preclude Tasmania, an island, from being included in a multistate appellation. Further, in contrast to the 100 percent rule proposed by TTB, the commenter notes that Australian regulations allow up to three Australian States and Territories to be included on a label so long as 95 percent of the product is from the listed regions and at least 5 percent of the wine is from each listed region. This commenter suggests that the United States engage in further discussion on this issue.</P>
        <P>The New Zealander Winegrowers states that contiguity would be a difficult requirement for them due to their geography because large islands constitute most of the country.</P>
        <P>Finally, the Government of New Zealand notes the absence of a “contiguous” requirement in New Zealand law and also points out that its rules for appellations of more than one region require that only 85 percent of the wine be from the named regions rather than 100 percent as proposed by TTB. The commenter states that their preferred approach is that foreign wines with multistate appellations be labeled according to the rules of the country of origin.</P>
        <HD SOURCE="HD1">TTB Analysis</HD>
        <P>In Notice 110, TTB stated its intention to provide treatment for imported wines bearing multistate appellations similar to that which is currently available for domestic wines bearing multistate appellations. The Bureau believes that the proposed regulatory amendments would achieve that goal and provide for fair and equitable treatment of imported and domestic wines, including the requirement questioned by some commenters that multistate appellations be contiguous for foreign wines. Contiguity is already required for domestic wines; therefore TTB is requiring it for foreign wines in this rule as well.</P>

        <P>The Bureau and its predecessor have long interpreted the term “contiguous,” as it appears in 27 CFR 4.25(a)(1)(iii), to include two States which actually touch at a point along a common boundary, or three States which are connected throughout in an unbroken sequence. See ATF Ruling 91-1 (1991),<E T="03">http://www.ttb.gov/rulings/2001-2.htm.</E>For example, North Dakota and South Dakota are contiguous, as are South Dakota and Nebraska. North Dakota, South Dakota and Nebraska are also contiguous for the purpose of using three States in a multistate appellation on a wine label, even though North Dakota and Nebraska, without South Dakota, are not contiguous with one another and could not be used together on a wine label. A similar interpretation of the term contiguous will be applied to foreign appellations, where two states, territories or other applicable political subdivisions should actually touch at a point along a common boundary and where three such subdivisions are connected throughout in an unbroken sequence.</P>
        <P>For land boundaries, TTB expects the contiguous requirement to operate equally for foreign and domestic wines. However, as some commenters point out, island geography and maritime borders present additional considerations for determining whether or not two states, territories or other applicable political subdivisions are contiguous.</P>

        <P>In the domestic context under existing regulations, TTB still looks for the two States separated by water to actually touch at a point along their common maritime border. For example, the States of Rhode Island and New York are considered contiguous (although separated by water and sharing no common land boundary), because they actually touch at a point along a common maritime border in Block Island Sound; whereas the States of Indiana and Wisconsin are not considered contiguous, even though also separated by a body of water common to both (Lake Michigan). In the latter example, Indiana and Wisconsin are not contiguous because they do not actually touch at a point along a common maritime border within Lake Michigan, as the maritime borders of the<PRTPAGE P="16673"/>States of Illinois and Michigan intervene instead.</P>
        <P>In the international context, after consultation with the U.S. Department of State, TTB recognizes that maritime borders within the territorial seas of a nation are determined by the domestic laws of that nation and that subnational (e.g., state) borders are delineated by other nations in myriad ways or for a variety of purposes that may differ from how maritime borders are delineated in the United States. (The United States grants to its coastal States a right to the territorial seas of the United States to a certain limit, thereby establishing common maritime borders between States similar to those on land). TTB believes it would be inappropriate to strictly apply its interpretation of the term contiguous for domestic wines, particularly as to the issue as to what constitutes a common maritime border, to foreign wines without considering the position of the foreign nation concerning its own subnational maritime borders. Therefore, foreign states, territories, or other applicable political subdivisions may be considered contiguous, for purposes of this rule, so long as the label applicant, in conjunction with the government of the country of origin, can demonstrate to TTB that the political subdivisions sharing a common maritime border actually touch at a point along such border for a nationally- and/or internationally-recognized purpose (e.g., a common maritime border for fishing or mineral rights jurisdiction).</P>
        <P>TTB will consider the facts and evidence submitted by the label applicant and government of the country of origin on a case-by-case basis to establish whether the multiple appellations are contiguous. Foreign governments are also encouraged to provide TTB with information demonstrating the contiguity of their various states, territories, or other applicable political subdivisions, in order to assist TTB with its label review in advance of TTB's receipt of label applications that would be subject to this requirement. Lack of information supporting the contiguity of a multistate appellation could result in TTB having to reject a label application.</P>
        <HD SOURCE="HD1">TTB Finding</HD>
        <P>For the reasons set forth above, TTB believes it would be appropriate to adopt the proposed regulatory changes contained in Notice 110. In addition, TTB has noted a technical error in § 4.25(a)(1)(v): The word “States” should be singular, not plural. Accordingly, this document removes the second “s” from “States” to correct the error.</P>
        <HD SOURCE="HD1">Regulatory Flexibility Act</HD>

        <P>TTB certifies under the provisions of the Regulatory Flexibility Act (5 U.S.C. 601<E T="03">et seq.</E>) that this final rule will not have a significant economic impact on a substantial number of small entities. The amendments merely provide optional, additional flexibility in wine labeling decisions. Accordingly, a regulatory flexibility analysis is not required.</P>
        <HD SOURCE="HD1">Executive Order 12866</HD>
        <P>This final rule is not a significant regulatory action as defined by Executive Order 12866. Therefore, it requires no regulatory assessment.</P>
        <HD SOURCE="HD1">Drafting Information</HD>
        <P>Jennifer Berry of the Regulations and Rulings Division, Alcohol and Tobacco Tax and Trade Bureau, drafted this document.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 27 CFR Part 4</HD>
          <P>Administrative practice and procedure, Advertising, Customs duties and inspection, Imports, Labeling, Packaging and containers, Reporting and recordkeeping requirements, Trade practices, Wine.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Amendments to the Regulations</HD>
        <P>For the reasons discussed in the preamble, TTB amends 27 CFR part 4, Labeling and Advertising of Wine, as set forth below:</P>
        <REGTEXT PART="4" TITLE="27">
          <PART>
            <HD SOURCE="HED">PART 4—LABELING AND ADVERTISING OF WINE</HD>
          </PART>
          <AMDPAR>1. The authority citation for 27 CFR part 4 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>27 U.S.C. 205, unless otherwise noted.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="4" TITLE="27">
          <AMDPAR>2. Section 4.25 is amended:</AMDPAR>
          <AMDPAR>a. In paragraph (a)(1)(v), by removing the word “States” and adding in its place the word “State”;</AMDPAR>
          <AMDPAR>b. By revising paragraph (a)(2), the introductory text of paragraph (b)(2), and paragraph (d); and</AMDPAR>
          <AMDPAR>c. In paragraph (e)(1)(ii), by removing the words “(other than an appellation defined in paragraph (a)(2)(i) or (a)(2)(ii))” and adding, in their place, the words “(other than an appellation defined in paragraph (a)(2)(i), (a)(2)(ii), or (a)(2)(iii))”.</AMDPAR>
          <P>The revisions read as follows:</P>
          <SECTION>
            <SECTNO>§ 4.25</SECTNO>
            <SUBJECT>Appellations of origin.</SUBJECT>
            <P>(a) * * *</P>
            <P>(2)<E T="03">Imported wine.</E>An appellation of origin for imported wine is:</P>
            <P>(i) A country;</P>
            <P>(ii) A state, province, territory, or similar political subdivision of a country equivalent to a state or county;</P>
            <P>(iii) Two or no more than three states, provinces, territories, or similar political subdivisions of a country equivalent to a state which are all contiguous; or</P>
            <P>(iv) A viticultural area (as defined in paragraph (e) of this section).</P>
            <P>(b) * * *</P>
            <P>(2)<E T="03">Imported wine.</E>An imported wine is entitled to an appellation of origin other than a multistate appellation, or a viticultural area, if:</P>
            <STARS/>
            <P>(d)<E T="03">Multistate appellations.</E>(1)<E T="03">American wine.</E>An appellation of origin comprising two or no more than three States which are all contiguous may be used, if:</P>
            <P>(i) All of the fruit or other agricultural products were grown in the States indicated, and the percentage of the wine derived from fruit or other agricultural products grown in each State is shown on the label with a tolerance of plus or minus 2 percent;</P>
            <P>(ii) The wine has been fully finished (except for cellar treatment pursuant to § 4.22(c), and blending that does not result in an alteration of class or type under § 4.22(b)) in one of the labeled appellation States; and</P>
            <P>(iii) The wine conforms to the laws and regulations governing the composition, method of manufacture, and designation of wines in all of the States listed in the appellation.</P>
            <P>(2)<E T="03">Imported wine.</E>An appellation of origin comprising two or no more than three states, provinces, territories, or similar political subdivisions of a country equivalent to a state which are all contiguous may be used if:</P>
            <P>(i) All of the fruit or other agricultural products were grown in the states, provinces, territories, or similar political subdivisions of a country equivalent to a state indicated, and the percentage of the wine derived from fruit or other agricultural products grown in each state, province, territory, or political subdivision equivalent to a state is shown on the label with a tolerance of plus or minus 2 percent; and</P>
            <P>(ii) The wine conforms to the requirements of the foreign laws and regulations governing the composition, method of production, and designation of wines available for consumption within the country of origin.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <SIG>
          <PRTPAGE P="16674"/>
          <DATED>Signed: July 27, 2011.</DATED>
          <NAME>John J. Manfreda,</NAME>
          <TITLE>Administrator.</TITLE>
          <DATED>Approved: September 29, 2011.</DATED>
          <NAME>Timothy E. Skud,</NAME>
          <TITLE>Deputy Assistant Secretary, Tax, Trade, and Tariff Policy.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6930 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4810-31-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF THE TREASURY</AGENCY>
        <SUBAGY>Alcohol and Tobacco Tax and Trade Bureau</SUBAGY>
        <CFR>27 CFR Part 9</CFR>
        <DEPDOC>[Docket No. TTB-2011-0007; T.D. TTB-102; Re: Notice No. 121]</DEPDOC>
        <RIN>RIN 1513-AB82</RIN>
        <SUBJECT>Establishment of the Wisconsin Ledge Viticultural Area</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Alcohol and Tobacco Tax and Trade Bureau, Treasury.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule; Treasury Decision.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Alcohol and Tobacco Tax and Trade Bureau establishes the approximately 3,800 square-mile “Wisconsin Ledge” viticultural area in northeast Wisconsin. TTB designates viticultural areas to allow vintners to better describe the origin of their wines and to allow consumers to better identify wines they may purchase.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Effective Date:</E>April 23, 2012.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Karen A. Thornton, Regulations and Rulings Division, Alcohol and Tobacco Tax and Trade Bureau, 1310 G Street NW., Box 12, Washington, DC 20005; phone 202-453-1039, ext. 175.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background on Viticultural Areas</HD>
        <HD SOURCE="HD2">TTB Authority</HD>
        <P>Section 105(e) of the Federal Alcohol Administration Act (FAA Act), 27 U.S.C. 205(e), authorizes the Secretary of the Treasury to prescribe regulations for the labeling of wine, distilled spirits, and malt beverages. The FAA Act provides that these regulations should, among other things, prohibit consumer deception and the use of misleading statements on labels, and ensure that labels provide the consumer with adequate information as to the identity and quality of the product. The Alcohol and Tobacco Tax and Trade Bureau (TTB) administers the FAA Act pursuant to section 1111(d) of the Homeland Security Act of 2002, codified at 6 U.S.C. 531(d). The Secretary has delegated various authorities through Treasury Department Order 120-01 (Revised), dated January 21, 2003, to the TTB Administrator to perform the functions and duties in the administration and enforcement of this law.</P>
        <P>Part 4 of the TTB regulations (27 CFR part 4) allows the establishment of definitive viticultural areas and the use of their names as appellations of origin on wine labels and in wine advertisements. Part 9 of the TTB regulations (27 CFR part 9) sets forth standards for the preparation and submission of petitions for the establishment or modification of American viticultural areas and lists the approved American viticultural areas.</P>
        <HD SOURCE="HD2">Definition</HD>
        <P>Section 4.25(e)(1)(i) of the TTB regulations (27 CFR 4.25(e)(1)(i)) defines a viticultural area for American wine as a delimited grape-growing region having distinguishing features as described in part 9 of the regulations and a name and a delineated boundary as established in part 9 of the regulations. These designations allow vintners and consumers to attribute a given quality, reputation, or other characteristic of a wine made from grapes grown in an area to its geographic origin. The establishment of viticultural areas allows vintners to describe more accurately the origin of their wines to consumers and helps consumers to identify wines they may purchase. Establishment of a viticultural area is neither an approval nor an endorsement by TTB of the wine produced in that area.</P>
        <HD SOURCE="HD2">Requirements</HD>
        <P>Section 4.25(e)(2) of the TTB regulations outlines the procedure for proposing an American viticultural area and provides that any interested party may petition TTB to establish a grape-growing region as a viticultural area. Section 9.12 of the TTB regulations (27 CFR 9.12) prescribes standards for petitions for the establishment or modification of American viticultural areas. Such petitions must include the following:</P>
        <P>• Evidence that the area within the proposed viticultural area boundary is nationally or locally known by the viticultural area name specified in the petition;</P>
        <P>• An explanation of the basis for defining the boundary of the proposed viticultural area;</P>
        <P>• A narrative description of the features of the proposed viticultural area that affect viticulture, such as climate, geology, soils, physical features, and elevation, that make the proposed viticultural area distinctive and distinguish it from adjacent areas outside the proposed viticultural area boundary;</P>
        <P>• A copy of the appropriate United States Geological Survey (USGS) map(s) showing the location of the proposed viticultural area, with the boundary of the proposed viticultural area clearly drawn thereon; and</P>
        <P>• A detailed narrative description of the proposed viticultural area boundary based on USGS map markings.</P>
        <HD SOURCE="HD1">Wisconsin Ledge Petition</HD>
        <P>TTB received a petition from Steven J. DeBaker of Trout Springs Winery in Green Leaf, Wisconsin, to establish the “Wisconsin Ledge” American viticultural area. The proposed viticultural area contains approximately 3,800 square miles, with approximately 320 acres of vineyards in at least 14 commercially-producing vineyards and wineries, and an additional 70 acres projected to be planted within the next two years. A map that was submitted with the petition shows that the commercial vineyards and wineries are geographically dispersed throughout the proposed viticultural area. The proposed Wisconsin Ledge viticultural area lies in Door, Kewaunee, Manitowoc, Sheboygan, Ozaukee, Washington, Dodge, Fond du Lac, Calumet, Outagamie, and Brown Counties of northeast Wisconsin and does not overlap, or otherwise involve, any existing or proposed viticultural area.</P>
        <P>The proposed Wisconsin Ledge viticultural area is largely surrounded by water, including Lake Winnebago, the Fox River, Green Bay, and Lake Michigan. According to the petition, the region is heavily affected by the lasting effects of ancient glacial activity and the moderating marine influence of the surrounding bodies of water.</P>
        <P>TTB published Notice No. 121 in the<E T="04">Federal Register</E>on October 14, 2011 (76 FR 63852), proposing to establish the Wisconsin Ledge viticultural area. In the notice, TTB summarized the evidence from the petition regarding the name, boundary, and distinguishing features for the proposed viticultural area. The distinguishing features of the proposed area are its geology, geography, climate, hydrology, and soils. The notice also included a comparison of the distinguishing features to the surrounding area. For a description of the evidence relating to the name, boundary, and distinguishing features of the proposed viticultural area, see Notice No. 121.<PRTPAGE P="16675"/>
        </P>
        <HD SOURCE="HD1">Notice of Proposed Rulemaking and Comments Received</HD>
        <P>In Notice No. 121, TTB solicited comments on the accuracy of the name, boundary, climactic, and other required information submitted in support of the petition. The comment period closed on December 13, 2011.</P>
        <P>TTB received 29 comments in response to Notice No. 121. The commenters included 12 self-identified wine industry members, 2 Wisconsin wine industry associations, a Wisconsin State representative, 2 local planning commissions, a local environmental group, a local science museum, and 10 commenters who did not list any affiliation. All of the comments expressed support for the proposed Wisconsin Ledge viticultural area.</P>
        <HD SOURCE="HD1">TTB Determination</HD>
        <P>After careful review of the petition and the comments received in response to Notice No. 121, TTB finds that the evidence provided by the petitioner supports the establishment of the approximately 3,800 square mile Wisconsin Ledge viticultural area, as proposed in Notice No. 121. Accordingly, under the authority of the Federal Alcohol Administration Act and part 4 of the TTB regulations, TTB establishes the “Wisconsin Ledge” viticultural area in Door, Kewaunee, Manitowoc, Sheboygan, Ozaukee, Washington, Dodge, Fond du Lac, Calumet, Outagamie, and Brown Counties of northeast Wisconsin, effective 30 days from the publication date of this document.</P>
        <HD SOURCE="HD2">Boundary Description</HD>
        <P>In this final rule, TTB made minor editorial changes to clarify some of the language in the written boundary description published as part of Notice No. 121. See the narrative boundary description of the viticultural area in the regulatory text published at the end of this notice.</P>
        <HD SOURCE="HD2">Maps</HD>
        <P>The petitioner provided the required maps, and TTB lists them below in the regulatory text.</P>
        <HD SOURCE="HD1">Impact on Current Wine Labels</HD>
        <P>Part 4 of the TTB regulations prohibits any label reference on a wine that indicates or implies an origin other than the wine's true place of origin. With the establishment of this viticultural area, its name, “Wisconsin Ledge,” is recognized as a name of viticultural significance under 27 CFR 4.39(i)(3). The text of the new regulation clarifies this point. Once this final rule becomes effective, wine bottlers using “Wisconsin Ledge” in a brand name, including a trademark, or in another label reference as to the origin of the wine, will have to ensure that the product is eligible to use “Wisconsin Ledge” as an appellation of origin.</P>
        <P>For a wine to be labeled with a viticultural area name or with a brand name that includes a viticultural area name or other term identified as being viticulturally significant in part 9 of the TTB regulations, at least 85 percent of the wine must be derived from grapes grown within the area represented by that name or other term, and the wine must meet the other conditions listed in 27 CFR 4.25(e)(3). If the wine is not eligible for labeling with the viticultural area name or other viticulturally significant term and that name or term appears in the brand name, then the label is not in compliance and the bottler must change the brand name and obtain approval of a new label. Similarly, if the viticultural area name or other viticulturally significant term appears in another reference on the label in a misleading manner, the bottler would have to obtain approval of a new label.</P>
        <P>Different rules apply if a wine has a brand name containing a viticultural area name or other term of viticultural significance that was used as a brand name on a label approved before July 7, 1986. See 27 CFR 4.39(i)(2) for details.</P>
        <HD SOURCE="HD1">Regulatory Flexibility Act</HD>
        <P>TTB certifies that this regulation will not have a significant economic impact on a substantial number of small entities. The regulation imposes no new reporting, recordkeeping, or other administrative requirement. Any benefit derived from the use of a viticultural area name would be the result of a proprietor's efforts and consumer acceptance of wines from that area. Therefore, no regulatory flexibility analysis is required.</P>
        <HD SOURCE="HD1">Executive Order 12866</HD>
        <P>This rule is not a significant regulatory action as defined by Executive Order 12866. Therefore, it requires no regulatory assessment.</P>
        <HD SOURCE="HD1">Drafting Information</HD>
        <P>Karen A. Thornton of the Regulations and Rulings Division drafted this document.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 27 CFR Part 9</HD>
          <P>Wine.</P>
        </LSTSUB>
        <HD SOURCE="HD1">The Regulatory Amendment</HD>
        <P>For the reasons discussed in the preamble, TTB amends title 27, chapter I, part 9, Code of Federal Regulations, as follows:</P>
        <REGTEXT PART="9" TITLE="27">
          <PART>
            <HD SOURCE="HED">PART 9—AMERICAN VITICULTURAL AREAS</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 9 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>27 U.S.C. 205.</P>
          </AUTH>
        </REGTEXT>
        <REGTEXT PART="9" TITLE="27">
          <SUBPART>
            <HD SOURCE="HED">Subpart C—Approved American Viticultural Areas</HD>
          </SUBPART>
          <AMDPAR>2. Subpart C is amended by adding § 9.224 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 9.224</SECTNO>
            <SUBJECT>Wisconsin Ledge.</SUBJECT>
            <P>(a)<E T="03">Name.</E>The name of the viticultural area described in this section is “Wisconsin Ledge”. For purposes of part 4 of this chapter, “Wisconsin Ledge” is a term of viticultural significance.</P>
            <P>(b)<E T="03">Approved maps.</E>The 11 United States Geological Survey 1:100,000 scale topographic maps used to determine the boundary of the Wisconsin Ledge viticultural area are titled:</P>
            <P>(1) Door County, Wisconsin, 1986;</P>
            <P>(2) Kewaunee County, Wisconsin, 1985;</P>
            <P>(3) Manitowoc County, Wisconsin, 1986;</P>
            <P>(4) Sheboygan County, Wisconsin, 1986;</P>
            <P>(5) Ozaukee County, Wisconsin, 1986;</P>
            <P>(6) Washington County, Wisconsin, 1986;</P>
            <P>(7) Dodge County, Wisconsin, 1986;</P>
            <P>(8) Fond du Lac County, Wisconsin, 1986;</P>
            <P>(9) Calumet County, Wisconsin, 1986;</P>
            <P>(10) Outagamie County, Wisconsin, 1985; and</P>
            <P>(11) Brown County, Wisconsin, 1984.</P>
            <P>(c)<E T="03">Boundary.</E>The Wisconsin Ledge viticultural area is located in northeast Wisconsin in Door, Kewaunee, Manitowoc, Sheboygan, Ozaukee, Washington, Dodge, Fond du Lac, Calumet, Outagamie, and Brown Counties. The boundary of the Wisconsin Ledge viticultural area is as described below:</P>

            <P>(1) The beginning point is shown on the Door County map and is located at the northern end of the Door Peninsula at the point where the R28E and R29E common boundary line intersects with the Lake Michigan shoreline at Gills Rock in Hedgehog Harbor. From the beginning point, proceed easterly along the Lake Michigan shoreline to Northport and then continue southerly along the meandering shoreline, passing in succession over the Kewaunee, Manitowoc, and Sheboygan County maps and onto the Ozaukee County map to the intersection of the Lake Michigan<PRTPAGE P="16676"/>shoreline with a line drawn as an easterly extension of County Highway T (locally known as Lakefield Road), east of Cedarburg; then</P>
            <P>(2) Proceed west on County Highway T through Cedarburg, crossing onto the Washington County map, passing over the North Western railroad single track, and continuing to the intersection of County Highway T with U.S. Route 45; then</P>
            <P>(3) Proceed north on U.S. Route 45 to the intersection of U.S. Route 45 with State Road 60, south of Hasmer Lake; then</P>
            <P>(4) Proceed westerly on State Road 60, crossing onto the Dodge County map, to the intersection of State Road 60 with State Road 26 at Casper Creek, north-northwest of Clyman Junction; then</P>
            <P>(5) Proceed northerly on State Road 26 to the intersection of State Road 26 with U.S. Route 151, north of Plum Creek in Chester Township; then</P>
            <P>(6) Proceed northerly on U.S. Route 151, passing through Waupun onto the Fond du Lac County map, and continue northeasterly into the City of Fond du Lac to the point where U.S. Route 151 turns east, and, from that point, continue north in a straight line to the south shore of Lake Winnebago in Lakeside Park; then</P>
            <P>(7) Proceed easterly along the southern shoreline of Lake Winnebago, then northerly along the eastern shoreline, crossing onto the Calumet County map, to the intersection of the shoreline with a line drawn as a southerly extension of County Highway N at Highland Beach in Harrison Township; then</P>
            <P>(8) Proceed north on County Highway N, crossing onto the Outagamie County map, to the intersection of County Highway N with the Fox River; then</P>
            <P>(9) Proceed northeasterly (downstream) along the Fox River, crossing onto the Brown County map, until the Fox River meets the southern shoreline of Green Bay; and then</P>
            <P>(10) Proceed northeasterly along the eastern shoreline of Green Bay, passing over the Kewaunee County map and onto the Door County map, to Sister Bay, where the eastern shoreline of Green Bay becomes the shoreline of Lake Michigan, and then continue northeasterly along the shoreline of Lake Michigan, returning to the beginning point.</P>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Signed: February 8, 2012.</DATED>
          <NAME>John J. Manfreda,</NAME>
          <TITLE>Administrator.</TITLE>
          <DATED>Approved: March 5, 2012.</DATED>
          <NAME>Timothy E. Skud,</NAME>
          <TITLE>Deputy Assistant Secretary, Tax, Trade, and Tariff Policy.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6927 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4810-31-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF DEFENSE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <CFR>32 CFR Part 311</CFR>
        <DEPDOC>[Docket ID DOD-2012-OS-0027]</DEPDOC>
        <SUBJECT>Privacy Act of 1974; Implementation; Correction</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of the Secretary, DoD.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Direct final rule with request for comments; correction.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>On March 16, 2012, the Department of Defense published a direct final rule titled Privacy Act of 1974; Implementation. This rule corrects a system identifier error in the amended text.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Effective May 25, 2012.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Patricia Toppings, (571) 372-0485.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>On March 16, 2012, the Department of Defense published a direct final rule titled Privacy Act of 1974; Implementation. Subsequent to the publication of that direct final rule, Department of Defense discovered that the system identifier “DMDC 13” in § 311.8(c)(17) should have read “DMDC 11”.</P>
        <HD SOURCE="HD1">Correction</HD>
        <P>In the final rule (FR Doc. 2012-6167) published on March 16, 2012 (77 FR 15587-15588), make the following correction:</P>
        <REGTEXT PART="311" TITLE="32">
          <SECTION>
            <SECTNO>§ 311.8</SECTNO>
            <SUBJECT>[Corrected]</SUBJECT>
          </SECTION>
          <AMDPAR>On page 15588, in § 311.8, in the first column, in paragraph (c)(17), “DMDC 13, Investigative Records Repository” should read “DMDC 11, Investigative Records Repository”.</AMDPAR>
        </REGTEXT>
        <SIG>
          <DATED>Dated: March 19, 2012.</DATED>
          <NAME>Aaron Siegel,</NAME>
          <TITLE>Alternate OSD Federal Register Liaison Officer, Department of Defense.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6925 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 5001-06-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Parts 52 and 70</CFR>
        <DEPDOC>[EPA-R02-OAR-2012-0032, FRL-9645-8]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Implementation Plans and Operating Permits Program; Commonwealth of Puerto Rico; Administrative Changes</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Direct final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is approving revisions to the Puerto Rico Regulations for the Control of Atmospheric Pollution, submitted to EPA by the Puerto Rico Environmental Quality Board on July 13, 2011. This action approves revisions to Rules 102, 111, 115, 116, 609 and Appendix A. Generally the revisions to the regulations involve administrative changes which improve the clarity of the rules contained in the Commonwealth's Implementation Plan and Operating Permits Program. They do not change the emission limitations nor add significant new requirements.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>

          <P>This direct final rule is effective on May 21, 2012 without further notice, unless EPA receives adverse comment by April 23, 2012. If EPA receives such comment, EPA will publish a timely withdrawal in the<E T="04">Federal Register</E>informing the public that this rule will not take effect.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by Docket ID No. EPA-R02-OAR-2012-0032, by one of the following methods:</P>
          <P>•<E T="03">www.regulations.gov:</E>Follow the on-line instructions for submitting comments.</P>
          <P>•<E T="03">Email: Werner.Raymond@epa.gov</E>.</P>
          <P>•<E T="03">Fax:</E>(212) 637-3901.</P>
          <P>•<E T="03">Mail:</E>Raymond Werner, Chief, Air Programs Branch, Environmental Protection Agency, Region 2 Office, 290 Broadway, 25th Floor, New York, New York 10007-1866.</P>
          <P>•<E T="03">Hand Delivery:</E>Raymond Werner, Chief, Air Programs Branch, Environmental Protection Agency, Region 2 Office, 290 Broadway, 25th Floor, New York, New York 10007-1866. Such deliveries are only accepted during the Regional Office's normal hours of operation. The Regional Office's official hours of business are Monday through Friday, 8:30 to 4:30 excluding Federal holidays.</P>
          <P>
            <E T="03">Instructions:</E>Direct your comments to Docket ID No. EPA-R02-OAR-2012-0032. EPA's policy is that all comments received will be included in the public docket without change and may be<PRTPAGE P="16677"/>made available online at<E T="03">www.regulations.gov,</E>including any personal information provided, unless the comment includes information claimed to be Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Do not submit information that you consider to be CBI or otherwise protected through<E T="03">www.regulations.gov</E>or email. The<E T="03">www.regulations.gov</E>Web site is an “anonymous access” system, which means EPA will not know your identity or contact information unless you provide it in the body of your comment. If you send an email comment directly to EPA without going through<E T="03">www.regulations.gov</E>your email address will be automatically captured and included as part of the comment that is placed in the public docket and made available on the Internet. If you submit an electronic comment, EPA recommends that you include your name and other contact information in the body of your comment and with any disk or CD-ROM you submit. If EPA cannot read your comment due to technical difficulties and cannot contact you for clarification, EPA may not be able to consider your comment. Electronic files should avoid the use of special characters, any form of encryption, and be free of any defects or viruses. For additional information about EPA's public docket visit the EPA Docket Center homepage at<E T="03">http://www.epa.gov/epahome/dockets.htm.</E>
          </P>
          <P>Copies of the state submittal(s) are available at the following addresses for inspection during normal business hours:Environmental Protection Agency, Region 2 Office, Air Programs Branch, 290 Broadway, 25th Floor, New York, New York 10007-1866.</P>
          <P>Environmental Protection Agency, Region 2 Caribbean Field Office Centro Europa Building, Suite 417, 1492 Ponce de Leon Avenue, Stop 22, Santurce, Puerto Rico 00909.</P>
          <P>Environmental Protection Agency, Air and Radiation Docket and Information Center, Environmental Protection Agency, Room B-108, 1301 Constitution Avenue, (Mail Code 6102T) NW., Washington, DC 20460.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Kirk J. Wieber, Air Programs Branch, Environmental Protection Agency, 290 Broadway, 25th Floor, New York, New York 10007-1866, (212) 637-3381.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>On July 13, 2011, the Puerto Rico Environmental Quality Board (PREQB) submitted to EPA a request for approval of revisions to the Puerto Rico Regulations for the Control of Atmospheric Pollution (PRRCAP). In the context of the Clean Air Act (CAA or Act), the Commonwealth of Puerto Rico is regarded as a state. Generally the changes to the PRRCAP involve administrative changes which improve the clarity of the rules. They do not change the emission limitations nor add significant new requirements.</P>
        <HD SOURCE="HD1">I. Revisions to the PRRCAP</HD>
        <P>Most of the revisions consist of clarification type changes such as public law or code cites or word changes. A summary of the various revisions is given below. EPA has determined that the revisions improve the effectiveness of the PRRCAP and will have no negative effect on maintaining the national ambient air quality standards.</P>
        <HD SOURCE="HD2">A. General Provisions</HD>
        <HD SOURCE="HD3">Rule 102, “Definitions” and Appendix A, “Hazardous Air Pollutants—Section 112(b) of the Clean Air Act”</HD>
        <P>PREQB revised two definitions in the revised Rule 102. They include the definition for “Volatile Organic Compounds (VOC)” and the definition for “Applicable Rule and Regulation.” PREQB revised the VOC definition to make it consistent with EPA's definition for VOC found in 40 CFR section 51.100. The revision to the “Applicable Rule and Regulation” definition includes a change to the citation of Puerto Rico's Environmental Public Policy Act. It was previously referenced in the definition as Law No. 9 of June 18, 1970. That Law was replaced by Law No. 416 of September 22, 2004.</P>
        <P>PREQB also revised Appendix A to the PRRCAP. PREQB revised Appendix A to make it consistent with EPA's amended list of hazardous air pollutants in CAA section 112. Appendix A is referenced in the federally approved definition of Rule 102—“Hazardous Air Pollutant” of the PRRCAP.</P>
        <HD SOURCE="HD3">Rule 111, “Applications, Hearings, Public Notice” and Rule 115, “Punishment”</HD>
        <P>PREQB revised Rules 111 and 115 in order to change the citation to Puerto Rico's Environmental Public Policy Act. It was previously referenced in Rules 111 and 115 as Law No. 9 of June 18, 1970. That Law was replaced by Law No. 416 of September 22, 2004.</P>
        <HD SOURCE="HD3">Rule 116, “Public Nuisance”</HD>
        <P>PREQB revised Rule 116 in order to revise the citation of the applicable Puerto Rico code. Rule 116 previously referenced Article 329 of the Penal Code of Puerto Rico and this reference was replaced with Article 277 of the Civil Prosecution Code of Puerto Rico.</P>
        <P>None of the revisions to Rules 102, 111, 115, 116 or Appendix A of the PRRCAP involve changing the stringency of these provisions. EPA has thoroughly reviewed all of the revisions contained in these rules and has determined they meet EPA guidance and requirements; therefore, EPA is approving these revised rules. However, with regard to the revisions to the definition of VOC in Rule 102 and Appendix A, which are intended to achieve consistency with the CAA Section 112 list of chemicals, it is important to note that the CAA Section 112 list could potentially be revised by EPA and, for federal enforcement purposes, EPA will rely on the federally issued CAA Section 112 list.</P>
        <HD SOURCE="HD2">B. Other Provisions</HD>
        <HD SOURCE="HD3">Rule 609, “Permit Review”</HD>
        <P>PREQB also submitted a revision to Rule 609(g), “Confidential information” of the PRRCAP on July 13, 2011. The revisions to Rule 609 include the citation for Puerto Rico's Environmental Public Policy Act. It was previously referenced as Law No. 9 of June 18, 1970. That Law has subsequently been replaced by Law No. 416 of September 22, 2004. Rule 609 was never approved into the federally enforceable SIP for Puerto Rico since the provisions of Rule 609 are relevant to the Title V of the Act requirements. The federally approved SIP reflects only Title I of the Act requirements and not Title V. Therefore, EPA is not approving the revisions to Rule 609 into the federally enforceable Puerto Rico SIP. However, EPA is approving the revision to Rule 609 as part of the federally approved Puerto Rico Title V operating permits program. Rule 609 and the Puerto Rico Title V program were previously approved by EPA on February 26, 1996 (61 FR 7073).</P>
        <HD SOURCE="HD1">II. Conclusion</HD>

        <P>The revisions to Rules 102, 111, 115, 116 and Appendix A of the PRRCAP, effective February 18, 2011, are generally administrative changes, which improve the clarity of the rules. They do not change emission limitations nor add significant new requirements. EPA has thoroughly reviewed all of the revisions contained in these rules and has determined they meet EPA guidance and requirements. EPA is therefore approving revised PRRCAP Rules 102, 111, 115, 116 and Appendix A into the SIP. In addition, EPA is approving revised Rule 609 of the PRRCAP, effective February 18, 2011, as part of the federally approved Puerto Rico Title V operating permits program.<PRTPAGE P="16678"/>
        </P>

        <P>The EPA is publishing this rule without prior proposal because the Agency views this as a noncontroversial submittal and anticipates no adverse comments. However, in the proposed rules section of this<E T="04">Federal Register</E>publication, EPA is publishing a separate document that will serve as the proposal to approve the SIP revision should adverse comments be filed. This rule will be effective May 21, 2012 without further notice unless the Agency receives adverse comments by April 23, 2012.</P>

        <P>If the EPA receives adverse comments, then EPA will publish a timely withdrawal in the<E T="04">Federal Register</E>informing the public that the rule will not take effect. EPA will address all public comments in a subsequent final rule based on the proposed rule. The EPA will not institute a second comment period on this action. Any parties interested in commenting must do so at this time.</P>
        <HD SOURCE="HD1">III. Statutory and Executive Order Reviews</HD>
        <P>Under the Clean Air Act, the Administrator is required to approve a SIP submission that complies with the provisions of the Act and applicable Federal regulations. 42 U.S.C. 7410(k); 40 CFR 52.02(a). Thus, in reviewing SIP submissions, EPA's role is to approve state choices, provided that they meet the criteria of the Clean Air Act. Accordingly, this action merely approves state law as meeting Federal requirements and does not impose additional requirements beyond those imposed by state law. For that reason, this action:</P>
        <P>• Is not a “significant regulatory action” subject to review by the Office of Management and Budget under Executive Order 12866 (58 FR 51735, October 4, 1993);</P>

        <P>• Does not impose an information collection burden under the provisions of the Paperwork Reduction Act (44 U.S.C. 3501<E T="03">et seq.</E>);</P>

        <P>• Is certified as not having a significant economic impact on a substantial number of small entities under the Regulatory Flexibility Act (5 U.S.C. 601<E T="03">et seq.</E>);</P>
        <P>• Does not contain any unfunded mandate or significantly or uniquely affect small governments, as described in the Unfunded Mandates Reform Act of 1995 (Pub. L. 104-4);</P>
        <P>• Does not have Federalism implications as specified in Executive Order 13132 (64 FR 43255, August 10, 1999);</P>
        <P>• Is not an economically significant regulatory action based on health or safety risks subject to Executive Order 13045 (62 FR 19885, April 23, 1997);</P>
        <P>• Is not a significant regulatory action subject to Executive Order 13211 (66 FR 28355, May 22, 2001);</P>
        <P>• Is not subject to requirements of Section 12(d) of the National Technology Transfer and Advancement Act of 1995 (15 U.S.C. 272 note) because application of those requirements would be inconsistent with the Clean Air Act; and</P>
        <P>• Does not provide EPA with the discretionary authority to address, as appropriate, disproportionate human health or environmental effects, using practicable and legally permissible methods, under Executive Order 12898 (59 FR 7629, February 16, 1994).</P>
        
        <FP>In addition, this rule does not have tribal implications as specified by Executive Order 13175 (65 FR 67249, November 9, 2000), because the SIP is not approved to apply in Indian country located in the state, and EPA notes that it will not impose substantial direct costs on tribal governments or preempt tribal law.</FP>
        <P>The Congressional Review Act, 5 U.S.C. 801<E T="03">et seq.,</E>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. EPA will submit a report containing this action 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<E T="04">Federal Register</E>. A major rule cannot take effect until 60 days after it is published in the<E T="04">Federal Register</E>. This action is not a “major rule” as defined by 5 U.S.C. 804(2).</P>
        <P>Under section 307(b)(1) of the Clean Air Act, petitions for judicial review of this action must be filed in the United States Court of Appeals for the appropriate circuit by May 21, 2012. Filing a petition for reconsideration by the Administrator of this final rule does not affect the finality of this action for the purposes of judicial review nor does it extend the time within which a petition for judicial review may be filed, and shall not postpone the effectiveness of such rule or action. This action may not be challenged later in proceedings to enforce its requirements. (See section 307(b)(2).)</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects</HD>
          <CFR>40 CFR Part 52</CFR>
          <P>Environmental protection, Air pollution control, Incorporation by reference, Intergovernmental relations, Reporting and recordkeeping requirements, Volatile organic compounds.</P>
          <CFR>40 CFR Part 70</CFR>
          <P>Administrative practice and procedure, Air pollution control, Intergovernmental relations, Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: January 30, 2012.</DATED>
          <NAME>Judith A. Enck,</NAME>
          <TITLE>Regional Administrator, Region 2.</TITLE>
        </SIG>
        
        <P>Parts 52 and 70, chapter I, title 40 of the Code of Federal Regulations is amended as follows:</P>
        <REGTEXT PART="52" TITLE="40">
          <PART>
            <HD SOURCE="HED">PART 52—[AMENDED]</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 52 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401-7671q.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="52" TITLE="40">
          <SUBPART>
            <HD SOURCE="HED">Subpart BBB—Puerto Rico</HD>
          </SUBPART>

          <AMDPAR>2. Section 52.2720 is amended by revising paragraphs (c)(27)(ii), (c)(36)(i)(A)(<E T="03">1</E>) and (c)(37)(i)(A) and adding paragraph (c)(38) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 52.2720</SECTNO>
            <SUBJECT>Identification of plan.</SUBJECT>
            <STARS/>
            <P>(c) * * *</P>
            <STARS/>
            <P>(27) * * *</P>
            <P>(ii) July 24, 1980, providing a comprehensive set of adopted regulations, entitled “Regulation for the Control of Atmospheric Pollution.” Rules 115 and 116 revised in 2011; see paragraph 38 of this section.</P>
            <STARS/>
            <P>(36) * * *</P>
            <P>(i) * * *</P>
            <P>(A) * * *</P>
            <P>(<E T="03">1</E>) Amendments to Part I, “General Provisions”, Rules 102, 105, 106, 107, 109, 110, 111, 114, 117, and 121, effective September 28, 1995. Rule 111 revised in 2011; see paragraph 38 of this section.</P>
            <STARS/>
            <P>(37) * * *</P>
            <P>(i) * * *</P>
            <P>(A) Rule 102 Definitions, Guaynabo PM<E T="52">10</E>Maintenance Area; filed with the Secretary of State April 28, 2009; effective May 28, 2009. Rule 102 revised in 2011; see paragraph 38 of this section.</P>
            <STARS/>
            <PRTPAGE P="16679"/>
            <P>(38) Revisions to the Puerto Rico Regulations for the Control of Atmospheric Pollution submitted on July 13, 2011 by the Puerto Rico Environmental Quality Board.</P>
            <P>(i) Rule 102, Definitions, filed with the Secretary of State January 19, 2011; effective February 18, 2011. Supersedes version in paragraph 37.</P>
            <P>(ii) Rule 111, Applications, Public Hearings and Public Notice; filed with the Secretary of State January 19, 2011; effective February 18, 2011. Supersedes version in paragraph 36.</P>
            <P>(iii) Rule 115, Penalties; filed with the Secretary of State January 19, 2011; effective February 18, 2011. Supersedes version in paragraph 27.</P>
            <P>(iv) Rule 116, Public Nuisance; filed with the Secretary of State January 19, 2011; effective February 18, 2011. Supersedes version in paragraph 27.</P>
            <P>(v) Appendix A, Hazardous Air Pollutants—Section 112(b) of the Clean Air Act; filed with the Secretary of State January 19, 2011; effective February 18, 2011.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="52" TITLE="40">
          <AMDPAR>3. Section 52.2723 is amended by revising the entries for Rules 102, 103, 111, 113, 115 through 117 and adding a category for appendices and an entry for Appendix A to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 52.2723</SECTNO>
            <SUBJECT>EPA-approved Puerto Rico regulations.</SUBJECT>
            <GPOTABLE CDEF="s100,12,xs96,r100" COLS="4" OPTS="L1,i1">
              <TTITLE>Regulation for the Control of Atmospheric Pollution</TTITLE>
              <BOXHD>
                <CHED H="1">Puerto Rico regulation</CHED>
                <CHED H="1">Commonwealth effective date</CHED>
                <CHED H="1">EPA approval date</CHED>
                <CHED H="1">Comments</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Rule 102—Definitions</ENT>
                <ENT>2/18/11</ENT>
                <ENT>3/22/12, [Insert page number where the document begins]</ENT>
                <ENT>Puerto Rico's Environmental Public Policy Act, Law No. 9 of June 18, 1970, is replaced with Law 416 of September 22, 2004.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Rule 103—Source Monitoring, Recordkeeping, Reporting, Sampling and Testing Methods</ENT>
                <ENT>9/28/95</ENT>
                <ENT>1/22/97, 62 FR 3213</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Rule 111—Applications, Public Hearings and Public Notice</ENT>
                <ENT>2/18/11</ENT>
                <ENT>3/22/12, [Insert page number where the document begins]</ENT>
                <ENT>Puerto Rico's Environmental Public Policy Act, Law No. 9 of June 18, 1970, is replaced with Law 416 of September 22, 2004.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Rule 113—Closure of a Source</ENT>
                <ENT>9/28/95</ENT>
                <ENT>1/22/97, 62 FR 3213</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Rule 115—Penalties</ENT>
                <ENT>2/18/11</ENT>
                <ENT>3/22/12, [Insert page number where the document begins]</ENT>
                <ENT>Puerto Rico's Environmental Public Policy Act, Law No. 9 of June 18, 1970, is replaced with Law 416 of September 22, 2004.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Rule 116—Public Nuisance</ENT>
                <ENT>2/18/11</ENT>
                <ENT>3/22/12, [Insert page number where the document begins]</ENT>
                <ENT>Puerto Rico's Environmental Public Policy Act, Law No. 9 of June 18, 1970, is replaced with Law 416 of September 22, 2004.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Rule 117—Overlapping or Contradictory Provisions</ENT>
                <ENT>9/28/95</ENT>
                <ENT>1/22/97, 62 FR 3213</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW EXPSTB="03" RUL="s">
                <ENT I="21">
                  <E T="02">APPENDICES</E>
                </ENT>
              </ROW>
              <ROW EXPSTB="00">
                <ENT I="01">Appendix A, Hazardous Air Pollutants—Section 112(b) of the Clean Air Act</ENT>
                <ENT>2/18/11</ENT>
                <ENT>3/22/12, [Insert page number where the document begins]</ENT>
              </ROW>
            </GPOTABLE>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="70" TITLE="40">
          <PART>
            <HD SOURCE="HED">PART 70—[AMENDED]</HD>
          </PART>
          <AMDPAR>4. The authority citation for part 70 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 7401,<E T="03">et seq.</E>
            </P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="70" TITLE="40">
          <AMDPAR>5. Appendix A to part 70 is amended by adding paragraph (c) to the entry for Puerto Rico to read as follows:</AMDPAR>
          <HD SOURCE="HD1">Appendix A to Part 70—Approval Status of State and Local Operating Permits Programs</HD>
          
          <EXTRACT>
            <STARS/>
            <FP>
              <E T="03">Puerto Rico</E>
            </FP>
            <STARS/>
            <P>(c) The Puerto Rico Environmental Quality Board submitted a revision to its operating permits program on July 13, 2011. The revision includes a change to the Puerto Regulations for the Control of Atmospheric Pollution, Rule 609(g), “Confidential Information,” effective on February 18, 2011. The reference to Puerto Rico's Environmental Public Policy Act, Law No. 9 of June 18, 1970, is replaced with Law 416 of September 22, 2004.</P>
            <STARS/>
            
          </EXTRACT>
        </REGTEXT>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6922 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 355</CFR>
        <DEPDOC>[EPA-HQ-SFUND-2010-0586; FRL-9651-1]</DEPDOC>
        <RIN>RIN 2050-AF08</RIN>
        <SUBJECT>Emergency Planning and Notification; Emergency Planning and List of Extremely Hazardous Substances and Threshold Planning Quantities</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>

          <P>The U.S. Environmental Protection Agency (EPA or the Agency) is taking final action to revise the manner for applying the threshold planning quantities (TPQs) for those<PRTPAGE P="16680"/>extremely hazardous substances (EHSs) that are non-reactive solid chemicals in solution. This revision allows facilities subject to the Emergency Planning requirements that have a non-reactive solid EHS in solution, to first multiply the amount of the solid chemical in solution on-site by 0.2 before determining if this quantity equals or exceeds the lower published TPQ. This change is based on data that shows less potential for non-reactive solid chemicals in solution to remain airborne and dispersed beyond a facility's fence line in the event of an accidental release. Previously, EPA assumed that 100% of non-reactive solid chemicals in solution could become airborne and dispersed beyond the fenceline in the event of an accidental release.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective April 23, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>EPA has established a docket for this action under Docket ID No. EPA-HQ-SFUND-2010-0586. All documents in the docket are listed in the<E T="03">http://www.regulations.gov</E>index. Although listed in the index, some information is not publicly available, e.g., Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Certain other material, such as copyrighted material, will be publicly available only in hard copy. Publicly available docket materials are available either electronically<E T="03">http://www.regulations.gov/</E>or in hard copy at the Superfund Docket, EPA/DC, EPA West, Room 3334, 1301 Constitution Ave. NW., Washington, DC. The Public Reading Room is open from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal holidays. The telephone number for the Public Reading Room is (202) 566-1744, and the telephone number for the Superfund Docket is (202) 566-0276.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Kathy Franklin, Office of Emergency Management, Mail Code 5104A, U.S. Environmental Protection Agency, 1200 Pennsylvania Avenue NW., Washington, DC 20460-0002; telephone number: (202) 564-7987; fax number: (202) 564-2625; email address:<E T="03">franklin.kathy@epa.gov</E>. You may also contact the Superfund, TRI, EPCRA, RMP and Oil Information Center at (800) 424-9346 or (703) 412-9810 (in the Washington, DC metropolitan area). The Telecommunications Device for the Deaf (TDD) number is (800) 553-7672 or (703) 412-3323 (in the Washington, DC metropolitan area). You may wish to visit the Office of Emergency Management (OEM) Internet Web site at<E T="03">www.epa.gov/emergencies/content/epcra</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Here are the contents of today's preamble.</P>
        
        <EXTRACT>
          <FP SOURCE="FP-2">I. General Information</FP>
          <FP SOURCE="FP1-2">A. Who is affected by this final rule?</FP>
          <FP SOURCE="FP1-2">B. What is the statutory authority for this final rule?</FP>
          <FP SOURCE="FP1-2">C. List of Abbreviations and Acronyms</FP>
          <FP SOURCE="FP1-2">D. What is the background for this final rule?</FP>
          <FP SOURCE="FP1-2">E. Summary of Proposed Rule of April 15, 2011</FP>
          <FP SOURCE="FP-2">II. Summary of This Action</FP>
          <FP SOURCE="FP1-2">A. What is the scope of this final rule?</FP>
          <FP SOURCE="FP1-2">B. Applying a TPQ for an EHS Solid in Solution</FP>
          <FP SOURCE="FP-2">III. Response to Comments on April 15, 2011 Proposed Rule</FP>
          <FP SOURCE="FP1-2">A. Comments Supporting Changes</FP>
          <FP SOURCE="FP1-2">B. Comments Supporting Changes With Reservations</FP>
          <FP SOURCE="FP1-2">C. Comments Opposing Changes</FP>
          <FP SOURCE="FP-2">IV. Statutory and Executive Order Reviews</FP>
          <FP SOURCE="FP1-2">A. Executive Order 12866: Regulatory Planning and Review and Executive Order 13563: Improving Regulation and Regulatory Review</FP>
          <FP SOURCE="FP1-2">B. Paperwork Reduction Act</FP>
          <FP SOURCE="FP1-2">C. Regulatory Flexibility Act</FP>
          <FP SOURCE="FP1-2">D. Unfunded Mandates Reform Act</FP>
          <FP SOURCE="FP1-2">E. Executive Order 13132: Federalism</FP>
          <FP SOURCE="FP1-2">F. Executive Order 13175: Consultation and Coordination With Indian Tribal Governments</FP>
          <FP SOURCE="FP1-2">G. Executive Order 13045: Protection of Children From Environmental Health Risks and Safety Risks</FP>
          <FP SOURCE="FP1-2">H. Executive Order 13211: Energy Effects</FP>
          <FP SOURCE="FP1-2">I. National Technology Transfer and Advancement Act (“NTAA”)</FP>
          <FP SOURCE="FP1-2">J. Executive Order 12898: Federal Actions To Address Environmental Justice in Minority Populations and Low-Income Populations</FP>
          <FP SOURCE="FP1-2">K. Congressional Review Act</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. General Information</HD>
        <HD SOURCE="HD2">A. Who is affected by this final rule?</HD>

        <P>Entities that would be affected by this final rule are those organizations and facilities subject to section 302 of the Emergency Planning and Community Right-to-Know Act (EPCRA) and its implementing regulations found in 40 CFR part 355, subpart B—Emergency Planning. To determine whether your facility is affected by this action, you should carefully examine the applicability provisions at 40 CFR part 355. If you have questions regarding the applicability of this action to a particular entity, consult the person listed in the preceding<E T="02">FOR FURTHER INFORMATION CONTACT</E>section.</P>
        <HD SOURCE="HD2">B. What is the statutory authority for this final rule?</HD>
        <P>This final rule is being issued under the Emergency Planning and Community Right-to-Know Act of 1986 (EPCRA), which was enacted as Title III of the Superfund Amendments and Reauthorization Act of 1986 (Pub. L. 99-499), (SARA). The Agency relies on EPCRA section 328 for general rulemaking authority.</P>
        <HD SOURCE="HD2">C. List of Abbreviations and Acronyms</HD>
        <EXTRACT>
          <FP SOURCE="FP-1">ARF—Airborne Release Fraction</FP>
          <FP SOURCE="FP-1">CAS—Chemical Abstracts Service</FP>
          <FP SOURCE="FP-1">CBI—Confidential Business Information</FP>
          <FP SOURCE="FP-1">CERCLA—Comprehensive Environmental Response, Compensation, and Liability Act</FP>
          <FP SOURCE="FP-1">CFR—Code of Federal Regulations</FP>
          <FP SOURCE="FP-1">EHS—Extremely Hazardous Substance</FP>
          <FP SOURCE="FP-1">EO—Executive Order</FP>
          <FP SOURCE="FP-1">EPA—Environmental Protection Agency</FP>
          <FP SOURCE="FP-1">EMA—Emergency Management Agency</FP>
          <FP SOURCE="FP-1">EPCRA—Emergency Planning and Community Right-to-Know Act of 1986</FP>
          <FP SOURCE="FP-1">FR—Federal Register</FP>
          <FP SOURCE="FP-1">HCS—Hazard Communication Standard</FP>
          <FP SOURCE="FP-1">ICR—Information Collection Request</FP>
          <FP SOURCE="FP-1">LEPC—Local Emergency Planning Committee</FP>
          <FP SOURCE="FP-1">LOC—Level of Concern</FP>
          <FP SOURCE="FP-1">MSDS—Material Safety Data Sheet</FP>
          <FP SOURCE="FP-1">NFPA—National Fire Protection Association</FP>
          <FP SOURCE="FP-1">NRC—National Response Center</FP>
          <FP SOURCE="FP-1">NTTAA—National Technology Transfer and Advancement Act of 1995</FP>
          <FP SOURCE="FP-1">OMB—Office of Management and Budget</FP>
          <FP SOURCE="FP-1">OEM—Office of Emergency Management (within EPA)</FP>
        </EXTRACT>
        <HD SOURCE="HD2">D. What is the background of this final rule?</HD>
        <P>Title III of SARA (EPCRA) establishes authorities for emergency planning and preparedness, emergency release notification reporting, community right-to-know reporting, and toxic chemical release reporting. It is intended to encourage state and local planning for, and response to releases of hazardous substances and to provide the public, local governments, fire departments, and other emergency officials with information concerning potential chemical hazards present in their communities. The implementing regulations for emergency planning, emergency release notification, and the chemicals subject to these regulations are codified in 40 CFR part 355. The implementing regulations for community right-to-know reporting (or hazardous chemical reporting) are codified in 40 CFR part 370.</P>

        <P>Subtitle A of EPCRA establishes the framework for local emergency planning. The statute requires that EPA publish a list of extremely hazardous substances (EHSs). The EHS list was established by EPA to identify chemical substances that could cause serious irreversible health effects from accidental releases (52 FR 13378, April 22, 1987). The Agency was also directed to establish a threshold planning quantity (TPQ) for each extremely hazardous substance.<PRTPAGE P="16681"/>
        </P>
        <P>Under EPCRA section 302, a facility that has an EHS on-site in excess of its TPQ must notify the State Emergency Response Commission (SERC) and Local Emergency Planning Committee (LEPC), as well as participate in local emergency planning activities. Under EPCRA section 304, the facility owner or operator must report accidental releases of EHSs and hazardous substances listed under the Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA) in 40 CFR 302.4 in excess of the reportable quantity (RQ) to their LEPC and SERC, and to the National Response Center if the chemical is a CERCLA hazardous substance.</P>
        <P>Under ECPRA sections 311 and 312, facilities that have either (1) a hazardous chemical present at or above 10,000 pounds or (2) an EHS present at or above its TPQ or 500 pounds—whichever is the lesser, are required to submit an Emergency and Hazardous Chemical Inventory form and a Material Safety Data Sheet (MSDS) for that chemical to their SERC, LEPC and local fire department. A chemical is hazardous as defined under the Hazard Communication Standard (HCS) of the Occupational Safety and Health Act (OSHA).</P>
        <P>In a July 26, 1990<E T="04">Federal Register</E>notice (55 FR 30632), EPA added definitions necessary to designate Indian Tribes as the implementing authority of the emergency planning reporting and notification requirements and hazardous inventory reporting requirements. Under 40 CFR 355.61 and 40 CFR 370.66, when a facility is located in Indian Country, SERC means the Emergency Response Commission for the Tribe under whose jurisdiction the tribe is located. Such a Tribal Emergency Response Commission is known as a TERC.</P>
        <P>The purpose of the EHSs list is to focus initial efforts in the development of state and local contingency plans. Inclusion of a chemical on the EHSs list does not mean state or local communities should ban or otherwise restrict use of a listed chemical. Rather, such identification indicates a need for the community to undertake a program to investigate and evaluate the potential for accidental exposure associated with the production, storage or handling of the chemical at a particular site and develop a chemical emergency response plan around those risks.</P>
        <HD SOURCE="HD3">1. Regulatory Background</HD>

        <P>The list of EHSs and their TPQs are codified in 40 CFR part 355, Appendices A and B. EPA first published the EHSs list and corresponding TPQs along with the methodology for determining the TPQs as an interim final rule on November 17, 1986 (51 FR 41570). In the final rule of April 22, 1987 (52 FR 13378), EPA made a number of revisions. Among other things, the final rule republished the EHSs list, added four new chemicals, and revised the methodology for some TPQs. The final rule also defined TPQs for EHS solids in solution, based on comments on the interim final rule. Details of the methodology used in determining whether to list a substance as an EHS and deriving the TPQs are found in the November 1986 and April 1987<E T="04">Federal Register</E>notices and in the technical support documents,<SU>1</SU>
          <FTREF/>all found in the docket for this rulemaking.</P>
        <FTNT>
          <P>
            <SU>1</SU>
            <E T="03">Threshold Planning Quantities Technical Support Document,</E>4-7-87.<E T="03">Chemicals That Were Assigned Threshold Planning Quantities Different From the Calculated Index Value,</E>4-7-87.<E T="03">Reactive Solids Whose Threshold Planning Quantities Should Be Less than 10,000 Pounds,</E>4-7-87.<E T="03">Changes Made to Threshold Planning Quantities Between Proposed Rule and Final Rule,</E>4-7-87.<E T="03">Technical Support Document for Determination of Levels of Concern,</E>11-11-86.</P>
        </FTNT>
        <HD SOURCE="HD3">2. Development of Existing TPQs</HD>
        <P>The TPQs were initially assigned based on a ranking scheme using a Level of Concern (LOC) based on acute toxicity and the potential for airborne dispersion. The TPQ methodology is described in detail in the “Threshold Planning Quantities Technical Support Document” dated April 7, 1987, which can be found in the docket for this rulemaking. For each chemical, a ranking index was calculated which equaled the LOC divided by an air dispersion factor (V). Chemicals were assigned TPQs of 1, 10, 100, 500, 1000 or 10,000 pounds based on the order of magnitude ranges of the index values. For gases, V = 1, while for liquids, V was based on a volatilization model using the molecular weight and boiling point of the chemical.</P>
        <P>Solid EHS chemicals with a particle size less than 100 microns in diameter, molten solids, solids in solution, and solids with a National Fire Protection Association (NFPA) reactivity rating of 2, 3, or 4 were assigned a V equal to 1. If the EHS solid did not have a particle size less than 100 microns, was not molten or handled in solution form, and did not have an NFPA reactivity rating of 2, 3, or 4, then the EHS chemical was assigned a TPQ of 10,000 pounds, which corresponds to the highest index value. Solids with a NFPA reactivity rating of 2, 3, or 4 are denoted with an “a” in the Notes column of the EHSs list. For solids in molten form, before applying the TPQ, the amount of chemical on-site at any time is multiplied by an adjustment factor of 0.3 to conservatively account for the maximum volatilization of the spilled molten substance that is likely to take place.</P>
        <HD SOURCE="HD3">3. Changes to EHS List and TPQs</HD>
        <P>EPA has since amended the EHSs list and deleted 51 chemicals. Ten chemicals were deleted based on the request of petitioners and the remaining 41 chemicals were deleted as a result of Agency review. The chemicals were deleted because they did not meet the toxicity criteria for the list and/or were originally listed in error. Petitions requesting the deletion of two chemicals, paraquat dichloride (which is discussed below) and isophorone diisocyante have been denied. Isophorone diisocyanate was not deleted from the EHSs list because its inhalation toxicity met the EHSs listing criteria.</P>
        <P>EPA has also changed the TPQs for some of the EHSs. In the April 22, 1987 final rule, EPA reduced the TPQs for 36 substances, while it raised the TPQs for 12 substances based on updated acute toxicity data. Since then, EPA has lowered the TPQ for muscimol because of a typographical error in a prior rulemaking; EPA has raised the TPQ for isophorone diisocyanate because it was mistakenly based on a physical state of reactive solid, when it is actually a liquid; and EPA has denied a petition to raise the TPQs for azinphos methyl and fenamiphos.</P>
        <HD SOURCE="HD3">4. Petition for Paraquat Dichloride</HD>
        <P>Paraquat dichloride was originally listed as paraquat with a CAS No. 1910-42-5 on the final EHSs list. ICI Americas submitted a petition in October 1989 that requested the Agency to remove paraquat from the EHSs list or alternatively, revise the TPQ. On October 12, 1994 (59 FR 51816), EPA changed the listed chemical name from paraquat to paraquat dichloride to match the CAS Number and denied the petition to delete paraquat or modify the TPQ, because the inhalation toxicity of paraquat dichloride met the EHS listing criteria. Further explanation of EPA's rationale for denying the petition can be found in the October 12, 1994 final rule (59 FR 51816) and in the April 15, 2011 proposed rule (76 FR 21299) for modifying the application of TPQs for EHS solids in solution.</P>
        <HD SOURCE="HD3">5. Zeneca's Request To Reconsider the Paraquat Dichloride Petition</HD>

        <P>In November 1999, Zeneca (formerly ICI Americas) requested that EPA reconsider either removing paraquat dichloride from the EHSs list or raising<PRTPAGE P="16682"/>its TPQ. Zeneca claimed that the form of the chemical used in inhalation toxicity tests (temporarily atomized powder under laboratory conditions) is not relevant data to use for listing paraquat dichloride. Zeneca believed that it was highly unlikely that inhalable particles or vapors of paraquat dichloride could become airborne during an accidental release. Zeneca did not agree with the rationale EPA used to assign a TPQ of 10 pounds to paraquat dichloride, which is only manufactured, processed and used in solution form. Zeneca claimed that EPA did not explain why a greater potential for airborne dispersion for solids in solution exists as opposed to liquid chemicals.</P>
        <P>On October 11, 2000, Syngenta (formerly Zeneca) filed an action in U.S. District Court for the District of Columbia under the Administrative Procedures Act seeking judicial review of EPA's decisions regarding paraquat dichloride. In this complaint, Syngenta requested EPA to either delete paraquat dichloride from the EHSs list or raise its TPQ. In their complaint, Syngenta did not agree with EPA's rationale to assign a lower TPQ of 10 pounds to paraquat dichloride, which is only manufactured, processed and used in solution form. Syngenta also claimed that EPA did not explain why it assumed a greater potential for airborne dispersion for solids in solution, as opposed to liquid chemicals. In addition, Syngenta argued that paraquat dichloride solution is basically a non-volatile salt dissolved in water, and that the physical and chemical characteristics of many solids like paraquat dichloride limit their capacity to become airborne.</P>
        <P>On January 23, 2003, EPA filed a Motion for Voluntary Remand in order to reconsider the petition. The court granted EPA's motion and dismissed Syngenta's complaint on January 31, 2003. By order of February 24, 2003, the court denied Syngenta's Motion to Amend Judgment. EPA again reviewed the request to delete paraquat dichloride and/or to raise its TPQ. In a November 21, 2003, letter to the petitioner, EPA reaffirmed its denial to delete paraquat dichloride from the EHSs list. EPA concluded that the acute toxicity of paraquat dichloride meets the criteria for listing it as an EHS chemical. In the same letter to the petitioner (available in the docket), however, EPA agreed to consider a revision to the TPQ for paraquat dichloride in the context of a proposed rule to amend the TPQ for all EHS chemicals handled as solids in solution.</P>
        <HD SOURCE="HD2">E. Summary of Proposed Rule of April 15, 2011</HD>
        <P>In the proposed rule of April 15, 2011 (76 FR 21299), EPA proposed that facilities who are subject to the emergency planning notification requirements under section 302 of EPCRA, and who have a non-reactive solid EHS in solution on-site, should multiply the amount of the non-reactive solid chemical (in solution form) by 0.2 before determining if this reduced quantity equals or exceeds the lower published TPQ. This change was proposed based on data in the literature that shows less potential for non-reactive solid chemicals in solution to remain airborne beyond a facility's fenceline in the event of an accidental release. This change affects not just paraquat dichloride solution, but all EHS solid chemicals in solution, except reactive solids. The application of a reducing factor to the amount of non-reactive EHS solids in solution before comparison to its TPQ is similar to how facilities apply the TPQs for EHSs that are molten solids, except that for molten solids the factor is 0.3.<SU>2</SU>
          <FTREF/>EPA also defined<E T="03">solution</E>to be any aqueous or organic solutions, slurries, viscous solutions, suspensions, emulsions, or pastes.</P>
        <FTNT>
          <P>
            <SU>2</SU>The amount present on-site for EHSs that are in a molten form is calculated by multiplying the weight of the chemical by 0.3 to determine if the lower TPQ is met or exceeded.</P>
        </FTNT>
        <P>However, this change will not apply to the 12 solid EHS chemicals that are reactive solids (denoted with “a” in the “Notes” column in Appendix A or B of 40 CFR part 355). Reactive solids are more likely than other solids to be dispersed into the air due to the energy or heat created from their reactivity with water or air. The explanation for not assigning a 10,000 pounds TPQ to each of the reactive solids is discussed in the document, “Reactive Solids Whose Threshold Planning Quantities Should Be Less Than 10,000 Pounds,” April 7, 1987, which can be found in the docket to this rulemaking.</P>
        <P>Previously, EPA had assumed that 100% of non-reactive EHS solid chemicals in solution could become airborne in the event of an accidental release. Review of the literature data for accidental releases of liquid aerosols shows that no more than 20% of the release is expected to remain airborne. The data is from a 1994 U.S. Department of Energy (USDOE) report<SU>3</SU>
          <FTREF/>(available in the docket) on the airborne release fraction (ARF) from experimental liquid aerosol releases involving metal salt solutions for a wide variety of release scenarios. EPA based the 0.2 factor on the scenario with the highest release potential in order best to serve the purposes of emergency planning. A summary of the USDOE aerosol release scenarios with the highest ARFs are listed in a table in the April 15, 2011 proposed rule (76 FR 21299). A more detailed discussion, along with the alternative approaches considered, can be found in the April 15, 2011 proposed rule and in the “Technical Support Document for Revised TPQ Method for EHS Solids in Solution” in the docket for this rule.</P>
        <FTNT>
          <P>
            <SU>3</SU>
            <E T="03">DOE Handbook, Airborne Release Fractions/Rates and Respirable Fractions for Nonreactor Nuclear Facilities.</E>December 1994. U.S. Department of Energy, Washington, DC 20585. DOE-HDBK-3010-94. Volume I—Analysis of Experimental Data and Volume II—Appendices.</P>
        </FTNT>
        <P>EPA's revised TPQ methodology for non-reactive EHS solids in solution and supporting data was peer reviewed and the technical support document was revised based on peer review comments. The results of the peer review and response to peer review comments are found in a separate document, “Peer Review of Technical Support Document for Revised TPQ Method for EHS Solids in Solution,” which is available in the docket to this rulemaking. A summary of the peer reviewer's comments and EPA responses to them are presented in the April 15, 2011 proposed rule (76 FR 21299).</P>
        <HD SOURCE="HD1">II. Summary of This Action</HD>
        <HD SOURCE="HD2">A. What is the scope of this final rule?</HD>
        <P>This final rule revises the manner for applying the TPQ for the 157 non-reactive EHS chemicals that are handled as solids in solution. These 157 chemicals appear with two TPQs, (the higher TPQ is 10,000 pounds) in Appendix A and B of 40 CFR part 355. The 12 solid EHS chemicals that are reactive solids are noted by footnote “a” in Appendix A and B of 40 CFR part 355, and are not affected by this final rule. Definitions of reactive and non-reactive solids, which were explained in the preamble of the proposed rule, have also been added to the regulations in 40 CFR 355.61 for greater clarity.</P>

        <P>Solid EHSs (except reactive solids) have a TPQ of 10,000 pounds or a specified lower TPQ, for particular forms. For purposes of complying with the emergency planning notification requirements of section 302 of EPCRA, facilities should multiply the amount of EHS chemical handled as a non-reactive solid in solution on-site by 0.2 before determining if this amount equals or exceeds the established lower TPQ. If the amount of the non-reactive EHS solids in solution on-site multiplied by 0.2 does not equal or exceed the lower<PRTPAGE P="16683"/>TPQ for that solid EHS, then the facility is not subject to the EPCRA section 302 emergency planning notification requirements for that substance. This amount includes only the weight of the chemical and not the solvent or other chemicals in solution. The amount of non-reactive EHS solids in solution may be determined by multiplying the weight percent of the EHS solids in solution in a particular container by the weight of the total solution. Solutions include aqueous or organic solutions, slurries, viscous solutions, suspensions, emulsions, and pastes.</P>

        <P>Additionally, EPA has also revised the regulations for 40 CFR 355.16(c) to be applicable only to molten<E T="03">non-reactive</E>solids. That is, the factor of 0.3 to be multiplied by the amount of a molten solid on-site before comparing to the lower TPQ should only be used for non-reactive solids in molten form, not reactive solids in molten form. Reactive solids are more likely to be dispersed into the air due to the energy or heat created from their reactivity with water or air and their TPQs were developed taking these factors into account.</P>
        <P>Additionally, the methodology of applying TPQs for non-reactive EHS solids in solution or non-reactive molten solids does not affect the reporting requirements for sections 311 and 312 of EPCRA (40 CFR part 370). Regulations under 40 CFR 370.10 state that an EHS is present at a facility if the “amount of EHS present at any one time” is equal or greater than 500 pounds or the TPQ, whichever is lower. The reducing factor of 0.2 for non-reactive EHS solids in solution or (0.3 for non-reactive EHS molten solids) is not to be used for compliance with hazardous chemical reporting. Therefore, EPA has amended the text of 40 CFR 355.16 (b) and (c) to clarify that the reduction in quantity for the amount of non-reactive EHS solids in solution and for the amount of non-reactive EHS solid in molten form present at a facility does not apply for reporting requirements under 40 CFR 370.10, which covers MSDS and hazardous chemical inventory reporting. That is, facilities must not use the reduction in quantity on-site to determine the “amount present at one time” for reporting under 40 CFR 370.10.</P>
        <P>The reason why the reducing factors are to be used for emergency planning notification under 40 CFR part 355 and not under hazardous chemical reporting under 40 CFR part 370 are explained below. Emergency planning notification under section 302 helps LEPCs identify those facilities whose accidental releases pose risks to the surrounding community so they can develop emergency plans that identify the location and number of affected populations, evacuation or shelter-in-place procedures, etc. On the other hand, sections 311 and 312 of EPCRA require submission of MSDSs and an on-site inventory of hazardous chemicals to help emergency responders assess how to respond to an emergency release or fire. In particular, responders need the amounts, manner of storage and locations of the chemical on-site, the chemical and physical properties, hazard ratings, toxicity information and incompatibilities of the chemical, as well as measures needed to contain the spill or fire at the facility in order to know how to respond to an emergency. In addition, they need to know what type of protective equipment is needed to protect them from exposure, not only airborne, but also dermal exposure.</P>
        <P>Emergency release notification requirements under EPCRA section 304 also are not affected by this final action. Section 304 requires facilities to notify the community emergency coordinator for the LEPC of any area likely to be affected by the release and the SERC of any area likely to be affected by the release (defined in 40 CFR 355.61) at or above the reportable quantity (RQ) of any EHS or CERCLA hazardous substance. If the chemical released is a CERCLA hazardous substance, the release must also be reported to the National Response Center (NRC). The RQ is not the same as the TPQ. TPQs are based on acute mammalian toxicity and potential for airborne dispersion. RQs, on the other hand, are developed using several criteria, including aquatic toxicity, mammalian toxicity, ignitability, reactivity, chronic toxicity, potential carcinogenicity, biodegradation, hydrolysis, and photolysis (50 FR 13468, April 4, 1985).</P>
        <HD SOURCE="HD2">B. Applying a TPQ for an Non-Reactive EHS Solid in Solution</HD>
        <P>Facilities with a non-reactive EHS solid in solution should apply the 0.2 factor only to the amount of EHS solid present, not the total weight of the solution. As an example, a facility has 4,000 pounds of a solution of 37% by weight paraquat dichloride on-site. Therefore, this solution contains 1,480 pounds of paraquat dichloride (0.37 × 4,000 pounds). The facility would multiply 1,480 pounds by 0.2, which equals 296 pounds. This amount is then compared to the TPQ for paraquat dichloride, which is 10 pounds. Because this amount exceeds the 10 pounds TPQ, the facility is required to comply with the emergency notification requirements of section 302 of EPCRA. As another example, a facility has 10 gallons (gal) of a solution of 37% by weight paraquat dichloride on-site. The density of the solution is 9.33 pounds per gallon. Therefore, this solution contains 34.5 pounds of paraquat dichloride (10 gal × 9.33 lb/gal × 0.37). The facility would multiply 34.5 pounds by 0.2, which equals 6.9 pounds. This amount is then compared to the TPQ for paraquat dichloride, which is 10 pounds. Because this amount is less than the 10 pounds TPQ, the facility is not required to comply with the emergency notification requirements of section 302 of EPCRA.</P>
        <P>Facilities that handle both the powdered and solution forms of a particular non-reactive solid EHS will have to consider the quantities of each form and the particle size to determine whether they exceed a TPQ. Below are several examples of how to apply the revised TPQ methods in various cases.<SU>4</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>4</SU>For these examples, the EHS is not paraquat dichloride, but an unspecified non-reactive solid EHS that has a lower TPQ of 500 pounds and a higher TPQ of 10,000 pounds.</P>
        </FTNT>
        <P>
          <E T="03">Non-reactive solid in solution exceeds lower TPQ, powder below 10,000 pounds.</E>A facility has on-site 5,000 pounds of a pure EHS powder with a particle size equal to or greater than 100 microns, which is less than the 10,000 pounds TPQ. However, they also have 1,000 gallons of a 35% by weight non-reactive EHS solid in solution with a density of 9 pounds per gallon. The amount of solids in solution on-site is 3,150 pounds (1000 gallons × 9 pounds per gallon × 0.35). Multiplying the 3,150 pounds of solid in solution by 0.2 equates to 630 pounds, which exceeds the lower TPQ of 500 pounds. Thus, the facility must report under section 302 of EPCRA based on exceeding the lower TPQ for the non-reactive solid in solution form.</P>
        <P>
          <E T="03">Non-reactive solid in solution below lower TPQ, powder exceeds 10,000 pounds.</E>A facility has on-site 11,000 pounds of a pure EHS solid powder with a particle size equal to or greater than 100 microns, which is more than the 10,000 pounds TPQ. They also have 2,000 gallons of a 10% by weight non-reactive EHS solid in solution with a density of 9 pounds per gallon. The amount of solids in solution on-site is 1,800 pounds (2,000 gallons × 9 pounds per gallon × 0.10). Multiplying the 1,800 pounds of solid in solution by 0.2 equates to 360 pounds, which is less than the lower TPQ of 500 pounds. Thus, the facility must report under section 302 of EPCRA based on exceeding the 10,000 pounds TPQ for the solid in powder form.<PRTPAGE P="16684"/>
        </P>
        <P>
          <E T="03">Non-reactive solid in solution below lower TPQ, powder below 10,000 pounds.</E>A facility has 5,000 pounds of a pure EHS solid powder with a particle size equal or greater than 100 microns, which is less than the 10,000 pounds TPQ. They also have 1,500 gallons of a 15% by weight non-reactive EHS solid in solution with a density of 9 pounds per gallon. The amount of solids in solution on-site is 2,025 pounds (1.500 gallons × 9 pounds per gallon × 0.15). Multiplying the 2,025 pounds of solid in solution by 0.2 equates to 405 pounds, which is less than the lower TPQ of 500 pounds. Thus, the facility is not required to report under section 302 of EPCRA because it does not exceed the lower 500 pounds TPQ for the non-reactive solids in solution form or the 10,000 pounds TPQ for the powder with a particle size greater than 100 microns.</P>
        <P>
          <E T="03">Powdered product less than 100 microns, processed into solution.</E>If the same amount of solid EHS powder were involved as the same scenarios above, except the powder has a particle size less than 100 microns, then the lower 500 pounds TPQ would apply to the powder instead of 10,000 pounds. If either the amount of powder or non-reactive solids in solution exceeds the lower TPQ, the facility would be required to report under section 302 of EPCRA.</P>
        <HD SOURCE="HD1">III. Response to Comments on April 15, 2011 Proposed Rule</HD>
        <P>EPA received comments from three organizations. The number of commenters in each group is as follows: Industry, 1 comment; and LEPCs, SERCs (or TERCs) and Emergency Management Agencies (EMAs), 2 comments. A complete summary of all comments and EPA's response to them is presented in “Response to Comments for Emergency Planning and Community Right-to-Know Act; Emergency Planning and List of Extremely Hazardous Substances and Threshold Planning Quantities,” which is available in the docket. The major issues and the Agency's responses to them are described below.</P>
        <HD SOURCE="HD2">A. Comments Supporting the Changes</HD>
        <P>
          <E T="03">Comment:</E>One commenter believed that the proposed method better reflects the ability of a solid substance becoming airborne. They also support not changing the EPCRA section 304 reportable quantities for EHSs.</P>
        <P>
          <E T="03">EPA's Response:</E>We agree with the commenter, as it relates to non-reactive solids in solution. However, EPA emphasizes that the changes proposed (and finalized today) apply only to non-reactive EHS solids in solution, not other solid forms, such as powdered solids. EHSs that are powdered solids with a particle size of less than 100 microns diameter are considered to be as dispersable in air as a gas and are subject to the lower listed TPQ in Appendix A or B of 40 CFR part 355. On the other hand, EHSs that are powdered solids with a particle size equaling or exceeding 100 microns in diameter are subject to the higher TPQ of 10,000 pounds.</P>
        <P>
          <E T="03">Comment:</E>Another commenter supported the proposed method because they believe the changes can benefit SERCs and LEPCs to allow them to better focus their limited resources on those amounts of EHSs that will potentially cause the greatest harm. The commenter also thought the proposal was consistent with Executive Order 13563, which promotes that “analysis of rules that may be outmoded, ineffective, insufficient, or excessively burdensome, and to modify, streamline, expand, or repeal them in accordance with what has been learned” (76 FR 3822, January 21, 2011).</P>
        <P>
          <E T="03">EPA's Response:</E>We agree with the commenter that the revised methodology better aligns the regulatory requirements with the best available science. That is, the additional experimental data on aerosol releases refines the applicability and development of TPQs for non-reactive EHS solids in solution because it provides a sounder scientific basis for assigning TPQs, and thereby, more accurately identifies the forms of solid chemicals that would pose the greatest risks if accidently released. We also agree with the commenter that the EHSs list and assigned TPQs are intended to help communities focus on the substances and facilities of most immediate concern for emergency planning and response.</P>
        <P>With respect to E.O. 13563: Improving Regulation and Regulatory Review, EPA did not address the application of this Executive Order in the proposed rule because OMB review of this action had just been completed before the Executive Order was issued in January 2011. However, the Agency did include the revisions for the application of TPQs for EHS non-reactive solids in solution in its report to OMB, “Final Plan for Periodic Retrospective Reviews of Existing Regulations” (the Plan) in response to President Obama's charge in Executive Order 13563 for each federal agency to develop a plan for reviewing existing regulations. EO 13563 requires the agency to “periodically review its existing significant regulations to determine whether any such regulations should be modified, streamlined, expanded, or repealed so as to make the agency's regulatory program more effective or less burdensome in achieving the regulatory objectives.”</P>
        <HD SOURCE="HD2">B. Comments Supporting the Changes With Questions</HD>
        <P>
          <E T="03">Comment:</E>The commenter notes that the proposed rule states that a facility determines the quantity of EHSs “present” for solids in solution by multiplying the weight percent of non-reactive solids in solution in a particular container by the total weight of solution in the container, multiplied by 0.2. Under 40 CFR 370.30, a facility must submit an MSDS for each hazardous chemical “present” at the facility that meets or exceeds the applicable threshold level. Under the new proposal, it appears the facility may report on the calculated amount under the proposed regulation, thus changing the Tier II threshold without any discussion or analysis. The commenter strongly urges that the language of the proposed regulation address this ambiguity directly and clarify its relationship to EPCRA section 312. The commenter suggests the following language be added to the proposal in 40 CFR 355.16(b): This reduction in quantity does not apply to determining the threshold for reporting under 40 CFR 370.10.</P>
        <P>
          <E T="03">EPA's Response:</E>EPA agrees with the commenter that application of TPQs for emergency planning and for hazardous chemical reporting should be clarified in the regulations to make it clear that the reducing factor is not used for compliance with the hazardous chemical reporting requirements under 40 CFR 370.10. (See Section II.A of the preamble to today's final rule for further discussion on this point.) However, rather than say the reduction in quantity does not apply in determining the TPQ (“the threshold” as stated by commenter), EPA has amended 40 CFR 355.16(b) by stating that this reduction in quantity must not be used to determine the amount present at one-time at a facility for reporting under 40 CFR 370.10. That is, EPA sets the TPQs, but facilities must determine the amount present to compare to the threshold.</P>

        <P>EHS solids in molten form also have a reducing factor (0.3) applied to the amount on-site before comparing with the TPQ. Therefore, EPA has revised the regulation in 40 CFR 355.16(c) to also clarify that this reducing factor must not be used to determine the amount present at one-time at a facility for reporting under 40 CFR 370.10, which covers hazardous chemical reporting. EPA has also revised 40 CFR 355.16(c) to limit the application of the 0.3<PRTPAGE P="16685"/>reducing factor to be used only for non-reactive solids in molten form, not for reactive solids in molten form. Definitions of reactive and non-reactive solids, while explained in the preamble of the proposed rule, have also been be added to the regulations in 40 CFR 355.61 for greater clarity.</P>
        <HD SOURCE="HD2">C. Comments Opposing the Changes</HD>
        <P>
          <E T="03">Comment:</E>One commenter was concerned with the effect that the proposed rule will have on a community's ability to know if a hazardous substance is present and prepare for a possible emergency. The proposed regulation only considers a release scenario where a non-reactive EHS solid in solution form is released via an airborne release. However, LEPCs and Fire Departments have to look at all possible scenarios, including a possible fire or spill to water. If there is any type of emergency, the Fire Department will have to react to the total quantity on hand. While there is a great deal of information in the administrative record regarding the behavior of airborne releases of the subject materials, none of that information suggests that these materials are harmless in other accident scenarios.</P>
        <P>
          <E T="03">EPA's Response:</E>EPA recognizes that the manner in which the TPQs for non-reactive EHS solids in solution are being applied does not address all environmental media that could be affected by an accident release and EPA agrees that materials released via other accident scenarios are not harmless. However, the development of TPQs for emergency planning purposes under section 302 of EPCRA addresses the air release scenario because EPA believes an air release is most likely to involve potential exposures to the surrounding community. This air release scenario was used to develop TPQs for all EHSs whether they were gases, liquids, or solids. EPA is only modifying the approach for non-reactive EHS solids in solution to reflect the scientific information now available, which shows that an assumption of 100% dispersion into the air beyond a facility's fence line affecting the surrounding community is overly conservative.</P>
        <P>The TPQs are designed to help State and local officials identify those sites where there is a greater potential for harm to the surrounding community if a release were to occur, thereby focusing resources on priority emergency planning problems (51 FR 41577, November 17, 1986.) The approach used for setting TPQs under section 302 of EPCRA ranks chemicals based on ambient physical state, form and the extent to which the material can become airborne and dispersed. This approach provides a relative measure of concern rather than absolute values and EPA acknowledged when developing the TPQs that there is no precision associated with the numbers and they should not be construed as “safe” (51 FR 41577, November 17, 1986). When the TPQs were initially developed, EPA considered an approach based on ranking the chemicals on toxicity alone without considering the potential for them to become airborne, but this approach was rejected because it might distort local planning priorities (see 51 FR 41577, November 17, 1986 for further discussion on this point). The Agency believes that limited state and local resources should be focused on those substances that potentially cause the greatest harm should an accidental release occur (52 FR 13390, April 22, 1987).</P>
        <P>Nevertheless, EPA recognizes that Fire departments will need to react to the entire quantity on-site. Therefore, the reduction of the amount on-site of a non-reactive EHS solid in solution is only allowed for emergency planning purposes under section 302 of EPCRA and is not to be used for reporting under sections 311 and 312 of EPCRA. Accordingly, fire departments will have all the same information as before for planning and responding to an accidental release. LEPCs also have access to the same information for planning purposes.</P>
        <P>
          <E T="03">Comment:</E>One commenter was concerned that the proposed change is a unique approach to evaluating EHS chemicals and is foreign to LEPCs, fire departments and SERCs. For other EHSs, it is not necessary to carry around a calculator to evaluate whether the visually obvious quantity being stored is actually in excess of the TPQ. For all other EHS chemicals, looking at the MSDS and knowing the quantity on hand suffices.</P>
        <P>
          <E T="03">EPA's Response:</E>The approach being finalized today, which revises the manner for applying TPQs for non-reactive EHS solids in solution is not “unique”; rather, EPA has already used a similar approach for determining the manner for applying TPQs for molten solids (except that the amount on-site is multiplied by 0.3). When proposing such an approach for molten solids, the Agency received no feedback from LEPCs, fire departments or SERCs (or TERCs) that applying this approach is problematic. In addition, we would note that quantities of EHSs that are stored as mixtures (such as solutions) already require some calculation of the total quantity of mixture multiplied by the concentration to determine the pounds of pure EHS (see 40 CFR 355.13). Adding up various containers and sources of the stored EHSs within a facility requires calculation and is already required (see 40 CFR 355.14). Some calculations for emergency planning should be expected and EPA does not believe a further calculation for comparison to a TPQ is unnecessarily burdensome. In addition, as noted elsewhere in this preamble, the Hazardous Chemical Inventory reports provide the total quantities and locations for use by emergency planning and response groups, and thus, we believe the information that LEPCs and Fire Departments need will still be available to them for emergency planning purposes.</P>
        <P>
          <E T="03">Comment:</E>One commenter was concerned about the burden being balanced in this situation: a one-time notice versus the annual or even more frequent effort by the LEPC and fire department to evaluate risks present in the community. The commenter believes that a release of these chemicals is hazardous and undoing 25 years of information collection and emergency planning just so a one-time notice can be avoided, seems absurd.</P>
        <P>
          <E T="03">EPA's Response:</E>EPA believes that because most facilities have (or should have) already reported the presence of EHSs exceeding relevant TPQs to their LEPCs, it is not apparent how this change in requirements will require more frequent effort by LEPCs and fire departments to evaluate risks. The data already collected by LEPCs, fire departments and SERCs (or TERCs) is still available and reporting on hazardous chemicals “aids in the development of state and local emergency plans” (40 CFR 370.1). If an LEPC believes that unreasonable risks are still posed for an EHS present at a facility, section 302(b)(2) of EPCRA allows a Governor or SERC to designate additional facilities after public notice and comment to be subject to the emergency planning and notification requirements of section 302 of EPCRA. In addition, facilities are still subject to emergency planning notification if they handle other EHSs that exceed their TPQs.</P>

        <P>We would also note that EPA did not make this change in reporting just so a one-time notice could be avoided. The issue was initially addressed due to a lawsuit that challenged, among other things, that EPA did not adequately explain the basis for setting the TPQs for non-reactive EHS solids in solution and did not adequately explain why it thought that such solids in solution could be expected to be completely<PRTPAGE P="16686"/>dispersed into the air, as compared to gases or powdered solids. EPA now believes, based on the studies cited in its technical analysis, that the previous assumption that a release of a non-reactive EHS solid in solution would be as readily dispersed to air as a gaseous EHS, for example, was overly conservative and without a good basis.</P>
        <P>Finally, for all practical purposes, changing the notification requirement affects only those facilities who have not yet reported a non-reactive EHS solid in solution. Thus, EPA believes that this change will allow those planning agencies with limited resources to better focus their efforts on those forms of EHSs that are more likely to cause the greatest harm. EPA also acknowledges that non-reactive EHS solids in solution can be hazardous, but notes that the requirements of EPCRA section 302 do not apply to all hazardous chemicals, only a subset, such as the limited listing of EHS.</P>
        <P>
          <E T="03">Comment:</E>One commenter noted that EPA suggested in the proposed rule that Tier II reports will still provide adequate information to LEPCs and fire departments. The commenter stated that the authority of EPCRA section 303(d)(3) does not apply to Tier II reports, which will immediately deprive LEPCs of perhaps their greatest asset in emergency planning.</P>
        <P>
          <E T="03">EPA's Response:</E>EPA agrees that the authority of EPCRA section 303(d)(3) [42 U.S.C. 11003(d)(3)] does not apply to Tier II reports. Section 303(d)(3) requires that for each facility subject to the requirements of<E T="03">Subchapter I—Emergency Planning and Notification,</E>the owner or operator of the facility shall promptly provide information to such committee necessary for developing and implementing the emergency plan, upon request from the emergency planning committee. Tier II Inventory reporting requirements are covered under<E T="03">Subchapter II—Reporting Requirements</E>of EPCRA [42 U.S.C. 11021-11023].</P>
        <P>EPA believes that less priority can be given for these forms of chemicals—that is, a non-reactive EHS solid in solution, based on the data that indicates they are not expected to be as dispersed into the air in the event of an accident. Other EHSs (such as gases and volatile liquids) are in a physical state and form more likely to cause potential risks to off-site communities when released. Facilities are still covered under section 302 of EPCRA if they have other EHSs that exceed the TPQs and thus, may still be required to provide some information relevant for emergency planning. Also, for purposes of emergency planning, section 302(b)(2) of EPCRA does allow a governor or a SERC to designate additional facilities to be subject to emergency planning and notification requirements, if such designation is made after public notice and opportunity for comment.</P>
        <HD SOURCE="HD1">IV. Statutory and Executive Order Reviews</HD>
        <HD SOURCE="HD2">A. Executive Order 12866: Regulatory Planning and Review and Executive Order 13563: Improving Regulation and Regulatory Review</HD>
        <P>This action is not a “significant regulatory action” under the terms of Executive Order 12866 (58 FR 51735, October 4, 1993) and is therefore not subject to review under Executive Orders 12866 and 13563 (76 FR 3821, January 21, 2011).</P>
        <HD SOURCE="HD2">B. Paperwork Reduction Act</HD>
        <P>This action does not impose any new information collection burden. Rather, this final rule raises the amount of chemical on-site required before triggering emergency planning reporting under 40 CFR part 355 for non-reactive EHS solids in solution. Facilities with this form of EHS chemical would have already (or should have already) reported their presence to their SERC (or TERC) and LEPC and identified a Facility Emergency Coordinator and necessary information for development of a local emergency plan to their LEPC. If, as a result of this rulemaking, facilities find that they have a non-reactive EHS solid in solution on-site which no longer equals or exceeds the TPQ, the facility should notify their LEPC. Section 303(d)(2) of EPCRA requires facilities to promptly provide to their LEPC any changes relevant to emergency planning. Regulations at 40 CFR 355.20 clarify that relevant changes to emergency planning should be reported within 30 days. EPA expects that this notification will be a minimal burden. The emergency planning notification requirement is not required annually. There may be a slight burden reduction for facilities that are reporting non-reactive EHS solids in solution for the first time under the EPCRA section 302 requirements.</P>

        <P>The Office of Management and Budget (OMB) has previously approved the information collection requirements contained in the existing regulations at 40 CFR part 355 under the provisions of the<E T="03">Paperwork Reduction Act,</E>44 U.S.C. 3501<E T="03">et seq.</E>and has assigned OMB control number 2050-0092, EPA ICR number 1395.07. The OMB control numbers for EPA's regulations in 40 CFR are listed in 40 CFR part 9.</P>
        <HD SOURCE="HD2">C. Regulatory Flexibility Act</HD>
        <P>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.</P>
        <P>For purposes of assessing the impacts of today's final rule on small entities, a small entity is defined as: (1) A small business as defined by the Small Business Administration's (SBA) regulations at 13 CFR 121.201; (2) a small governmental jurisdiction that is a government of a city, county, town, school district or special district with a population of less than 50,000; and (3) a small organization that is any not-for-profit enterprise which is independently owned and operated and is not dominant in its field.</P>

        <P>After considering the economic impacts of today's final rule on small entities, I certify that this action will not have a significant economic impact on a substantial number of small entities. In determining whether a rule has a significant economic impact on a substantial number of small entities, the impact of concern is any significant<E T="03">adverse</E>economic impact on small entities, since the primary purpose of the regulatory flexibility analyses is to identify and address regulatory alternatives “which minimize any significant economic impact of the rule on small entities” 5 U.S.C. 603 and 604. Thus, an agency may certify that a rule will not have a significant economic impact on a substantial number of small entities if the rule relieves regulatory burden, or otherwise has a positive economic effect on all of the small entities subject to the rule.</P>

        <P>This final rule changes the manner by which facilities apply the TPQs for those non-reactive EHSs that are solid chemicals in solution form. Specifically, facilities with a non-reactive EHS solid in solution would be subject to the Emergency Planning requirements of 40 CFR part 355, subpart B—Emergency Planning only if the amount of non-reactive EHS solids in solution on-site, multiplied by 0.2 equals or exceeds the lower published TPQ. We have therefore concluded that today's final rule will relieve regulatory burden for some affected small entities and will have no economic impact on the rest of the affected small entities.<PRTPAGE P="16687"/>
        </P>
        <HD SOURCE="HD2">D. Unfunded Mandates Reform Act</HD>
        <P>This action contains no Federal mandates under the provisions of Title II of the Unfunded Mandates Reform Act of 1995 (UMRA), 2 U.S.C. 1532-1538 for state, local, or tribal governments or the private sector. This action does not impose any new requirements on state, local or tribal governments. Facilities currently with non-reactive EHS solids in solution on-site have already (or should have already) reported these chemicals to their SERC (or TERC) and LEPC and identified a Facility Emergency Coordinator and the necessary information for developing an emergency plan to their LEPC. We expect that this action will neither increase nor decrease the requirements for SERCs (or TERCs) or LEPCs. Therefore, this action is not subject to the requirements of sections 202 or 205 of the UMRA.</P>
        <P>This action is also not subject to the requirements of section 203 of UMRA because it contains no regulatory requirements that might significantly or uniquely affect small governments. This action does not impose any new requirements on state, local or tribal governments.</P>
        <HD SOURCE="HD2">E. Executive Order 13132: Federalism</HD>
        <P>This action 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.</P>
        <P>This action reduces the reporting burden on any facilities that would have a non-reactive EHS solid in solution on-site for the first time and could be subject to the emergency planning requirements for that chemical under 40 CFR part 355, subpart B—Emergency Planning. We also expect that this action will neither increase nor decrease the requirements for SERCs (or TERCs) or LEPCs. This rule does not impose any requirements on state or local governments. Thus, Executive Order 13132 does not apply to this action.</P>
        <HD SOURCE="HD2">F. Executive Order 13175: Consultation and Coordination With Indian Tribal Governments</HD>
        <P>This action does not have tribal implications, as specified in Executive Order 13175, (65 FR 67249, November 9, 2000). This action reduces reporting burden on any facilities that would have a non-reactive EHS solid in solution on-site for the first time and could be subject to the emergency planning requirements for that chemical under 40 CFR part 355, subpart B—Emergency Planning. This action also does not impose any new requirements on tribal governments. Thus, Executive Order 13175 does not apply to this action.</P>
        <HD SOURCE="HD2">G. Executive Order 13045: Protection of Children From Environmental Health Risks and Safety Risks</HD>
        <P>This action is not subject to Executive Order 13045 (62 FR 19885, April 23, 1997) because it is not economically significant as defined in Executive Order 12866 and because the Agency does not believe the environmental health or safety risks addressed by this action present a disproportionate risk to children. This action reduces the reporting burden on any facilities that would have a non-reactive EHS solid in solution on-site for the first time and could be subject to the emergency planning requirements for that chemical under 40 CFR part 355, subpart B—Emergency Planning.</P>
        <HD SOURCE="HD2">H. Executive Order 13211: Energy Effects</HD>
        <P>This action is not a “significant energy action,” as defined in Executive Order 13211 (66 FR 28355, May 22, 2001), because it is not likely to have a significant adverse effect on the supply, distribution or use of energy. Rather, this final rule would reduce reporting burden on any facilities that would have a non-reactive EHS solid in solution on-site for the first time and could be subject to the emergency planning requirements for that chemical under 40 CFR part 355, subpart B—Emergency Planning.</P>
        <HD SOURCE="HD2">I. National Technology Transfer and Advancement Act</HD>
        <P>Section 12(d) of the National Technology Transfer and Advancement Act of 1995 (“NTTAA”), Public Law 104-113, 12(d) (15 U.S.C. 272 note) directs EPA to use voluntary consensus standards in its regulatory activities unless doing so would be inconsistent with applicable law or would otherwise be 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. NTTAA directs EPA to provide Congress, through OMB, explanations of when the Agency decides not to use available and applicable voluntary consensus standards.</P>
        <P>This action does not involve technical standards. Therefore, EPA did not consider the use of any voluntary consensus standards.</P>
        <HD SOURCE="HD2">J. Executive Order 12898: Federal Actions To Address Environmental Justice in Minority Populations and Low-Income Populations</HD>
        <P>Executive Order (EO) 12898 (59 FR 7629 (February 16, 1994)) establishes federal executive policy on environmental justice. Its main provision directs federal agencies, to the greatest extent practicable and permitted by law, to make environmental justice part of their mission by identifying and addressing, as appropriate, disproportionately high and adverse human health or environmental effects of their programs, policies, and activities on minority populations and low-income populations in the United States.</P>
        <P>EPA has determined that this final rule does not have disproportionately high and adverse human health or environmental effects on minority or low-income populations because it does not affect the level of protection provided to human health or the environment. That is, based on new information and data, the Agency believes that the amount of non-reactive EHS solids in solution that would remain airborne from an accidental release into the environment will be lower than previously considered, and thus, would have less impact on the local community. This in turn will allow SERCs (or TERCs) and LEPCs to better focus their attention and limited resources on the amounts of EHS chemicals that can potentially cause the greatest harm, including those affecting minority or low-income populations, and to spend less time and fewer resources on those that pose less harm, when released.</P>
        <HD SOURCE="HD2">K. Congressional Review Act</HD>
        <P>The Congressional Review Act, 5 U.S.C. 801<E T="03">et seq.,</E>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. 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<E T="04">Federal Register</E>. A Major rule cannot take effect until 60 days after it is published in the<E T="04">Federal Register</E>. This action is not a “major rule” as<PRTPAGE P="16688"/>defined by 5 U.S.C. 804(2). This rule will be effective April 23, 2012.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 40 CFR Part 355</HD>
          <P>Environmental protection, Air pollution control, Chemicals, Disaster assistance, Hazardous substances, Hazardous waste, Intergovernmental relations, Natural resources, Penalties, Reporting and recordkeeping requirements, Superfund, Water pollution control, Water supply.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: March 15, 2012.</DATED>
          <NAME>Lisa P. Jackson,</NAME>
          <TITLE>Administrator.</TITLE>
        </SIG>
        
        <P>For the reasons set out in the preamble, title 40, chapter I of the Code of Federal Regulations is amended as follows:</P>
        <REGTEXT PART="355" TITLE="40">
          <PART>
            <HD SOURCE="HED">PART 355—EMERGENCY PLANNING AND NOTIFICATION</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 355 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>Sections 302, 303, 304, 325, 327, 328, and 329 of the Emergency Planning and Community Right-to-Know Act of 1986 (EPCRA) (42 U.S.C. 11002, 11003, 11004, 11045, 11047, 11048, and 11049).</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="355" TITLE="40">
          <AMDPAR>2. Section 355.16 is amended by revising paragraphs (b) and (c) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 355.16</SECTNO>
            <SUBJECT>How do I determine the quantity of extremely hazardous substances present for certain forms of solids?</SUBJECT>
            <STARS/>
            <P>(b)<E T="03">Solid in solution.</E>Multiply the weight percent of the non-reactive solid in solution in a particular container by the total weight of solution in that container. Then multiply by 0.2.</P>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (b):</HD>
              <P>This reduction in quantity must not be used to determine the amount present at one-time at a facility for reporting under 40 CFR 370.10.</P>
            </NOTE>
            <P>(c)<E T="03">Solid in molten form.</E>Multiply the weight of the non-reactive solid in molten form by 0.3.</P>
            <NOTE>
              <HD SOURCE="HED">Note to paragraph (c):</HD>
              <P>This reduction in quantity must not be used to determine the amount present at one-time at a facility for reporting under 40 CFR 370.10.</P>
            </NOTE>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="355" TITLE="40">
          <AMDPAR>3. Section 355.61 is amended by adding in alphabetical order the definitions of “Non-reactive Solid”, “Reactive solid” and “Solution” to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 355.61</SECTNO>
            <SUBJECT>How are key words in this part defined?</SUBJECT>
            <STARS/>
            <P>
              <E T="03">Non-reactive solid</E>means any substance listed in Appendix A or B of this part with two threshold planning quantity values, the higher TPQ being 10,000 pounds.</P>
            <STARS/>
            <P>
              <E T="03">Reactive solid</E>means any extremely hazardous substance denoted with “a” in the “Notes” column in Appendix A or B of this part.</P>
            <STARS/>
            <P>
              <E T="03">Solution</E>means any aqueous or organic solutions, slurries, viscous solutions, suspensions, emulsions, or pastes.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6910 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6560-50-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">FEDERAL COMMUNICATIONS COMMISSION</AGENCY>
        <CFR>47 CFR Part 11</CFR>
        <DEPDOC>[EB Docket No. 04-296; FCC 12-7]</DEPDOC>
        <SUBJECT>Review of the Emergency Alert System</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Communications Commission.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>In this document, the Federal Communications Commission (Commission) amends its rules governing the Emergency Alert System (EAS) to codify the obligation to process alert messages formatted in the Common Alerting Protocol (CAP) and to streamline and clarify these rules generally to enhance their effectiveness.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>

          <P>Effective April 23, 2012, except for 47 CFR 11.21(a), 11.33(a)(4), 11.41(b), 11.42, 11.54(b)(13), and 11.55, which contain information collection requirements that have not been approved by the Office of Management and Budget (OMB). The incorporation by reference of certain publications listed in this rule is approved by the Director of the Federal Register as of April 23, 2012. The Commission will publish a document in the<E T="04">Federal Register</E>announcing the effective date of those paragraphs and rule amendments.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Lisa Fowlkes, Deputy Bureau Chief, Public Safety and Homeland Security Bureau, at (202) 418-7452, or by email at<E T="03">Lisa.Fowlkes@fcc.gov</E>. For additional information concerning the Paperwork Reduction Act information collection requirements contained in this document, contact Judy Boley Hermann at (202) 418-0214 or send an email to<E T="03">PRA@fcc.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>This is a summary of the Commission's Fifth Report and Order (<E T="03">Fifth Report and Order</E>) in EB Docket No. 04-296, FCC 12-7, adopted on January 9, 2012, and released on January 10, 2012. The full text of this document is available for inspection and copying during normal business hours in the FCC Reference Center (Room CY-A257), 445 12th Street SW., Washington, DC 20554. The complete text of this document also may be purchased from the Commission's copy contractor, Best Copy and Printing, Inc., 445 12th Street SW., Room CY-B402, Washington, DC 20554. The full text may also be downloaded at:<E T="03">www.fcc.gov</E>.</P>
        <HD SOURCE="HD1">Synopsis of the Fifth Report and Order</HD>
        <P>1. In the<E T="03">Fifth Report and Order,</E>the Commission adopts several changes to its Part 11 Emergency Alert System (EAS) rules to more fully codify the Common Alerting Protocol (CAP)-related obligations initially adopted in the Second Report and Order (<E T="03">Second Report and Order</E>) in EB Docket No. 04-296, 72 FR 62123 (Nov. 2, 2007), and to eliminate outdated rules to improve Part 11's overall effectiveness. The rule amendments and other decisions taken in this<E T="03">Fifth Report and Order</E>are predicated upon the Third Further Notice of Proposed Rulemaking (<E T="03">Third FNPRM</E>) in EB Docket No. 04-296, 76 FR 35810 (June 20, 2011), adopted by the Commission on May 25, 2011.</P>
        <HD SOURCE="HD1">I. Background</HD>
        <P>2. The present-day EAS is a hierarchical alert message distribution system that utilizes radio and television broadcasters, cable service providers, and other regulated entities (collectively known as EAS Participants) to transmit audio and/or visual emergency alert messages to the public. To initiate an EAS message, whether at the national, state, or local levels, the message originator must format a message in the EAS Protocol, which is identical to the Specific Area Message Encoding (SAME) digital protocol utilized by National Weather Service (NWS) (hereinafter, “EAS Protocol” and “SAME” are used interchangeably), and send the formatted alert to a designated entry point within the EAS network for delivery to specialized equipment maintained and operated by EAS Participants that can receive (and decode) the alert for transmission over the EAS Participants' facilities to their end users.</P>
        <P>3. In 2007, the Commission adopted the<E T="03">Second Report and Order</E>in this docket, which revised the Commission's Part 11 EAS rules to lay the foundation for a state-of-the-art, next-generation national EAS (Next Generation EAS). First, to ensure the efficient, rapid, and<PRTPAGE P="16689"/>secure transmission of EAS alerts in a variety of formats (including text, audio, and video) and via different means (broadcast, cable, satellite, and other networks), the Commission required that EAS Participants be capable of receiving CAP-formatted alert messages no later than 180 days after the Federal Emergency Management Agency (FEMA) publicly publishes its adoption of the CAP standard. Second, the Commission required EAS Participants to adopt Next Generation EAS delivery systems no later than 180 days after FEMA publicly releases standards for those systems. Third, the Commission required EAS Participants to transmit state and local EAS alerts that are originated by governors or their designees no later than 180 days after FEMA publishes its adoption of the CAP standard, provided that the state has a Commission-approved State Area EAS Plan that provides for delivery of such alerts.</P>
        <P>4. CAP is an open, interoperable XML-based standard, developed within the Organization for the Advancement of Structured Information Standards (OASIS) standards process, which permits links to voice, audio or data files, images, multilingual translations of alerts, and links providing further information. Although CAP and SAME both convey data, the two protocols function in entirely different ways. CAP essentially represents an envelope into which data is packaged according to predetermined fields and packetized for transmission over various IP-based mediums, such as the Internet. The SAME protocol is designed to combine specific codes that identify alert data (e.g., type, origin, and area affected) with an audio message, which are modulated onto an RF signal using the audio frequency-shift keying (AFSK) modulation scheme (this process is referred to as “encoding”).</P>

        <P>5. On March 25, 2010, in anticipation of FEMA's adoption of CAP, the Commission's Public Safety and Homeland Security Bureau (Bureau) released a Public Notice (<E T="03">Part 11 Public Notice</E>) in EB Docket No. 04-296, DA 10-500, released on March 25, 2010, that sought informal comment regarding what, if any, Part 11 changes might be necessitated by the introduction of CAP. On October 7, 2010, the Communications Security, Reliability, and Interoperability Council (CSRIC), which had been established by the Commission to, among other things, recommend revisions to the Part 11 rules in light of FEMA's then-pending adoption of CAP, adopted a Final Report, which included a number of recommendations for revisions to the Part 11 rules related to the obligation to accept CAP-formatted messages.</P>
        <P>6. On September 30, 2010, FEMA announced its adoption of technical standards and requirements for CAP-formatted EAS alerts. Specifically, FEMA identified three documents as defining the FEMA Integrated Public Alert and Warning System (IPAWS) technical standards and requirements for CAP and its implementation: (1) The OASIS CAP Standard v1.2; (2) an IPAWS Specification to the CAP Standard (CAP v1.2 IPAWS USA Profile v1.0); and (3) the EAS-CAP Industry Group's (ECIG) Recommendations for a CAP-EAS Implementation Guide, Version 1.0 (May 17, 2010) (ECIG Implementation Guide). FEMA's announced adoption of CAP v1.2 triggered an initial deadline for EAS Participants to be able to receive CAP alerts by March 29, 2011.</P>

        <P>7. On November 18, 2010, in response to the recommendations in CSRIC's Final Report, as well as to comments submitted in response to the<E T="03">Part 11 Public Notice,</E>the Commission adopted an order in EB Docket No. 04-296, FCC 01-191, that extended the 180-day deadline for meeting the CAP-related obligations until September 30, 2011 (the<E T="03">Waiver Order</E>). On May 25, 2011, the Commission adopted the<E T="03">Third FNPRM,</E>which sought comment on several proposed changes to the EAS rules to more fully codify the CAP-related obligations adopted in the<E T="03">Second Report and Order,</E>and to eliminate outdated rules to improve Part 11's overall effectiveness, and is the basis for the decisions taken in the<E T="03">Fifth Report and Order.</E>On September 15, 2011, the Commission adopted the Fourth Report and Order (<E T="03">Fourth Report and Order</E>) in EB Docket No. 04-296, 76 FR 80780 (Dec. 27, 2011), which amended section 11.56 of the EAS rules to require EAS Participants to be able to receive CAP-formatted EAS alerts no later than June 30, 2012.</P>
        <HD SOURCE="HD1">II. Discussion</HD>
        <P>8. The<E T="03">Fifth Report and Order</E>adopts changes to the Part 11 rules to fully effectuate the CAP-related obligations adopted in the<E T="03">Second Report and Order,</E>as well as other rule changes and clarifications intended to streamline Part 11 and generally enhance the overall effectiveness of the EAS, based upon the rule changes and clarifications proposed in the<E T="03">Third FNPRM</E>. The specific rule changes adopted in the<E T="03">Fifth Report and Order</E>are included in the rules section.</P>
        <P>9. The rule changes and other decisions taken in the<E T="03">Fifth Report and Order</E>in response to the<E T="03">Third FNPRM</E>are summarized below. Because the<E T="03">Fifth Report and Order</E>does not impose new obligations but primarily details the manner in which EAS Participants must implement the CAP requirement, the rules and other decisions adopted in the<E T="03">Fifth Report and Order</E>impose minimal new costs, particularly as many EAS Participants have already purchased and installed CAP-compatible EAS equipment. In many cases, these rule changes will result in decreased costs.</P>
        <HD SOURCE="HD2">A. Scope of CAP-Related Part 11 Revisions</HD>

        <P>10. The Commission adopts the transitional approach for implementing CAP within the EAS set forth in the<E T="03">Third FNPRM</E>. Specifically, the Commission explains that the CAP-related changes to Part 11 it adopts in the<E T="03">Fifth Report and Order</E>are limited to ensuring that EAS Participants' EAS equipment will be capable of receiving and converting CAP-formatted messages into a SAME-compliant message. The Commission clarifies that EAS Participant stations that are generally charged with encoding (or regenerating) the EAS Protocol codes (as AFSK tones) for the benefit of downstream stations monitoring their transmissions will continue that function with respect to alert messages they receive in the CAP format—just as they would for alert messages they receive in the SAME format. However, the Commission explains, they will be generating the AFSK tones based upon the relevant EAS Protocol codes contained within the CAP message, in conformance with the ECIG Implementation Guide, including the audio message contained in the CAP message, to the extent required under the Part 11 rules. As part of this transitional approach, the Commission also requires EAS Participants to create video crawls based upon the enhanced text contained within the CAP message to the extent that such text files are provided by the alert initiator, in conformance with the relevant procedures set forth in the ECIG Implementation Guide.</P>

        <P>11. The Commission concludes that this transitional approach is warranted, primarily because switching over to a fully CAP-centric EAS system—where EAS messages are inputted and outputted in CAP format rather than SAME format—at this time is technically infeasible and premature, because no such CAP-centric system has been developed. The Commission further concludes that this transitional approach makes sense because the many benefits of maintaining the legacy EAS previously outlined by the Commission<PRTPAGE P="16690"/>in the<E T="03">Second Report and Order</E>continue to be relevant today. In addition, the Commission observes that FEMA has indicated that the legacy EAS will continue to provide a nationwide alerting mechanism as part of its IPAWS system, and FEMA's adoption of the standards necessary for formatting alert messages into CAP and translating such CAP-formatted messages into SAME-compliant messages establishes the groundwork for implementing CAP-formatted alert initiation within the existing EAS system. The Commission further observes that the record indicates that EAS equipment manufacturers have designed and have been marketing CAP-enabled equipment that conforms to these FEMA-adopted standards, and a significant percentage of EAS Participants already have procured or contracted for such equipment, making this transitional approach both practical and cost-efficient.</P>
        <HD SOURCE="HD2">B. Obligation To Accept CAP Messages</HD>
        <P>12.<E T="03">CAP-Formatted Message Conversion to SAME</E>. The Commission adopts its tentative conclusion in the<E T="03">Third FNPRM</E>to amend § 11.56 to require EAS Participants to convert CAP-formatted EAS messages into SAME-compliant EAS messages in accordance with the ECIG Implementation Guide, except for its provisions on text-to-speech and gubernatorial CAP messages. The Commission observes that adopting the ECIG Implementation Guide as the standard for translating CAP-formatted messages into SAME-compliant messages will harmonize CAP elements with the Part 11 rules, thus ensuring that CAP-formatted EAS messages are converted into SAME-compliant messages in a consistent, cost-efficient manner across devices and delivery platforms. The Commission also observes that adoption of this requirement has broad support in the record.</P>
        <P>13. The Commission notes that FEMA has adopted the ECIG Implementation Guide as its benchmark for processing IPAWS-distributed CAP-formatted messages to the EAS, and many manufacturers have already designed EAS equipment that conforms to the ECIG Implementation Guide, as demonstrated by their having completing requirements of FEMA's IPAWS Conformity Assessment Program. The Commission also observes that successful completion of FEMA's IPAWS Conformity Assessment Program can be used to demonstrate ECIG Implementation Guide compliance for purposes of obtaining FCC certification. Accordingly, the Commission finds that the costs of complying with the ECIG Implementation Guide are minimal.</P>
        <P>14. The Commission clarifies that it will not permit EAS Participants to adhere to the ECIG Implementation Guide's provisions on text-to-speech. The Commission finds that, although use of text-to-speech technology has some support in the record, there are also concerns in the record about whether text-to-speech software is sufficiently accurate and reliable to deliver consistently accurate and timely alerts to the public. The Commission also observes that allowing the text-to-speech conversion to be resolved by EAS equipment software, as opposed to text-to-speech software that the alert message originator might employ, could result in differing audio messages being broadcast for the same EAS message, depending upon which software brand and version a given equipment manufacturer elected to incorporate into its EAS equipment. The Commission concludes that discussion of text-to-speech and speech-to-text software is best reserved for a separate proceeding, and therefore defers these issues at this time. Finally, the Commission notes that because it is eliminating the mandate to process CAP-formatted messages initiated by state governors, the issue of conformance with the provisions in the ECIG Implementation Guide to effect that mandate are moot.</P>
        <P>15.<E T="03">CAP-Related Monitoring Requirements</E>. The Commission amends § 11.52 of its rules to include a requirement that EAS Participants' EAS equipment must interface with and monitor (whether through “pull” interface technologies, such as Really Simple Syndication (RSS) and Atom Syndication Format (ATOM), or “push” interface technologies, such as instant messaging and email) the IPAWS system to enable distribution of Federal CAP-formatted alert messages from IPAWS to the EAS Participants' EAS equipment. Whereas the Commission had initially proposed in the<E T="03">Third FNPRM</E>to require that EAS Participants monitor FEMA's IPAWS RSS feed(s) for Federal CAP-formatted messages, it concludes that it is unrealistic to require that EAS Participants adhere to a specific technical standard for CAP monitoring. The Commission also observes that the technical parameters of the IPAWS system are still evolving—and the digital world in which that system operates is evolving faster still. The Commission finds that trying to keep up with these changes while specifying the technical requirements for Federal CAP monitoring in the Part 11 rules is neither practical nor administratively efficient. In this regard, the Commission observes that FEMA changed the methodology for distributing CAP messages from its IPAWS system to the EAS from RSS to ATOM shortly after the<E T="03">Third FNPRM's</E>adoption. The Commission also finds that the flexible approach to monitoring adopted in the<E T="03">Fifth Report and Order</E>will benefit equipment manufacturers by allowing them to update their equipment designs as Federal CAP message delivery mechanisms and technology evolve.</P>
        <P>16. Because the Commission in the<E T="03">Fifth Report and Order</E>eliminates the obligation to receive and process gubernatorial CAP-formatted messages, it does not establish a generally applicable requirement for state CAP message monitoring. The Commission clarifies that the monitoring requirements associated with CAP messages initiated via state (and local) EAS systems will be determined just as the monitoring requirements for SAME-based EAS message transmissions always have been. Specifically, the Commission indicates that state (and local) alerting authorities, working with EAS Participants, will develop state (and local) CAP alert monitoring requirements and set these forth in their State EAS Plans, to be submitted to and approved by the Commission.</P>
        <P>17.<E T="03">Next Generation Distribution Systems</E>. In the<E T="03">Second Report and Order,</E>the Commission stated that “should FEMA announce technical standards for any Next Generation EAS alert delivery system, EAS Participants must configure their networks to receive CAP-formatted alerts delivered pursuant to such delivery system, whether wireline, Internet, satellite or other, within 180 days after the date that FEMA announces the technical standards for such Next Generation EAS alert delivery.” In the<E T="03">Third FNPRM,</E>the Commission interpreted this language as being intended to put EAS Participants on notice that, should FEMA adopt technical standards covering delivery of CAP-formatted messages to EAS Participants over specific platforms, such as satellite systems, EAS Participants would ultimately need to configure their systems to be able to interface with such systems to meet their existing obligation to process CAP-formatted messages.</P>
        <P>18. In the<E T="03">Fifth Report and Order,</E>the Commission adopts the interpretation of the language from the<E T="03">Second Report and Order</E>regarding receipt of CAP-formatted messages from Next Generation EAS delivery systems that it stated in the<E T="03">Third FNPRM</E>. Accordingly, the Commission concludes that if FEMA were to announce<PRTPAGE P="16691"/>technical standards for any Next Generation EAS alert delivery system for delivering CAP-formatted alerts, the Commission would seek to amend Part 11 to require that EAS Participants be capable of receiving such alerts. The Commission observes that it has no expectations as to how or whether FEMA may adopt standards and requirements for new message and delivery mechanisms that would modify existing requirements. The Commission instead merely clarifies that: (i) Any such standards or requirements cannot be enforced with respect to EAS Participants until the requirements are formally integrated into the Part 11 rules via the rulemaking process, and (ii) it would seek to initiate such a rulemaking process in a timely manner, with the goal of making compliance with such standards or requirements effective within 180 days of their formal adoption.</P>
        <P>19.<E T="03">Equipment Requirements</E>. The<E T="03">Fifth Report and Order</E>contains several CAP-related decisions related to EAS equipment, as summarized below.</P>
        <P>20.<E T="03">Intermediary Devices</E>. The Commission explains that intermediary devices are stand-alone devices that carry out the functions of monitoring for, receiving, and decoding CAP-formatted messages and converting such messages into a format that can be inputted into a separate, stand-alone legacy EAS device to produce an output that complies with the Part 11 rules. The Commission observes that the record indicates that there are two types of intermediary devices, which may generally be described as “universal” intermediary devices and “component” intermediary devices. The Commission explains that universal intermediary devices monitor, acquire, and decode CAP messages, using the relevant CAP data to generate (i.e., encode) the EAS codes (FSK audio tones) and, if present, an audio message, which can be inputted into legacy EAS devices. The Commission further explains that because the SAME-formatted message output of the universal intermediary device is functionally equivalent to a SAME-formatted message delivered over the air, it theoretically should be interoperable with all or most legacy EAS decoders. The Commission adds, however, that because the output of the universal intermediary device is limited to the EAS Protocol—which is all that the legacy EAS device can process—the configuration of a universal intermediary device and legacy EAS device can only generate a SAME-compliant message; it cannot, for example, use the enhanced CAP text for generating a visual display.</P>
        <P>21. The Commission explains that component intermediary devices, by contrast, are designed to interoperate with specific legacy EAS device models. The Commission observes that component intermediary devices also monitor for, acquire, and decode CAP messages, but are designed to enhance the function of specific legacy EAS devices. As a result, the Commission explains, the output of the combined system configuration of these devices is capable of more than simply generating a SAME-compliant message. The Commission observes that the record indicates that such configurations may permit the use of the enhanced CAP text to meet the visual display requirements in §§ 11.51(d), (g)(3), (h)(3), and (j)(2).</P>

        <P>22. The Commission observes that, according to the record, “integrated CAP-capable EAS devices”—<E T="03">i.e.,</E>self-contained, stand-alone devices that combine the CAP-related functions of decoding CAP-formatted messages and converting such messages into a SAME-compliant output and processing SAME-formatted messages as encoders and decoders in accordance with the Part 11 rules—can be updated via software or firmware to comply with any future changes that might be incorporated into the Part 11 rules, the CAP standard, or the ECIG Implementation Guide. The Commission also observes, however, that it is unclear whether or to what extent a combined system configuration of a component intermediary device and its companion legacy EAS device model could be similarly updated.</P>

        <P>23. Based on the record and the transitional approach it adopts for this proceeding, the Commission concludes that it will allow EAS Participants to meet the CAP-related obligations adopted in the<E T="03">Fifth Report and Order</E>by using intermediary devices in tandem with their existing legacy EAS equipment, provided that such configuration can comply with the revised certification requirements adopted in the<E T="03">Fifth Report and Order</E>as well as with any applicable Part 11 requirements we may adopt in the future. The Commission further concludes, however, that because it is requiring that EAS Participants utilize the enhanced text in a CAP message to provide a visual display, as set forth in § 3.6 of the ECIG Implementation Guide, it will require that any intermediary devices provide such functionality by June 30, 2015, which is three years from the June 30, 2012, deadline for overall CAP compliance.</P>

        <P>24. The Commission finds that this approach for intermediary devices is consistent with its baseline goal of ensuring that alert messages formatted pursuant to the CAP-related standards adopted by FEMA will be converted into and outputted as SAME-compliant messages. The Commission observes that the record indicates that intermediary devices offer a less costly way to meet the requirements adopted in the<E T="03">Fifth Report and Order,</E>and that some percentage of EAS Participants already have purchased and deployed intermediary devices. The Commission observes that not authorizing the use of intermediary devices would result in significant equipment replacement, installation, and training costs for these EAS Participants. The Commission finds that, assuming these intermediary devices can meet the certification and other requirements adopted in the<E T="03">Fifth Report and Order,</E>imposition of the costs associated with the purchase of replacement EAS equipment is unnecessary and unjustified. The Commission also observes that intermediary devices will be required to meet the same requirements and provide the same capabilities as integrated CAP-capable EAS devices, thus putting them on an equal footing.</P>

        <P>25. With respect to its decision to require intermediary devices to be capable of utilizing the enhanced text in a CAP message to provide a visual display, as set forth in § 3.6 of the ECIG Implementation Guide, by June 30, 2012, the Commission recognizes that it will likely be technically unfeasible for universal intermediary devices (and possibly some component intermediary devices), as well as the legacy EAS devices with which they are configured, to meet this requirement. The Commission acknowledges that, as a result, non-conforming equipment would have to be replaced, but concludes that any costs associated with such replacement are consistent with those that EAS Participants may expect in the normal course of business, particularly as much of the underlying legacy equipment upon which intermediate devices depend is old and will soon need to be replaced. The Commission finds that the approximately three and one half-year window it is providing for intermediary device users is sufficient to allow EAS Participants to finish depreciating and then replace this aging legacy EAS equipment and to allow equipment manufacturers time to develop possible workarounds to allow intermediate devices to become compliant with the revised rules. The Commission also observes that among the benefits that CAP-compliant equipment will bring is an EAS that is more accessible to all<PRTPAGE P="16692"/>Americans, including Americans with disabilities, who will directly benefit from this new requirement.</P>
        <P>26.<E T="03">Section 11.32(a)</E>. The Commission concludes that it is unnecessary to make any changes to the minimum encoder requirements set forth in § 11.32(a) regarding CAP-to-SAME conversion. The Commission observes that the conversion of CAP-to-SAME is primarily a decoding function that CAP-compliant EAS equipment is designed to perform. The Commission further observes that it is not requiring encoders to encode anything other than the relevant EAS Protocol elements described in § .31 that they have always been required to encode, and that this is the case regardless of whether the relevant EAS Protocol elements are derived from a CAP-formatted message or a SAME-formatted message.</P>
        <P>27.<E T="03">Section 11.32(a)(2) and (a)(3)</E>. The Commission revises the encoder input port configuration requirements in § 11.32(a)(2) to require that encoders be configured with at least one audio input port and at least one data input port. The Commission also deletes as unnecessary references to RS232-C and 1200 baud rate, which manufacturers may continue to make available, if they so desire. The Commission concludes that decisions concerning the total number and types of data input ports configured into encoders are best left to equipment manufacturers, so that they can respond to the monitoring requirements of the CAP systems with which EAS equipment may interface (such as IPAWS and state CAP systems), changes in technology, and costs of compliance. The Commission also finds that, for the sake of consistency with its transitional approach, the input configuration requirements should continue to require audio and data connectivity. Finally, the Commission applies the minimal requirement of at least one audio port and at least one data port to the encoder output port configuration requirements in § 11.32(a)(3), because it finds that the rationale above applies equally to the output ports and the record strongly supports such application.</P>
        <P>28.<E T="03">Section 11.33(a)</E>. The Commission revises the minimum requirements for decoders in § 11.33(a) of the Commission's rules to include the capability to decode CAP-formatted messages and convert them into SAME protocol-compliant messages, as set forth in § 11.56 and clarify that this requirement can be met through the deployment of an intermediary device. The Commission observes that the fundamental purpose of decoders is to ingest and process EAS messages, whether formatted in the SAME or CAP protocols, and adding CAP reception to § 11.33(a) will put CAP on the same footing as SAME. The Commission also finds it appropriate to clarify in § 11.33(a) that intermediary devices may be used to meet the fundamental decoder requirement of converting CAP messages into SAME-compliant messages.</P>
        <P>29.<E T="03">Section 11.33(a)(1) and (a)(7)</E>. For the same reasons described above with respect to encoder input configuration requirements, the Commission revises the decoder input configuration requirements in § 11.33(a)(1) to require at least one data input port (this section already requires the capability to receive “at least two audio inputs”). The Commission also deletes as unnecessary any references to RS232-C and 1200 baud. The Commission revises the decoder output configuration requirements in § 11.33(a)(7) to reflect these changes.</P>
        <P>30.<E T="03">Section 11.33(a)(4)</E>. The Commission amends § 11.33(a)(4) to include selective display and logging of the text that was compiled from CAP-formatted messages. The Commission finds that this revision is necessary to harmonize CAP-formatted message processing with SAME-formatted message processing. The Commission observes that its decision is supported by EAS equipment manufacturers, the industry affected by the rule revision, and that the revision imposes no additional technical obligations or costs either to these manufacturers or to EAS Participants.</P>
        <P>31.<E T="03">Section 11.33(a)(10).</E>The Commission adopts its tentative conclusion set forth in the<E T="03">Third FNPRM</E>to decline CSRIC's recommendation to revise § 11.33(a)(10) to require use of the CAP-formatted message where a duplicate SAME-formatted message was also received. The Commission observes that the ECIG Implementation Guide includes a process for handling CAP messages where a duplicate SAME-formatted message also has been received, which prefers (but does not require) use of the CAP version. The Commission also observes that it is requiring CAP-to-SAME conversion in conformance with the ECIG Implementation Guide, which should satisfy the underlying thrust of CSRIC's recommendation.</P>
        <P>32.<E T="03">Section 11.33(a)(11).</E>The Commission revises § 11.33(a)(11) to ensure that EAN messages receive priority over all other EAS messages, regardless of whether the EAN message was received via the audio port or data port, or was formatted in SAME or CAP. The Commission finds that this action is necessary because as currently written, § 11.33(a)(11) could be interpreted to require a preference for SAME-formatted EAN messages received via over-the-air broadcast monitoring over duplicate CAP versions of the same message received via the data input port. The Commission also finds that such action is necessary to ensure that EAS equipment consistently gives EANs priority, regardless of how it receives them.</P>
        <P>33.<E T="03">Miscellaneous Rule Changes Related to Fully Implementing CAP.</E>The<E T="03">Fifth Report and Order</E>contains several CAP-related decisions related to more fully implementing CAP within Part 11, as summarized below.</P>
        <P>34.<E T="03">Section 11.1.</E>The Commission concludes that the existing language defining the purpose of the EAS in § 11.1, which covers Federal, state, and local government users, and their designees, is broad enough to capture all authorized users of the EAS, whether they initiate SAME-formatted messages or CAP-formatted messages. Accordingly, the Commission declines CSRIC's recommendation to revise § 11.1 to include new CAP-related alert originators.</P>
        <P>35.<E T="03">Section 11.11.</E>The Commission amends § 11(a) to delete the reference therein to “analog television broadcast stations” and to include as a minimum requirement compliance with the CAP-related requirements in § 11.56. The Commission observes that the reference to “analog television broadcast stations” is obsolete in light of the fact that since June 13, 2009, all full-power U.S. television stations have broadcast over-the-air signals in digital only. The Commission also finds that incorporating the CAP-related obligations in § 11.56 by reference into section 11.11(a) is necessary to put CAP and SAME on an equal footing in Part 11.</P>
        <P>36.<E T="03">Section 11.11 equipment deployment tables.</E>The Commission adopts the revisions to the equipment deployment tables in § 11.11 proposed in the<E T="03">Third FNPRM.</E>Specifically, the Commission amends the equipment deployment tables in § 11.11 by adding a footnote to the “EAS decoder” entries in the tables to clarify that the obligation to receive and translate CAP-formatted messages may be met by deploying an intermediary device. The Commission finds that because the tables in § 11.11 already require deployment of EAS decoders, a reference to intermediary devices (which are stand-alone equipment in their own right) is required for consistency in light of its decision to permit EAS Participants to deploy intermediary devices to meet<PRTPAGE P="16693"/>their CAP-related obligations. The Commission also deletes the date references in the equipment deployment tables in § 11.11 (as well as cross-references to these dates in other sections of Part 11, such as § 11.51(c) and (d)), along with the entry for two-tone encoders. The Commission finds that this action is required for consistency and has support in the record.</P>
        <P>37. The Commission also concludes that incorporating monitoring requirements or references thereto into § 11.11 is unnecessary. The Commission observes that no party filed comments on this issue directly. The Commission further observes that decoders already are required to meet the monitoring requirements in § 11.52, which it is amending to include CAP monitoring. Accordingly, the Commission concludes that the basic requirement to deploy a decoder (or intermediary device) necessarily triggers CAP monitoring obligations.</P>
        <P>38.<E T="03">Section 11.20.</E>The Commission concludes that § 11.20 of the Commission's rules need not be revised to accommodate the distribution of CAP messages, as recommended by CSRIC, or to incorporate CAP monitoring, as recommended by parties responding to the<E T="03">Part 11 Public Notice.</E>Specifically, the Commission concludes that the language in § 11.20 is broad enough to encompass EAS messages originated in CAP format, to the extent that a given state relay network is involved in the distribution of that state's CAP-formatted alert messages. The Commission also observes that it does not know what role the state relay network will or will not play in the distribution of CAP messages in each state (or locality), or whether these will be consistent for all states (and localities). The Commission defers specifying how state and local SAME-formatted and CAP-formatted EAS messages are distributed to state and Local Area EAS Plans.</P>
        <P>39.<E T="03">Section 11.21.</E>The Commission amends the State Area EAS Plan requirements in section 11.21(a) to make clear that the State EAS Plans specify the monitoring assignments and the specific primary and backup path for SAME-formatted EANs and that the monitoring requirements for CAP-formatted EANs are set forth in § 11.52. The Commission observes that it does not know what role, if any, state alerting systems may play in disseminating CAP-formatted EANs in the future. Accordingly, the Commission also includes language that to the extent a state may distribute CAP-formatted EANs to EAS Participants via its state alerting system, its State EAS Plan must include specific and detailed information describing how such messages will be aggregated and delivered, just as it must for state CAP-formatted non-EAN messages.</P>
        <P>40. The Commission observes that its proposal in the<E T="03">Third FNPRM</E>to clarify § 11.21(a) (and 11.55(a)) that the mandate to process gubernatorial alerts applies to CAP alerts has become moot in light of its decision to eliminate the obligation that EAS Participants receive and process CAP-formatted gubernatorial alerts. The Commission also observes, however, that detailed information describing how state-originated CAP-formatted messages will be aggregated and distributed to EAS Participants, including applicable monitoring requirements, must be detailed in the State EAS Plans, just as the equivalent information for SAME-formatted alerts always has been, and amends § 11.21(a) to make this clear.</P>
        <P>41.<E T="03">Section 11.21(c).</E>The Commission defers taking any action regarding the FCC Mapbook, requirements in § 11.21(c) of the Commission's rules, until, at a minimum, it has completed its review of the test data it will be receiving from EAS Participants as a result of the November 9, 2011, Nationwide EAS Test.</P>
        <P>42.<E T="03">Section 11.31(a)(3).</E>In light of its decisions to require conversion of CAP-formatted messages into the existing EAS Protocol for transmission over the current EAS architecture, the Commission finds that the language in § 11.31(a)(3) limiting the EAS Protocol message to audio, video, or text remains valid and thus declines to revise the language in § 11.31(a) to better reflect CAP's capabilities.</P>
        <P>43.<E T="03">Section 11.35(a).</E>The Commission amends sections 11.35(a) and (b) to clarify that these sections apply to all equipment used as part of the EAS, including all equipment that performs the functions of decoding and encoding messages formatted in the EAS Protocol and the Common Alerting Protocol. The Commission observes that §§ 11.35(a) and (b) apply to EAS Encoders and Decoders and have terms that are broad enough to capture both integrated CAP-capable EAS devices as well as intermediary devices, but nonetheless clarifies the language in these sections to remove any ambiguity on this issue.</P>
        <P>44.<E T="03">Section 11.45.</E>The Commission declines to adopt CSRIC's recommendation to revise § 11.45 to prohibit CAP messages lacking “Actual” status indicators. The Commission observes that the language in § 11.45 already broadly prohibits the transmission of the EAS codes or attention signal “in any circumstances other than in an actual National, State or Local area emergency.” The Commission finds that this language is sufficiently broad to encompass EAS codes and attention signals generated from the receipt of a SAME-formatted or CAP-formatted message. The Commission also observes that the ECIG Implementation Guide, which the Commission adopts as the standard for CAP-to-SAME conversion, already requires that CAP messages have an “ACTUAL” status indicator for EAS activation.</P>
        <P>45.<E T="03">Section 11.51.</E>The Commission adopts the tentative conclusion in the<E T="03">Third FNPRM</E>that there is no basis for adopting CSRIC's recommendation to revise the language in section 11.51 of the Commission's rules to state that equipment must be capable of transmitting (or “rendering”) a CAP-compliant message to EAS. The Commission observes that to the extent CSRIC meant to revise § 11.51 to ensure conversion of CAP messages into SAME-compliant messages, that requirement has been incorporated into section 11.56. The Commission also observes that this is a fundamental requirement that will be cross-referenced in other sections of Part 11.</P>
        <P>46.<E T="03">Section 11.51(d), (g)(3), (h)(3), and (j)(2).</E>The Commission amends § 11.51(d), (g)(3), (h)(3), and (j)(2) of the Commission's rules to require EAS Participants to derive the visual display elements, including the originator, event, location and the valid time period of the EAS message, from the CAP text data as described in section 3.6 of the ECIG Implementation Guide. The Commission observes that every commenter addressing this issue favored allowing EAS Participants to construct the video crawl from the enhanced text in CAP per the ECIG Implementation Guide. The Commission further observes that the ECIG Implementation Guide provides procedures for deriving the video crawl translation of a CAP-formatted message to include not only the EAS codes required under the Part 11 rules, but also additional text relating to the event, which it believes would provide more visual information to alert message viewers. The Commission observes that the utility of such additional text has never been in question. The Commission explains, for example, that the ability to provide additional descriptive information will make alerts more focused, which could be vitally important for Amber alerts and other alerts that require more specific information than the basic who, what, when and where that EAS codes<PRTPAGE P="16694"/>provide. The Commission also observes that CAP alert originators will also be able to include in alerts suggested actions to avoid or prepare for the emergency condition; identify URLs and other sources of additional information; or provide a textual translation of the audio portion of a message, which would be particularly beneficial to the deaf and hard of hearing community.</P>

        <P>47. The Commission concludes that its concerns expressed in the<E T="03">Third FNPRM</E>regarding the potential for confusion that might arise if stations serving the same geographic area displayed differing video crawls (one based on the SAME elements only and the other based on the enhanced CAP text) are outweighed by the benefit that the enhanced text provides. The Commission observes that such scenarios would arise only when one (or more) of the stations in the geographic area affected by the emergency loses its ability to receive CAP messages but continues to receive over-the-air SAME messages. The Commission also observes that the ECIG Implementation Guide procedure for displaying enhanced CAP text has already been adopted by the industry and FEMA. The Commission also finds that requiring display of enhanced CAP text will provide an incentive for state and local alert message originators to deploy and use CAP-based alert systems and integrate such CAP systems with the EAS and FEMA's IPAWS system.</P>
        <P>48. The Commission clarifies that it will continue to use the EAS header codes as the baseline requirement for the visual display. The Commission acknowledges that these codes take up some portion of the 1800 characters available for scrolling and that the EAS header codes may not always sufficiently describe the alert. However, the Commission nonetheless finds that some measure of uniformity and consistency in how alert messages are processed over the EAS is necessary. In this regard, the Commission observes that the ECIG Implementation Guide does not specify minimum descriptive information, and thus if the baseline requirement to include the EAS header codes were eliminated, there is no guarantee that such basic information would be included by the CAP message originator, and descriptive information could vary greatly from state to state and locality to locality. The Commission also finds that ensuring that the EAS header codes are included in CAP messages is critical because stations responsible for regenerating (via the AFSK encoding process) a CAP alert message that has been converted into a SAME-compliant message for the benefit of downstream monitoring stations can only encode the EAS header codes.</P>
        <P>49.<E T="03">Section 11.54.</E>The Commission declines to adopt CSRIC's recommendations to mandate that CAP-formatted messages be broadcast only if the scope of the alert is “Public,” and to revise § 11.54(b)(1) to include IPAWS monitoring. The Commission observes that it is only requiring EAS equipment to produce a SAME-compliant output, and there is no requirement in the EAS Protocol, or more broadly, in the Part 11 rules, to broadcast only “Public” EAS messages. The Commission also observes that the ECIG Implementation Guide, with which the Commission is requiring conformance, already specifies that EAS Participants must ignore CAP-formatted messages with a value in the “scope” field other than “Public.” With respect to CSRIC's proposal to revise § 11.54(b)(1) to include IPAWS monitoring, the Commission observes that it is deleting § 11.54(b)(1), and therefore this issue is moot.</P>
        <P>50.<E T="03">Waivers.</E>The Commission concludes that it would not be appropriate to adopt any form of blanket exemption from the basic obligations of monitoring for, receiving, and processing CAP-formatted messages. The Commission finds that waivers or exemptions from these requirements are best addressed on a case-by-case basis under the waiver standard, where the facts and circumstances of each individual case can be determined on its own merits. The Commission observes, however, that the primary method of distributing CAP messages will be via a broadband Internet connection and concludes that the physical unavailability of broadband Internet service offers a presumption in favor of a waiver. The Commission clarifies that any waiver based on the physical unavailability of broadband Internet access likely would not exceed six months, with the option of renewal if circumstances have not changed. The Commission also clarifies that questions concerning whether the cost of broadband Internet access in a given geographic area (or other potential substitute CAP alert distribution mechanisms) would constitute grounds for a waiver of the basic CAP-related obligations would be relative to the facts and circumstances of an individual case. The Commission observes that to the extent a waiver applies, the affected party would be required to continue to operate its legacy EAS equipment.</P>

        <P>51. The Commission rejects the request of the American Cable Association to exempt cable systems of 500 subscribers or less from the Part 11 rules, concluding that there is no evidence that the costs of meeting the CAP-related obligations would jeopardize any class of entities subject to the Part 11 rules or are otherwise unreasonable. The Commission clarifies that noncommercial educational broadcast satellite stations operating pursuant to a “main studio waiver” need not deploy CAP-capable EAS equipment, provided that the EAS equipment deployed at the parent (hub) station site meets all applicable CAP-related and other requirements set forth in the<E T="03">Fifth Report and Order.</E>
        </P>
        <HD SOURCE="HD2">C. EAS Equipment Certification</HD>
        <P>52. The Commission incorporates conformance with the ECIG Implementation Guide into its existing equipment certification process. The Commission concludes that EAS equipment must be certified as CAP compliant because it is amending Part 11 to require CAP-to-SAME conversion in conformance with the ECIG Implementation Guide, and thus, as part of the required Part 11 functions, it necessarily falls under Part 11's certification requirements.</P>
        <P>53. In terms of implementation, the Commission finds that the test procedures developed and utilized in FEMA's IPAWS CA program constitute the most logical basis for demonstrating compliance with the CAP compliance requirements. The Commission further finds that integrated CAP-capable EAS devices that have passed the conformance testing performed under FEMA's IPAWS CA program may use the Supplier's Declaration of Conformity (SDoC) issued under that program to demonstrate CAP-to-SAME conversion in conformance with the ECIG Implementation Guide. The Commission also finds that integrated CAP-capable EAS devices that have not already passed the conformance testing performed under FEMA's IPAWS CA program must independently show conformance with the ECIG Implementation Guide through device testing pursuant to the test procedures developed and utilized in FEMA's IPAWS CA program. The Commission indicates that such testing can be performed by (i) the National Incident Management System (NIMS) Support Center—Supporting Technology Evaluation Project (STEP), which has assumed the role of testing for CAP and IPAWS profile compliance for EAS devices from the IPAWS CA program, or (ii) any other entity. The procedures and time periods for all cases described above are summarized as follows:</P>

        <P>○ For integrated CAP-capable EAS devices that already have FCC<PRTPAGE P="16695"/>certification, the grantee must submit a Class II Permissive Change filing that includes: (i) A cover letter explaining that the purpose of the filing is to apprise the Commission that the device has been tested for compliance with the ECIG Implementation Guide pursuant to the procedures adopted in this order and that the filing is being made to update the device's existing certification file; (ii) a statement signed by the grantee of the device's underlying FCC equipment authorization confirming compliance with section 11.56 of the Commission's rules; and (iii) a copy of either (a) the IPAWS CA program SDoC, if tested under FEMA's program; (b) the NIMS SDoC, if tested under the NIMS CAP testing program; or (c) for devices tested outside these programs, a copy of the test report showing that the device passed the test elements. If the integrated CAP-capable EAS device has already been marketed, the Class II Permissive Change filing must be submitted by June 30, 2012, the effective deadline for overall CAP compliance.</P>
        <P>○ For integrated CAP-capable EAS devices that do not already have FCC certification, the grantee must include with the FCC certification application materials: (i) A cover letter explaining that the device has been tested for compliance with the ECIG Implementation Guide pursuant to the procedures adopted in this order; (ii) a statement signed by the grantee confirming compliance with section 11.56 of the Commission's rules; and (iii) a copy of either (a) the IPAWS CA program SDoC, if tested under FEMA's IPAWS CA program, (b) the NIMS SDoC, if tested under the NIMS CAP testing program, or (c) for devices tested outside these programs, a copy of the test report showing that the device passed the test elements.</P>
        <P>54.<E T="03">Intermediary Devices.</E>As a preliminary matter, the Commission finds that universal intermediary devices and component intermediary devices perform encoder or decoder functions and as such are subject to certification under § 11.34 of the Commission's rules. Specifically, the Commission observes that universal intermediary devices monitor, acquire, and decode CAP messages, using the relevant CAP data to generate (<E T="03">i.e.,</E>encode) the EAS codes (FSK audio tones) and if present, an audio message, which can be received by the audio input of a legacy EAS device just as it would receive any other over-the-air SAME-formatted message. Accordingly, the Commission finds that universal intermediary devices are subject to certification both as decoders and encoders under § 11.34(a) and (b) of our rules, respectively.</P>
        <P>55. The Commission observes that component intermediary devices also monitor for, acquire, and decode CAP messages, but because they are configured to interface with a specific legacy EAS device model, they may be capable of communicating the extracted data to the companion legacy EAS device model in a non-AFSK format and thus may not themselves be encoding the SAME data. The Commission concludes that under these circumstances, a component intermediary device would not be subject to certification as an encoder under § 11.34(a) in its capacity as a stand-alone device. The Commission also observes, however, that component intermediary devices are designed for and intended to be operated with specific legacy EAS device models. Accordingly, the Commission finds that the output of the combined system configuration of these devices performs encoding functions which subjects such configuration to certification under § 11.34(a). In addition, the Commission observes that component intermediary devices perform decoding functions in their capacity as stand-alone devices that subject them to certification under § 11.34(b).</P>

        <P>56. With respect to incorporating conformance with the ECIG Implementation Guide for intermediary devices into the existing certification process, the Commission observes that FEMA's IPAWS CA program tested intermediary devices for conformance with the ECIG Implementation Guide. Given the nature of the two types of intermediary devices, the Commission concludes that the test procedures developed and utilized in FEMA's IPAWS CA program for testing intermediary devices constitute a sufficient basis for demonstrating compliance with the ECIG Implementation Guide in a way that would impose minimal costs on the affected parties. Accordingly, the Commission concludes that the streamlined certification processes outlined above for integrated CAP-capable EAS devices are equally suitable for intermediary devices. However, with respect to certification testing for ECIG Implementation Guide compliance and Part 11 compliance, the Commission concludes that, because component intermediary devices are designed and intended to be operated with specific legacy EAS device models, certification testing for ECIG Implementation Guide compliance and Part 11 compliance of these devices must be performed on the combined system—<E T="03">i.e.,</E>the component intermediary device as configured with the specific legacy EAS device model(s) with which it is marketed and intended to be used. The Commission also clarifies that universal type intermediary devices can be tested as stand-alone devices. The procedures and time periods for all cases described above are summarized as follows:</P>
        <P>○ For intermediary devices that already have FCC certification, the grantee must submit a Class II Permissive Change filing that includes: (i) A cover letter explaining that the purpose of the filing is to apprise the Commission that the device has been tested for compliance with the ECIG Implementation Guide pursuant to the procedures adopted in this order and that the filing is being made to update the device's existing certification file; and (ii) a copy of either (a) the IPAWS CA program SDoC, if tested under FEMA's IPAWS CA program; (b) the MINS SDoC, if tested under the NIMS CAP testing program; or (c) for devices tested outside these programs, a copy of the test report showing that the device passed the test elements. If the intermediary device has already been marketed, the Class II Permissive Change filing must be submitted by June 30, 2012, the effective deadline for overall CAP compliance.</P>
        <P>○ For intermediary devices that do not already have FCC certification, the grantee must include with the FCC certification application materials: (i) A cover letter explaining that the device has been tested for compliance with the ECIG Implementation Guide pursuant to the procedures adopted in this order; and (ii) a copy of either (a) the IPAWS CA program SDoC, if tested under FEMA's IPAWS CA program; (b) the NIMS SDoC, if tested under the NIMS CAP testing program; or (c) for devices tested outside these programs, a copy of the test report showing that the device passed the test elements.</P>
        <P>57.<E T="03">Modified Equipment.</E>The Commission concludes that the existing requirements governing modifications to certified equipment in section 2.1043 of the Commission's rules are sufficient to cover CAP-enabled equipment.  The Commission clarifies that modifications to authorized EAS equipment that are necessary to implement revisions to the EAS event codes, originator codes, or location codes set forth in section 11.31 may be implemented as Class I permissive changes.  The Commission also observes that any future revisions to the CAP-related standards adopted by FEMA could not become effective in the Part 11 rules absent a rulemaking proceeding.<PRTPAGE P="16696"/>
        </P>
        <HD SOURCE="HD2">E. CAP Messages Originated by State Governors</HD>
        <P>58. The Commission concludes that the mandate to receive and transmit CAP-formatted messages initiated by state governors is not necessary at this time and is potentially detrimental to effective deployment of CAP-based alerts.  Accordingly, the Commission eliminates the mandate from Part 11.  In arriving at this determination, the Commission observes that there are a number of practical problems associated with implementing the mandate within the existing EAS system architecture, and overcoming these problems would likely impose significant costs on and disruption to its transitional approach for accommodating CAP within the EAS.  The Commission points out as particularly problematic the issue of whether and how the gubernatorial CAP-formatted message could be converted into an EAS Protocol-formatted message for the benefit of downstream monitoring stations.  The Commission observes, for example, that the ECIG Implementation Guide procedures for identifying a CAP message as being from a governor only works for an EAS Participant that receives the CAP message, as the CAP-formatted gubernatorial alert cannot be converted and encoded as an existing EAS Protocol-formatted message.</P>
        <P>59. The Commission also observes that adding a new originator code to make the gubernatorial CAP mandate operational within the legacy EAS domain presents a range of  problems.  The Commission points out, for example, that such a revision to the EAS Protocol would require updates to every integrated CAP-capable EAS device, intermediary device, and legacy EAS device, the latter of which may not be capable of being updated and would have to be replaced (along with any intermediary device with which they might be configured).  The Commission also points out that implementing the mandatory gubernatorial alert within the revised EAS rules would present other equally troubling issues for which there are no ready or obvious technical solutions.  The Commission observes that these problems include implementing priority status within CAP for a gubernatorial alert and mandating broadcast of a category of messages that do not specify an actual emergency.  The Commission further observes that such an open ended mandate might, in some cases, allow the issuance of a mandatory message that may be inappropriate for an alert.</P>
        <P>60. The Commission also questions whether the mandatory gubernatorial alert requirement would provide any tangible benefit.  The Commission observes that while the mandate was adopted in 2007 as an incentive to encourage and facilitate state use of the EAS network, it does not appear that this rationale applies today.  In this regard, the Commission observes that approximately twenty-four states (including one territory) have either deployed CAP systems or are in the planning stages of deploying CAP systems, and given the current economic climate, it seems unlikely that states that have not already deployed or begun plans to deploy CAP systems will do so simply because of an enforceable mandate to carry CAP-formatted gubernatorial messages.  The Commission further observes that there is near universal voluntary participation by EAS Participants in carrying state and local EAS messages.  Accordingly, the Commission concludes that having an enforceable means to guarantee carriage of gubernatorial CAP alert messages seems unnecessary.  Finally, the Commission observes that FEMA's IPAWS will provide a means for a State governor, or the governor's authorized representative, to issue targeted CAP-based alerts, not only over the EAS, but over mobile devices.</P>
        <HD SOURCE="HD2">F. Revising the Procedures for Processing EANs</HD>
        <P>61. The Commission amends the Part 11 EAS rules so that EANs will be processed on a message-by-message basis, like any other EAS message, only on a mandatory and priority basis.  As part of this rule simplification, the Commission eliminates the Emergency Action Termination (EAT) event code.  Under the Commission's revised approach, receipt of an EAN will effectively open an audio channel between the originating source and the EAS Participant's facilities until the EAS Participant receives an End of Message (EOM) code.  After the EAS Participant receives the EOM, the EAS equipment will return to regular programming until receipt of the next EAS message.  If that message is another EAN, then the process would repeat; if that message is a state or local EAS message, then that message would be aired in accordance with the specifications in the State or Local Area EAS Plan.  The Commission concludes that revising the rules governing EAN processing is necessary because they were designed to accommodate the EAN Network, which was phased out in 1995, and purely manual operation.  The Commission also observes that the current EAN processing rules do not translate well for automated operation, are confusing, and in some cases, inconsistent with other Part 11 rules.</P>
        <P>62. With respect to the question raised in the<E T="03">Third FNPRM</E>regarding whether to eliminate the option for EAS Participants to manually process EANs (but not state or local EAS messages), the Commission finds that it would be premature to take any action on such matter until after it has reviewed the test data from the November 9, 2011, Nationwide EAS Test.  Accordingly, the Commission defers taking any action on this matter at this time.</P>
        <P>63.<E T="03">Revising Section 11.54.</E>The Commission deletes §§ 11.54(b)(1), (3), (4), (10), and 11.54(c) from the Part 11 rules.  The Commission finds that these provisions are superfluous in the context of the message-by-message processing it is adopting for EANs.</P>
        <P>64.<E T="03">Deleting Section 11.42.</E>The Commission deletes § 11.42 from the Part 11 rules because it no longer serves any purpose.</P>
        <P>65.<E T="03">Eliminating the EAS Operating Handbook.</E>With respect to the question raised in the<E T="03">Third FNPRM</E>regarding whether to eliminate the EAS Operating Handbook, the Commission finds that it would be premature to take any actions on such matter until after it has reviewed the test data from the November 9, 2011, Nationwide EAS Test.  Accordingly, the Commission defers taking any action on this issue at this time.</P>
        <P>66. However, the Commission is deleting §§ 11.54(a), (b)(2), and (5)-(8) because they serve no purpose under the message-by-message processing approach it adopts for handling EANs.  The Commission observes that these provisions all refer to procedures set forth in the EAS Operating Handbook designed to implement the National Emergency Condition, which the Commission is eliminating.  The Commission observes that if it elects to retain the EAS Operating Handbook, it will at most serve as an informational document to aid EAS Participant personnel in handling EAS messages manually and will not itself establish any procedures (such as on-air announcements) that must be followed.</P>
        <P>67.<E T="03">Non-Participating National (NN) Sources.</E>The Commission eliminates NN status on the grounds that it is not necessary.  Accordingly, the Commission deletes references to NN status from §§ 11.18, 11.41, 11.54, and 11.55 of the Commission's rules, and deletes § 11.19 altogether.  The Commission clarifies that any existing stations operating under NN status must meet the full message-by-message EAN processing requirements, and CAP-related requirements, by the June 30, 2012,<PRTPAGE P="16697"/>general deadline for processing CAP-formatted messages.  The Commission finds that elimination of NN status is warranted because it does not appear to serve any purpose today, as NN entities already are required to deploy a decoder that complies with all EAS message processing requirements and follow all of the EAN processing requirements, except broadcasting the audio message.  The Commission also observes that there are relatively few NN stations, and that no entity with or without NN status filed comments objecting to the proposal to eliminate NN status raised in the<E T="03">Third FNPRM</E>.</P>
        <P>68.<E T="03">Deleting Section 11.44.</E>The Commission deletes § 11.44 from the Part 11 rules on grounds that this section is superfluous under the message-by-message approach adopted by the Commission for processing EANs.  Although priority for EANs already is provided for in the other sections of Part 11, the Commission also incorporates language on EAN preemption and priority into the definition of the EAN in section 11.2.</P>
        <P>69.<E T="03">Revising Section 11.53.</E>The Commission deletes § 11.53 from the Part 11 rules as superfluous in light of its decisions to delete almost all of § 11.54 and implement message-by-message processing for EANs.  For informational purposes, however, the Commission incorporates the relevant language in § 11.53(a) and (b), describing Federal, State, and local origination of the EAN, into the definition of EAN in § 11.2 and clarifies that such origination applies only to EANs formatted and transmitted in accordance with the EAS Protocol requirements in § 11.31.</P>
        <P>70.<E T="03">Revising Section 11.11(a).</E>The Commission revises section 11.11(a) to remove the references therein to ``participating broadcast networks, cable networks and program suppliers; and other entities and industries operating on an organized basis during emergencies at the National, State and local levels'' on grounds that these references are a holdover from the Emergency Broadcasting System (EBS) rules and serve no purpose under the message-by-message approach adopted by the Commission for processing EANs.</P>
        <P>71.<E T="03">Deleting Section 11.16.</E>With respect to the question raised in the<E T="03">Third FNPRM</E>regarding whether to delete § 11.16, the Commission observes that the test data from the November 9, 2011, Nationwide EAS Test, which is under review, may provide insight on this matter.  Accordingly, the Commission defers taking any action on this issue at this time.</P>
        <P>72. However, the Commission is deleting § 11.54(b)(12) and incorporating that section's requirement for Primary Entry Point (PEP) stations to follow the National Control Point Procedures into § 11.16.</P>
        <HD SOURCE="HD2">G. Miscellaneous Part 11 Revisions Not Related to CAP</HD>
        <P>73.<E T="03">LP-1 Definition.</E>The Commission's assessment of State EAS Plans confirms that there are both radio and TV stations serving as LP-1 stations and it therefore revises the definition for LP-1 stations in section 11.2(b) to reflect that these stations can be a radio or a TV station.</P>
        <P>74.<E T="03">PEP Definition.</E>The Commission deletes section 11.14, which describes PEP stations, from the Part 11 rules because it mirrors the definition of PEP stations in section 11.2(a) and is therefore superfluous.  The Commission also revises section 11.2(a) to delete the numerical reference to the actual number of PEP stations in existence, and clarify that the PEP stations distribute EAS messages in accordance with the EAS Protocol requirements in section 11.31.</P>
        <P>75.<E T="03">EAN and EAT Definitions.</E>The Commission deletes section 11.13 from the Part 11 rules and folds the definition for the EAN currently in section 11.13 into section 11.2.  The Commission observes that the proper location in Part 11 for the EAN definition, currently at section 11.13(a), is the definitions section in section 11.2.  Because the Commission also is deleting the EAT, the remaining subsection in section 11.13, section 11.13(b), which describes the EAT, is superfluous, leaving no purpose for retaining section 11.13 in Part 11.</P>
        <P>76.<E T="03">Geographic Codes.</E>The Commission changes the references to the Federal Information Processing Standard (FIPS) numbers (as described by the U.S. Department of Commerce in National Institute of Standards and Technology publication FIPS PUB 6-4.FIPS number codes) in sections 11.31 and 11.34(d) of the Commission's rules to reflect the American National Standards Institute (ANSI) Codes INCITS 31.200x (Formerly FIPS 6-4), Codes for the Identification of Counties and Equivalent Entities of the United States, its Possessions, and Insular Areas standard that superseded it.  The Commission observes that the FIPS standard is outdated and requires revision to keep the Part 11 rules current.</P>
        <P>77.<E T="03">LPTV and LPFM.</E>The Commission revises the analog and digital broadcast station equipment deployment table in section 11.11(a) of the Commission's rules to correctly identify ``LPFM'' (Low Power FM) and ``LPTV'' (Low Power TV) in their respective columns.  The Commission also revises sections 11.61(a)(1)(i) and 11.61(a)(2)(ii) to include LPFM stations.  The Commission observes that these corrections are necessary to ensure that the rules reflect prior decisions.</P>
        <P>78.<E T="03">Attention Signal.</E>The Commission concludes that the Attention Signal continues to serve a useful purpose in the EAS framework as an audio notification to the general public that an alert is about to be aired, and therefore will retain the Attention Signal in the Part 11 rules.  However, the Commission revises section 11.32(a)(9)(iv) to require that the Attention Signal be set to eight seconds in duration, which reflects what has become common practice and ensures that when the signal is aired, it is done in a consistent manner.  In addition, the Commission deletes section 11.33(b), which establishes Attention Signal requirements for decoders, because these requirements were used for demuting and activation functions that do not apply to the EAS.  The Commission also deletes section 11.12, which specifies that EBS Attention Signal encoders and decoders can remain in operation until January 1, 1998, because this section is obsolete.</P>
        <P>79.<E T="03">Section 11.33(a)(9).</E>With respect to the decoder reset requirements specified in section 11.39(a)(9) of the Commission's rules, the Commission finds that EAS Participants should be allowed to relay, for the benefit of downstream monitoring stations, messages they received that did not include an EOM within the reset time limit set on their decoder (presumably, two minutes).  More specifically, the Commission finds that when a non-EAN alert exceeds that two minute mark, the EAS Participant's EAS device should be allowed to generate an EOM to make up for the EOM that was not received with the original message.  The Commission observes that the record indicates that current EAS equipment already functions in this manner, and that there are many reasons why an EOM might not arrive before the reset value triggers that have nothing to do with the reliability of the message.  The Commission further observes that the only way to ensure that an EOM did arrive for a given EAS message prior to the reset value would be to delay relay of that message until the entire message and its EOM has been received, which could take up to two minutes (or more), which it concludes is not in the public interest.</P>
        <P>80.<E T="03">Section 11.33(a)(3)(ii).</E>The Commission declines to eliminate the<PRTPAGE P="16698"/>requirement in section 11.33(a)(3)(ii) to delete messages upon expiration of their time periods, as proposed in the<E T="03">Third FNPRM</E>.  The Commission concludes that the valid time period should continue to be set by the message originator, which is the party most responsible for the public's safety.  The Commission also observes that EAS Participants have repeatedly stressed that they do not want the responsibility of alert origination, and allowing them to air expired alerts would effectively put them in that role.</P>
        <P>81.<E T="03">Training.</E>The Commission reiterates that it lacks the authority to raise or distribute funds for EAS-related purposes and therefore cannot provide training for state and local emergency managers.  The Commission observes, however, that it can hold workshops and summits as part of its outreach mission.  The Commission also observes that it intends to examine the relative merits of making the FCC Mapbook and EAS Operator Handbook more informative and useful for EAS Participants and their personnel.</P>
        <P>82.<E T="03">Persons with Disabilities.</E>The Commission observes that its decision to require EAS Participants to meet the video display requirements in sections 11.51(d), (g)(3), (h)(3), and (j)(2) by using the enhanced text in the CAP message will enable CAP alert message originators to provide a transcript of the audio message, which helps harmonize the EAS rules with the requirements of section 79.2 of the Commission's rules.  The Commission also observes that requiring display of enhanced CAP text will provide an incentive for state and local alert message originators to deploy and use CAP-based alert systems.  The Commission believes that providing state and local alert message originators with a conduit for the transmission of transcripts of the audio portions of their messages should encourage alert originators to craft messages that will provide accessible alerting for persons with hearing and vision disabilities.</P>
        <P>83.<E T="03">Proposals Beyond the Scope of the Fifth Report and Order.</E>The Commission identifies several issues raised by comments responding to the<E T="03">Third FNPRM</E>that were not raised in the<E T="03">Third FNPRM</E>.  Because these issues were not raised in the<E T="03">Third FNPRM</E>, the Commission does not resolve them in the<E T="03">Fifth Report and Order.</E>
        </P>
        <HD SOURCE="HD1">III. Procedural Matters</HD>
        <HD SOURCE="HD2">A. Regulatory Flexibility Analysis</HD>
        <P>84. As required by the Regulatory Flexibility Act of 1980, see 5 U.S.C. 603, the Commission has prepared a Final Regulatory Flexibility Analysis (FRFA) of possible significant economic impact on small entities of the policies and rules addressed in this document. The FRFA is set forth in Appendix A.</P>
        <HD SOURCE="HD2">B. Paperwork Reduction Act Analysis</HD>
        <P>85. This<E T="03">Fifth Report and Order</E>adopts modified information collection requirements subject to the Paperwork Reduction Act of 1995 (PRA), Public Law 104-13. These modified requirements will be submitted to the Office of Management and Budget (OMB) under an emergency request for review under Section 3507(d) of the PRA. OMB, the general public, and other Federal agencies are invited to comment on the new or modified information collection requirements contained in this proceeding. In addition, the Commission notes that pursuant to the Small Business Paperwork Relief Act of 2002, Public Law 107-198, see 44 U.S.C. 3506(c)(4), it previously sought specific comment on how the Commission might further reduce the information collection burden for small business concerns with fewer than 25 employees.</P>

        <P>86. In this present document, the Commission has assessed the effects of revisions to current Part 11 reporting, recordkeeping, or compliance requirements as set forth in this<E T="03">Fifth Report and Order,</E>and does not expect these revisions to alter the recordkeeping burden of any EAS Participants to any appreciable degree. There are no results specific to businesses with fewer than 25 employees.</P>
        <HD SOURCE="HD2">C. Congressional Review Act</HD>
        <P>87. The Commission will send a copy of this<E T="03">Fifth Report and Order</E>to Congress and the Government Accountability Office pursuant to the Congressional Review Act (“CRA”),<E T="03">see</E>5 U.S.C. 801(a)(1)(A).</P>
        <HD SOURCE="HD1">IV. Ordering Clauses</HD>
        <P>88. Accordingly,<E T="03">it is ordered</E>that pursuant to sections 1, 2, 4(i), 4(o), 301, 303(r), 303(v), 307, 309, 335, 403, 624(g), 706, and 715 of the Communications Act of 1934, as amended, 47 U.S.C. 151, 152, 154(i), 154(o), 301, 303(r), 303(v), 307, 309, 335, 403, 544(g), 606, and 615, this<E T="03">Fifth Report and Order is adopted.</E>
        </P>
        <P>89.<E T="03">It is further ordered</E>that the rules adopted herein<E T="03">will become effective</E>thirty (30) days after the date of their publication in the<E T="04">Federal Register</E>, except for any reporting, recordkeeping or third-party collection requirements that contain new or modified information collections. Those rules will become effective on the date specified in a Commission notice published in the<E T="04">Federal Register</E>announcing their approval under the Paperwork Reduction Act by the Office of Management and Budget.</P>
        <P>90.<E T="03">It is further ordered</E>that the Commission's Consumer and Governmental Affairs Bureau, Reference Information Center,<E T="03">shall send</E>a copy of this<E T="03">Fifth Report and Order,</E>including the Regulatory Flexibility Analysis, to the Chief Counsel for Advocacy of the Small Business Administration.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 47 CFR Part 11</HD>
          <P>Incorporation by reference, Radio, Television.</P>
        </LSTSUB>
        <SIG>
          <FP>Federal Communications Commission.</FP>
          <NAME>Marlene H. Dortch,</NAME>
          <TITLE>Secretary.</TITLE>
        </SIG>
        
        <P>For the reasons discussed in the preamble, the Federal Communications Commission amends 47 CFR Part 11 as follows:</P>
        <REGTEXT PART="11" TITLE="47">
          <PART>
            <HD SOURCE="HED">PART 11—EMERGENCY ALERT SYSTEM (EAS)</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 11 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>47 U.S.C. 151, 154(i) and (o), 303(r), 544(g) and 606.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>2. Revise § 11.2 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.2</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <P>The definitions of terms used in part 11 are:</P>
            <P>(a)<E T="03">Emergency Action Notification (EAN).</E>The Emergency Action Notification is the notice to all EAS Participants and to the general public that the EAS has been activated for a national emergency. EAN messages that are formatted in the EAS Protocol (specified in § 11.31) are sent from a government origination point to broadcast stations and other entities participating in the PEP system, and are subsequently disseminated via EAS Participants. Dissemination arrangements for EAN messages that are formatted in the EAS Protocol (specified in § 11.31) at the State and local levels are specified in the State and Local Area plans (defined at § 11.21). A national activation of the EAS for a Presidential message with the Event code EAN as specified in § 11.31 must take priority over any other message and preempt it if it is in progress.</P>
            <P>(b)<E T="03">Primary Entry Point (PEP) System.</E>The PEP system is a nationwide network of broadcast stations and other entities connected with government activation points. It is used to distribute EAS messages that are formatted in the EAS Protocol (specified in § 11.31), including the EAN and EAS national<PRTPAGE P="16699"/>test messages. FEMA has designated some of the nation's largest radio broadcast stations as PEPs. The PEPs are designated to receive the Presidential alert from FEMA and distribute it to local stations.</P>
            <P>(c)<E T="03">Local Primary One (LP-1).</E>The LP-1 is a radio or TV station that acts as a key EAS monitoring source. Each LP-1 station must monitor its regional PEP station and a back-up source for Presidential messages.</P>
            <P>(d)<E T="03">EAS Participants.</E>Entities required under the Commission's rules to comply with EAS rules, e.g., analog radio and television stations, and wired and wireless cable television systems, DBS, DTV, SDARS, digital cable and DAB, and wireline video systems.</P>
            <P>(e)<E T="03">Wireline Video System.</E>The system of a wireline common carrier used to provide video programming service.</P>
            <P>(f)<E T="03">Participating National (PN).</E>PN stations are broadcast stations that transmit EAS National, state, or local EAS messages to the public.</P>
            <P>(g)<E T="03">National Primary (NP).</E>Stations that are the primary entry point for Presidential messages delivered by FEMA. These stations are responsible for broadcasting a Presidential alert to the public and to State Primary stations within their broadcast range.</P>
            <P>(h)<E T="03">State Primary (SP).</E>Stations that are the entry point for State messages, which can originate from the Governor or a designated representative.</P>
            <P>(i)<E T="03">Intermediary Device.</E>An intermediary device is a stand-alone device that carries out the functions of monitoring for, receiving and/or acquiring, and decoding EAS messages formatted in the Common Alerting Protocol (CAP) in accordance with § 11.56, and converting such messages into a format that can be inputted into a separate EAS decoder, EAS encoder, or unit combining such decoder and encoder functions, so that the EAS message outputted by such separate EAS decoder, EAS encoder, or unit combining such decoder and encoder functions, and all other functions attendant to processing such EAS message, comply with the requirements in this part.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>3. Amend § 11.11 by revising paragraphs (a) and (d) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.11</SECTNO>
            <SUBJECT>The Emergency Alert System (EAS).</SUBJECT>
            <P>(a) The EAS is composed of analog radio broadcast stations including AM, FM, and Low-power FM (LPFM) stations; digital audio broadcasting (DAB) stations, including digital AM, FM, and Low-power FM stations; Class A television (CA) and Low-power TV (LPTV) stations; digital television (DTV) broadcast stations, including digital CA and digital LPTV stations; analog cable systems; digital cable systems which are defined for purposes of this part only as the portion of a cable system that delivers channels in digital format to subscribers at the input of a Unidirectional Digital Cable Product or other navigation device; wireline video systems; wireless cable systems which may consist of Broadband Radio Service (BRS), or Educational Broadband Service (EBS) stations; DBS services, as defined in § 25.701(a) of this chapter (including certain Ku-band Fixed-Satellite Service Direct to Home providers); and SDARS, as defined in § 25.201 of this chapter. These entities are referred to collectively as EAS Participants in this part, and are subject to this part, except as otherwise provided herein. At a minimum EAS Participants must use a common EAS protocol, as defined in § 11.31, to send and receive emergency alerts, and comply with the requirements set forth in § 11.56, in accordance with the following tables:</P>
            <GPOTABLE CDEF="s50,11C,11C,11C,11C,11C,11C,11C" COLS="8" OPTS="L2,i1">
              <TTITLE>Table 1—Analog and Digital Broadcast Station Equipment Deployment Requirements</TTITLE>
              <BOXHD>
                <CHED H="1">EAS equipment requirement</CHED>
                <CHED H="1">AM &amp; FM</CHED>
                <CHED H="1">Digital AM &amp; FM</CHED>
                <CHED H="1">Analog &amp; digital FM class D</CHED>
                <CHED H="1">Analog &amp;<LI>digital LPFM</LI>
                </CHED>
                <CHED H="1">DTV</CHED>
                <CHED H="1">Analog &amp;<LI>digital class A TV</LI>
                </CHED>
                <CHED H="1">Analog &amp;<LI>digital LPTV</LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">EAS decoder<SU>1</SU>
                </ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <ROW>
                <ENT I="01">EAS encoder</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>N</ENT>
                <ENT>N</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>N</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Audio message</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Video message</ENT>
                <ENT>N/A</ENT>
                <ENT>N/A</ENT>
                <ENT>N/A</ENT>
                <ENT>N/A</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>EAS Participants may comply with the obligations set forth in § 11.56 to decode and convert CAP-formatted messages into EAS Protocol-compliant messages by deploying an Intermediary Device, as specified in § 11.56(b).</TNOTE>
            </GPOTABLE>
            <HD SOURCE="HD1">Analog Cable Systems</HD>
            <P>Analog cable systems are subject to the requirements in Table 2 below. Analog cable systems serving fewer than 5,000 subscribers from a headend may either provide the National level EAS message on all programmed channels including the required testing, or comply with the requirements in Table 2.</P>
            <GPOTABLE CDEF="s25,15C,15C" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 2—Analog Cable System Equipment Deployment Requirements</TTITLE>
              <BOXHD>
                <CHED H="1">EAS equipment requirement</CHED>
                <CHED H="1">≥5,000<LI>subscribers</LI>
                </CHED>
                <CHED H="1">&lt;5,000<LI>subscribers</LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">EAS decoder<SU>1</SU>
                </ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <ROW>
                <ENT I="01">EAS encoder</ENT>
                <ENT>Y</ENT>
                <ENT>Y<SU>2</SU>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="01">Audio and Video EAS Message on all channels</ENT>
                <ENT>Y</ENT>
                <ENT>N</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Video interrupt and audio alert message on all channels;<SU>3</SU>Audio and Video EAS message on at least one channel</ENT>
                <ENT>N</ENT>
                <ENT>Y</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>EAS Participants may comply with the obligations set forth in § 11.56 to decode and convert CAP-formatted messages into EAS Protocol-compliant messages by deploying an Intermediary Device, as specified in § 11.56(b).</TNOTE>
              <TNOTE>
                <SU>2</SU>Analog cable systems serving &lt;5,000 subscribers are permitted to operate without an EAS encoder if they install an FCC-certified decoder.</TNOTE>
              <TNOTE>

                <SU>3</SU>The Video interrupt must cause all channels that carry programming to flash for the duration of the EAS emergency message. The audio alert must give the channel where the EAS messages are carried and be repeated for the duration of the EAS message. [<E T="02">Note:</E>Programmed channels do not include channels used for the transmission of data such as interactive games.]</TNOTE>
            </GPOTABLE>
            <PRTPAGE P="16700"/>
            <HD SOURCE="HD1">Wireless Cable Systems (BRS/EBS Stations)</HD>
            <P>Wireless cable systems are subject to the requirements in Table 3 below. Wireless cable systems serving fewer than 5,000 subscribers from a single transmission site must either provide the National level EAS message on all programmed channels including the required testing, or comply with the requirements in Table 3.</P>
            <GPOTABLE CDEF="s125,15C,15C" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 3—Wireless Cable System Equipment Deployment Requirements</TTITLE>
              <BOXHD>
                <CHED H="1">EAS equipment requirement</CHED>
                <CHED H="1">≥5,000<LI>subscribers</LI>
                </CHED>
                <CHED H="1">&lt;5,000<LI>subscribers</LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">EAS decoder<SU>1</SU>
                </ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <ROW>
                <ENT I="01">EAS encoder</ENT>
                <ENT>Y</ENT>
                <ENT>Y<SU>2</SU>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="01">Audio and Video EAS Message on all channels<SU>3</SU>
                </ENT>
                <ENT>Y</ENT>
                <ENT>N</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Video interrupt and audio alert message on all channels;<SU>4</SU>Audio and Video EAS message on at least one channel</ENT>
                <ENT>N</ENT>
                <ENT>Y</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>EAS Participants may comply with the obligations set forth in § 11.56 to decode and convert CAP-formatted messages into EAS Protocol-compliant messages by deploying an Intermediary Device, as specified in § 11.56(b).</TNOTE>
              <TNOTE>
                <SU>2</SU>Wireless cable systems serving &lt;5,000 subscribers are permitted to operate without an EAS encoder if they install an FCC-certified decoder.</TNOTE>
              <TNOTE>
                <SU>3</SU>All wireless cable systems may comply with this requirement by providing a means to switch all programmed channels to a predesignated channel that carries the required audio and video EAS messages.</TNOTE>
              <TNOTE>

                <SU>4</SU>The Video interrupt must cause all channels that carry programming to flash for the duration of the EAS emergency message. The audio alert must give the channel where the EAS messages are carried and be repeated for the duration of the EAS message. [<E T="02">Note:</E>Programmed channels do not include channels used for the transmission of data services such as Internet.]</TNOTE>
            </GPOTABLE>
            <HD SOURCE="HD1">Digital Cable Systems and Wireline Video Systems</HD>
            <P>Digital cable systems and Wireline Video Systems must comply with the requirements in Table 4 below. Digital cable systems and Wireline Video Systems serving fewer than 5,000 subscribers from a headend must either provide the National level EAS message on all programmed channels including the required testing, or comply with the requirements in Table 4.</P>
            <GPOTABLE CDEF="s125,15C,15C" COLS="3" OPTS="L2,i1">
              <TTITLE>Table 4—Digital Cable System and Wireline Video System Equipment Deployment Requirements</TTITLE>
              <BOXHD>
                <CHED H="1">EAS equipment requirement</CHED>
                <CHED H="1">≥5,000<LI>subscribers</LI>
                </CHED>
                <CHED H="1">&lt;5,000<LI>subscribers</LI>
                </CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">EAS decoder<SU>1</SU>
                </ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <ROW>
                <ENT I="01">EAS encoder</ENT>
                <ENT>Y</ENT>
                <ENT>Y<SU>2</SU>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="01">Audio and Video EAS Message on all channels<SU>3</SU>
                </ENT>
                <ENT>Y</ENT>
                <ENT>N</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Video interrupt and audio alert message on all channels;<SU>4</SU>Audio and Video EAS message on at least one channel</ENT>
                <ENT>N</ENT>
                <ENT>Y</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>EAS Participants may comply with the obligations set forth in § 11.56 to decode and convert CAP-formatted messages into EAS Protocol-compliant messages by deploying an Intermediary Device, as specified in § 11.56(b).</TNOTE>
              <TNOTE>
                <SU>2</SU>Digital cable systems and wireline video systems serving &lt;5,000 subscribers are permitted to operate without an EAS encoder if they install an FCC-certified decoder.</TNOTE>
              <TNOTE>
                <SU>3</SU>All digital cable systems and wireline video systems may comply with this requirement by providing a means to switch all programmed channels to a predesignated channel that carries the required audio and video EAS messages.</TNOTE>
              <TNOTE>

                <SU>4</SU>The Video interrupt must cause all channels that carry programming to flash for the duration of the EAS emergency message. The audio alert must give the channel where the EAS messages are carried and be repeated for the duration of the EAS message. [<E T="02">Note:</E>Programmed channels do not include channels used for the transmission of data services such as Internet access.]</TNOTE>
            </GPOTABLE>
            <GPOTABLE CDEF="s125,15C,15C" COLS="3" OPTS="L2,i1">
              <TTITLE>SDARS and DBS</TTITLE>
              <BOXHD>
                <CHED H="1">EAS equipment requirement</CHED>
                <CHED H="1">SDARS</CHED>
                <CHED H="1">DBS</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">EAS decoder<SU>1</SU>
                </ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <ROW>
                <ENT I="01">EAS encoder</ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Audio message on all channels<SU>2</SU>
                </ENT>
                <ENT>Y</ENT>
                <ENT>Y</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Video message on all channels<SU>2</SU>
                </ENT>
                <ENT>N/A</ENT>
                <ENT>Y</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>EAS Participants may comply with the obligations set forth in § 11.56 to decode and convert CAP-formatted messages into EAS Protocol-compliant messages by deploying an Intermediary Device, as specified in § 11.56(b).</TNOTE>
              <TNOTE>
                <SU>2</SU>All SDARS and DBS providers may comply with this requirement by providing a means to switch all programmed channels to a predesignated channel that carries the required audio and video EAS messages or by any other method that ensures that viewers of all channels receive the EAS message.</TNOTE>
            </GPOTABLE>
            <STARS/>
            <P>(d) Local franchise authorities may use any EAS codes authorized by the FCC in any agreements.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <SECTION>
            <SECTNO>§ 11.12</SECTNO>
            <SUBJECT>[Removed and Reserved]</SUBJECT>
          </SECTION>
          <AMDPAR>4. Remove and reserve § 11.12.</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.13</SECTNO>
            <SUBJECT>[Removed and Reserved]</SUBJECT>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>5. Remove and reserve § 11.13.</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.14</SECTNO>
            <SUBJECT>[Removed and Reserved]</SUBJECT>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>6. Remove and reserve § 11.14.</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.18</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>7. Amend § 11.18 by removing paragraph (f).</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.19</SECTNO>
            <SUBJECT>[Removed]</SUBJECT>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>8. Remove § 11.19.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>9. Amend § 11.21 by revising paragraph (a) to read as follows:</AMDPAR>
          <SECTION>
            <PRTPAGE P="16701"/>
            <SECTNO>§ 11.21</SECTNO>
            <SUBJECT>State and Local Area plans and FCC Mapbook.</SUBJECT>
            <STARS/>
            <P>(a) The State EAS Plan contains procedures for State emergency management and other State officials, the NWS, and EAS Participants' personnel to transmit emergency information to the public during a State emergency using the EAS. State EAS Plans should include a data table, in computer readable form, clearly showing monitoring assignments and the specific primary and backup path for emergency action notification (EAN) messages that are formatted in the EAS Protocol (specified in § 11.31), from the PEP to each station in the plan. If a state's emergency alert system is capable of initiating EAS messages formatted in the Common Alerting Protocol (CAP), its State EAS Plan must include specific and detailed information describing how such messages will be aggregated and distributed to EAS Participants within the state, including the monitoring requirements associated with distributing such messages.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>10. Amend § 11.31 by revising paragraphs (c), (e) and (f) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.31</SECTNO>
            <SUBJECT>EAS protocol.</SUBJECT>
            <STARS/>
            <P>(c) The EAS protocol, including any codes, must not be amended, extended or abridged without FCC authorization. The EAS protocol and message format are specified in the following representation.</P>
            <P>Examples are provided in FCC Public Notices.</P>
            
            <FP SOURCE="FP-1">[PREAMBLE]ZCZC-ORG-EEE-PSSCCC+TTTT-JJJHHMM-LLLLLLLL-(one second pause)</FP>
            <FP SOURCE="FP-1">[PREAMBLE]ZCZC-ORG-EEE-PSSCCC+TTTTpJJJHHMM-LLLLLLLL-(one second pause)</FP>
            <FP SOURCE="FP-1">[PREAMBLE]ZCZC-ORG-EEE-PSSCCC+TTTT-JJJHHMM-LLLLLLLL-(at least a one second pause)</FP>
            <FP SOURCE="FP-1">(transmission of 8 to 25 seconds of Attention Signal)</FP>
            <FP SOURCE="FP-1">(transmission of audio, video or text messages)</FP>
            <FP SOURCE="FP-1">(at least a one second pause)</FP>
            <FP SOURCE="FP-1">[PREAMBLE]NNNN (one second pause)</FP>
            <FP SOURCE="FP-1">[PREAMBLE]NNNN (one second pause)</FP>
            <FP SOURCE="FP-1">[PREAMBLE]NNNN (at least one second pause)</FP>
            <FP SOURCE="FP-1">[PREAMBLE] This is a consecutive string of bits (sixteen bytes of AB hexadecimal [8 bit byte 10101011]) sent to clear the system, set AGC and set asynchronous decoder clocking cycles. The preamble must be transmitted before each header and End of Message code.</FP>
            <FP SOURCE="FP-1">ZCZC—This is the identifier, sent as ASCII characters ZCZC to indicate the start of ASCII code.</FP>
            <FP SOURCE="FP-1">ORG—This is the Originator code and indicates who originally initiated the activation of the EAS. These codes are specified in paragraph (d) of this section.</FP>
            <FP SOURCE="FP-1">EEE—This is the Event code and indicates the nature of the EAS activation. The codes are specified in paragraph (e) of this section. The Event codes must be compatible with the codes used by the NWS Weather Radio Specific Area Message Encoder (WRSAME).</FP>
            <FP SOURCE="FP-1">PSSCCC—This is the Location code and indicates the geographic area affected by the EAS alert. There may be 31 Location codes in an EAS alert. The Location code uses the codes described in the American National Standards Institute (ANSI) standard, ANSI INCITS 31-2009 (“Information technology—Codes for the Identification of Counties and Equivalent Areas of the United States, Puerto Rico, and the Insular Areas”). Each state is assigned an SS number as specified in paragraph (f) of this section. Each county and some cities are assigned a CCC number. A CCC number of 000 refers to an entire State or Territory. P defines county subdivisions as follows: 0 = all or an unspecified portion of a county, 1 = Northwest, 2 = North, 3 = Northeast, 4 = West, 5 = Central, 6 = East, 7 = Southwest, 8 = South, 9 = Southeast. Other numbers may be designated later for special applications. The use of county subdivisions will probably be rare and generally for oddly shaped or unusually large counties. Any subdivisions must be defined and agreed to by the local officials prior to use.</FP>
            <FP SOURCE="FP-1">+TTTT—This indicates the valid time period of a message in 15 minute segments up to one hour and then in 30 minute segments beyond one hour; i.e., +0015, +0030, +0045, +0100, +0430 and +0600.</FP>
            <FP SOURCE="FP-1">JJJHHMM—This is the day in Julian Calendar days (JJJ) of the year and the time in hours and minutes (HHMM) when the message was initially released by the originator using 24 hour Universal Coordinated Time (UTC).</FP>
            <FP SOURCE="FP-1">LLLLLLLL—This is the identification of the EAS Participant, NWS office, etc., transmitting or retransmitting the message. These codes will be automatically affixed to all outgoing messages by the EAS encoder.</FP>
            <FP SOURCE="FP-1">NNNN—This is the End of Message (EOM) code sent as a string of four ASCII N characters.</FP>
            <STARS/>
            <P>(e) The following Event (EEE) codes are presently authorized:</P>
            <GPOTABLE CDEF="s50,xs48" COLS="2" OPTS="L2,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Nature of activation</CHED>
                <CHED H="1">Event codes</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22">National Codes (Required):</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Emergency Action Notification (National only)</ENT>
                <ENT>EAN.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">National Information Center</ENT>
                <ENT>NIC</ENT>
              </ROW>
              <ROW>
                <ENT I="01">National Periodic Test</ENT>
                <ENT>NPT.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Required Monthly Test</ENT>
                <ENT>RMT.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Required Weekly Test</ENT>
                <ENT>RWT.</ENT>
              </ROW>
              <ROW>
                <ENT I="22">State and Local Codes (Optional):</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Administrative Message</ENT>
                <ENT>ADR.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Avalanche Warning</ENT>
                <ENT>AVW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Avalanche Watch</ENT>
                <ENT>AVA<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Blizzard Warning</ENT>
                <ENT>BZW.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Child Abduction Emergency</ENT>
                <ENT>CAE<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Civil Danger Warning</ENT>
                <ENT>CDW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Civil Emergency Message</ENT>
                <ENT>CEM.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Coastal Flood Warning</ENT>
                <ENT>CFW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Coastal Flood Watch</ENT>
                <ENT>CFA<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Dust Storm Warning</ENT>
                <ENT>DSW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Earthquake Warning</ENT>
                <ENT>EQW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Evacuation Immediate</ENT>
                <ENT>EVI.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Fire Warning</ENT>
                <ENT>FRW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flash Flood Warning</ENT>
                <ENT>FFW.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flash Flood Watch</ENT>
                <ENT>FFA.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flash Flood Statement</ENT>
                <ENT>FFS.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flood Warning</ENT>
                <ENT>FLW.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flood Watch</ENT>
                <ENT>FLA.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Flood Statement</ENT>
                <ENT>FLS.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Hazardous Materials Warning</ENT>
                <ENT>HMW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">High Wind Warning</ENT>
                <ENT>HWW.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">High Wind Watch</ENT>
                <ENT>HWA.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Hurricane Warning</ENT>
                <ENT>HUW.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Hurricane Watch</ENT>
                <ENT>HUA.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Hurricane Statement</ENT>
                <ENT>HLS.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Law Enforcement Warning</ENT>
                <ENT>LEW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Local Area Emergency</ENT>
                <ENT>LAE<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Network Message Notification</ENT>
                <ENT>NMN<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">911 Telephone Outage Emergency</ENT>
                <ENT>TOE<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Nuclear Power Plant Warning</ENT>
                <ENT>NUW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Practice/Demo Warning</ENT>
                <ENT>DMO.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Radiological Hazard Warning</ENT>
                <ENT>RHW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Severe Thunderstorm Warning</ENT>
                <ENT>SVR.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Severe Thunderstorm Watch</ENT>
                <ENT>SVA.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Severe Weather Statement</ENT>
                <ENT>SVS.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Shelter in Place Warning</ENT>
                <ENT>SPW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Special Marine Warning</ENT>
                <ENT>SMW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Special Weather Statement</ENT>
                <ENT>SPS.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Tornado Warning</ENT>
                <ENT>TOR.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Tornado Watch</ENT>
                <ENT>TOA.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Tropical Storm Warning</ENT>
                <ENT>TRW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Tropical Storm Watch</ENT>
                <ENT>TRA<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Tsunami Warning</ENT>
                <ENT>TSW.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Tsunami Watch</ENT>
                <ENT>TSA.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Volcano Warning</ENT>
                <ENT>VOW<SU>1</SU>.</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Winter Storm Warning</ENT>
                <ENT>WSW.</ENT>
              </ROW>
              <ROW>
                <PRTPAGE P="16702"/>
                <ENT I="01">Winter Storm Watch</ENT>
                <ENT>WSA.</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>Effective May 16, 2002, analog radio and television broadcast stations, analog cable systems and wireless cable systems may upgrade their existing EAS equipment to add these event codes on a voluntary basis until the equipment is replaced. All models of EAS equipment manufactured after August 1, 2003 must be capable of receiving and transmitting these event codes. EAS Participants that install or replace their EAS equipment after February 1, 2004 must install equipment that is capable of receiving and transmitting these event codes.</TNOTE>
            </GPOTABLE>
            <P>(f) The State, Territory and Offshore (Marine Area) ANSI number codes (SS) are as follows. County ANSI numbers (CCC) are contained in the State EAS Mapbook.</P>
            <GPOTABLE CDEF="s160,12" COLS="02" OPTS="L2,tp0,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1"/>
                <CHED H="1">ANSI No.</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22">State:</ENT>
              </ROW>
              <ROW>
                <ENT I="03">AL</ENT>
                <ENT>01</ENT>
              </ROW>
              <ROW>
                <ENT I="03">AK</ENT>
                <ENT>02</ENT>
              </ROW>
              <ROW>
                <ENT I="03">AZ</ENT>
                <ENT>04</ENT>
              </ROW>
              <ROW>
                <ENT I="03">AR</ENT>
                <ENT>05</ENT>
              </ROW>
              <ROW>
                <ENT I="03">CA</ENT>
                <ENT>06</ENT>
              </ROW>
              <ROW>
                <ENT I="03">CO</ENT>
                <ENT>08</ENT>
              </ROW>
              <ROW>
                <ENT I="03">CT</ENT>
                <ENT>09</ENT>
              </ROW>
              <ROW>
                <ENT I="03">DE</ENT>
                <ENT>10</ENT>
              </ROW>
              <ROW>
                <ENT I="03">DC</ENT>
                <ENT>11</ENT>
              </ROW>
              <ROW>
                <ENT I="03">FL</ENT>
                <ENT>12</ENT>
              </ROW>
              <ROW>
                <ENT I="03">GA</ENT>
                <ENT>13</ENT>
              </ROW>
              <ROW>
                <ENT I="03">HI</ENT>
                <ENT>15</ENT>
              </ROW>
              <ROW>
                <ENT I="03">ID</ENT>
                <ENT>16</ENT>
              </ROW>
              <ROW>
                <ENT I="03">IL</ENT>
                <ENT>17</ENT>
              </ROW>
              <ROW>
                <ENT I="03">IN</ENT>
                <ENT>18</ENT>
              </ROW>
              <ROW>
                <ENT I="03">IA</ENT>
                <ENT>19</ENT>
              </ROW>
              <ROW>
                <ENT I="03">KS</ENT>
                <ENT>20</ENT>
              </ROW>
              <ROW>
                <ENT I="03">KY</ENT>
                <ENT>21</ENT>
              </ROW>
              <ROW>
                <ENT I="03">LA</ENT>
                <ENT>22</ENT>
              </ROW>
              <ROW>
                <ENT I="03">ME</ENT>
                <ENT>23</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MD</ENT>
                <ENT>24</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MA</ENT>
                <ENT>25</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MI</ENT>
                <ENT>26</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MN</ENT>
                <ENT>27</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MS</ENT>
                <ENT>28</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MO</ENT>
                <ENT>29</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MT</ENT>
                <ENT>30</ENT>
              </ROW>
              <ROW>
                <ENT I="03">NE</ENT>
                <ENT>31</ENT>
              </ROW>
              <ROW>
                <ENT I="03">NV</ENT>
                <ENT>32</ENT>
              </ROW>
              <ROW>
                <ENT I="03">NH</ENT>
                <ENT>33</ENT>
              </ROW>
              <ROW>
                <ENT I="03">NJ</ENT>
                <ENT>34</ENT>
              </ROW>
              <ROW>
                <ENT I="03">NM</ENT>
                <ENT>35</ENT>
              </ROW>
              <ROW>
                <ENT I="03">NY</ENT>
                <ENT>36</ENT>
              </ROW>
              <ROW>
                <ENT I="03">NC</ENT>
                <ENT>37</ENT>
              </ROW>
              <ROW>
                <ENT I="03">ND</ENT>
                <ENT>38</ENT>
              </ROW>
              <ROW>
                <ENT I="03">OH</ENT>
                <ENT>39</ENT>
              </ROW>
              <ROW>
                <ENT I="03">OK</ENT>
                <ENT>40</ENT>
              </ROW>
              <ROW>
                <ENT I="03">OR</ENT>
                <ENT>41</ENT>
              </ROW>
              <ROW>
                <ENT I="03">PA</ENT>
                <ENT>42</ENT>
              </ROW>
              <ROW>
                <ENT I="03">RI</ENT>
                <ENT>44</ENT>
              </ROW>
              <ROW>
                <ENT I="03">SC</ENT>
                <ENT>45</ENT>
              </ROW>
              <ROW>
                <ENT I="03">SD</ENT>
                <ENT>46</ENT>
              </ROW>
              <ROW>
                <ENT I="03">TN</ENT>
                <ENT>47</ENT>
              </ROW>
              <ROW>
                <ENT I="03">TX</ENT>
                <ENT>48</ENT>
              </ROW>
              <ROW>
                <ENT I="03">UT</ENT>
                <ENT>49</ENT>
              </ROW>
              <ROW>
                <ENT I="03">VT</ENT>
                <ENT>50</ENT>
              </ROW>
              <ROW>
                <ENT I="03">VA</ENT>
                <ENT>51</ENT>
              </ROW>
              <ROW>
                <ENT I="03">WA</ENT>
                <ENT>53</ENT>
              </ROW>
              <ROW>
                <ENT I="03">WV</ENT>
                <ENT>54</ENT>
              </ROW>
              <ROW>
                <ENT I="03">WI</ENT>
                <ENT>55</ENT>
              </ROW>
              <ROW>
                <ENT I="03">WY</ENT>
                <ENT>56</ENT>
              </ROW>
              <ROW>
                <ENT I="22">Terr.:</ENT>
              </ROW>
              <ROW>
                <ENT I="03">AS</ENT>
                <ENT>60</ENT>
              </ROW>
              <ROW>
                <ENT I="03">FM</ENT>
                <ENT>64</ENT>
              </ROW>
              <ROW>
                <ENT I="03">GU</ENT>
                <ENT>66</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MH</ENT>
                <ENT>68</ENT>
              </ROW>
              <ROW>
                <ENT I="03">MH</ENT>
                <ENT>68</ENT>
              </ROW>
              <ROW>
                <PRTPAGE P="16703"/>
                <ENT I="03">PR</ENT>
                <ENT>72</ENT>
              </ROW>
              <ROW>
                <ENT I="03">PW</ENT>
                <ENT>70</ENT>
              </ROW>
              <ROW>
                <ENT I="03">UM</ENT>
                <ENT>74</ENT>
              </ROW>
              <ROW>
                <ENT I="03">VI</ENT>
                <ENT>78</ENT>
              </ROW>
              <ROW>
                <ENT I="22">Offshore (Marine Areas)<SU>1</SU>:</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Eastern North Pacific Ocean, and along U.S. West Coast from Canadian border to Mexican border</ENT>
                <ENT>57</ENT>
              </ROW>
              <ROW>
                <ENT I="03">North Pacific Ocean near Alaska, and along Alaska coastline, including the Bering Sea and the Gulf of Alaska</ENT>
                <ENT>58</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Central Pacific Ocean, including Hawaiian waters</ENT>
                <ENT>59</ENT>
              </ROW>
              <ROW>
                <ENT I="03">South Central Pacific Ocean, including American Samoa waters</ENT>
                <ENT>61</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Western Pacific Ocean, including Mariana Island waters</ENT>
                <ENT>65</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Western North Atlantic Ocean, and along U.S. East Coast, from Canadian border south to Currituck Beach Light, N.C</ENT>
                <ENT>73</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Western North Atlantic Ocean, and along U.S. East Coast, south of Currituck Beach Light, N.C., following the coastline into Gulf of Mexico to Bonita Beach, FL., including the Caribbean</ENT>
                <ENT>75</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Gulf of Mexico, and along the U.S. Gulf Coast from the Mexican border to Bonita Beach, FL</ENT>
                <ENT>77</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Lake Superior</ENT>
                <ENT>91</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Lake Michigan</ENT>
                <ENT>92</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Lake Huron</ENT>
                <ENT>93</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Lake St. Clair</ENT>
                <ENT>94</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Lake Erie</ENT>
                <ENT>96</ENT>
              </ROW>
              <ROW>
                <ENT I="03">Lake Ontario</ENT>
                <ENT>97</ENT>
              </ROW>
              <ROW>
                <ENT I="03">St. Lawrence River above St. Regis</ENT>
                <ENT>98</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>Effective May 16, 2002, analog radio and television broadcast stations, analog cable systems and wireless cable systems may upgrade their existing EAS equipment to add these marine area location codes on a voluntary basis until the equipment is replaced. All models of EAS equipment manufactured after August 1, 2003, must be capable of receiving and transmitting these marine area location codes. EAS Participants that install or replace their EAS equipment after February 1, 2004, must install equipment that is capable of receiving and transmitting these location codes.</TNOTE>
            </GPOTABLE>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>11. Amend § 11.32 by revising paragraphs (a)(2), (a)(3) and (a)(9)(iv) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.32</SECTNO>
            <SUBJECT>EAS Encoder.</SUBJECT>
            <P>(a) * * *</P>
            <P>(2)<E T="03">Inputs.</E>The encoder shall have at least one input port used for audio messages and at least one input port used for data messages.  (3)<E T="03">Outputs.</E>The encoder shall have at least one audio output port and at least one data output port.</P>
            <STARS/>
            <P>(9) * * *</P>
            <P>(iv)<E T="03">Time Period for Transmission of Tones</E>. The encoder shall have timing circuitry that automatically generates the two tones simultaneously for a time period of 8 seconds.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>12. Amend § 11.33 by:</AMDPAR>
          <AMDPAR>a. Revising paragraphs (a) introductory text, (a)(1), (a)(4), (a)(7), and (a)(11); and</AMDPAR>
          <AMDPAR>b. Removing paragraph (b) and re-designating paragraph (c) as paragraph (b).</AMDPAR>
          <P>The revisions read as follows:</P>
          <SECTION>
            <SECTNO>§ 11.33</SECTNO>
            <SUBJECT>EAS Decoder.</SUBJECT>
            <P>(a) An EAS Decoder must at a minimum be capable of providing the EAS monitoring functions described in § 11.52, decoding EAS messages formatted in accordance with the EAS Protocol described in § 11.31, and converting Common Alerting Protocol (CAP)-formatted EAS messages into EAS alert messages that comply with the EAS Protocol, in accordance with § 11.56(a)(2), with the exception that the CAP-related monitoring and conversion requirements set forth in §§ 11.52(d)(2) and 11.56(a)(2) can be satisfied via an Intermediary Device, as specified in § 11.56(b), provided that all other requirements set forth in this part are met. An EAS Decoder also must be capable of the following minimum specifications:</P>
            <P>(1)<E T="03">Inputs.</E>Decoders must have the capability to receive at least two audio inputs from EAS monitoring assignments, and at least one data input. The data input(s) may be used to monitor other communications modes such as Radio Broadcast Data System (RBDS), NWR, satellite, public switched telephone network, or any other source that uses the EAS protocol.</P>
            <STARS/>
            <P>(4)<E T="03">Display and logging.</E>For received alert messages formatted in both the EAS Protocol and Common Alerting Protocol, a visual message shall be developed from any valid header codes for tests and national activations and any preselected header codes received. The message shall at a minimum include the Originator, Event, Location, the valid time period of the message and the local time the message was transmitted. The message shall be in the primary language of the EAS Participant and be fully displayed on the decoder and readable in normal light and darkness. The visual message developed from received alert messages formatted in the Common Alerting Protocol must conform to the requirements in §§ 11.51(d), (g)(3), (h)(3), and (j)(2) of this part. All existing and new models of EAS decoders manufactured after August 1, 2003 must provide a means to permit the selective display and logging of EAS messages containing header codes for state and local EAS events. Effective May 16, 2002, analog radio and television broadcast stations, analog cable systems and wireless cable systems may upgrade their decoders on an optional basis to include a selective display and logging capability for EAS messages containing header codes for state and local events. EAS Participants that install or replace their decoders after February 1, 2004 must install decoders that provide a means to permit the selective display and logging of EAS messages containing header codes for state and local EAS events.</P>
            <STARS/>
            <P>(7)<E T="03">Outputs.</E>Decoders shall have at least one data port where received valid EAS header codes and received preselected header codes are available, at least one audio port that is capable of monitoring each decoder audio input, and an internal speaker to enable personnel to hear audio from each input.</P>
            <STARS/>
            <P>(11) A header code with the EAN Event code specified in § 11.31(c) that is received through any of the audio or data inputs must override all other messages.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>13. Amend § 11.34 by revising paragraph (d) to read as follows:</AMDPAR>
          <SECTION>
            <PRTPAGE P="16704"/>
            <SECTNO>§ 11.34</SECTNO>
            <SUBJECT>Acceptability of the equipment.</SUBJECT>
            <STARS/>
            <P>(d) Manufacturers must include instructions and information on how to install, operate and program an EAS Encoder, EAS Decoder, or combined unit and a list of all State and county ANSI numbers with each unit sold or marketed in the U.S.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>14. Amend § 11.35 by revising paragraphs (a) and (b) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.35</SECTNO>
            <SUBJECT>Participation in EAS.</SUBJECT>
            <P>(a) EAS Participants are responsible for ensuring that EAS Encoders, EAS Decoders, Attention Signal generating and receiving equipment, and Intermediate Devices used as part of the EAS to decode and/or encode messages formatted in the EAS Protocol and/or the Common Alerting Protocol are installed so that the monitoring and transmitting functions are available during the times the stations and systems are in operation. Additionally, EAS Participants must determine the cause of any failure to receive the required tests or activations specified in § 11.61(a)(1) and (2). Appropriate entries indicating reasons why any tests were not received must be made in the broadcast station log as specified in §§ 73.1820 and 73.1840 of this chapter for all broadcast streams and cable system records as specified in §§ 76.1700, 76.1708, and 76.1711 of this chapter. All other EAS Participants must also keep records indicating reasons why any tests were not received and these records must be retained for two years, maintained at the EAS Participant's headquarters, and made available for public inspection upon reasonable request.</P>
            <P>(b) If an EAS Encoder, EAS Decoder or Intermediary Device used as part of the EAS to decode and/or encode messages formatted in the EAS Protocol and/or the Common Alerting Protocol becomes defective, the EAS Participant may operate without the defective equipment pending its repair or replacement for 60 days without further FCC authority. Entries shall be made in the broadcast station log, cable system records, and records of other EAS Participants, as specified in paragraph (a) of this section, showing the date and time the equipment was removed and restored to service. For personnel training purposes, the required monthly test script must still be transmitted even though the equipment for generating the EAS message codes, Attention Signal and EOM code is not functioning.</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>15. Revise § 11.41 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.41</SECTNO>
            <SUBJECT>Participation in EAS.</SUBJECT>
            <P>All EAS Participants specified in § 11.11 are categorized as Participating National (PN) sources, and must have immediate access to an EAS Operating Handbook.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <SECTION>
            <SECTNO>§ 11.42</SECTNO>
            <SUBJECT>[Removed and Reserved]</SUBJECT>
          </SECTION>
          <AMDPAR>16. Remove and reserve § 11.42.</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.44</SECTNO>
            <SUBJECT>[Removed and Reserved]</SUBJECT>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>17. Remove and reserve § 11.44.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>18. Amend § 11.51 by revising paragraphs (a), (c), (d), (g)(3), (h)(3), (i) introductory text, (j) introductory text, (j)(2), paragraph (m) introductory text, and adding paragraph (p) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.51</SECTNO>
            <SUBJECT>EAS code and Attention Signal Transmission requirements.</SUBJECT>
            <P>(a) Analog and digital broadcast stations must transmit, either automatically or manually, national level EAS messages and required tests by sending the EAS header codes, Attention Signal, emergency message and End of Message (EOM) codes using the EAS Protocol. The Attention Signal must precede any emergency audio message.</P>
            <STARS/>
            <P>(c) All analog and digital radio and television stations shall transmit EAS messages in the main audio channel. All DAB stations shall also transmit EAS messages on all audio streams. All DTV broadcast stations shall also transmit EAS messages on all program streams.</P>
            <P>(d) Analog and digital television broadcast stations shall transmit a visual message containing the Originator, Event, Location and the valid time period of an EAS message. Effective June 30, 2012, visual messages derived from CAP-formatted EAS messages shall contain the Originator, Event, Location and the valid time period of the message and shall be constructed in accordance with § 3.6 of the “ECIG Recommendations for a CAP EAS Implementation Guide, Version 1.0” (May 17, 2010), except that if the EAS Participant has deployed an Intermediary Device to meet its CAP-related obligations, this requirement shall be effective June 30, 2015, and until such date shall be subject to the general requirement to transmit a visual message containing the Originator, Event, Location and the valid time period of the EAS message. If the message is a video crawl, it shall be displayed at the top of the television screen or where it will not interfere with other visual messages.</P>
            <STARS/>
            <P>(g) * * *</P>
            <P>(3) Shall transmit a visual EAS message on at least one channel. The visual message shall contain the Originator, Event, Location, and the valid time period of the EAS message. Effective June 30, 2012, visual messages derived from CAP-formatted EAS messages shall contain the Originator, Event, Location and the valid time period of the message and shall be constructed in accordance with § 3.6 of the “ECIG Recommendations for a CAP EAS Implementation Guide, Version 1.0” (May 17, 2010), except that if the EAS Participant has deployed an Intermediary Device to meet its CAP-related obligations, this requirement shall be effective June 30, 2015, and until such date shall be subject to the general requirement to transmit a visual message containing the Originator, Event, Location and the valid time period of the EAS message. If the visual message is a video crawl, it shall be displayed at the top of the subscriber's television screen or where it will not interfere with other visual messages.</P>
            <STARS/>
            <P>(h) * * *</P>
            <P>(3) Shall transmit the EAS visual message on all downstream channels. The visual message shall contain the Originator, Event, Location, and the valid time period of the EAS message. Effective June 30, 2012, visual messages derived from CAP-formatted EAS messages shall contain the Originator, Event, Location and the valid time period of the message and shall be constructed in accordance with § 3.6 of the “ECIG Recommendations for a CAP EAS Implementation Guide, Version 1.0” (May 17, 2010), except that if the EAS Participant has deployed an Intermediary Device to meet its CAP-related obligations, this requirement shall be effective June 30, 2015, and until such date shall be subject to the general requirement to transmit a visual message containing the Originator, Event, Location and the valid time period of the EAS message. If the visual message is a video crawl, it shall be displayed at the top of the subscriber's television screen or where it will not interfere with other visual messages.</P>
            <STARS/>
            <P>(i) SDARS licensees shall transmit national audio EAS messages on all channels in the same order specified in paragraph (a) of this section.</P>
            <STARS/>
            <P>(j) DBS providers shall transmit national audio and visual EAS messages on all channels in the same order specified in paragraph (a) of this section.</P>
            <STARS/>
            <PRTPAGE P="16705"/>
            <P>(2) The visual message shall contain the Originator, Event, Location, and the valid time period of the EAS message. Effective June 30, 2012, visual messages derived from CAP-formatted EAS messages shall contain the Originator, Event, Location and the valid time period of the message and shall be constructed in accordance with § 3.6 of the “ECIG Recommendations for a CAP EAS Implementation Guide, Version 1.0” (May 17, 2010), except that if the EAS Participant has deployed an Intermediary Device to meet its CAP-related obligations, this requirement shall be effective June 30, 2015, and until such date shall be subject to the general requirement to transmit a visual message containing the Originator, Event, Location and the valid time period of the EAS message. If the visual message is a video crawl, it shall be displayed at the top of the subscriber's television screen or where it will not interfere with other visual messages.</P>
            <STARS/>
            <P>(m) EAS Participants are required to transmit all received EAS messages in which the header code contains the Event codes for Emergency Action Notification (EAN) and Required Monthly Test (RMT), and when the accompanying location codes include their State or State/county. These EAS messages shall be retransmitted unchanged except for the LLLLLLLL-code which identifies the EAS Participant retransmitting the message. See § 11.31(c). If an EAS source originates an EAS message with the Event codes in this paragraph, it must include the location codes for the State and counties in its service area. When transmitting the required weekly test, EAS Participants shall use the event code RWT. The location codes are the state and county for the broadcast station city of license or system community or city. Other location codes may be included upon approval of station or system management. EAS messages may be transmitted automatically or manually.</P>
            <STARS/>

            <P>(p) The standard required in this section is incorporated by reference into this section with the approval of the Director of the<E T="04">Federal Register</E>under 5 U.S.C. 552(a) and 1 CFR part 51. To enforce any edition other than that specified in this section, the Federal Communications Commission must publish notice of change in the<E T="04">Federal Register</E>and the material must be available to the public. All approved material is available for inspection at the Federal Communications Commission, 445 12th Street, SW., Washington, DC (Reference Information Center) and is available from the source indicated below. It is also available for inspection at the National Archives and Records Administration (NARA). For information on the availability of this material at NARA, call 202-741-6030 or go to<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html.</E>
            </P>
            <P>(1) The following standard is available from the EAS-CAP Industry Group (ECIG), 21010 Southbank Street, #365, Sterling, VA, 20165, go to http://www.eas-cap.org.</P>
            <P>(i) “ECIG Recommendations for a CAP EAS Implementation Guide, Version 1.0” (May 17, 2010).</P>
            <P>(ii) [Reserved].</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>19. Amend § 11.52 by revising paragraphs (a) introductory text, (d), (e) introductory text and (e)(2) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.52</SECTNO>
            <SUBJECT>EAS code and Attention Signal Monitoring requirements.</SUBJECT>
            <P>(a) EAS Participants must be capable of receiving the Attention Signal required by § 11.31(a)(2) and emergency messages of other broadcast stations during their hours of operation. EAS Participants must install and operate during their hours of operation, equipment that is capable of receiving and decoding, either automatically or manually, the EAS header codes, emergency messages and EOM code, and which complies with the requirements in § 11.56.</P>
            <STARS/>
            <P>(d) EAS Participants must comply with the following monitoring requirements:</P>
            <P>(1) With respect to monitoring for EAS messages that are formatted in accordance with the EAS Protocol, EAS Participants must monitor two EAS sources. The monitoring assignments of each broadcast station and cable system and wireless cable system are specified in the State EAS Plan and FCC Mapbook. They are developed in accordance with FCC monitoring priorities.</P>
            <P>(2) With respect to monitoring EAS messages formatted in accordance with the specifications set forth in § 11.56(a)(2), EAS Participants' EAS equipment must interface with the Federal Emergency Management Agency's Integrated Public Alert and Warning System (IPAWS) to enable (whether through “pull” interface technologies, such as Really Simple Syndication (RSS) and Atom Syndication Format (ATOM), or “push” interface technologies, such as instant messaging and email) the distribution of Common Alert Protocol (CAP)-formatted alert messages from the IPAWS system to EAS Participants' EAS equipment.</P>
            <P>(3) Monitoring specifications associated with the distribution of CAP-formatted alert messages by state alert message systems are described in the State EAS Plan, as set forth in § 11.21(a).</P>
            <P>(4) If the required EAS message sources cannot be received, alternate arrangements or a waiver may be obtained by written request to the Chief, Public Safety and Homeland Security Bureau. In an emergency, a waiver may be issued over the telephone with a follow up letter to confirm temporary or permanent reassignment.</P>
            <P>(5) The management of EAS Participants shall determine which header codes will automatically interrupt their programming for State and Local Area emergency situations affecting their audiences.</P>
            <P>(e) EAS Participants are required to interrupt normal programming either automatically or manually when they receive an EAS message in which the header code contains the Event codes for Emergency Action Notification (EAN) or the Required Monthly Test (RMT) for their State or State/county location.</P>
            <STARS/>
            <P>(2)<E T="03">Manual</E>interrupt of programming and transmission of EAS messages may be used. EAS messages with the EAN Event code must be transmitted immediately and Monthly EAS test messages within 60 minutes. All actions must be logged and recorded as specified in §§ 11.35(a) and 11.54(a)(3). Decoders must be programmed for the EAN Event header code and the RMT and RWT Event header codes (for required monthly and weekly tests), with the appropriate accompanying State and State/county location codes.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 11.53</SECTNO>
            <SUBJECT>[Removed and Reserved]</SUBJECT>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>20. Remove and reserve § 11.53.</AMDPAR>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>21. Revise § 11.54 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.54</SECTNO>
            <SUBJECT>EAS operation during a National Level emergency.</SUBJECT>
            <P>(a) Immediately upon receipt of an EAN message, EAS Participants must comply with the following requirements, as applicable:</P>
            <P>(1) Analog and digital broadcast stations may transmit their call letters and analog cable systems, digital cable systems and wireless cable systems may transmit the names of the communities they serve during an EAS activation. State and Local Area identifications must be given as provided in State and Local Area EAS Plans.</P>

            <P>(2) Analog and digital broadcast stations are exempt from complying<PRTPAGE P="16706"/>with §§ 73.62 and 73.1560 of this chapter (operating power maintenance) while operating under this part.</P>
            <P>(3) The time of receipt of the EAN shall be entered by analog and digital broadcast stations in their logs (as specified in §§ 73.1820 and 73.1840 of this chapter), by analog and digital cable systems in their records (as specified in § 76.1711 of this chapter), by subject wireless cable systems in their records (as specified in § 21.304 of this chapter), and by all other EAS Participants in their records as specified in § 11.35(a).</P>
            <P>(b) EAS Participants originating emergency communications under this section shall be considered to have conferred rebroadcast authority, as required by section 325(a) of the Communications Act of 1934, 47 U.S.C. 325(a), to other EAS Participants.</P>
            <P>(c) During a national level EAS emergency, EAS Participants may transmit in lieu of the EAS audio feed an audio feed of the President's voice message from an alternative source, such as a broadcast network audio feed.</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>22. Amend § 11.55 by revising paragraph (a) introductory text, paragraph (c) introductory text, and paragraphs (c)(3), (4), (7), and (8) and add paragraph (d) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.55</SECTNO>
            <SUBJECT>EAS operation during a State or Local Area emergency.</SUBJECT>
            <P>(a) The EAS may be activated at the State and Local Area levels by EAS Participants at their discretion for day-to-day emergency situations posing a threat to life and property. Examples of natural emergencies which may warrant state EAS activation are: Tornadoes, floods, hurricanes, earthquakes, heavy snows, icing conditions, widespread fires, etc. Man-made emergencies warranting state EAS activation may include: Toxic gas leaks or liquid spills, widespread power failures, industrial explosions, and civil disorders.</P>
            <STARS/>
            <P>(c) Immediately upon receipt of a State or Local Area EAS message that has been formatted in the EAS Protocol, EAS Participants participating in the State or Local Area EAS must do the following:</P>
            <STARS/>
            <P>(3) Participating National (PN) sources monitor the Local Area LP sources for instructions.</P>
            <P>(4) EAS Participants participating in the State or Local Area EAS must discontinue normal programming and follow the procedures in the State and Local Area Plans. Analog and digital television broadcast stations must transmit all EAS announcements visually and aurally as specified in § 11.51(a) through (e) and 73.1250(h) of this chapter, as applicable; analog cable systems, digital cable systems, and wireless cable systems must transmit all EAS announcements visually and aurally as specified in § 11.51(g) and (h); and DBS providers must transmit all EAS announcements visually and aurally as specified in § 11.51(j). EAS Participants providing foreign language programming should transmit all EAS announcements in the same language as the primary language of the EAS Participant.</P>
            <STARS/>
            <P>(7) The times of the above EAS actions must be entered in the EAS Participants' records as specified in §§ 11.35(a) and 11.54(a)(3).</P>
            <P>(8) Use of the EAS codes or Attention Signal automatically grants rebroadcast authority as specified in § 11.54(b).</P>
            <P>(d) Immediately upon receipt of a State or Local Area EAS message that has been formatted in the Common Alerting Protocol, EAS Participants must do the following:</P>
            <P>(1) EAS Participants participating in the State or Local Area EAS must follow the procedures for processing such messages in the State and Local Area Plans.</P>
            <P>(2) Analog and digital television broadcast stations must transmit all EAS announcements visually and aurally as specified in § 11.51(a) through (e) and 73.1250(h) of this chapter, as applicable; analog cable systems, digital cable systems, and wireless cable systems must transmit all EAS announcements visually and aurally as specified in § 11.51(g) and (h); and DBS providers must transmit all EAS announcements visually and aurally as specified in § 11.51(j). EAS Participants providing foreign language programming should transmit all EAS announcements in the same language as the primary language of the EAS Participant.</P>
            <P>(3) Resume normal operations upon conclusion of the message.</P>
            <P>(4) The times of the above EAS actions must be entered in the EAS Participants' records as specified in §§ 11.35(a) and 11.54(a)(3).</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>23. Revise § 11.56 to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.56</SECTNO>
            <SUBJECT>Obligation to Process CAP-Formatted EAS Messages.</SUBJECT>
            <P>(a) On or by June 30, 2012, EAS Participants must have deployed operational equipment that is capable of the following:</P>
            <P>(1) Acquiring EAS alert messages in accordance with the monitoring requirements in § 11.52(d)(2);</P>
            <P>(2) Converting EAS alert messages that have been formatted pursuant to the (i) “Common Alerting Protocol Version 1.2” (July 1, 2010), and (ii) “Common Alerting Protocol, v. 1.2 USA Integrated Public Alert and Warning System Profile Version 1.0” (Oct. 13, 2009), into EAS alert messages that comply with the EAS Protocol, such that the Preamble and EAS Header Codes, audio Attention Signal, audio message, and Preamble and EAS End of Message (EOM) Codes of such messages are rendered equivalent to the EAS Protocol (set forth in § 11.31), in accordance with the technical specifications governing such conversion process set forth in the “ECIG Recommendations for a CAP EAS Implementation Guide, Version 1.0” (May 17, 2010) (except that any and all specifications set forth therein related to using text-to-speech technology and gubernatorial “must carry” shall not be followed); and</P>
            <P>(3) Processing such converted messages in accordance with the other sections of this part.</P>
            <P>(b) EAS Participants may comply with the requirements of this section by deploying an Intermediary Device. If an EAS Participant elects to meet the requirements of this section by deploying an Intermediary Device, it shall be required to construct visual messages from CAP-formatted EAS messages in accordance with § 3.6 of the “ECIG Recommendations for a CAP EAS Implementation Guide, Version 1.0” (May 17, 2010), as set forth in §§ 11.51(d), (g)(3), (h)(3), and (j)(2) of this part, on or by June 30, 2015.</P>

            <P>(c) The standards required in this section are incorporated by reference into this section with the approval of the Director of the Federal Register under 5 U.S.C. 552(a) and 1 CFR part 51. To enforce any edition other than that specified in this section, the Federal Communications Commission must publish notice of change in the<E T="04">Federal Register</E>and the material must be available to the public. All approved material is available for inspection at the Federal Communications Commission, 445 12th Street SW., Washington, DC (Reference Information Center) and is available from the sources indicated below. It is also available for inspection at the National Archives and Records Administration (NARA). For information on the availability of this material at NARA, call 202-741-6030 or go to<E T="03">http://www.archives.gov/federal_register/code_of_federal_regulations/ibr_locations.html</E>.</P>

            <P>(1) The following standard is available from the EAS-CAP Industry Group (ECIG), 21010 Southbank Street, #365, Sterling, VA  20165, or go to<E T="03">http://www.eas-cap.org</E>.<PRTPAGE P="16707"/>
            </P>
            <P>(i) “ECIG Recommendations for a CAP EAS Implementation Guide, Version 1.0” (May 17, 2010).</P>
            <P>(ii) [Reserved].</P>

            <P>(2) The following standards are available from Organization for the Advancement of Structured Information Standards (OASIS), 25 Corporate Drive, Suite 103, Burlington, MA 01803-4238, call 781-425-5073, or go to<E T="03">http://www.oasis-open.org</E>.</P>
            <P>(i) “Common Alerting Protocol Version 1.2” (July 1, 2010).</P>
            <P>(ii) “Common Alerting Protocol, v. 1.2 USA Integrated Public Alert and Warning System Profile Version 1.0” (Oct. 13, 2009).</P>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="11" TITLE="47">
          <AMDPAR>24. Amend § 11.61 by revising paragraphs (a) introductory text, (a)(1)(i), (a)(2)(ii) and (b) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 11.61</SECTNO>
            <SUBJECT>Tests of EAS procedures.</SUBJECT>
            <P>(a) EAS Participants shall conduct tests at regular intervals, as specified in paragraphs (a)(1) and (a)(2) of this section. Additional tests may be performed anytime. EAS activations and special tests may be performed in lieu of required tests as specified in paragraph (a)(4) of this section.</P>
            <P>(1) * * *</P>
            <P>(i) Tests in odd numbered months shall occur between 8:30 a.m. and local sunset. Tests in even numbered months shall occur between local sunset and 8:30 a.m. They will originate from Local or State Primary sources. The time and script content will be developed by State Emergency Communications Committees in cooperation with affected EAS Participants. Script content may be in the primary language of the EAS Participant. These monthly tests must be transmitted within 60 minutes of receipt by EAS Participants in an EAS Local Area or State. Analog and digital class D non-commercial educational FM, analog and digital LPFM stations, and analog and digital LPTV stations are required to transmit only the test script.</P>
            <STARS/>
            <P>(2) * * *</P>
            <P>(ii) DBS providers, analog and digital class D non-commercial educational FM stations, analog and digital LPFM stations, and analog and digital LPTV stations are not required to transmit this test but must log receipt, as specified in § 11.35(a) and 11.54(a)(3).</P>
            <STARS/>
            <P>(b) Entries shall be made in EAS Participant records, as specified in § 11.35(a) and 11.54(a)(3).</P>
            
            <EXTRACT>
              <P>
                <E T="04">The following appendix will not be published in the Code of Federal Regulations</E>.</P>
            </EXTRACT>
            <APPENDIX>
              <HD SOURCE="HED">Appendix A</HD>
              <HD SOURCE="HD1">Final Regulatory Flexibility Analysis</HD>

              <P>1. As required by the Regulatory Flexibility Act of 1980, as amended (RFA), an Initial Regulatory Flexibility Analysis (IRFA) was incorporated into the Third Further Notice of Proposed Rulemaking (<E T="03">Third FNPRM</E>) in this proceeding. The Commission sought written comment on the proposals in the<E T="03">Third FNPRM,</E>including comment on the IRFA. This Final Regulatory Flexibility Analysis (FRFA) conforms to the RFA.</P>
              <HD SOURCE="HD1">A. Need for, and Objectives of, the Fifth Report and Order</HD>
              <P>2. This<E T="03">Fifth Report and Order</E>adopts changes to the Commission's Part 11 rules governing the Emergency Alert System (EAS) to codify the obligation to process alert messages formatted in the Common Alerting Protocol (CAP) and to streamline and clarify these rules generally to enhance their effectiveness.</P>
              <P>3. Specifically, the<E T="03">Fifth Report and Order:</E>
              </P>
              <P>• Clarifies that the scope of the CAP-related obligations addressed in this order are limited to those necessary to ensure that CAP-formatted alert messages distributed to EAS Participants will be converted into and processed in the same way as messages formatted in the current EAS Protocol.</P>
              <P>• Amends § 11.56 of the Commission's rules to require EAS Participants to convert CAP-formatted EAS messages into messages that comply with the EAS Protocol requirements, following the procedures for such conversion set forth in the EAS-CAP Industry Group's (ECIG) ECIG Implementation Guide.</P>
              <P>• Amends § 11.52 of the Commission's rules to require that EAS Participants monitor FEMA's Integrated Public Alert and Warning System (IPAWS) for Federal CAP-formatted alert messages using whatever interface technology is appropriate.</P>

              <P>• Clarifies that the language from the Second Report and Order (<E T="03">Second Report and Order</E>) in this docket regarding receipt of CAP-formatted messages from Next Generation EAS delivery systems was intended to put EAS Participants on notice that, should FEMA adopt technical standards covering delivery of CAP-formatted messages to EAS Participants over specific platforms, such as satellite systems, EAS Participants would ultimately need to configure their systems to be able to interface with such systems to meet their existing obligation to process CAP-formatted messages.</P>
              <P>• Permits EAS Participants to use intermediary devices to meet their CAP-related obligations, provided that all intermediary devices must provide that capability of utilizing the enhanced text in a CAP message to meet the visual display requirements in section 11.51(d), (g)(3), (h)(3), and (j)(2) of the Commission's rules, as set forth in section 3.6 of the ECIG Implementation Guide, by June 30, 2015.</P>
              <P>• Declines to make any changes to the minimum encoder requirements set forth in section 11.32(a) regarding CAP-to-EAS Protocol conversion.</P>
              <P>• Revises the input and output configuration requirements in §§ 11.32(a)(2) and (a)(3) of the Commission's rules to require at least one audio port and at least one data port, and to delete references to RS232-C and 1200 baud rate.</P>
              <P>• Revises the minimum requirements for decoders in section 11.33(a) to include the capability to decode CAP-formatted messages and convert them into EAS Protocol-compliant messages, as set forth in section 11.56 and clarifies that this requirement can be met through the deployment of an intermediary device.</P>
              <P>• Revises the input and output configuration requirements in §§ 11.33(a)(1) and (a)(7) of the Commission's rules to require at least one audio port and at least one data port, and to delete references to RS232-C and 1200 baud rate.</P>
              <P>• Amends section 11.33(a)(4) of the Commission's rules to include selective display and logging of text that was compiled from CAP-formatted messages be added to the EAS device log.</P>

              <P>• Declines to revise § 11.33(a)(10) of the Commission's rules to require processing of CAP-formatted message by default when duplicate messages are received in both the EAS Protocol and CAP formats, as recommended in the Communications Security, Reliability, and Interoperability Council (CSRIC) Final Report (<E T="03">CSRIC Final Report</E>).</P>
              <P>• Revises section 11.33(a)(11) of the Commission's rules to ensure that Emergency Action Notification (EAN) messages receive priority over all other EAS messages, regardless of whether the EAN message was received via the audio port or data port, or was formatted in EAS Protocol or CAP.</P>

              <P>• Declines to revise section 11.1 of the Commission's rules to include new CAP-related alert originators, as recommended in the<E T="03">CSRIC Final Report.</E>
              </P>
              <P>• Revises the text of § 11.11(a) of the Commission's rules to include as a minimum requirement compliance with the CAP-related requirements in § 11.56 of the Commission's rules, and to delete the reference to “analog television broadcast stations.”</P>
              <P>• Revises the equipment deployment tables in § 11.11 of the Commission's rules by adding a footnote to the “EAS decoder” entries in the tables to clarify that the obligation to receive and translate CAP-formatted messages may be met by deploying an intermediary device, and by deleting the date references in the equipment deployment tables in section 11.11 (as well as cross-references to these dates in other sections of Part 11, such as section 11.51(c) and (d)), along with the entry for two-tone encoders. Declines to incorporate references to the monitoring requirements in section 11.52 in section 11.11.</P>
              <P>• Declines to revise the language of § 11.20 of the Commission's rules to require a specific reference to CAP alerts, CAP relay networks, or CAP monitoring requirements.</P>

              <P>• Revises § 11.21(a) of the Commission's rules to make clear that the State EAS Plans specify the monitoring assignments and the specific primary and backup path for EAS Protocol-formatted EANs and that the monitoring requirements for CAP-formatted EANs are set forth in section 11.52, and to<PRTPAGE P="16708"/>make clear that to the extent a state may distribute CAP-formatted EANs to EAS Participants via its state alerting system, its State EAS Plan must include specific and detailed information describing how such messages will be aggregated and delivered, just as it must for state CAP-formatted non-EAN messages.</P>
              <P>• Defers taking any action with respect to revising § 11.21(c) of the Commission's rules until, at a minimum, review of the test data received from EAS Participants as a result of the November 9, 2011, nationwide EAS test has been completed.</P>
              <P>• Declines to revise the language in § 11.31(a) of the Commission's rules to better reflect CAP's capabilities.</P>
              <P>• Amends sections 11.35(a) and (b) of the Commission's rules to clarify that these subsections apply to all equipment used as part of the EAS, including all equipment that performs the functions of decoding and encoding messages formatted in the EAS Protocol and the Common Alerting Protocol.</P>

              <P>• Declines to revise § 11.45 of the Commission's rules to prohibit CAP messages lacking “Actual” status indicators, as recommended in the<E T="03">CSRIC Final Report.</E>
              </P>

              <P>• Declines to revise § 11.51 of the Commission's rules to require EAS Participants to transmit (or “render”) a CAP-compliant message, as recommended in the<E T="03">CSRIC Final Report.</E>
              </P>
              <P>• Amends sections 11.51(d), (g)(3), (h)(3), and (j)(2) of the Commission's rules to require EAS Participants to derive the visual display elements, including the originator, event, location and the valid time period of the EAS message, from the CAP text data as described in section 3.6 of the ECIG Implementation Guide (intermediary devices must provide for such functionality by June 30, 2015).</P>

              <P>• Declines to revise section 11.54(b) of the Commission's rules to mandate that CAP-formatted messages be broadcast only if the scope of the alert is “Public,” and to include IPAWS monitoring, as recommended in the<E T="03">CSRIC Final Report.</E>
              </P>
              <P>• Clarifies that it would be inappropriate to adopt any form of blanket exemption from the basic obligations of monitoring for, receiving, and processing CAP-formatted messages, but concludes that the physical unavailability of broadband Internet service offers a presumption in favor of a waiver.</P>
              <P>• Incorporates conformance with the ECIG Implementation Guide into the Commission's existing certification scheme.</P>
              <P>• Amends section 11.55 of the Commission's rules to eliminate the requirement that EAS Participants receive and transmit CAP-formatted messages initiated by state governors.</P>
              <P>• Amends the procedures for processing EANs set forth in § 11.54 of the Commission's rules and related Part 11 rule sections so that EAS Participants process EANs like any other EAS message, only on a mandatory and priority basis. To effect these changes, deletes §§ 11.16, 11.42, 11.44, 11.53, 11.54(a), (b)(1)-(8), (b)(10), (b)(12) and (c) of the Commission's rules, as well as the Emergency Action Termination (EAT) event code.</P>
              <P>• Eliminates Non-Participating National (NN) deleting references to status, and in this regard, revise sections 11.18, 11.41, 11.54, and 11.55 of the Commission's rules to remove references to NN status, and deletes section 11.19 altogether.</P>
              <P>• Seeks comment on whether the option for EAS Participants to manually process EANs (but not state or local EAS messages) should be eliminated.</P>
              <P>• Defers taking any action with respect to the EAS Operating Handbook until, at a minimum, review of the test data received from EAS Participants as a result of the November 9, 2011, nationwide EAS test has been completed.</P>
              <P>• Revises section 11.11(a) of the Commission's rules to remove the references therein to “participating broadcast networks, cable networks and program suppliers; and other entities and industries operating on an organized basis during emergencies at the National, State and local levels.”</P>
              <P>• Revises the definition for LP-1 station in § 11.2(b) of the Commission's rules to reflect that these stations can be a radio or TV station.</P>
              <P>• Deletes § 11.14 of the Commission's rules.</P>
              <P>• Revises section 11.2(a) to delete the numerical reference to the actual number of Primary Entry Point (PEP) stations in existence, and to clarify that PEP stations distribute EAS messages in accordance with the EAS Protocol requirements in section 11.31.</P>
              <P>• Deletes section 11.13 of the Commission's rules and folds the definition for the EAN currently in section 11.13 into section 11.2.</P>
              <P>• Revises §§ 11.31 and 11.34(d) of the Commission's rules to replace the references to the Federal Information Processing Standard (FIPS) numbers with references to the American National Standards Institute (ANSI) Codes INCITS 31.200x (Formerly FIPS 6-4), Codes for the Identification of Counties and Equivalent Entities of the United States, its Possessions, and Insular Areas standard.</P>
              <P>• Revises the analog and digital broadcast station equipment deployment table in § 11.11(a) of the Commission's rules so that “LPFM” and “LPTV” are identified with the columns listing the requirements for those categories, and revises §§ 11.61(a)(1)(i) and 11.61(a)(2)(ii) of the Commission's rules to include “LPFM” stations.</P>
              <P>• Revises section 11.32(a)(9)(iv) of the Commission's rules to limit the duration of the Attention Signal to no more than eight seconds, and deletes as obsolete sections 11.33(b) and 11.12.</P>
              <P>• Clarifies that EAS Participants may relay, for the benefit of downstream monitoring stations, messages they received that did not include an End of Message (EOM) code within the reset time limit set on their decoder.</P>
              <P>• Declines to revise § 11.33(a)(3)(ii) of the Commission's rules to eliminate the requirement to delete messages upon expiration of their time periods, thus allowing EAS Participants to air alert messages after expiration of the effective time period set by the alert message originator.</P>
              <P>• Reiterates that the Commission lacks the authority to raise or distribute funds for EAS-related purposes and therefore cannot provide training for state and local emergency managers.</P>
              <P>• Observes that the decision to require EAS Participants to meet the video display requirements in section 11.51(d), (g)(3), (h)(3), and (j)(2) by using the enhanced text in the CAP message, as outlined in the ECIG Implementation Guide, will help harmonize the EAS rules with the requirements of section 79.2.</P>

              <P>• Identifies several proposals raised in the comments submitted in response to the<E T="03">Third FNPRM</E>as being outside the scope of the<E T="03">Third FNPRM</E>and thus not taken up by the<E T="03">Fifth Report and Order.</E>
              </P>
              <HD SOURCE="HD1">B. Summary of Significant Issues Raised by Public Comments in Response to the IRFA</HD>
              <P>4. SBA filed no comments in this proceeding, and there were no other comments specifically addressed to the IRFA.</P>
              <HD SOURCE="HD1">C. Description and Estimate of the Number of Small Entities to Which Rules Will Apply</HD>
              <P>5. The RFA directs agencies to provide a description of and, where feasible, an estimate of, the number of small entities that may be affected by the rules adopted herein. The RFA generally defines the term “small entity” as having the same meaning as the terms “small business,” “small organization,” and “small governmental jurisdiction.” In addition, the term “small business” has the same meaning as the term “small business concern” under the Small Business Act. A “small business concern” is one which: (1) Is independently owned and operated; (2) is not dominant in its field of operation; and (3) satisfies any additional criteria established by the Small Business Administration (SBA).</P>
              <P>6.<E T="03">Small Businesses, Small Organizations, and Small Governmental Jurisdictions.</E>The Commission's action may, over time, affect small entities that are not easily categorized at present. The Commission therefore describe here, at the outset, three comprehensive, statutory small entity size standards. First, nationwide, there are a total of approximately 27.5 million small businesses, according to the SBA. In addition, a “small organization” is generally “any not-for-profit enterprise which is independently owned and operated and is not dominant in its field.” Nationwide, as of 2007, there were approximately 1,621,315 small organizations. Finally, the term “small governmental jurisdiction” is defined generally as “governments of cities, towns, townships, villages, school districts, or special districts, with a population of less than fifty thousand.” Census Bureau data for 2011 indicate that there were 89,476 local governmental jurisdictions in the United States. The Commission estimates that, of this total, as many as 88, 506 entities may qualify as “small governmental jurisdictions.” Thus, the Commission estimates that most governmental jurisdictions are small.</P>
              <P>7.<E T="03">Television Broadcasting.</E>The SBA defines a television broadcasting station as a small business if such station has no more than $14.0 million in annual receipts. Business concerns included in this industry<PRTPAGE P="16709"/>are those “primarily engaged in broadcasting images together with sound.” The Commission has estimated the number of licensed commercial television stations to be 1,390. According to Commission staff review of the BIA Kelsey Inc. Media Access Pro Television Database (BIA) as of January 31, 2011, 1,006 (or about 78 percent) of an estimated 1,298 commercial television stations in the United States have revenues of $14 million or less and, thus, qualify as small entities under the SBA definition. The Commission has estimated the number of licensed noncommercial educational (NCE) television stations to be 391. The Commission notes, however, that, in assessing whether a business concern qualifies as small under the above definition, business (control) affiliations must be included. The Commission's estimate, therefore, likely overstates the number of small entities that might be affected by its action, because the revenue figure on which it is based does not include or aggregate revenues from affiliated companies. The Commission does not compile and otherwise does not have access to information on the revenue of NCE stations that would permit it to determine how many such stations would qualify as small entities.</P>
              <P>8. In addition, an element of the definition of “small business” is that the entity not be dominant in its field of operation. The Commission is unable at this time to define or quantify the criteria that would establish whether a specific television station is dominant in its field of operation. Accordingly, the estimate of small businesses to which rules may apply do not exclude any television station from the definition of a small business on this basis and are therefore over-inclusive to that extent. Also, as noted, an additional element of the definition of “small business” is that the entity must be independently owned and operated. The Commission notes that it is difficult at times to assess these criteria in the context of media entities and its estimates of small businesses to which they apply may be over-inclusive to this extent.</P>
              <P>9.<E T="03">Radio Stations.</E>The rules and policies adopted in the<E T="03">Fifth Report and Order</E>potentially will apply to all AM and FM radio broadcasting applicants, and proponents for new FM allotments, who qualify for the Tribal Priority adopted in the First Report and Order in this proceeding. The “Radio Stations” Economic Census category “comprises establishments primarily engaged in broadcasting aural programs by radio to the public. Programming may originate in their own studio, from an affiliated network, or from external sources.” The SBA has established a small business size standard for this category, which is: Such firms having $7 million or less in annual receipts. According to BIA/Kelsey, MEDIA Access Pro Database on January 13, 2011, 10,820 (97%) of 11,127 commercial radio stations have revenue of $7 million or less. Therefore, the majority of such entities are small entities. The Commission notes, however, that in assessing whether a business concern qualifies as small under the above size standard, business affiliations must be included. In addition, to be determined to be a “small business,” the entity may not be dominant in its field of operation. The Commission notes that it is difficult at times to assess these criteria in the context of media entities, and its estimate of small businesses may therefore be over-inclusive.</P>
              <P>10.<E T="03">Cable and Other Program Distribution.</E>Since 2007, these services have been defined within the broad economic census category of Wired Telecommunications Carriers; that category is defined as follows: “This industry comprises establishments primarily engaged in operating and/or providing access to transmission facilities and infrastructure that they own and/or lease for the transmission of voice, data, text, sound, and video using wired telecommunications networks. Transmission facilities may be based on a single technology or a combination of technologies.” The SBA has developed a small business size standard for this category, which is: All such firms having 1,500 or fewer employees. According to Census Bureau data for 2007, there were a total of 955 firms in this previous category that operated for the entire year. Of this total, 939 firms had employment of 999 or fewer employees, and 16 firms had employment of 1000 employees or more. Thus, under this size standard, the majority of firms can be considered small entities.</P>
              <P>11.<E T="03">Cable System Operators (Rate Regulation Standard).</E>The Commission has developed its own small business size standards, for the purpose of cable rate regulation. Under the Commission's rules, a “small cable company” is one serving 400,000 or fewer subscribers, nationwide. Industry data indicate that, of 1,076 cable operators nationwide, all but eleven are small under this size standard. In addition, under the Commission's rules, a “small system” is a cable system serving 15,000 or fewer subscribers. Industry data indicate that, of 7,208 systems nationwide, 6,139 systems have under 10,000 subscribers, and an additional 379 systems have 10,000-19,999 subscribers. Thus, under this second size standard, most cable systems are small and may be affected by the rules adopted in the<E T="03">Fifth Report and Order.</E>
              </P>
              <P>12.<E T="03">Cable System Operators (Telecom Act Standard).</E>The Act also contains a size standard for small cable system operators, which is “a cable operator that, directly or through an affiliate, serves in the aggregate fewer than 1 percent of all subscribers in the United States and is not affiliated with any entity or entities whose gross annual revenues in the aggregate exceed $250,000,000.” The Commission has determined that an operator serving fewer than 677,000 subscribers shall be deemed a small operator, if its annual revenues, when combined with the total annual revenues of all its affiliates, do not exceed $250 million in the aggregate. Industry data indicate that, of 1,076 cable operators nationwide, all but ten are small under this size standard. The Commission notes that it neither requests nor collects information on whether cable system operators are affiliated with entities whose gross annual revenues exceed $250 million, and therefore it is unable to estimate more accurately the number of cable system operators that would qualify as small under this size standard.</P>
              <P>13.<E T="03">Open Video Services.</E>The open video system (“OVS”) framework was established in 1996, and is one of four statutorily recognized options for the provision of video programming services by local exchange carriers. The OVS framework provides opportunities for the distribution of video programming other than through cable systems. Because OVS operators provide subscription services, OVS falls within the SBA small business size standard covering cable services, which is “Wired Telecommunications Carriers.” The SBA has developed a small business size standard for this category, which is: All such firms having 1,500 or fewer employees. According to Census Bureau data for 2007, there were a total of 3,188 firms in this previous category that operated for the entire year. Of this total, 3,144 firms had employment of 999 or fewer employees, and 44 firms had employment of 1000 employees or more. Thus, under this size standard, most cable systems are small and may be affected by the rules adopted in the<E T="03">Fifth Report and Order.</E>In addition, we note that the Commission has certified some OVS operators, with some now providing service. Broadband service providers (“BSPs”) are currently the only significant holders of OVS certifications or local OVS franchises. The Commission does not have financial or employment information regarding the entities authorized to provide OVS, some of which may not yet be operational. Thus, again, at least some of the OVS operators may qualify as small entities.</P>
              <P>14.<E T="03">Wired Telecommunications Carriers.</E>The 2007 North American Industry Classification System (“NAICS”) defines “Wired Telecommunications Carriers” as follows: “This industry comprises establishments primarily engaged in operating and/or providing access to transmission facilities and infrastructure that they own and/or lease for the transmission of voice, data, text, sound, and video using wired telecommunications networks. Transmission facilities may be based on a single technology or a combination of technologies. Establishments in this industry use the wired telecommunications network facilities that they operate to provide a variety of services, such as wired telephony services, including VoIP services; wired (cable) audio and video programming distribution; and wired broadband Internet services. By exception, establishments providing satellite television distribution services using facilities and infrastructure that they operate are included in this industry.” The SBA has developed a small business size standard for wireline firms within the broad economic census category, “Wired Telecommunications Carriers.” Under this category, the SBA deems a wireline business to be small if it has 1,500 or fewer employees. Census data for 2007, which supersede data from the 2002 Census, show that 3,188 firms operated n 2007 as Wired Telecommunications Carriers. 3,144 had 1,000 or fewer employees, while 44 operated with more than 1,000 employees.</P>
              <P>15.<E T="03">Broadband Radio Service and Educational Broadband Service (FCC<PRTPAGE P="16710"/>Auction Standard).</E>The established rules apply to Broadband Radio Service (“BRS,” formerly known as Multipoint Distribution Systems, or “MDS”) operated as part of a wireless cable system. The Commission has defined “small entity” for purposes of the auction of BRS frequencies as an entity that, together with its affiliates, has average gross annual revenues that are not more than $40 million for the preceding three calendar years. The SBA has approved this definition of small entity in the context of MDS auctions. The Commission completed its MDS auction in March 1996 for authorizations in 493 basic trading areas. Of 67 winning bidders, 61 qualified as small entities. At this time, the Commission estimates that of the 61 small business MDS auction winners, 48 remain small business licensees. In addition to the 48 small businesses that hold BTA authorizations, there are approximately 392 incumbent BRS licensees that are considered small entities. After adding the number of small business auction licensees to the number of incumbent licensees not already counted, the Commission finds that there are currently approximately 440 BRS licensees that are defined as small businesses under either the SBA or the Commission's rules. In 2009, the Commission conducted Auction 86, which offered 78 BRS licenses. Auction 86 concluded with ten bidders winning 61 licenses. Of the ten, two bidders claimed small business status and won 4 licenses; one bidder claimed very small business status and won three licenses; and two bidders claimed entrepreneur status and won six licenses.</P>
              <P>16. The rules and policies adopted in the<E T="03">Fifth Report and Order</E>would also apply to Educational Broadband Service (“EBS,” formerly known as Instructional Television Fixed Service, or “ITFS”) facilities operated as part of a wireless cable system. The SBA definition of small entities for pay television services, Cable and Other Subscription Programming, also appears to apply to EBS. There are presently 2,032 EBS licensees. All but 100 of these licenses are held by educational institutions. Educational institutions are included in the definition of a small business. However, the Commission does not collect annual revenue data for EBS licensees and is not able to ascertain how many of the 100 non-educational licensees would be categorized as small under the SBA definition. Thus, the Commission tentatively concludes that at least 1,932 are small businesses and may be affected by the rules and policies adopted in the<E T="03">Fifth Report and Order.</E>
              </P>
              <P>17.<E T="03">Wireless Telecommunications Carriers (except Satellite).</E>Since 2007, the Census Bureau has placed wireless firms within this new, broad, economic census category. Prior to that time, such firms were within the now-superseded categories of “Paging” and “Cellular and Other Wireless Telecommunications.” Under the present and prior categories, the SBA has deemed a wireless business to be small if it has 1,500 or fewer employees. For the category of Wireless Telecommunications Carriers (except Satellite), Census data for 2007, which supersede data contained in the 2002 Census, show that there were 1,383 firms that operated that year. Of those 1,383, 1,368 had fewer than 100 employees, and 15 firms had more than 100 employees. Thus under this category and the associated small business size standard, the majority of firms can be considered small. Similarly, according to Commission data, 413 carriers reported that they were engaged in the provision of wireless telephony, including cellular service, Personal Communications Service (PCS), and Specialized Mobile Radio (SMR) Telephony services. Of these, an estimated 261 have 1,500 or fewer employees and 152 have more than 1,500 employees. Consequently, the Commission estimates that approximately half or more of these firms can be considered small. Thus, using available data, the Commission estimates that the majority of wireless firms can be considered small.</P>
              <P>18.<E T="03">Incumbent Local Exchange Carriers (LECs).</E>The Commission has included small incumbent LECs in this IRFA analysis. As noted above, a “small business” under the RFA is one that,<E T="03">inter alia,</E>meets the pertinent small business size standard (<E T="03">e.g.,</E>a telephone communications business having 1,500 or fewer employees) and “is not dominant in its field of operation.” The SBA's Office of Advocacy contends that, for RFA purposes, small incumbent LECs are not dominant in their field of operation because any such dominance is not “national” in scope. The Commission has therefore included small incumbent local exchange carriers in this RFA analysis, although the Commission emphasizes that this RFA action has no effect on its analyses and determinations in other, non-RFA contexts. Neither the Commission nor the SBA has developed a small business size standard specifically for incumbent local exchange services. The appropriate size standard under SBA rules is for the category Wired Telecommunications Carriers. Under that size standard, such a business is small if it has 1,500 or fewer employees. According to Commission data, 1,303 carriers have reported that they are engaged in the provision of incumbent local exchange services. Of these 1,303 carriers, an estimated 1,020 have 1,500 or fewer employees, and 283 have more than 1,500 employees. Consequently, the Commission estimates that most providers of incumbent local exchange service are small businesses that may be affected by the rules and policies adopted in the<E T="03">Fifth Report and Order.</E>
              </P>
              <P>19.<E T="03">Competitive (LECs), Competitive Access Providers (CAPs), “Shared-Tenant Service Providers,” and “Other Local Service Providers.”</E>Neither the Commission nor the SBA has developed a small business size standard specifically for these service providers. The appropriate size standard under SBA rules is for the category Wired Telecommunications Carriers. Under that size standard, such a business is small if it has 1,500 or fewer employees. According to Commission data, 769 carriers have reported that they are engaged in the provision of either competitive access provider services or competitive local exchange carrier services. Of these 769 carriers, an estimated 676 have 1,500 or fewer employees, and 93 have more than 1,500 employees. In addition, 12 carriers have reported that they are “Shared-Tenant Service Providers,” and all 12 are estimated to have 1,500 or fewer employees. In addition, 39 carriers have reported that they are “Other Local Service Providers.” Of the 39, an estimated 38 have 1,500 or fewer employees, and one has more than 1,500 employees. Consequently, the Commission estimates that most providers of competitive local exchange service, competitive access providers, “Shared-Tenant Service Providers,” and “Other Local Service Providers” are small entities.</P>
              <P>20.<E T="03">Satellite Telecommunications Providers.</E>Two economic census categories address the satellite industry. The first category has a small business size standard of $15 million or less in average annual receipts, under SBA rules. The second has a size standard of $25 million or less in annual receipts.</P>
              <P>21. The category of Satellite Telecommunications “comprises establishments primarily engaged in providing telecommunications services to other establishments in the telecommunications and broadcasting industries by forwarding and receiving communications signals via a system of satellites or reselling satellite telecommunications.” Census Bureau data for 2007 show that 512 Satellite Telecommunications firms operated for that entire year. Of this total, 464 firms had annual receipts of under $10 million, and 18 firms had receipts of $10 million to $24,999,999. Consequently, the majority of Satellite Telecommunications firms can be considered small entities.</P>
              <P>22. The second category,<E T="03">i.e.</E>“All Other Telecommunications” comprises “establishments primarily engaged in providing specialized telecommunications services, such as satellite tracking, communications telemetry, and radar station operation. This industry also includes establishments primarily engaged in providing satellite terminal stations and associated facilities connected with one or more terrestrial systems and capable of transmitting telecommunications to, and receiving telecommunications from, satellite systems. Establishments providing Internet services or voice over Internet protocol (VoIP) services via client-supplied telecommunications connections are also included in this industry.” For this category, Census Bureau data for 2007 show that there were a total of 2,383 firms that operated for the entire year. Of this total, 2,347 firms had annual receipts of under $25 million and 12 firms had annual receipts of $25 million to $49,999,999. Consequently, the Commission estimates that the majority of All Other Telecommunications firms are small entities that might be affected by the rules and policies adopted in the<E T="03">Fifth Report and Order.</E>
              </P>
              <P>23.<E T="03">Direct Broadcast Satellite (“DBS”) Service.</E>DBS service is a nationally distributed subscription service that delivers video and audio programming via satellite to a small parabolic “dish” antenna at the subscriber's location. DBS, by exception, is now included in the SBA's broad economic<PRTPAGE P="16711"/>census category, “Wired Telecommunications Carriers,” which was developed for small wireline firms. Under this category, the SBA deems a wireline business to be small if it has 1,500 or fewer employees. To gauge small business prevalence for the DBS service, the Commission relies on data currently available from the U.S. Census for the year 2007. According to that source, there were 3,188 firms that in 2007 were Wired Telecommunications Carriers. Of these, 3,144 operated with less than 1,000 employees, and 44 operated with more than 1,000 employees. However, as to the latter 44 there is no data available that shows how many operated with more than 1,500 employees. Based on this data, the majority of these firms can be considered small. Currently, only two entities provide DBS service, which requires a great investment of capital for operation: DIRECTV and EchoStar Communications Corporation (“EchoStar”) (marketed as the DISH Network). Each currently offers subscription services. DIRECTV and EchoStar each report annual revenues that are in excess of the threshold for a small business. Because DBS service requires significant capital, the Commission believes it is unlikely that a small entity as defined by the SBA would have the financial wherewithal to become a DBS service provider.</P>
              <HD SOURCE="HD1">D. Description of Projected Reporting, Recordkeeping, and Other Compliance Requirements</HD>

              <P>24. There are revisions to current Part 11 reporting, recordkeeping, or compliance requirements set forth in the<E T="03">Fifth Report and Order.</E>Specifically, the<E T="03">Fifth Report and Order:</E>
              </P>
              <P>• Revises section 11.21(a) to make clear that the State EAS Plans specify the monitoring assignments and the specific primary and backup path for SAME-formatted EANs. This revision merely applies a current reporting requirement to a new technical protocol and the Commission does not expect it to alter the reporting burden to any appreciable degree. The revision will ensure the accuracy of EAS operational documents and thus contributes to public safety. Accordingly, the Commission believes the revision to be necessary.</P>
              <P>• Revises section 11.33(a)(4) to require that if an alert message is derived from a CAP-formatted message, the contents of the text, assembled pursuant to ECIG Implementation Guide, should be added to the EAS device log. This revision merely applies a current reporting requirement to a new technical protocol and the Commission does not expect it to alter the reporting burden to any appreciable degree.</P>
              <P>• Eliminates Non-Participating National source (NN) status and thus deletes all references to NN status from section 11.41 (and other sections) of the Part 11 rules. Obtaining NN status required the submission of paperwork to the FCC, thus, eliminating such status eliminates a potential paperwork requirement. Because NN stations were otherwise required to meet the same logging and reporting requirements of non-NN stations, the elimination of this status did not impact other logging or reporting requirements to which NN stations are subject.</P>
              <P>• Deletes section 11.42 in its entirety, which set forth certain reporting requirements for common carrier stations involved in national level EAS operations. Like all of the provisions in section 11.42, the provisions related to common carriers facilitated EAS operations that were phased out in 1995. Accordingly, deleting section 11.42 formally eliminates reporting requirements that were effectively eliminated long ago.</P>

              <P>• Revises section 11.54(b)(13) to eliminate the requirement that EAS Participants enter into their logs/records the time of receipt of EAT messages during a national level emergency. This action is necessary because the<E T="03">Fifth Report and Order</E>eliminates the EAT from the Part 11 rules, and incrementally lessens the logging/recording requirements associated with EANs.</P>
              <P>• Revises section 11.55 section to clarify that the time of receipt of CAP-formatted emergency alert messages must be entered into the stations/systems' logs/records. The requirement in section 11.55 directing stations/systems to enter into their logs/records the time of receipt of an emergency alert message already broadly applies to any emergency alert message, regardless of how it is formatted; this revision merely makes this point clearer.</P>
              <P>• Adopts, in paragraphs 164-167, 170-171 and 175-176, streamlined procedures for equipment certification that take into account standards and testing procedures adopted by FEMA. This revision merely applies a current certification requirement to equipment that complies with a new technical protocol and the Commission does not expect it to alter the certification burden to any appreciable degree.</P>
              <P>25. These requirements are intended to advance our public safety mission and enhance the performance of the EAS while reducing regulatory burdens wherever possible.</P>
              <HD SOURCE="HD1">E. Steps Taken To Minimize the Significant Economic Impact on Small Entities, and Significant Alternatives Considered</HD>
              <P>26. The RFA requires an agency to describe any significant alternatives that it has considered in developing its approach, which may include the following four alternatives (among others): “(1) The establishment of differing compliance or reporting requirements or timetables that take into account the resources available to small entities; (2) the clarification, consolidation, or simplification of compliance and reporting requirements under the rule for such small entities; (3) the use of performance rather than design standards; and (4) an exemption from coverage of the rule, or any part thereof, for such small entities.”</P>

              <P>27. EAS Participants currently are required to receive and process CAP-formatted alert messages, as set forth in section 11.56. The<E T="03">Fifth Report and Order</E>adopts dozens of revisions to Part 11 of the Commission's rules that are necessary in order for EAS Participants to meet this obligation and, more generally, to streamline and make more efficient the operation of the EAS. The majority of the rule revisions are not designed to introduce new obligations that do not already exist, but rather, more clearly identify and effect within Part 11 the CAP obligations previously adopted in the<E T="03">Second Report and Order.</E>In many cases, the rule revisions eliminate or reduce recordkeeping and reporting requirements. In all instances, the Commission chose the least costly, technically feasible option. In this regard, these revisions are designed to minimally impact all EAS Participants, including small entities, to the extent feasible, while at the same time protecting the lives and property of all Americans. This confers a direct benefit on small entities. For example, the rule revisions maintain the existing EAS architecture and permit affected parties to meet their CAP-related obligations via intermediary devices, which potentially may alleviate the need to obtain new EAS equipment for many EAS Participants. Similarly, the revisions to EAN processing make the Part 11 rules simpler both to understand and implement within equipment designs.</P>

              <P>28. Removing redundant or obsolete sections from the EAS rules not only streamlines EAS operation, but also decreases costs to all involved in the functioning of the EAS. Moreover, the CAP-related amendments that the Commission makes to its EAS rules are designed to minimize costs. For example, the<E T="03">Fifth Report and Order</E>removes the obligation to receive and process CAP-formatted alerts messages initiated by state governors. This will eliminate the costs of upgrading EAS equipment to comply with this requirement.</P>

              <P>29. Commenters were invited to suggest steps that the Commission may take to further minimize any significant economic impact on small entities. When considering proposals made by other parties, commenters were also invited to propose alternatives that serve the goal of minimizing the impact on small entities. Virtually all commenters agreed that incorporation of CAP into the Part 11 rules will significantly benefit both public safety officials and the public by creating a more efficient, reliable and effective EAS. The new rules require EAS Participants to monitor FEMA's IPAWS system for Federal CAP-formatted alert messages using whatever interface technology is appropriate. This approach marks an alternative from the Commission's proposal in the<E T="03">Third FNPRM</E>and is in response to comments received in response to the<E T="03">Third FNPRM</E>that advocated for more flexibility for this requirement. Moreover, the new rules permit, with certain limitations, EAS Participants to use intermediary devices to meet their CAP-related obligations. The approach taken in the<E T="03">Fifth Report and Order</E>strikes a balance by allowing use of these devices by EAS Participants—many of whom are small or are non-commercial—but only to the extent such devices can comply with the rules adopted today by June 30, 2015. This is a significantly less costly alternative to requiring immediate compliance.</P>
              <P>30.<E T="03">Report to Congress:</E>The Commission will send a copy of the<E T="03">Fifth Report and Order,</E>including this FRFA, in a report to be sent to Congress and the Government<PRTPAGE P="16712"/>Accountability Office pursuant to the Congressional Review Act. In addition, the Commission will send a copy of the<E T="03">Fifth Report and Order,</E>including this FRFA, to the Chief Counsel for Advocacy of the SBA. A copy of the<E T="03">Fifth Report and Order</E>and FRFA (or summaries thereof) will also be published in the<E T="04">Federal Register</E>.</P>
              
            </APPENDIX>
          </SECTION>
        </REGTEXT>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6601 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 6712-01-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF THE INTERIOR</AGENCY>
        <SUBAGY>Fish and Wildlife Service</SUBAGY>
        <CFR>50 CFR Part 17</CFR>
        <DEPDOC>[Docket No. FWS-R3-ES-2011-0034; FXES11130900000C3-123-FF09E32000]</DEPDOC>
        <RIN>RIN 1018-AX79</RIN>
        <SUBJECT>Endangered and Threatened Wildlife and Plants; Establishment of a Nonessential Experimental Population of American Burying Beetle in Southwestern Missouri</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Fish and Wildlife Service, Interior.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>We, the U.S. Fish and Wildlife Service (Service), will reestablish the American burying beetle, a federally listed endangered insect, into its historical habitat in Wah'kon-tah Prairie in southwestern Missouri. We will reestablish the American burying beetle under section 10(j) of the Endangered Species Act of 1973, as amended (Act), and will classify that reestablished population as a nonessential experimental population (NEP) within St. Clair, Cedar, Bates, and Vernon Counties, Missouri. This rule provides a plan for establishing the NEP and provides for allowable legal incidental taking of the American burying beetle within the defined NEP area.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This final rule is effective April 23, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>This final rule is available on<E T="03">http://www.regulations.gov</E>and available from our Web site at<E T="03">http://www.fws.gov/midwest/endangered.</E>Comments and materials received, as well as the supporting file for this final rule will be available for public inspection, by appointment, during normal business hours, at the Columbia, Missouri Ecological Services Office, 101 Park DeVille Dr., Suite B, Columbia, MO 65203; telephone 573-234-2132. Persons who use a telecommunications device for the deaf (TDD) may call the Federal Information Relay Services (FIRS) at 800-877-8339.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Scott Hamilton, Fish and Wildlife Biologist, at the Columbia, Missouri Ecological Services Office, 101 Park DeVille Dr., Suite B, Columbia, MO 65203, telephone 573-234-2132; facsimile 573-234-2181.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Background</HD>
        <HD SOURCE="HD2">Regulatory Background</HD>
        <P>The American burying beetle (<E T="03">Nicrophorus americanus,</E>ABB) was listed as endangered throughout its range on July 13, 1989 (54 FR 29652), under the Endangered Species Act of 1973, as amended (16 U.S.C. 1531<E T="03">et seq.</E>), without critical habitat (USFWS 2008, p. 2). The Act provides that species listed as endangered are afforded protection primarily through the prohibitions of section 9 and the requirements of section 7. Section 9 of the Act, among other things, prohibits the take of endangered wildlife. “Take” is defined by the Act as to harass, harm, pursue, hunt, shoot, wound, kill, trap, capture, or collect, or to attempt to engage in any such conduct. Section 7 of the Act outlines the procedures for Federal interagency cooperation to conserve federally listed species and protect designated critical habitat. It mandates that all Federal agencies use their existing authorities to further the purposes of the Act by carrying out programs for the conservation of listed species. It also states that Federal agencies must, in consultation with the Service, ensure that any action they authorize, fund, or carry out is not likely to jeopardize the continued existence of a listed species or result in the destruction or adverse modification of designated critical habitat. Section 7 of the Act does not affect activities undertaken on private land unless they are authorized, funded, or carried out by a Federal agency.</P>
        <P>Under section 10(j) of the Act, the Secretary of the Interior can designate reestablished populations outside the species' current range, but within its historical range, as “experimental.” With the experimental population designation, the relevant population is treated as threatened for purposes of section 9 of the Act, regardless of the species' designation elsewhere in its range. Threatened designation allows us discretion in devising management programs and special regulations for such a population. Section 4(d) of the Act allows us to adopt whatever regulations are necessary and advisable to provide for the conservation of a threatened species. In these situations, the general regulations that extend most section 9 prohibitions to threatened species do not apply to that species, and the 10(j) rule contains the prohibitions and exemptions necessary and appropriate to conserve that species.</P>

        <P>Based on the best scientific and commercial data available, we must determine whether the experimental population is<E T="03">essential</E>or<E T="03">nonessential</E>to the continued existence of the species. The regulations (50 CFR 17.80(b)) state that an experimental population is considered essential if its loss would be likely to appreciably reduce the likelihood of survival of that species in the wild. All other populations are considered nonessential. We have determined that this experimental population will not be essential to the continued existence of the species in the wild. This determination has been made because, since the time the species was listed, wild populations of the ABB are now found in seven additional States, three of which are considered robust and suitable for donor populations (USFWS 2008, p. 14). Therefore, the Service will designate a nonessential experimental population (NEP) for the species in southwestern Missouri.</P>
        <P>When NEPs are located outside a National Wildlife Refuge or National Park Service unit, then, for the purposes of section 7, we treat the population as proposed for listing and only section 7(a)(1) and section 7(a)(4) of the Act apply. In these instances, NEPs provide additional flexibility because Federal agencies are not required to consult with us under section 7(a)(2). Section 7(a)(4) requires Federal agencies to confer (rather than consult) with the Service on actions that are likely to jeopardize the continued existence of a species proposed to be listed. The results of a conference are in the form of conservation recommendations that are optional as the agencies carry out, fund, or authorize activities. Because the NEP is, by definition, not essential to the continued existence of the species, the effects of proposed actions affecting the NEP will generally not rise to the level of jeopardizing the continued existence of the species. As a result, a formal conference will likely never be required for ABBs established within the NEP area. Nonetheless, some agencies voluntarily confer with the Service on actions that may affect a proposed species. Activities that are not carried out, funded, or authorized by Federal agencies are not subject to provisions or requirements in section 7 of the Act.</P>

        <P>American burying beetles used to establish an experimental population will come from a captive-rearing facility<PRTPAGE P="16713"/>at the St. Louis Zoo, which propagates this species under the Federal Fish and Wildlife Permit #TE135297-0. The donor population for the Zoo is a wild population from Ft. Chaffee, Arkansas. Each spring, Ft. Chaffee Maneuver Training Center (MTC) will provide the St. Louis Zoo with up to 15 ABB pairs, provided their removal is not likely to jeopardize the continued existence of the species and appropriate permits are issued in accordance with our regulations (50 CFR 17.22) prior to their removal. We will ensure, through our section 10 permitting authority and the section 7 consultation process, that using individuals from donor populations for release is not likely to jeopardize the continued existence of the species in the wild. ABBs will be transported to St. Louis Zoo staff to augment the St. Louis Zoo's captive population, or possibly for direct reintroduction to Wah'kon-tah Prairie. The purpose of the captive population is to provide stock for reintroductions in “suitable areas” within the species' historical range, in accordance with recovery action 7.2 of the American Burying Beetle Recovery Plan (USFWS 1991, p. 52).</P>
        <P>We have not designated critical habitat for the ABB. Section 10(j)(2)(C)(ii) of the Act states that critical habitat shall not be designated for any experimental population that is determined to be nonessential. Accordingly, we cannot designate critical habitat in areas where we establish an NEP.</P>
        <P>We will not change the NEP designation to “essential experimental,” “threatened,” or “endangered” within the NEP area without a public rulemaking. Additionally, we will not designate critical habitat for this NEP, as provided by 16 U.S.C. 1539(j)(2)(C)(ii).</P>
        <HD SOURCE="HD2">Biological Information</HD>

        <P>The ABB is the largest member of the family Silphidae in North America, and the largest among a guild of species that breed and rear their young on vertebrate carcasses. Because carrion is a scarce and ephemeral resource, ABBs must traverse large areas in search of it. By necessity, they are strong flyers capable of covering several miles overnight. The farthest recorded dispersal in a year for reintroduced ABBs is 3 miles (4.8 km) (McKenna-Foster<E T="03">et al.</E>2007, p. 9). Data from the Nantucket reintroduction show that the farthest dispersal in one season was 3 miles (4.8 km) (McKenna-Foster<E T="03">et al.</E>2007, p. 9). Data from Nebraska indicate that the vast majority (92 percent) of ABB were recaptured within 0.6 miles (1 km) of their initial capture within the same season (Bedick<E T="03">et al.</E>1999, p. 176). After ABBs find an appropriate-sized carcass, a pair of beetles cooperatively buries and prepares the carcass by removing its fur or feathers and coating it with antibacterial secretions. These activities require soil excavation; consequently soils must be conducive for excavation, and plant roots systems must not hinder excavation. Reproductive habitat activities also require soil that is appropriately moist. Both parents may remain to feed the larva with regurgitated meat until they are capable of feeding themselves. After pupation, new adults emerge within 30-45 days. ABBs are generally considered univoltine (having one brood or generation per year) in the wild, with a life span of about 12 months. They are a habitat generalist with regards to vegetation, and will eat all classes of vertebrate carcasses (USFWS 2008, pp. 8, 11).</P>
        <P>The ABB's historical range included 35 States and three Canadian provinces in the eastern temperate areas of North America (USFWS 1991, p. 4). At the time of listing, only two ABB populations were known, one on Block Island, Rhode Island, and one in Latimer County, Oklahoma. Subsequent monitoring in other States documented additional populations in Arkansas, Nebraska, Texas, South Dakota, and Kansas (USFWS 2008, p. 16). The population on Block Island is the only naturally occurring population east of the Mississippi River. The ABB also occurs in captive-breeding populations. Currently, captive populations are maintained at the Roger Williams Park Zoo in Providence, Rhode Island; St. Louis Zoo in St. Louis, Missouri; The Wilds in Ohio; and the Cincinnati Zoo in Cincinnati, Ohio.</P>
        <P>The reasons for the decline of the ABB during the 1900s are still unknown. Many hypotheses for the decline have been suggested, such as the widespread use of dichloro-diphenyl-trichloroethane (DDT) and other pesticides, habitat loss and fragmentation, decrease in the availability of carrion, increased use of artificial lighting, an unidentified pathogen, increase in competition from vertebrate scavengers, and an increase in competition from other carrion insects (Sikes and Raithel 2002, pp. 104-109). Predation is not believed to be an important mortality factor for the ABB, although interaction with fire ants, whether through competition or predation, is thought to adversely affect ABB populations. Disease is not known to be a factor in the decline of the ABB, but knowledge of diseases of insects is in its infancy (USFWS 2008, p. 31). Competition for carrion by scavengers is thought to be an important factor in the decline of ABB (Sikes and Raithel 2002, p. 111). Competition with ants, flies, and vertebrate scavengers, as well as other species of burying beetles, can be limiting factors for ABBs (Sikes and Raithel 2002, p. 111). Weather extremes, such as drought, wildfire, hurricanes, and ice storms, may affect the viability of existing populations (USFWS 2008, p. 33).</P>
        <HD SOURCE="HD2">Recovery Efforts</HD>
        <P>Restoring an endangered or threatened species to the point where it is recovered is a primary goal of our endangered species program. The ABB recovery plan was developed within 2 years of the listing of the species and reflects the best information available at that time. The recovery objectives of the 1991 plan are to (1) “reduce the immediacy of the threat of extinction * * *” and (2) “improve its status so that it can be reclassified from endangered to threatened.” The recovery plan did not include delisting criteria; however, criteria for the reclassification are:</P>
        <P>(a) Three populations of<E T="03">N. americanus</E>have been reestablished (or additional populations discovered) within each of four broad geographical areas of its historical range: the Northeast, the Southeast, the Midwest, and the Great Lakes States;</P>
        <P>(b) Each population contains a minimum of 500 adults as estimated by capture rates per trap night and black lighting effort; and</P>
        <P>(c) Each population is demonstrably self-sustaining for at least 5 consecutive years (or is sustainable with established long-term management programs) (USFWS 1991, pp. 31-32).</P>
        <P>The 1991 Recovery Plan considers conducting additional reintroductions a top priority (Priority 1) (USFWS 1991, p. 63). The first reintroduction site for the ABB was Penikese Island, Massachusetts, in 1990. After ABBs were released on Penikese for 4 years, the population persisted there for about 8 years (until 2002). No ABBs were subsequently found there during modest trapping efforts from 2003 to 2006. Nantucket Island was the next ABB reintroduction site, which was initiated in 1994. Release of ABBs ended in 2006, and the population has persisted. Since 1998, there have been sporadic efforts to reintroduce a population in Ohio, but ABBs have yet to be recaptured after overwintering (USFWS 2008, p. 5).</P>
        <HD SOURCE="HD2">Reestablishment Area</HD>

        <P>Historically, the ABB was recorded in 13 counties throughout Missouri, and<PRTPAGE P="16714"/>was most likely found throughout the State. The last documented ABB occurrence in the State was collected in a light-trap from Newton County (southwest Missouri) in the mid-1970s (Simpson 1991, p. 1). Monitoring for existing ABB populations has been ongoing in Missouri since 1991. A concerted monitoring effort has been conducted by the St. Louis Zoo since 2002, and monitoring began on Wah'kon-tah Prairie in 2004. During the period 2002-2009, researchers monitored 49 sites from 25 counties in Missouri for ABB (Merz 2009, p. 8). No ABBs were observed or collected in any of the sites surveyed in Missouri since the 1970s.</P>

        <P>The reintroduction site, Wah'kon-tah Prairie, is a 3,030-acre (1,226-hectare) site jointly owned and managed by the Missouri Department of Conservation (MDC) and The Nature Conservancy (TNC). It is a designated special focus area, where TNC is working to restore a greater prairie chicken (<E T="03">Tympanuchus cupido</E>) population and native tallgrass prairie. Wah'kon-tah Prairie straddles the border of St. Clair and Cedar Counties, and is very close to Bates and Vernon Counties, all within southwestern Missouri. The area within the borders of these four counties, 2,885 square miles (7,472 square kilometers (km)), is the designated area for the nonessential experimental population (NEP). The minimum distance from the reintroduction site to outside the designated experimental population boundary is 17 miles (27 km); the greatest distance is 52 miles (84 km). This NEP area was selected because of its proximity to the last recorded ABB sighting in Missouri, the quantity of recent ABB monitoring, and the relative abundance of carrion (Hamilton and Merz 2010, pp. 4-5).</P>

        <P>According to the St. Louis Zoo's American Burying Beetle Activity Summary in 2009, 12 sites within the NEP area were monitored for carrion beetles (Jean<E T="03">et al.</E>2009, p. 1). Five of these sites were on Wah'Kon-Tah Prairie, one of which was sampled for 66 days throughout the season. The pitfall traps within the NEP area collected 46,522 individuals, of which 86 percent were other species of the beetle family Silphidae (to which the ABB belongs); the remainder were other insects and spiders. No ABBs were found (Jean<E T="03">et al.</E>2009, p. 1).</P>
        <P>Section 10(j) of the Act requires that an experimental population be wholly separate geographically from wild populations of the same species. Because there are no known populations of ABB in Missouri, and there are no records of ABB in the bordering counties of eastern Kansas, this NEP is geographically separate from all other known ABB populations. Based on the movement data of other ABB populations, we do not believe the reintroduced ABBs will move beyond the designated NEP area. If monitoring shows that the reintroduced ABB are moving toward a border of the NEP, we may seek to amend the NEP boundaries, after monitoring the possible new NEP areas. If individuals of this population move outside the designated NEP area, we will presume that they came from the reintroduced population. We may then amend this regulation to enlarge the boundaries of the NEP area to include the entire range of the expanded population.</P>
        <HD SOURCE="HD2">Release Procedures</HD>

        <P>Captive-bred beetles from the St. Louis Zoo, wild beetles from Ft. Chaffee, or both, will be brought to the release site in late spring by representatives of the St. Louis Zoo or the Service. ABBs will be paired 24 hours in advance of release. These beetles will be marked by clipping the elytra (the modified forewings that encase the thin hind wings used in flight) to distinguish between captive-bred and wild beetles, and between the release transects. For the release, a soil plug is dug and removed, and paired ABBs are provisioned with a 120-200 gram (4-7 ounce) carcass and placed into the hole. The soil plug is then placed back over the hole and a wire screen is stapled over the area to keep out scavenging animals and birds. These holes will be dug in several lines, or transects. The number of transects will be determined by the number of beetles available, and apportioned in equal numbers (Hamilton and Merz 2010, p. 7). The ABB Reintroduction Plan contains additional information on the release procedures and monitoring protocols (contact the person listed under<E T="02">FOR FURTHER INFORMATION CONTACT</E>for copies of this document).</P>
        <HD SOURCE="HD2">Population Status</HD>
        <P>We will ensure, through our section 10 permitting authority and the section 7 consultation process, that the use of ABBs from the donor population at Ft. Chaffee, Arkansas, for releases into Wah'kon-tah Prairie is not likely to jeopardize the continued existence of the species in the wild. These donor populations are closely monitored by the Service, and over collection will not be permitted. Establishing additional ABB populations within the species' historical range is an important step in recovery (USFWS 1991, p. 52).</P>
        <P>The special rule that accompanies this section 10(j) rule is designed to broadly exempt from the section 9 take prohibitions any take of ABBs that is accidental and incidental to otherwise lawful activities. We provide this exemption because we believe that such incidental take of members of the NEP associated with otherwise lawful activities is necessary and advisable for the conservation of the species, as activities that currently occur or are anticipated in the NEP area, such as haying, grazing, and occasional burning of pastures, are generally compatible with ABB recovery.</P>
        <P>This designation is justified because no adverse effects to extant wild or captive ABB populations will result from release of progeny from the captive flock. We also expect that the reintroduction effort into Missouri will result in the successful establishment of a self-sustaining population, which will contribute to the recovery of the species.</P>
        <HD SOURCE="HD2">Management</HD>
        <P>Management issues related to the ABB NEP that have been considered include:</P>
        <P>(a)<E T="03">Mortality:</E>The regulations implementing the Act define “incidental take” as take that is incidental to, and not the purpose of, carrying out an otherwise lawful activity (50 CFR 17.3), such as agricultural activities and other rural development, and other activities that are in accordance with Federal, Tribal, State, and local laws and regulations. Incidental take of the ABB within the NEP area will not be prohibited, provided that the take is unintentional and is in accordance with the special rule that is a part of this 10(j) rule. However, if there is evidence of intentional take of an ABB within the NEP that is not authorized by the special rule, we will refer the matter to the appropriate law enforcement entities for investigation.</P>
        <P>(b)<E T="03">Special handling:</E>In accordance with 50 CFR 17.21(c)(3), any employee or agent of the Service, any other Federal land management agency, or State personnel, designated for such purposes, may in the course of their official duties, handle ABBs to aid sick or injured ABBs, or to salvage dead ABBs. However, non-Service personnel and their agents would need to acquire permits from the Service for these activities.</P>
        <P>(c)<E T="03">Coordination with landowners and land managers:</E>Through various meetings, the Service and cooperators have identified issues and concerns associated with the ABB population establishment. The population establishment was discussed with<PRTPAGE P="16715"/>potentially affected State agencies and private landowners. Affected State agencies, landowners, and land managers have either indicated support for, or no opposition to, the population establishment, provided an NEP is designated and a special rule is promulgated which does not prohibit incidental take.</P>
        <P>(d)<E T="03">Monitoring:</E>Surveys conducted prior to releasing the ABBs will assess the over-wintering population from the prior year's release. During reintroduction, carcasses will be exhumed 10-12 days after burial to determine breeding success and the number of third instar (a developmental stage in insects representing their third molt) larvae present. This should provide a close estimate of the number of offspring produced in that first generation.</P>
        <P>During the period from June through August, each reintroduction site will be surveyed for at least three nights in duration. In addition to sampling at the release site(s), surrounding areas will be sampled in at least four directions, approximately 0.6 mile (1 km) away, for at least three consecutive nights, following a statistically-based monitoring plan. Monitoring at the release sites and areas within approximately 0.6 mile (1 km) of those sites should detect the majority of the released beetles. Monitoring using pitfall trap surveys in the subsequent early summer and fall following release will provide an estimate of breeding pair productivity by collecting young adults following emergence. This will also allow for an estimate of overwinter survival of progeny. Beetles captured in the late summer and fall will be paired, provisioned with a carcass, and held until all pairs can be reintroduced back to the original release sites. We intend to reintroduce at least 50 pairs each year for 5 years, or until data suggest a viable population of more than 1,000 individuals has been established. At year five, the cooperators will evaluate the project's successes and failures and make adjustments to the ABB reintroduction project, if necessary.</P>
        <HD SOURCE="HD1">Summary of Public and Peer Review Comments and Recommendations</HD>
        <P>In the proposed rule published on July 22, 2011 (76 FR 43973), we requested that all interested parties submit written comments on the proposal by August 22, 2011. We also contacted appropriate Federal and State agencies, scientific experts, and other interested parties, and invited them to comment on the proposal. A newspaper notice inviting general comments was published in the El Dorado Springs (Missouri) Star, and an article inviting the same was published in the El Dorado Springs (Missouri) Sun. We did not receive any requests for a public hearing, but we did hold a public meeting in El Dorado Springs, Missouri, on August 11, 2011.</P>
        <P>We reviewed all comments we received from the public and peer reviewers for substantive issues and new information regarding the creation of an experimental population of American burying beetles in southwestern Missouri. All substantive information provided during the comment period has either been incorporated into this final determination or is addressed below. We received seven written comments, including comments from three peer reviewers. Six comments supported the proposed NEP listing, including the comments from the three peer reviewers. One comment had no substantive issues.</P>
        <HD SOURCE="HD2">Peer Review</HD>
        <P>In accordance with our policy on peer review, published on July 1, 1994 (59 FR 34270), we solicited expert opinions from three individuals with scientific expertise that included familiarity with the species and their reintroduction. We received responses from all three peer reviewers from whom we requested comments. All three responses supported the 10(j) rule, and brought up no issues to be addressed.</P>
        <HD SOURCE="HD2">Public Comments</HD>
        <P>
          <E T="03">Comment:</E>The Missouri Department of Conservation (MDC) provided recommendations on the post-release monitoring protocol described in the proposed rule and in the reintroduction plan. Based on information from other ABB reintroduction efforts, MDC commented that a sampling radius of 0.6 mile (1 km) would be more likely to capture dispersing ABBs than the 1 mile (1.6 km) described in the proposed rule. Furthermore, MDC suggested adding four specific sampling directions (NW., NE., SE., and SW.) to the four directions described in the proposed rule and the reintroduction plan.</P>
        <P>
          <E T="03">Our response:</E>We will ensure implementation of a statistically-based post release monitoring, and we have revised the final rule and reintroduction plan to reflect that sampling will occur approximately 0.6 mile (1 km) away from the release site, as recommended by MDC. Our ability to conduct monitoring at specific distances and directions suggested by MDC is tempered by access to lands off of Wah'kon-tah Prairie, the locations of the reintroduction transects, and the number of stations necessary for a statistically sound monitoring protocol.</P>
        <HD SOURCE="HD1">Required Determinations</HD>
        <HD SOURCE="HD2">Regulatory Planning and Review (E.O. 12866)</HD>
        <P>The Office of Management and Budget (OMB) has determined that this final rule is not significant and has not reviewed this final rule under Executive Order 12866 (E.O. 12866). OMB bases its determination on the following four criteria:</P>
        <P>(a) Whether the final rule will have an annual effect of $100 million or more on the economy or adversely affect an economic sector, productivity, jobs, the environment, or other units of the government.</P>
        <P>(b) Whether the final rule will create inconsistencies with other Federal agencies' actions.</P>
        <P>(c) Whether the final rule will materially affect entitlements, grants, user fees, loan programs, or the rights and obligations of their recipients.</P>
        <P>(d) Whether the final rule raises novel legal or policy issues.</P>
        <HD SOURCE="HD2">Regulatory Flexibility Act (5 U.S.C. 601 et seq.)</HD>

        <P>Under the Regulatory Flexibility Act (as amended by the Small Business Regulatory Enforcement Fairness Act (SBREFA) of 1996; 5 U.S.C. 601<E T="03">et seq.</E>), whenever a Federal agency is required to publish a notice of rulemaking for any proposed or final rule, it must prepare, and make available for public comment, a regulatory flexibility analysis that describes the effect of the rule on small entities (small businesses, small organizations, and small government jurisdictions). However, no regulatory flexibility analysis is required if the head of an agency certifies that the rule will not have a significant economic impact on a substantial number of small entities. SBREFA amended the Regulatory Flexibility Act to require Federal agencies to provide a statement of the factual basis for certifying that a rule will not have a significant economic impact on a substantial number of small entities. We are certifying that this rule will not have a significant economic effect on a substantial number of small entities. The following discussion explains our rationale.</P>

        <P>The area that will be affected includes the release areas at Wah'kon-tah Prairie and adjacent areas into which ABBs may disperse, which over time could include sizable portions of the NEP. Because of the regulatory flexibility for Federal agency actions provided by the NEP designation and the exemption for<PRTPAGE P="16716"/>incidental take in the special rule, we do not expect this rule to have significant effects on any activities within Federal, State, or private lands within the NEP. In regard to section 7(a)(2), the population is treated as proposed for listing, and Federal action agencies are not required to consult on their activities. Section 7(a)(4) requires Federal agencies to confer (rather than consult) with the Service on actions that are likely to jeopardize the continued existence of a proposed species. However, because the NEP is, by definition, not essential to the survival of the species, conferring will likely never be required for the ABB populations within the NEP area. Furthermore, the results of a conference are advisory in nature and do not restrict agencies from carrying out, funding, or authorizing activities. In addition, section 7(a)(1) requires Federal agencies to use their authorities to carry out programs to further the conservation of listed species, which would apply on any lands within the NEP area. As a result, and in accordance with these regulations, some modifications to proposed Federal actions within the NEP area may occur to benefit the ABB, but we do not expect projects to be halted or substantially modified as a result of these regulations.</P>
        <P>This rule will broadly allow incidental take of the ABB within the NEP area. The regulations implementing the Act define “incidental take” as take that is incidental to, and not the purpose of, the carrying out of an otherwise lawful activity, such as agricultural activities and other rural development, camping, hiking, hunting, vehicle use of roads and highways, and other activities in the NEP area that are in accordance with Federal, Tribal, State, and local laws and regulations. Intentional take for purposes other than authorized data collection or recovery purposes is prohibited. Intentional take for research or recovery purposes will require a section 10(a)(1)(A) recovery permit under the Act.</P>
        <P>The principal activities on private property near the NEP area are agriculture, rural development, and recreation. We believe the presence of the ABB will not affect the use of lands for these purposes because there will be no new or additional economic or regulatory restrictions imposed upon States, non-Federal entities, or members of the public due to the presence of the ABB, and Federal agencies will only have to comply with sections 7(a)(1) and 7(a)(4) of the Act in these areas. Therefore, this rulemaking is not expected to have any significant adverse impacts to activities on private lands within the NEP area.</P>
        <HD SOURCE="HD2">Unfunded Mandates Reform Act (2 U.S.C. 1501 et seq.)</HD>

        <P>In accordance with the Unfunded Mandates Reform Act (2 U.S.C. 1501<E T="03">et seq.</E>):</P>

        <P>(a) This rule will not “significantly or uniquely” affect small governments. We have determined and certify under the Unfunded Mandates Reform Act, 2 U.S.C. 1502<E T="03">et seq.,</E>that this rulemaking will not impose a cost of $100 million or more in any given year on local or State governments or private entities. A Small Government Agency Plan is not required. As explained above, small governments will not be affected because the NEP designation will not place additional requirements on any city, county, or other local municipalities.</P>
        <P>(b) This rule will not produce a Federal mandate of $100 million or greater in any year (i.e., it is not a “significant regulatory action” under the Unfunded Mandates Reform Act). This NEP designation for the ABB will not impose any additional management or protection requirements on the States or other entities.</P>
        <HD SOURCE="HD2">Takings (E.O. 12630)</HD>
        <P>In accordance with Executive Order 12630, the rule does not have significant takings implications. When populations of federally listed species are designated as NEPs, the Act's regulatory requirements regarding those populations are significantly reduced. This reduction of regulatory burden allows landowners to continue using their lands in ways that may adversely impact the ABB, but are otherwise lawful. For example, this rule will not prohibit the taking of ABBs in the NEP area when such take is incidental to an otherwise legal activity, such as agricultural activities and other rural development, camping, hiking, hunting, vehicle use of roads and highways, and other activities that are in accordance with Federal, State, Tribal, and local laws and regulations. Because of the substantial regulatory relief provided by the NEP designations, we do not believe the reestablishment of this species will conflict with existing or proposed human activities or hinder public use of lands within the NEP.</P>
        <P>A takings implication assessment is not required because this rule (1) will not effectively compel a property owner to suffer a physical invasion of property and (2) will not deny all economically beneficial or productive use of the land or aquatic resources. This rule will substantially advance a legitimate government interest (conservation and recovery of a listed species) and will not present a barrier to all reasonable and expected beneficial use of private property.</P>
        <HD SOURCE="HD2">Federalism (E.O. 13132)</HD>
        <P>In accordance with Executive Order 13132, we have considered whether this rule has significant Federalism effects and have determined that a federalism impact summary statement is not required. This rule will not have substantial direct effects on the States, on the relationship between the Federal Government and the States, or on the distribution of power and responsibilities among the various levels of government. In keeping with Department of the Interior policy, we requested information from, and coordinated development of this rule with, the affected resource agencies in Missouri. Achieving the recovery goals for this species will contribute to its eventual delisting and its return to State management. No intrusion on State policy or administration is expected; roles or responsibilities of Federal or State governments will not change; and fiscal capacity will not be substantially directly affected. The special rule operates to maintain the existing relationship between the State and the Federal Government, and is being undertaken in coordination with the State of Missouri. Therefore, this rule does not have significant Federalism effects or implications to warrant the preparation of a federalism impact summary statement under the provisions of Executive Order 13132.</P>
        <HD SOURCE="HD2">Civil Justice Reform (E.O. 12988)</HD>
        <P>In accordance with Executive Order 12988, the Office of the Solicitor has determined that this rule will not unduly burden the judicial system and will meet the requirements of sections (3)(a) and (3)(b)(2) of the Order.</P>
        <HD SOURCE="HD2">Government-to-Government Relationship With Tribes</HD>

        <P>In accordance with the President's memorandum of April 29, 1994, “Government-to-Government Relations with Native American Tribal Governments” (59 FR 22951), Executive Order 13175, and the Department of the Interior's manual at 512 DM 2, we readily acknowledge our responsibility to communicate meaningfully with recognized Federal Tribes on a government-to-government basis. We have determined that there are no tribal lands affected by this rule.<PRTPAGE P="16717"/>
        </P>
        <HD SOURCE="HD2">Paperwork Reduction Act</HD>

        <P>Office of Management and Budget (OMB) regulations at 5 CFR part 1320, which implement provisions of the Paperwork Reduction Act (44 U.S.C. 3501<E T="03">et seq.</E>), require that Federal agencies obtain approval from OMB before collecting information from the public. This rule does not contain any new information collections that require approval. OMB has approved our collection of information associated with reporting the taking of experimental populations (50 CFR 17.84) and assigned control number 1018-0095. We may not collect or sponsor, and you are not required to respond to, a collection of information unless it displays a currently valid OMB control number.</P>
        <HD SOURCE="HD2">National Environmental Policy Act</HD>
        <P>The reintroduction of native species into suitable habitat within their historical or established range is categorically excluded from NEPA documentation requirements consistent with 40 CFR 1508.4, 516 DM 2.3A, 516 DM 2 Appendix 1, and 516 DM 8 Appendix 1.4.</P>
        <HD SOURCE="HD2">Energy Supply, Distribution or Use (E.O. 13211)</HD>
        <P>Executive Order 13211 requires agencies to prepare Statements of Energy Effects when undertaking certain actions. This rule is not expected to significantly affect energy supplies, distribution, and use. Because this action is not a significant energy action, no Statement of Energy Effects is required.</P>
        <HD SOURCE="HD1">References Cited</HD>

        <P>A complete list of all references cited in this rule is available upon request at the Columbia, Missouri Ecological Services Office (see<E T="02">ADDRESSES</E>).</P>
        <HD SOURCE="HD1">Authors</HD>

        <P>The primary authors of this rule are staff members of the Service's Columbia, Missouri Ecological Services Office (see<E T="02">ADDRESSES</E>and<E T="02">FOR FURTHER INFORMATION CONTACT</E>).</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 50 CFR Part 17</HD>
          <P>Endangered and threatened species, Exports, Imports, Reporting and recordkeeping requirements, Transportation.</P>
        </LSTSUB>
        <HD SOURCE="HD1">Regulation Promulgation</HD>
        <P>Accordingly, we amend part 17, subchapter B of chapter I, title 50 of the Code of Federal Regulations, as set forth below:</P>
        <REGTEXT PART="17" TITLE="50">
          <PART>
            <HD SOURCE="HED">PART 17—[AMENDED]</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 17 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>16 U.S.C. 1361-1407; 16 U.S.C. 1531-1544; 16 U.S.C. 4201-4245; Pub. L. 99-625, 100 Stat. 3500; unless otherwise noted.</P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="17" TITLE="50">
          <AMDPAR>2. Amend § 17.11(h) by revising the entry for “Beetle, American burying” under “INSECTS” in the List of Endangered and Threatened Wildlife to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 17.11</SECTNO>
            <SUBJECT>Endangered and threatened wildlife.</SUBJECT>
            <STARS/>
            <P>(h) * * *</P>
            <GPOTABLE CDEF="s50,r50,r75,r75,xls30,10,10,10" COLS="8" OPTS="L1,tp0,i1">
              <BOXHD>
                <CHED H="1">Species</CHED>
                <CHED H="2">Common name</CHED>
                <CHED H="2">Scientific name</CHED>
                <CHED H="1">Historic range</CHED>
                <CHED H="1">Vertebrate population where<LI>endangered or</LI>
                  <LI>threatened</LI>
                </CHED>
                <CHED H="1">Status</CHED>
                <CHED H="1">When listed</CHED>
                <CHED H="1">Critical<LI>habitat</LI>
                </CHED>
                <CHED H="1">Special rules</CHED>
              </BOXHD>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
              <ROW>
                <ENT I="21">
                  <E T="04">Insects</E>
                </ENT>
              </ROW>
              <ROW>
                <ENT I="01">Beetle, American burying</ENT>
                <ENT>
                  <E T="03">Nicrophorus americanus</E>
                </ENT>
                <ENT>U.S.A. (eastern States south to FL, west to SD and TX), eastern Canada</ENT>
                <ENT>Entire, except where listed as an experimental population</ENT>
                <ENT>E</ENT>
                <ENT>351</ENT>
                <ENT>NA</ENT>
                <ENT>NA</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Beetle, American burying</ENT>
                <ENT>
                  <E T="03">Nicrophorus americanus</E>
                </ENT>
                <ENT>U.S.A. (eastern States south to FL, west to SD and TX), eastern Canada</ENT>
                <ENT>In southwestern Missouri, the counties of Cedar, St. Clair, Bates, and Vernon</ENT>
                <ENT>XN</ENT>
                <ENT>800</ENT>
                <ENT>NA</ENT>
                <ENT>17.85(c)</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
              </ROW>
              <ROW>
                <ENT I="28">*******</ENT>
              </ROW>
            </GPOTABLE>
          </SECTION>
        </REGTEXT>
        <REGTEXT PART="17" TITLE="50">
          <AMDPAR>3. Amend § 17.85 by adding paragraph (c) to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 17.85</SECTNO>
            <SUBJECT>Special rules—invertebrates.</SUBJECT>
            <STARS/>
            <P>(c) American Burying Beetle (<E T="03">Nicrophorus americanus</E>).</P>
            <P>(1)<E T="03">Where is the American burying beetle designated as a nonessential experimental population (NEP)?</E>
            </P>
            <P>(i) The NEP area for the American burying beetle is within the species' historical range and is defined as follows: The Missouri Counties of Cedar, St. Clair, Bates, and Vernon.</P>
            <P>(ii) The American burying beetle is not known to exist in Cedar, St. Clair, Bates, or Vernon Counties in Missouri, as of the date of enacting this regulation. Based on its habitat requirements and movement patterns, we do not expect this species to become established outside this NEP area.</P>
            <P>(2)<E T="03">What activities are not allowed in the NEP area?</E>
            </P>
            <P>(i) You may not possess, sell, deliver, carry, transport, ship, import, or export by any means, American burying beetles, or parts thereof, that are taken or possessed in violation of paragraph (c)(3) of this section or in violation of applicable State fish and wildlife laws or regulations or the Act.</P>
            <P>(ii) You may not attempt to commit, solicit another to commit, or cause to be committed any offense defined in paragraph (c)(2)(i) of this section.</P>
            <P>(3)<E T="03">What take is allowed in the NEP area?</E>Take of this species that is accidental and incidental to an otherwise legal activity, such as agriculture, forestry and wildlife management, land development, recreation, and other activities, is allowed.</P>
            <P>(4)<E T="03">How will the effectiveness of these reintroductions be monitored?</E>We will prepare periodic progress reports and fully evaluate these reintroduction efforts after 5 years to determine whether to continue or terminate the reintroduction efforts.</P>
            <P>(5)<E T="03">Note:</E>Map of the NEP area for the American burying beetle follows:</P>
            <GPH DEEP="272" SPAN="3">
              <PRTPAGE P="16718"/>
              <GID>ER22MR12.003</GID>
            </GPH>
          </SECTION>
        </REGTEXT>
        <SIG>
          <DATED>Dated: March 12, 2012.</DATED>
          <NAME>Rachel Jacobson,</NAME>
          <TITLE>Acting Assistant Secretary for Fish and Wildlife and Parks.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6779 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4310-55-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <CFR>50 CFR Part 217</CFR>
        <DEPDOC>[Docket No. 100217098-2125-02]</DEPDOC>
        <RIN>RIN 0648-AY64</RIN>
        <SUBJECT>Taking and Importing Marine Mammals; Naval Explosive Ordnance Disposal School Training Operations at Eglin Air Force Base, Florida</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Marine Fisheries Service (NMFS), National Oceanic and Atmospheric Administration (NOAA), Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>NMFS, upon application from the U.S. Department of the Air Force, Headquarters 96th Air Base Wing (U.S. Air Force), Eglin Air Force Base (Eglin AFB) is issuing regulations to govern the taking of Atlantic bottlenose dolphins, by Level B harassment, incidental to Naval Explosive Ordnance Disposal School (NEODS) training operations at Eglin AFB, Florida, for a 5-year period. The U.S. Air Force activities are considered military readiness activities pursuant to the Marine Mammal Protection Act (MMPA), as amended by the National Defense Authorization Act of 2004 (NDAA). These regulations, which allow for the issuance of Letters of Authorization (LOAs) for the incidental take of marine mammals during the described activities and specified time frames, prescribe the permissible methods of taking and other means of effecting the least practicable adverse impact on marine mammal species and their habitat, as well as requirements pertaining to the monitoring and reporting of such taking. NMFS issued annual Incidental Harassment Authorizations (IHAs) pursuant to section 101(a)(5)(D) of the MMPA for similar specified activities in 2005, 2006, 2007, and 2008. No activities have occurred to date under those IHAs.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Effective April 23, 2012, through April 24, 2017.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>A copy of the application containing a list of the references used in this document may be obtained by writing to Tammy Adams, Acting Chief, Permits and Conservation Division, Office of Protected Resources, National Marine Fisheries Service, 1315 East-West Highway, Silver Spring, MD 20910-3225, and telephoning the contact listed below (see<E T="02">FOR FURTHER INFORMATION CONTACT</E>), or visiting the internet at:<E T="03">http://www.nmfs.noaa.gov/pr/permits/incidental.htm.</E>Documents cited in this notice may be viewed, by appointment, during regular business hours, at the aforementioned address. NMFS has prepared an Environmental Assessment (EA) and Finding of No Significant Impact (FONSI) in accordance with the National Environmental Policy Act (NEPA) as implemented by the regulations published by the Council on Environmental Quality (CEQ).</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Howard Goldstein or Jolie Harrison, Office of Protected Resources, NMFS, 301-427-8401.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background</HD>
        <P>Paragraphs 101(a)(5)(A) and (D) of the MMPA (16 U.S.C. 1361<E T="03">et seq.</E>) direct the Secretary of Commerce (Secretary), upon request, to allow for a period of not more than 5 years, the incidental, but not intentional, taking of marine mammals by U.S. citizens who engage in a specified activity (other than commercial fishing) within a specified geographical region if certain findings are made and regulations are issued. Alternatively, if the taking is limited to harassment, certain determinations are made and the authorization does not exceed one year, an IHA may be issued. Upon making a finding that an application for incidental take is adequate and complete, NMFS commences the incidental take authorization process by publishing in the<E T="04">Federal Register</E>a notice of a receipt of an application for the implementation<PRTPAGE P="16719"/>of regulations or a proposed IHA initiating a period for public review and comment.</P>
        <P>An authorization for the incidental takings may be granted if NMFS finds that the taking during the period of the authorization will have a negligible impact on the species or stock(s), will not have an unmitigable adverse impact on the availability of the species or stock(s) for subsistence uses (where relevant), and if the permissible methods of taking and requirements pertaining to the mitigation, monitoring and reporting of such takings are set forth to achieve the least practicable adverse impact.</P>
        <P>NMFS has defined “negligible impact” as: “* * * an impact resulting from the specified activity that cannot be reasonably expected to, and is not reasonably likely to, adversely affect the species or stock through effects on annual rates of recruitment or survival.”</P>
        <P>The National Defense Authorization Act of 2004 (NDAA) (Pub. L. 108-36) modified the MMPA by removing the “small numbers” and “specified geographic region” limitations and amended the definition of “harassment” as it applies to a “military readiness activity” to read as follows (section 3(18)(B) of the MMPA):</P>
        
        <EXTRACT>
          <P>“(i) any act that injures or has the significant potential to injure a marine mammal or marine mammal stock in the wild (Level A harassment); or (ii) any act that disturbs or is likely to disturb a marine mammal or marine mammal stock in the wild by causing disruption of natural behavioral patterns, including, but not limited to, migration, surfacing, nursing, breeding, feeding, or behavioral patterns are abandoned or significantly altered (Level B harassment).”</P>
        </EXTRACT>
        <HD SOURCE="HD1">Summary of Request</HD>

        <P>On November 6, 2009, NMFS received a letter from the U.S. Air Force requesting an authorization for the take of marine mammals incidental to NEODS training operations. These training operations are properly considered “military readiness activity” under the provisions of the NDAA. On January 15, 2010, NMFS published a notice of receipt (75 FR 2490) in the<E T="04">Federal Register</E>for the U.S. Air Force's NEODS training operations and determined that its application was adequate and complete. The<E T="04">Federal Register</E>notice solicited comments from the public. After the close of the public comment period and review of comments, NMFS, on October 1, 2010, NMFS published a proposed rule (75 FR 60694) in the<E T="04">Federal Register</E>to authorize the take of marine mammals pursuant to the U.S. Air Force's NEODS training operations and solicited public comments. On November 30, 2010, NMFS received a revised application from the U.S. Air Force which addressed public comments received during the comment period for the proposed rule. This application re-estimated the Zones of Influence (ZOI) and associated takes on revised thresholds for Level A and Level B harassment. On December 5, 2011, NMFS received a revised application from Eglin AFB with revised monitoring and mitigation measures to reduce the potential for lethal take of bottlenose dolphins, in response to an event involving the mortality of common dolphins associated with similar explosive training operations at the U.S. Navy's Silver Strand Training Complex near San Diego, California.</P>

        <P>The U.S. Air Force states and NMFS concurs that underwater explosive detonations could result in the take by harassment of marine mammals by exposing them to sound. The requested regulations would establish a framework for authorizing incidental take with one or more future LOAs over a period not to exceed five years. These LOAs, if approved, would authorize the take, by Level B (behavioral) harassment, of Atlantic bottlenose dolphins (<E T="03">Tursiops truncatus</E>) incidental to conducting NEODS training operations and testing at Eglin Gulf Test and Training Range (EGTTR) at property off Santa Rosa Island (SRI), Florida, in the northern Gulf of Mexico (GOM). Based on the application, estimated take, without considering mitigation effectiveness, would average approximately 10 animals per year; approximately 50 animals over the five year period. NMFS issued annual IHAs pursuant to section 101(a)(5)(D) of the MMPA for almost identical activities in 2005 (70 FR 51341; August 30, 2005), 2006 (71 FR 60639; October 16, 2006), 2007 (72 FR 58290; October 15, 2007), and 2008 (73 FR 56800; September 30, 2008). No missions have occurred under previous IHAs because of a separate concern about the safety of demolition charges being transported under a bridge. NEODS missions would involve underwater detonations of small, live explosive charges adjacent to inert mines. The U.S. Air Force states that underwater detonation of the specified explosive charges may expose bottlenose dolphins in the area to noise and pressure resulting in non-injurious temporary threshold shift (TTS) (temporary hearing loss).</P>

        <P>Additional information on the NEODS training operations is contained in the application, which is available upon request (see<E T="02">ADDRESSES</E>).</P>
        <HD SOURCE="HD1">Description of the Specified Activities</HD>
        <HD SOURCE="HD2">Background</HD>
        <P>The EGTTR encompasses approximately 222,739 km<SU>2</SU>(86,000 mi<SU>2</SU>) within the GOM and consists of the airspace over the GOM, which is scheduled and operated by Eglin AFB. Potential impacts to marine mammals from NEODS testing are expected to occur at the NEODS test areas of Eglin AFB shown in Figure 1-1 of Eglin AFB's application, which are located approximately three nautical miles (nmi) from shore, in approximately 18.3 m (60 ft) of water and in area W-151 of the EGTTR.</P>
        <P>The mission of NEODS is to detect, recover, identify, evaluate, render safe, and dispose of unexploded ordnance (UXO) that constitutes a threat to people, material, installations, ships, aircraft, and operations. The U.S. Navy EOD force of approximately 1,000 personnel has the equipment, mobility, and flexibility to tackle the global spectrum of threats in all world environments. Mine Countermeasures (MCM) detonations is one function of the U.S. Navy EOD force, which involves mine-hunting and mine-clearance operations. The NEODS facilities are located at Eglin AFB, Florida. The training at Eglin AFB involves focused training on basic EOD skills. Examples of these fundamental skills are recognizing ordnance, reconnaissance, measurement, basic understanding of demolition charges, and neutralization of conventional and chemical ordnance.</P>

        <P>The NEODS at Eglin AFB plan to use the GOM waters off of SRI for a portion of the NEODS class. The NEODS would utilize areas approximately one to three nmi offshore of Test Site A-15, A-10 or A-3 for MCM training (see Figure 1-1 of Eglin AFB's application). A “test site” is a specific location on EGTTR where the mission activities actually occur. The goal of the training is to give NEODS students the tools and techniques to implement MCM and for neutralizing mines by diving and hand-placing charges adjacent to the mines through real scenarios. The students would be taught established techniques for neutralizing mines by diving and hand-placing charges adjacent to the mines. The detonation of small, live explosive charges adjacent to the mine disables the mine function. Inert mines are utilized for training purposes. This training would occur offshore of SRI up to eight times annually, at varying times within the year.<PRTPAGE P="16720"/>
        </P>
        <HD SOURCE="HD2">NEODS Operations</HD>
        <P>MCM training classes are 51 days in duration, with four days of on-site training in the GOM. Two of these four days will be utilized to lay the inert mines prior to the training. The other two days will require the use of live detonations in the GOM. One large safety vessel and five MK V inflatable 3.1 m (10 ft) rubber boats with 50 horsepower (HP) engines would be used to access the GOM waters during training activities. The training procedures during the two “live demolition” days are described as follows.</P>
        <P>
          <E T="03">First Live Demolition Day:</E>Five inert mines will be placed in a compact area on the GOM floor in approximately 60 ft of water. These five mines will be utilized for the one or two live demolition days. Divers will locate the mines by hand-held sonars (AN/PQS-2A acoustic locator and the Dukane Underwater Acoustic Locator System), which detect the mine casings (mine shape reacquisition). The hand-held sonar has been evaluated by the U.S. Navy and the sound source levels and sonar frequency ranges are below the threshold considered Level B harassment for marine mammals for sonar use (see Table 1-1 of Eglin AFB's application). Approximately 50,000 hrs of use would be required to affect one dolphin. It is expected that maximum sonar use associated with NEODS operations will be approximately 300 hrs annually. Therefore, potential noise impacts from sonar use are not included in this analysis.</P>
        <P>Five charges packed with C-4 explosive material (either 2.3 kg or 5 pound [lb] net explosive weight [NEW] or 4.6 kg [10 lb] NEW) will be set up adjacent to the mines. A charge includes detonation cord, non-electric caps, time fuses and fuse igniters. No more than five charges will be utilized over the 2-day period. Live training events will occur eight times annually, averaging once every six to seven weeks. Four of the training events will involve 5-lb charges, and four events will involve 10-lb charges. Because five detonations (maximum) are expected during each event, there will be up to twenty 5-lb detonations and twenty ten-lb detonations annually, for a total of 40 detonations.</P>
        <P>NMFS and the U.S. Air Force expect that 60 percent of the training events will occur in summer, and 40 percent will occur in winter, and analyses of potential marine mammal impacts in Section 6 of Eglin AFB's application reflect this seasonal distribution. Overpressure from the detonation is intended to disrupt the electrical charge on the mine, rendering it safe. The five charges will be detonated individually with a maximum separation time of 20 minutes between each detonation. The time of detonation will be limited to an hour after sunrise and an hour before sunset. Mine shapes and debris will be recovered and removed from the GOM waters when training is completed.</P>
        <P>
          <E T="03">Second Live Demolition Day:</E>Each team has two days to complete their entire evolution (detonation of five charges). The second day will be utilized only for teams not completing their evolution on day one.</P>
        <P/>
        <GPOTABLE CDEF="xs150,r50,r50" COLS="3" OPTS="L2,i1">
          <TTITLE>Table 1—(Table 1-1 of the Application) Hand-Held Sonar Characteristics</TTITLE>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1">AN/PQS-2A</CHED>
            <CHED H="1">Dukane</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">Operating Frequency</ENT>
            <ENT>115 kHz to 145 kHz</ENT>
            <ENT>37.5 kHz +/− 1 kHz.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Sound Pressure Level</ENT>
            <ENT>178.5 dB re 1 μPa @ 1m</ENT>
            <ENT>157 to 160.5 dB re 1 μPa @ 1m.</ENT>
          </ROW>
        </GPOTABLE>
        <P>The AN/PQS-2A sonar system produces a non-continuous audible tone in the diver's headset when a target is located. The AN/PQS-2A sonar's frequency range is within the hearing range of Atlantic bottlenose dolphins. The U.S. Navy evaluated the use of AN/PQS-2A sonar (in addition to many other types of sonar systems) in a 2009 Environmental Impact Statement for activities in the Panama City, Florida area. Using a bottlenose dolphin density of 0.81 animals/km<SU>2</SU>, it would require approximately 50,000 hrs of use to reach a take level of 0.5 animals. As a point of comparison, if the AN/PQS-2A sonar was in use for 12 hrs per day on every day of training in the GOM, the total number of hrs of use would be 384 annually. Eglin AFB considers that there would be no impacts to bottlenose dolphins from AN/PQS-2A sonar use.</P>

        <P>Additional details regarding the NEODS training operations can be found in Eglin AFB's LOA application and NMFS' Environmental Assessment on the Promulgation of Regulations and the Issuance of Letters of Authorization to Take Marine Mammals, by Level B Harassment, Incidental to Naval Explosive Ordnance Disposal School Training Operations at Eglin Air Force Base, Florida (EA). The EA can also be found online at:<E T="03">http://www.nmfs.noaa.gov/pr/permits/incidental.htm#applications.</E>
        </P>
        <HD SOURCE="HD1">Military Readiness Activity</HD>
        <P>NEODS supports the Naval Fleet by providing training to personnel from all four armed services, civil officials, and military students from over 70 countries. The NEODS facility supports the Department of Defense Joint Service Explosive Ordnance Disposal training mission. According to the application, the U.S. Navy and the U.S. Marine Corps believe that the ability of personnel to detect, characterize, and neutralize mines from their operating areas at sea, on the shore, and inland, is vital to their doctrines.</P>
        <P>As the U.S. Air Force notes in its application, the U.S. Navy believes that an array of trans-national, rogue, and sub-national adversaries now pose the most immediate threat to American interests. Because of their relative low cost and ease of use, mines will be among the adversaries' weapons of choice in shallow-water situations, and they will be deployed in an asymmetrical and asynchronous manner. The U.S. Navy needs organic means to clear mines and obstacles rapidly in three challenging environments: Shallow water; the surf zone; and the beach zone. The U.S. Navy also needs a capability for rapid clandestine surveillance and reconnaissance of minefields and obstacles in these environments. The U.S. Air Force has determined and NMFS concurs that the NEODS mission in the GOM offshore of Eglin AFB is a military readiness activity for purposes of the MMPA as amended by the National Defense Authorization Act for Fiscal Year 2004 (NDAA, Pub. L. 108-236 referencing the definition in section 315 (f) of Pub. L. 107-314).</P>
        <HD SOURCE="HD1">Dates, Duration, and Location of Specified Activity</HD>

        <P>NEODS missions will occur over the next five years utilizing resources within the Eglin Military Complex, including three sites in the EGTTR (Figure 1-1 of Eglin AFB's application). There will be eight training events annually, with an average of one event occurring every six to seven weeks. Half<PRTPAGE P="16721"/>of the events will involve 5-lb charges and half will involve 10-lb charges.</P>
        <P>
          <E T="03">Area W-151:</E>The inshore and offshore boundaries of W-151 are roughly parallel to the shoreline contour. The shoreward boundary is 3 nmi from shore, while the seaward boundary extends approximately 85 to 100 nmi offshore, depending on the specific location. W-151 covers a surface area of approximately 35,145 km<SU>2</SU>(10,247 nmi<SU>2</SU>), and includes water depths ranging from approximately 35 to 700 m (114.8 to 2,296.6 ft). This range of depth includes continental shelf and slope waters. Approximately half of W-151 lies over the shelf. Latitude/Longitude of corners of W-151:</P>
        <P>• 30.24006° North, −86.808838° West.</P>
        <P>• 29.539011° North, −84.995536° West.</P>
        <P>• 28.03949° North, −85.000147° West.</P>
        <P>• 28.027598° North, −85.199395° West.</P>
        <P>• 28.505304° North, −86.799043° West.</P>
        <P>
          <E T="03">Area W-151A:</E>W-151-A extends approximately 60 nmi offshore and has a surface area of 8,797 km<SU>2</SU>(2,565 nmi<SU>2</SU>). Water depths range from approximately 35 to 350 m (114.8 to 1,148.3 ft) and include continental shelf and slope zones. However, most of W-151A occurs over the continental shelf, in water depths less than 250 m (820.2 ft). Latitude/Longitude of four corners of W-151A:</P>
        <P>• 30.24006° North, −86.808838° West.</P>
        <P>• 30.07499° North, −85.999327° West.</P>
        <P>• 29.179968° North, −85.996341° West.</P>
        <P>• 29.384439° North, −86.802579° West.</P>
        <HD SOURCE="HD1">Description of Marine Mammals and Habitat Affected in the Activity Area of the Specified Activities</HD>
        <P>Marine mammal species that potentially occur within the EGTTR include several species of cetaceans and one sirenian, the West Indian manatee (see Table 1 below). The marine mammals that generally occur in the training operations area belong to three taxonomic groups: Mysticetes (baleen whales), odontocetes (toothed whales and dolphins), and sirenians (the manatee). Marine mammal species listed as Endangered under the U.S. Endangered Species Act (ESA), include the humpback, sei, fin, blue, North Atlantic right, sperm whale, and Florida manatee. Table 2 below outlines the marine mammal species, their habitat in the region of the project area, and their ESA and MMPA conservation status.</P>
        <P>During winter months, manatee distribution in the GOM is generally confined to southern Florida. During summer months, a few may migrate north as far as Louisiana. However, manatees primarily inhabit coastal and inshore waters and rarely venture offshore. NEODS missions would be conducted one to three nmi from shore. Therefore, effects on manatees are considered very unlikely, and the discussion of marine mammal species is confined to cetaceans. The primarily cetacean occurring in the NEODS area of interest, EGTTR sub-area 197 (Figure 3-1 of Eglin AFB's application), is the Atlantic bottlenose dolphin and this analysis will focus on that species.</P>
        <GPOTABLE CDEF="s100,r100,r50,r50" COLS="4" OPTS="L2,i1">
          <TTITLE>Table 2—The Habitat and Conservation Status of Marine Mammals Inhabiting the Action Area in the Gulf of Mexico Off of Florida</TTITLE>
          <BOXHD>
            <CHED H="1">Species</CHED>
            <CHED H="1">Habitat</CHED>
            <CHED H="1">ESA<SU>1</SU>
            </CHED>
            <CHED H="1">MMPA<SU>2</SU>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="22">Mysticetes:</ENT>
          </ROW>
          <ROW>
            <ENT I="03">North Atlantic right whale (<E T="03">Eubalaena glacialis</E>)</ENT>
            <ENT>Coastal and shelf</ENT>
            <ENT>EN</ENT>
            <ENT>D.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Humpback whale (<E T="03">Megaptera novaeangliae</E>)</ENT>
            <ENT>Pelagic, nearshore waters, and banks</ENT>
            <ENT>EN</ENT>
            <ENT>D.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Bryde's whale (<E T="03">Balaenoptera edeni</E>)</ENT>
            <ENT>Pelagic and coastal</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Minke whale (<E T="03">Balaenoptera acutorostrata</E>)</ENT>
            <ENT>Pelagic and coastal</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Blue whale (<E T="03">Balaenoptera musculus</E>)</ENT>
            <ENT>Pelagic and coastal</ENT>
            <ENT>EN</ENT>
            <ENT>D.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Sei whale (<E T="03">Balaenoptera borealis</E>)</ENT>
            <ENT>Primarily offshore, pelagic</ENT>
            <ENT>EN</ENT>
            <ENT>D.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Fin whale (<E T="03">Balaenoptera physalus</E>)</ENT>
            <ENT>Slope, mostly pelagic</ENT>
            <ENT>EN</ENT>
            <ENT>D.</ENT>
          </ROW>
          <ROW>
            <ENT I="22">Odontocetes:</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Sperm whale (<E T="03">Physeter macrocephalus</E>)</ENT>
            <ENT>Pelagic, deep seas</ENT>
            <ENT>EN</ENT>
            <ENT>D.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Cuvier's beaked whale (<E T="03">Ziphius cavirostris</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Gervais' beaked whale (<E T="03">Mesoplodon europaeus</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">True's beaked whale (<E T="03">Mesoplodon mirus</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Blainville's beaked whale (<E T="03">Mesoplodon densirostris</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Sowerby's beaked whale (<E T="03">Mesoplodon bidens</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Dwarf sperm whale (<E T="03">Kogia sima</E>)</ENT>
            <ENT>Offshore, pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Pygmy sperm whale (<E T="03">Kogia breviceps</E>)</ENT>
            <ENT>Offshore, pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Killer whale (<E T="03">Orcinus orca</E>)</ENT>
            <ENT>Widely distributed</ENT>
            <ENT>NL<LI>EN—Southern Resident</LI>
            </ENT>
            <ENT>NC<LI>D—Southern Resident, AT1 Transient.</LI>
            </ENT>
          </ROW>
          <ROW>
            <ENT I="03">Short-finned pilot whale (<E T="03">Globicephala macrorhynchus</E>)</ENT>
            <ENT>Inshore and offshore</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">False killer whale (<E T="03">Pseudorca crassidens</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Melon-headed whale (<E T="03">Peponocephala electra</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Pygmy killer whale (<E T="03">Feresa attenuata</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Risso's dolphin (<E T="03">Grampus griseus</E>)</ENT>
            <ENT>Pelagic, shelf</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Bottlenose dolphin (<E T="03">Tursiops truncatus</E>)</ENT>
            <ENT>Offshore, inshore, coastal, estuaries</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <PRTPAGE P="16722"/>
            <ENT I="22"/>
            <ENT O="xl"/>
            <ENT O="xl"/>
            <ENT>S—33 stocks inhabiting the bays, sounds, and estuaries along GOM coast.</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT O="xl"/>
            <ENT O="xl"/>
            <ENT>D—Western North Atlantic Coastal.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Rough-toothed dolphin (<E T="03">Steno bredanensis</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Fraser's dolphin (<E T="03">Lagenodelphis hosei</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Striped dolphin (<E T="03">Stenella coeruleolba</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Pantropical spotted dolphin (<E T="03">Stenella attenuata</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL.</ENT>
            <ENT>NC<LI>D—Northeastern</LI>
              <LI>Offshore.</LI>
            </ENT>
          </ROW>
          <ROW>
            <ENT I="03">Atlantic spotted dolphin (<E T="03">Stenella frontalis</E>)</ENT>
            <ENT>Coastal to pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Spinner dolphin (<E T="03">Stenella longirostris</E>)</ENT>
            <ENT>Mostly pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.<LI>D—Eastern.</LI>
            </ENT>
          </ROW>
          <ROW>
            <ENT I="03">Clymene dolphin (<E T="03">Stenella clymene</E>)</ENT>
            <ENT>Pelagic</ENT>
            <ENT>NL</ENT>
            <ENT>NC.</ENT>
          </ROW>
          <ROW>
            <ENT I="22">Sirenians:</ENT>
          </ROW>
          <ROW>
            <ENT I="03">West Indian (Florida) manatee (<E T="03">Trichechus manatus latirostris</E>)</ENT>
            <ENT>Coastal, rivers, and estuaries</ENT>
            <ENT>En</ENT>
            <ENT>D.</ENT>
          </ROW>
          <TNOTE>
            <SU>1</SU>U.S. Endangered Species Act: EN = Endangered, T = Threatened, and NL = Not listed.</TNOTE>
          <TNOTE>
            <SU>2</SU>U.S. Marine Mammal Protection Act: NC = Not classified, D = Depleted, and S = Strategic.</TNOTE>
        </GPOTABLE>
        <P>The three species of marine mammals that are known to commonly occur in close proximity to the NEODS training area of the GOM are the West Indian (Florida) manatee, Atlantic spotted dolphin, and Atlantic bottlenose dolphin.</P>
        <HD SOURCE="HD2">Florida Manatee</HD>
        <P>The West Indian manatee in Florida and U.S. waters is listed as Endangered under the Endangered Species Act (ESA). They primarily inhabit coastal and inshore waters. Because the Florida manatee is managed under the jurisdiction of the U.S. Fish and Wildlife Service (USFWS) it is not considered further in this analysis.</P>
        <HD SOURCE="HD2">Atlantic Spotted Dolphins</HD>

        <P>The Atlantic spotted dolphin is endemic to the Atlantic Ocean in temperate to tropical waters (Perrin<E T="03">et al.,</E>1987, 1994). In the GOM, Atlantic spotted dolphins occur primarily from continental shelf waters 10 to 200 m (33 to 656 ft) deep to slope waters greater than 500 m (1,640 ft) deep (Fulling<E T="03">et al.,</E>2003; Mullin and Fulling, 2004). Atlantic spotted dolphins were seen in all seasons during GulfCet aerial surveys of the northern GOM from 1992 to 1998 (Hansen<E T="03">et al.,</E>1996; Mullin and Hoggard, 2000). It has been suggested that this species may move inshore seasonally during spring, but data supporting this hypothesis are limited (Caldwell and Caldwell, 1966; Fritts<E T="03">et al.,</E>1983).</P>
        <P>Eglin AFB has included Atlantic spotted dolphins in previous requests for IHAs to be conservative, although their occurrence is considered unlikely. The stock assessment reports for the northern GOM describes the shoreward range of Atlantic spotted dolphins as 10 m (33 ft) depth. NEODS activities can occur from one to three miles offshore. Maximum water depth of the activities is 18.3 m (60 ft), but they often train in approximately 9.1 m (30 ft) of water, so this species range occurs at the very edge of the activities. Therefore, the chance of impacting Atlantic spotted dolphins is remote, especially given the monitoring and mitigation measures described below.</P>
        <HD SOURCE="HD2">Atlantic Bottlenose Dolphins</HD>

        <P>The marine mammal species most likely to be affected by the NEODS training operations is the Atlantic bottlenose dolphin. Atlantic bottlenose dolphins are distributed worldwide in tropical and temperate waters. Atlantic bottlenose dolphins occur in slope, shelf, and inshore waters of the entire GOM, and their diet consists mainly of fish, crabs, squid, and shrimp (Caldwell and Caldwell, 1983). In addition, a coastal and an offshore form of the bottlenose dolphin have been suggested. Baumgartner<E T="03">et al.</E>(2001) suggest a bimodal distribution in the northern GOM, with a shelf population occurring out to the 150 m (492 ft) isobath and a shelf break population out to the 750 m (2,460.6 ft) isobath. Occurrence in water with depth greater than 1,000 m (3,280.8 ft) is not considered likely and is not applicable to this assessment. Migratory patterns from inshore to offshore are likely associated with the movements of prey rather than a preference for a particular habitat characteristic (such as surface water temperature) (Ridgeway, 1972; Irving, 1973; Jefferson<E T="03">et al.,</E>1992).</P>

        <P>Based on a combination of geography, ecological, and genetic research, Atlantic bottlenose dolphins have been divided into many separate stocks within the GOM. Within the EGTTR, there are four defined stocks of bottlenose dolphins: The Northern GOM Oceanic Stock, the Northern GOM Continental Shelf Stock, the Eastern GOM Coastal Stock, and the Northern GOM Coastal Stock. In addition, there are 33 stocks of bottlenose dolphins inhabiting the bays, sounds, and estuaries along the GOM coast (Waring<E T="03">et al.,</E>2007). NEODS training operations occur offshore of Eglin AFB's SRI property in water depths of approximately 60 ft. This location most closely coincides with the defined boundary of the Northern GOM Coastal Stock, which is considered to occur from the GOM shoreline to the 20 m (65.6 ft) isobath. However, individuals from the Northern GOM Bay, Sound, and Estuarine Stocks may also potentially enter the training areas, as movement between various communities has been documented (see Waring<E T="03">et al.,</E>2009).</P>

        <P>NEODS training operations occur geographically between the Pensacola/East Bay and Choctawhatchee Bay stocks, although individuals from other<PRTPAGE P="16723"/>locations could potentially travel through the training areas as well. The Northern GOM coastal stocks and all bay, sound, and estuarine stocks are designated as strategic under the MMPA. Strategic stocks are defined by the MMPA as a marine mammal stock for which the level of direct human-caused mortality exceeds the potential biological removal level; which, based on the best available scientific information, is declining and is likely to be listed as a threatened species under the ESA within the foreseeable future; or which is listed as a threatened or endangered species under the ESA, or is designated as depleted under the MMPA. For the coastal stocks, total human-caused mortality and serious injury for each stock is not known and there is insufficient information available to determine whether the total fishery-related mortality and serious injury for each stock is insignificant and approaching zero mortality and serious injury rate. Because for each stock the stock size is currently unknown and potential biological removal (PBR) undetermined, and because there are documented cases of human-related mortality from a number of sources, each stock is a strategic stock. For the bay, sound, and estuarine stocks, human-caused mortality and serious injury for each of these stocks is not known, but considering the evidence from stranding data, the total fishery-related mortality and serious injury exceeds 10 percent of the total known PBR or previous PBR, and, therefore, it is probably not insignificant and approaching the zero mortality and serious injury rate. Because most of the stock sizes are currently unknown, but likely relatively few mortalities and serious injuries would exceed PBR, NMFS considers that each of these stocks is a strategic stock (NMFS, 2009).</P>

        <P>Prior to the 2007 Garrison survey and model predictions, the best estimates of Northern GOM Atlantic bottlenose dolphin abundance were 7 to 15 years old, occurred during different seasons, and each of the surveys suffered from differing degrees of negative bias in abundance estimates because all surveys assumed that all animals on the trackline were seen. Therefore, estimates based on those surveys would be highly uncertain. Based on data from the Protected Species Habitat Modeling in the EGTTR, the total estimate of abundance of bottlenose dolphins from the winter 2007 survey was 65,861 (95 percent CI 36,699 to 118,200) and for the summer 2007 survey was 11,433 animals (95 percent CI 7,346 to 17,793) (Garrison, 2008). For the summer and winter surveys, the highest density of bottlenose dolphins occurred in the northern inshore stratum. The summer survey overall abundance estimate for bottlenose dolphins was approximately 50 percent lower than the winter survey (Garrison, 2008). Bottlenose dolphin stocks for the shelf edge and slope are not considered strategic. The PBR for shelf and slope stocks is 45 dolphins (Waring<E T="03">et al.,</E>2001). The exact structure of these stocks is complex and continues to be revised as research is completed.</P>
        <P>The presence of fish in the stomachs of some individual offshore bottlenose dolphins suggest that they dive to depths of more than 500 m (1,640 ft). A tagged individual near Bermuda had maximum recorded dives of 600 to 700 m (1,969 to 2,297 ft) and durations of 11 to 12 minutes. Dive durations up to 15 minutes have been recorded for trained individuals. Typical dives, however, are more shallow and of a much shorter duration. Data from a tagged individual off Bermuda indicated a possible diel dive cycle (i.e., a regular daily dive cycle) in search of mesopelagic (living at depths between 180 and 900 m [591 and 2,953 ft]) prey in the deep scattering layer.</P>
        <P>In the EGTTR as a whole, there were a total of 281 groups of bottlenose dolphins during the winter survey and 162 groups during the summer survey. According to the species-habitat model for bottlenose dolphins, densities were predicted to be highest in relatively shallow water, with an offshore peak in density between 40 to 60 m (131 to 196.9 ft) depth and in waters ranging between 27.5 to 28.5 °C (81.5 to 83.3 °F) (Garrison, 2008).</P>
        <P>Bottlenose dolphin density estimates for the study area are derived from Protected Species Habitat Modeling in the EGTTR (Garrison, 2008). NMFS developed habitat models using new aerial survey line transect data collected during the winter and summer of 2007. The winter survey was conducted primarily during the month of February (water temperatures of 12 to 15 °C [53.6 to 59 °F]) while the summer survey was primarily during July (water temperatures &gt;26 °C [78.8 °F]). In combination with remotely sensed habitat parameters (sea surface temperature and chlorophyll), these data were used to develop spatial density models for bottlenose dolphins within the continental shelf and coastal waters of the eastern GOM. Encounter rates during the aerial surveys were corrected for sighting probabilities and the probability that animals were available to be seen on the surface. The models predict the absolute density of bottlenose dolphins within the EGTTR. Given that the survey area (EGTTR sub-area 197, Figure 3-1 of Eglin AFB's application) completely overlaps the NEODS mission area and that this data is currently the best available survey data, these models best reflect the occurrence of bottlenose dolphins within the EGTTR. Most, but not all, of the NEODS mission area is contained within EGTTR subarea 197 (see Figure 3-1 of Eglin AFB's application). The two westernmost test areas lie within subarea 197, but the easternmost one does not. Dolphin density is not available for the area directly east of subarea 197. However, the physical and biological parameters used to develop density estimates in this subarea likely do not differ significantly between the training areas. The density estimate for subarea 197 is therefore considered the best currently available and is applied to all locations of NEODS training operations.</P>
        <P>Table 3-1 of Eglin AFB's application provides median and adjusted bottlenose dolphin densities in EGTTR sub-area 197. These absolute estimates of density (animals per square kilometer [km<SU>2</SU>] were produced by combining the spatial density model, sighting probability, and availability model (Garrison, 2008). All environmental terms were retained in the species-habitat model for the winter survey and the summer survey with the exception of glare for the summer survey. The model fits for the winter and summer were highly significant, explained a significant portion of the variability in the data, and resulted in effective predictions of spatial distribution of bottlenose dolphins.</P>

        <P>NEODS missions may be executed at any time during the year. It is anticipated that approximately 60 percent of missions will be executed during summer months, and 40 percent will be executed during winter months. Separate summer and winter density estimates are provided in Table 3-1 of Eglin AFB's application. Months with high CV values (greater than 1) have high degrees of uncertainty in the model predictions. These months include May, June, September, October, and November where density was unknown. In order to compensate for the months without good estimates, interpolation was used between the available months by providing a means of estimating the function at intermediate points through presuming that there were linear seasonal trends. Interpolation assumes that the poorly estimated periods lie somewhere in the middle of the well estimated periods. Adjusted densities for each month were reached after<PRTPAGE P="16724"/>interpolation calculations (see Table 3-1 of Eglin AFB's application). Based on the adjusted densities, January, March, and July have the highest bottlenose dolphin densities while the months from August through December months have the lowest densities. On average, there are 0.81 bottlenose dolphins/km<SU>2</SU>throughout the year in EGTTR sub-area 197. Seasonally there are on average 0.84 dolphins/km<SU>2</SU>during summer and 0.78 dolphins/km<SU>2</SU>during winter in sub-area 197. NMFS has independently evaluated the foregoing approach for calculating the likely occurrence and density of bottlenose dolphins in the specified geographic area and determined that it yields the best scientific data available for purposes of determining the extent of impacts to affected stocks, the likely amount of incidental harassment, and informing the negligible impact determination.</P>
        <GPOTABLE CDEF="s100,13,13,13,13" COLS="05" OPTS="L2,i1">
          <TTITLE>Table 3—(Table 3-1 of the Application) Bottlenose Dolphin Densities for EGTTR Sub-Area 197</TTITLE>
          <BOXHD>
            <CHED H="1">Month</CHED>
            <CHED H="1">Median<LI>density</LI>
              <LI>(individuals/km<SU>2</SU>)</LI>
            </CHED>
            <CHED H="1">CV</CHED>
            <CHED H="1">Valid</CHED>
            <CHED H="1">Adjusted<LI>density</LI>
              <LI>(individuals/km<SU>2</SU>)<SU>a</SU>
              </LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">November</ENT>
            <ENT>0.00</ENT>
            <ENT>31.62</ENT>
            <ENT>0</ENT>
            <ENT>0.51</ENT>
          </ROW>
          <ROW>
            <ENT I="01">December</ENT>
            <ENT>0.52</ENT>
            <ENT>0.25</ENT>
            <ENT>1</ENT>
            <ENT>0.52</ENT>
          </ROW>
          <ROW>
            <ENT I="01">January</ENT>
            <ENT>1.24</ENT>
            <ENT>0.22</ENT>
            <ENT>1</ENT>
            <ENT>1.24</ENT>
          </ROW>
          <ROW>
            <ENT I="01">February</ENT>
            <ENT>0.73</ENT>
            <ENT>0.20</ENT>
            <ENT>1</ENT>
            <ENT>0.73</ENT>
          </ROW>
          <ROW>
            <ENT I="01">March</ENT>
            <ENT>1.22</ENT>
            <ENT>0.28</ENT>
            <ENT>1</ENT>
            <ENT>1.22</ENT>
          </ROW>
          <ROW RUL="n,s">
            <ENT I="01">April</ENT>
            <ENT>0.84</ENT>
            <ENT>0.46</ENT>
            <ENT>1</ENT>
            <ENT>0.84</ENT>
          </ROW>
          <ROW RUL="n,s">
            <ENT I="03">Average Winter Density</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>0.84</ENT>
          </ROW>
          <ROW>
            <ENT I="01">May</ENT>
            <ENT>0.00</ENT>
            <ENT>22.41</ENT>
            <ENT>0</ENT>
            <ENT>0.95</ENT>
          </ROW>
          <ROW>
            <ENT I="01">June</ENT>
            <ENT>0.00</ENT>
            <ENT>4.47</ENT>
            <ENT>0</ENT>
            <ENT>1.06</ENT>
          </ROW>
          <ROW>
            <ENT I="01">July</ENT>
            <ENT>1.17</ENT>
            <ENT>0.24</ENT>
            <ENT>1</ENT>
            <ENT>1.17</ENT>
          </ROW>
          <ROW>
            <ENT I="01">August</ENT>
            <ENT>0.48</ENT>
            <ENT>0.22</ENT>
            <ENT>1</ENT>
            <ENT>0.48</ENT>
          </ROW>
          <ROW>
            <ENT I="01">September</ENT>
            <ENT>0.01</ENT>
            <ENT>3.02</ENT>
            <ENT>0</ENT>
            <ENT>0.49</ENT>
          </ROW>
          <ROW RUL="n,s">
            <ENT I="01">October</ENT>
            <ENT>0.00</ENT>
            <ENT>20.43</ENT>
            <ENT>0</ENT>
            <ENT>0.50</ENT>
          </ROW>
          <ROW RUL="n,s">
            <ENT I="03">Average Summer Density</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>0.78</ENT>
          </ROW>
          <ROW>
            <ENT I="05">Overall Average Density</ENT>
            <ENT/>
            <ENT/>
            <ENT/>
            <ENT>0.81</ENT>
          </ROW>
          <TNOTE>
            <SU>a</SU>Adjusted through interpolation.</TNOTE>
        </GPOTABLE>
        <P>NMFS anticipates that no bottlenose dolphins will be injured, seriously injured, or killed during the NEODS training operations. The specific objective of the U.S. Air Force's mitigation and monitoring plan is to ensure that no dolphins (or manatees) or other protected species are in the action area where they might be impacted by the explosive detonations. Because of the circumstances and the mitigation and monitoring requirements discussed in this document, NMFS believes it highly unlikely that the activities would result in injury (Level A harassment), serious injury, or mortality of bottlenose dolphins; however, they may temporarily avoid the area where the explosive demolitions will occur (after there has been at least one detonation). Eglin AFB has requested the incidental take of 10 bottlenose dolphin each year and approximately 50 animals during the five year duration of the action.</P>

        <P>Further information on the biology, habitat, and local distribution of these species and others in the region can be found in Eglin AFB's application, which is available upon request (see<E T="02">ADDRESSES</E>), and the NMFS Marine Mammal Stock Assessment Reports, which are available online at:<E T="03">http://www.nmfs.noaa.gov/pr/species/</E>.</P>
        <HD SOURCE="HD1">Comments and Responses</HD>

        <P>On January 15, 2010, NMFS published a notice of receipt of application for a LOA in the<E T="04">Federal Register</E>(75 FR 2490) and requested comments, information, and suggestions from the public for 30 days. NMFS received comments from the Marine Mammal Commission (Commission) and a private citizen. The private citizen's comments opposed the issuance of an authorization without providing any specific rationale for that position. NMFS, therefore, cannot respond to this comment. NMFS' responses to the Commission's comments are addressed in the proposed rule (75 FR 60694, October 1, 2010). On October 1, 2010, NMFS published a Notice of Proposed Rule (75 FR 60694) on the U.S. Air Force's request to take marine mammals incidental to NEODS training operations at Eglin AFB and requested, comments, information, and suggestions concerning the request. During the 30-day public comment period for the proposed rule, NMFS received comments from two private citizens and the Commission. The following are the comments and NMFS' responses.</P>
        <P>
          <E T="03">Comment 1:</E>A comment from a private citizen does not support giving this permit to Eglin AFB because marine mammals “deserve to live, not be bombed to death or have sonar cause brain hemorrhages so that they can't navigate and die from blood hemorrhages.”</P>
        <P>
          <E T="03">Response:</E>Eglin AFB and NMFS have evaluated the potential harm to marine mammals resulting from NEODS activities using the best currently available science. It is possible that bottlenose dolphins may be affected by underwater detonations. However, as discussed in the proposed rule, these effects will most likely be in the form of temporary behavioral disturbance, not injury or death. NMFS is requiring monitoring and mitigation measures to be implemented during all missions, and expects that these measures will significantly decrease the potential for impacts and reduce likely incidental harassment to a level that does not exceed negligible impact as defined by 50 CFR 216.103. The hand-held sonar used during NEODS activities are not likely to affect marine mammals. Due to the location of the NEODS training operations and required pre-mission monitoring, it is highly unlikely that manatees will be affected. In addition, section 101(a)(5)(A) of the MMPA requires that the Secretary to issue the<PRTPAGE P="16725"/>requested authorization to the U.S. Air Force only if the Secretary determines that the NEODS training operations will result in a negligible impact on the affected species or stocks, and the authorization prescribes the permissible methods of taking, mitigation measures for effecting the least practicable adverse impact to species or stocks, and requirements for monitoring and reporting.</P>
        <P>
          <E T="03">Comment 2:</E>A comment from a private citizen states that the proposed rule is an immediate threat to bottlenose dolphins and even manatees in the coastal waters surrounding Florida. The suggestion that Level B harassment to marine species is acceptable in order for Naval students to arm/disarm underwater mines is negligent and extreme, especially when our oceans are facing rapid change in temperature, over-fishing, and toxic waste.</P>

        <P>Moreover, the Sarasota Dolphin Research Agency states “evaluating the effects of * * * noise on marine mammals [in order to] expand understanding of * * * threats to bottlenose dolphins * * * observations made during * * * detonation * * * indicated that dolphins do exhibit behavioral responses” (Buckstaff and Ganon, 2010;<E T="03">http://www.sarasotadolphin.org/Human/ResponseConstruction.asp</E>). Essentially, not enough research has been conducted on long term outcome of sound and noise on bottlenose dolphins (or other marine life), and blatant disregard for marine environments is an abuse of the Naval authority.</P>
        <P>The commenter challenges the rule in its entirety, and requests the U.S. Navy find other manners in which to test the student aptitude of arming/disarming underwater mines. Ordnance training can occur in simulated marine environments without posing needless harm to the animals and ecosystems of coastal waters.</P>
        <P>
          <E T="03">Response:</E>The NEODS training operations are necessary to train U.S. Navy personnel to detect, recover, identify, evaluate, render safe, and dispose of unexploded ordnance that constitutes a threat to people, material, installations, ships, aircraft, and operations. Although most NEODS components of the training operations are conducted on land and in controlled environments, the training described in this application is carried out in real-world conditions in order to make the training as effective as reasonably possible. Simulated environments (e.g., pools) generally do not effectively represent open-ocean conditions.</P>
        <P>While better understanding the effects of underwater noise on marine species is an important goal, Eglin AFB and NMFS has evaluated the potential harm to marine mammals resulting from NEODS activities using the best currently available science. While bottlenose dolphins may be affected by underwater detonations, because of the infrequency and short duration of the detonations these impacts are expected to be minimal. Additionally, the U.S. Air Force and NMFS will require monitoring and mitigation measures to be implemented during all NEODS missions, and expects that these measures will result in the lowest practicable adverse impact on marine mammal species and stocks and reduce likely incidental harassment to a level that does not exceed a negligible impact as defined by 50 CFR 216.103. Due to the location of NEODS training operations and required pre-mission monitoring, it is highly unlikely that manatees will be affected.</P>
        <P>
          <E T="03">Comment 3:</E>The Commission recommends that the NMFS require the U.S. Air Force to describe in detail the environmental parameters and procedures used to determine the safety zones and subsequent takes and incorporate these in the final rule.</P>
        <P>
          <E T="03">Response:</E>Before issuing the final rule, NMFS required the U.S. Air Force to describe in detail the environmental parameters and procedures used to determine safety zones (i.e. ZOIs) and subsequent takes. Underwater noise propagation, and therefore the distance to which noise thresholds are estimated to extend, depends upon a number of environmental parameters. For estimating threshold distances in the U.S. Air Force's MMPA application for NEODS training operations, Eglin AFB used a proprietary application developed by a contractor, Science Applications International Corporation. The application permits users to input data related to underwater explosions into an Excel spreadsheet, including net explosive weight, number of detonations, and the desired noise threshold metrics. The possible metrics include energy expressed as decibel levels (total energy and/or greatest 1/3 octave band), peak pressure (psi), and positive impulse (psi-msec). The program output then displays the distance from source to which a particular threshold extends. Various threshold distances are provided according to depth of detonation, season (summer or winter), and province number.</P>
        <P>The Warning Areas most frequently used for military testing and training exercises in the Gulf of Mexico (W-155, W-151, and W-470) have been divided into 16 acoustic provinces derived from U.S. Navy oceanographic and environmental databases. Within a given province, water depth, sound speed, and sediment properties are similar, and therefore acoustic properties are expected to be similar. NEODS training operations will occur in W-151. The relevant oceanographic and environmental data was entered into the spreadsheet, and noise threshold distances corresponding to the appropriate depth, season, and province number were provided and used to populate Table 6-2 in Eglin AFB's application. NMFS has included these environmental parameters and procedures used to determine the safety zones (i.e., ZOIs) and subsequent takes and incorporated these in the final rule.</P>
        <P>
          <E T="03">Comment 4:</E>The Commission recommends that before issuing the final rule, NMFS require the U.S. Air Force to re-estimate the safety zones and associated takes based on the Level A harassment (injury) threshold of 13 psi-msec and the Level B harassment (non-TTS) threshold of 177 dB re 1 μPa<SU>2</SU>-sec.</P>
        <P>
          <E T="03">Response:</E>Before issuing the final rule, NMFS has required and Eglin AFB Natural Resources Section has re-estimated the safety zones and associated incidental takes so that they include 13psi-msec (Level A harassment) and 177 dB re 1 μPa<SU>2</SU>-sec (Level B harassment) thresholds. Revisions were made in the application accordingly and are also reflected in NMFS' take estimates and final rule, and will be in subsequent authorizations. The application is available online on the NMFS Incidental Take Authorization Web site at:<E T="03">http://www.nmfs.noaa.gov/pr/permits/incidental.htm#iha</E>. NMFS has relied on those revisions in establishing safety zones in the final rule.</P>
        <P>
          <E T="03">Comment 5:</E>The Commission recommends that before issuing the final rule, NMFS provide additional justification for its preliminary determination that the mitigation and monitoring measures would be sufficient to detect, with a high level of confidence, all marine mammals within or entering the identified safety zones; this would include describing changes in detection probability under various sea state and weather conditions. If such information is not available, then NMFS and the U.S. Air Force should undertake the studies needed to verify that the proposed mitigation and monitoring measures are likely to detect all or nearly all marine mammals in or near the safety zones and, if necessary, develop alternative means of detecting marine mammals in or near those zones. As it has noted in past correspondence, the Commission would be pleased to<PRTPAGE P="16726"/>discuss with NMFS and the U.S. Air Force the collection and analysis of such data and the design of such experiments to promote a better understanding of the utility and shortcomings of visual monitoring as an effective mitigation measure.</P>
        <P>
          <E T="03">Response:</E>The probability of sighting bottlenose dolphins within the monitoring zone is affected by animal behavior, observer effectiveness, and weather/Beaufort sea state and wind force. Species that occur in groups, exhibit conspicuous surface activity (e.g., leaping, splashing, and visible blows), and surface often are more likely to be observed than species for which one or more of these attributes is not applicable. Bottlenose dolphin behavior is considered conducive to effective observation. The typical group size of 2 to 15 individuals (DON, 2007a; Wursig<E T="03">et al.,</E>2000) is expected to occur in the area of NEODS training operations. Although dives of 10 to 15 minutes have been recorded for trained individuals, the typical dive time is 3 to 4 minutes (Wynne and Schwartz, 1999). Observation for dolphins will occur at least 30 minutes before detonations occur. Therefore, it is likely that at least one individual will be at the surface during the observation time frame. In addition, bottlenose dolphins are generally surface-active and, due to dive times, surface relatively frequently. Caretta<E T="03">et al.</E>(2000) considered the likelihood of bottlenose dolphins being observed during surveys in the Pacific great enough that the possibility of missed individuals on the transect line was discounted.</P>

        <P>Eglin AFB will require the use of trained observers during NEODS training operations involving detonations. Due in part to the dolphin behavioral characteristics and mission requirements described above, it is expected that observers will have a high detection rate in acceptable weather conditions. A Beaufort sea state of less than 3 is considered optimal for cetacean observation (Davis<E T="03">et al.,</E>2000), and mitigation measures stipulate that missions will be delayed if sea state is greater than 3. Detection probability generally decreases with distance from the observer. However NMFS expects that observation effectiveness will be acceptable within the specified range (880 m maximum or 2,887 ft).</P>
        <P>Specific information on the probability of observing bottlenose dolphins from a stationary platform in the nearshore GOM is not available. Various authors have generally addressed the issue of observation effectiveness during cetacean surveys. Two types of bias are often discussed in this context, including perception and availability bias. Perception bias refers to the failure of observers to detect animals, although they are present in the survey area and available to be seen. Availability bias refers to animals that are in the survey area, but are not able to be seen because they are submerged when observers are present. The probability of detecting bottlenose dolphins on a transect line during shipboard surveys has been estimated by various authors as between 62 and 100 percent (DON, 2007b). These probabilities take into account perception and availability bias. However, these estimates are not necessarily applicable to NEODS operations because they represent results from survey efforts on moving vessels (NEODS observers will be stationary) and occur in different geographic locations.</P>
        <P>
          <E T="03">Comment 6:</E>The Commission recommends that NMFS condition the final rule and any LOA issued under that rule to require suspension of the proposed activities if a marine mammal is seriously injured or killed and the injury or death could be associated with the proposed activities and, if supplementary measures are unlikely to reduce the risk of serious injury or death to a very low level, require the U.S. Air Force to suspend its activities until an authorization for such taking has been obtained.</P>
        <P>
          <E T="03">Response:</E>Although Eglin AFB Natural Resources Section believes the required monitoring and mitigation measures will substantially reduce the potential for impacts to bottlenose dolphins, the U.S. Air Force is willing to require that NEODS activities be suspended if a marine mammal is seriously injured or killed and the injury or death can be associated by the U.S. Air Force with the NEODS operations. In addition, Eglin AFB agrees that, if supplementary measures are unlikely to reduce the risk of serious injury or death to a very low level, activities should be suspended until an authorization for such take has been obtained. This requirement has been added to the application under the Mitigation Procedures Plan and NMFS has included it as a requirement in the final rule.</P>
        <P>
          <E T="03">Comment 7:</E>In exchanged emails, the Commission and NMFS noted discrepancies within both the application and NMFS' proposed rule. In response, the U.S. Air Force made several clarifications and agreed to work with NMFS to correct the other discrepancies, including determining safety zones and estimated takes associated with Level B harassment (non-TTS) for multiple detonations. The Commission recommends that NMFS ensure that numerous discrepancies in the application and proposed rule are corrected in the final rule.</P>
        <P>
          <E T="03">Response:</E>Eglin AFB has addressed all issues noted in the Commission's comments submitted via email as well as those officially submitted during the public comment period for the proposed rule. NMFS has ensured that these discrepancies in the application and proposed rule are corrected in the final rule.</P>
        <HD SOURCE="HD1">Potential Effects of Specified Activities on Marine Mammals and Estimates of Take by Harassment</HD>
        <P>In general, potential impacts to marine mammals from explosive detonations could include non-lethal injury (Level A harassment), serious injury, and mortality, as well as Level B harassment, which can consist of behavioral disturbance or temporary loss of hearing sensitivity. In the absence of monitoring and mitigation, marine mammals may be killed or injured as a result of an explosive detonation due to direct physiological effects such as the response of air cavities in the body, including the lungs and bubbles in the intestines. Effects are likely to be most severe in near surface waters where the reflected shock wave creates a region of negative pressure called “cavitation.”</P>
        <P>A second potential possible cause of mortality is the onset of extensive lung hemorrhage. Extensive lung hemorrhage is considered debilitating and potentially fatal. Suffocation caused by lung hemorrhage is likely to be the major cause of marine mammal death from underwater shock waves. The estimated range for the onset of extensive lung hemorrhage to marine mammals varies depending upon the animal's weight, with the smallest mammals having the greatest potential hazard range.</P>

        <P>Marine mammals may potentially be harassed due to noise from NEODS mission involving underwater detonations. For example, exposing bottlenose dolphins to underwater noise from explosive detonations could result in disturbing important behavioral patterns. The potential numbers and species harassed by noise are assessed in this section. Three key sources of information are necessary for estimating potential noise effects on marine resources: (1) The number of distinct firing or test events; (2) the ZOI for noise exposure; and (3) the population density of animals that potentially occur within the ZOI. The ZOI reflects the geographic extent of the effects anticipated from the<PRTPAGE P="16727"/>action. The “test site” and “mission area” are both found within the ZOI.</P>

        <P>For the acoustic analysis, the exploding charge is characterized as a point source. The impact thresholds used for marine mammals relate to potential effects on hearing from underwater detonation noise. No ESA-listed marine mammals would be affected given the location of the action in nearshore waters. The only ESA-listed marine mammal likely to be found in the northeastern GOM, the Federal and state-listed endangered sperm whale (<E T="03">Physeter macrocephalus</E>), occurs farther out on the continental slope in water generally deeper than 600 m (1,968.5 ft). Manatees are not considered likely to occur in the mission areas (see Figure 1-1 of Eglin AFB's application) and are therefore not considered in this analysis.</P>
        <P>For the explosives in question, actual detonation depths would occur at 60 ft near the sand bottom. The inert mines and sea floor may potentially interact with the propagation of noise into the water. However, effects on the propagation of noise into the water column cannot be determined without in-water noise monitoring at the time of detonation. Potential exposure of a sensitive species to detonation noise could theoretically occur at the surface or at any number of depths with differing consequences. A conservative acoustic analysis was selected to ensure the greatest direct path for the harassment ranges and to give the greatest impact range for the injury thresholds.</P>

        <P>Criteria and thresholds that are the basis of the analysis of NEODS noise impacts to cetaceans were initially used in U.S. Navy Environmental Impact Statements for ship shock trials of the<E T="03">Seawolf</E>submarine and the<E T="03">Winston S. Churchill</E>(<E T="03">Churchill</E>) vessel (DON, 1998; DON, 2001) and adopted by NMFS (NMFS, 2001). Supplemental criteria and thresholds have been introduced in the EGTTR Programmatic Environmental Assessment (U.S. Air Force, 2002), subsequent EGTTR LOA (U.S. Air Force, 2003) permit request, Precision Strike Weapons (PSW) LOA (U.S. Air Force, 2004), and Naval Surface Warfare Center Panama City Division LOA (U.S. Navy, 2008).</P>
        <P>Standard impulsive and acoustic metrics were used to analyze underwater pressure waves in this document.</P>
        <P>• Energy flux density (EFD) is the time integral of the squared pressure divided by the impedance. EFD levels have units of dB re 1 μPa<SU>2</SU>·s.</P>
        <P>• 1/3-Octave EFD is the energy flux density in a 1/3-octave frequency band; the 1/3 octave selected is the hearing range at which the subject animals' hearing is believed to be most sensitive.</P>
        <P>• Peak pressure is the maximum positive pressure for an arrival of a sound pressure wave that a marine mammal would receive at some distance away from a detonation.</P>
        <P>• Positive impulse represents a time-averaged pressure disturbance from an explosive source with units in psi-milliseconds (psi-msec).</P>
        <P>• Units used here are psi and dB levels.</P>
        <P>Level A harassment is non-lethal injury, the onset of which is estimated based on levels associated with eardrum rupture (i.e., tympanic-membrane [TM] rupture) and the onset of slight lung injury. The threshold for TM rupture corresponds to a 50 percent rate of rupture (i.e., 50 percent of animals exposed to the level are expected to suffer TM rupture); this threshold is stated in terms of an EFD value of 1.17 in-lb/in<SU>2</SU>, which is about 205 dB re 1 μPa<SU>2</SU>·s EFD. Use of this value acknowledges that TM rupture is not necessarily a life-threatening injury, but is a useful index of possible injury that is well-correlated with measures of permanent hearing impairment. Ketten (1998) indicates a 30 percent incidence of permanent threshold shift (PTS) at the same threshold. The onset of slight lung injury is the second threshold considered indicative of non-lethal injury. A dolphin would be expected to recover from this type of injury. Slight lung injury is considered to occur at a positive impulse level of 13 psi-msec. At distances closer to the detonation, the pressure wave could cause extensive lung injury, leading to mortality. It is assumed that the range of extensive lung injury is less than that of slight injury; therefore, using the range of slight lung injury provides a more conservative take estimate.</P>
        <P>Public Law 108-136 (2004) amended the definition of Level B harassment under the MMPA for military readiness activities, such as this action (and also for scientific research on marine mammals conducted by or on the behalf of the Federal Government). For military readiness activities, Level B harassment is now defined as “any act that disturbs or is likely to disturb a marine mammal or marine mammal stock in the wild by causing disruption of natural behavioral patterns including, but not limited to, migration, surfacing, nursing, breeding, feeding, or sheltering to a point where such behavioral patterns are abandoned or significantly altered.” Unlike Level A harassment, which is solely associated with physiological effects, both physiological and behavioral effects may cause Level B harassment.</P>

        <P>The physiological effect associated with non-injurious Level B harassment is known as temporary threshold shift (TTS), which is defined as a temporary, recoverable loss of hearing sensitivity (NMFS, 2001; DON, 2001). Two criteria are considered indicative of the onset of peak pressure at 23 psi (peak). This threshold is derived from the Environmental Impact Statement for the (<E T="03">Churchill</E>) shock testing and was subsequently adopted by NMFS in its final rule on the unintentional taking of marine mammals incidental to the shock testing (NMFS, 2001). The original criteria in<E T="03">Churchill</E>incorporated 12 psi (peak). The current criteria and threshold for peak pressure over all exposures was updated from 12 psi (peak) to 23 psi (peak) for explosives less than 907 kg (2,000 lb) based on an IHA issued to the U.S. Air Force for a similar action (NMFS, 2006a). See Table 4 (below) for NMFS' current criteria and thresholds for explosives. Peak pressure threshold are much greater than those for the energy metric when charge weights are small, even when source and animal are away from the surface. In order to more accurately estimate TTS for smaller detonations while preserving the safety feature provided by the peak pressure threshold, the peak pressure threshold is appropriately scaled for small shot detonations. This scaling is based on the similitude formulas (e.g., Urick, 1983) used in virtually all compliance documents for short ranges. Further, the peak-pressure threshold for TTS due to explosives offers a safety margin for source or animal near the ocean surface. The more conservative isopleth of the criteria for estimating TTS is used in take analysis.</P>

        <P>Behavioral reactions may occur at noise levels below those considered to cause TTS in marine mammals, particularly in cases where multiple detonations occur. Behavioral effects may include decreased ability to feed, communicate, migrate, or reproduce, among others. Such effects are known as sub-TTS Level B harassment. Although repetitive exposures (below TTS) to the same animals are considered unlikely due to the infrequent test events (no more than 5 detonations over a one or two day period), the potential variability in target locations, and the continuous movement of marine mammals in the northeastern GOM, the potential exists for a marine mammal to be impacted during multiple detonations. In this document, behavioral effects associated with such a scenario are considered to occur at an EFD level of 177 dB re 1 μPa<SU>2</SU>·s EFD. The tables below provide a<PRTPAGE P="16728"/>summary of threshold criteria and metrics for potential noise impacts to sensitive species.</P>
        <GPOTABLE CDEF="s75,r75,r75,r75,r75" COLS="5" OPTS="L2,p1,8/9,i1">
          <TTITLE>Table 4—(Table 6-1 of the Application) NMFS' Threshold Criteria and Metrics Utilized for Impact Analyses From the Use of Explosives</TTITLE>
          <BOXHD>
            <CHED H="1"/>
            <CHED H="1"/>
            <CHED H="1"/>
            <CHED H="1"/>
            <CHED H="1"/>
          </BOXHD>
          <ROW RUL="s">
            <ENT I="21">Mortality</ENT>
            <ENT A="01">Level A harassment (non-lethal injury)</ENT>
            <ENT O="oi0">Level B harassment (non-injurious; TTS and associated behavioral disruption [dual criteria])</ENT>
            <ENT O="oi3">Level B harassment<LI>(non-injurious behavioral, sub-TTS)</LI>
            </ENT>
          </ROW>
          <ROW>
            <ENT I="01">31 psi-msec (onset of severe lung injury [mass of dolphin calf])</ENT>
            <ENT>205 dB re 1 μPa<SU>2</SU>·s EFD (50 percent of animals would experience TM rupture)</ENT>
            <ENT>13 psi-msec positive pressure (onset of slight lung injury)</ENT>
            <ENT>182 dB re 1 μPa<SU>2</SU>·s EFD*; 23 psi peak pressure (&lt; 2,000 lb) 12 psi peak pressure (&gt; 2,000 lb)</ENT>
            <ENT>177 dB re 1 μPa<SU>2</SU>·sEFD* (for multiple detonations only).</ENT>
          </ROW>
          <TNOTE>*<E T="02">Note:</E>In greatest 1/3-octave band above 10 Hz or 100 Hz.</TNOTE>
        </GPOTABLE>
        <P>Noise ZOIs were calculated for bottom detonation scenarios at 60 ft for both Level A harassment (i.e., injury) and Level B harassment (significant behavioral disturbance). To determine the number of potential “takes” or animals affected, cetacean population information from surveys was applied to the various ZOIs. The impact calculations for this section utilize marine mammal density estimates that have been derived from a Legacy-funded NMFS/Air Force project (Garrison, 2008). The species density estimate data were adjusted to reflect the best available data and more realistic encounters of these animals in their natural environment (Garrison, 2008). These calculations and estimates are explained in detail in Section 3, and adjusted density estimates are provided in Table 3-1 of Eglin AFB's application. Although mission schedules are variable and may occur during any time of year, 60 percent (24 detonations) are expected to occur during summer and 40 percent (16 detonations) are expected to occur in winter. Therefore, seasonal bottlenose dolphin density estimates (0.78 dolphins/km<SU>2</SU>) in summer and 0.84 dolphins/km<SU>2</SU>in winter) are used for take analysis.</P>
        <P>Table 6-2 of Eglin AFB's application gives the estimated impact ranges for the two explosive weights. The test locations are one to three nmi south of SRI. NEODS detonations were modeled for bottom detonations at 60 ft.</P>
        <GPOTABLE CDEF="s50,12,12,12,12,12,12,12" COLS="8" OPTS="L2,i1">
          <TTITLE>Table 5—(Table 6-2 of the Application) ZOI for Underwater Explosions</TTITLE>
          <BOXHD>
            <CHED H="1">Ordnance</CHED>
            <CHED H="1">NEW (lbs)</CHED>
            <CHED H="1">Depth of<LI>explosion (m)</LI>
            </CHED>
            <CHED H="1">Ranges for 205 dB re 1<LI>μPa<SU>2</SU>·s EFDL (m)</LI>
            </CHED>
            <CHED H="1">Ranges for 13 psi-msec (m)</CHED>
            <CHED H="1">Ranges for 182 dB re 1<LI>μPa<SU>2</SU>·s EFDL</LI>
              <LI>(m)</LI>
            </CHED>
            <CHED H="1">Ranges for 23 psi (m)</CHED>
            <CHED H="1">Ranges for<LI>177 dB re 1</LI>
              <LI>μPa<SU>2</SU>·s EFDL</LI>
              <LI>(m)</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="22">Summer:</ENT>
          </ROW>
          <ROW>
            <ENT I="03">NEODS MCM 2.3 kg (5 lb) charge</ENT>
            <ENT>5</ENT>
            <ENT>18</ENT>
            <ENT>52.1</ENT>
            <ENT>156</ENT>
            <ENT>227.5</ENT>
            <ENT>222</ENT>
            <ENT>520</ENT>
          </ROW>
          <ROW>
            <ENT I="03">NEODS MCM 4.5 kg (10 lb) charge</ENT>
            <ENT>10</ENT>
            <ENT>18</ENT>
            <ENT>77</ENT>
            <ENT>225</ENT>
            <ENT>385</ENT>
            <ENT>280</ENT>
            <ENT>845</ENT>
          </ROW>
          <ROW>
            <ENT I="22">Winter:</ENT>
          </ROW>
          <ROW>
            <ENT I="03">NEODS MCM 5 lb charge</ENT>
            <ENT>5</ENT>
            <ENT>18</ENT>
            <ENT>52.2</ENT>
            <ENT>156</ENT>
            <ENT>229.8</ENT>
            <ENT>222</ENT>
            <ENT>529</ENT>
          </ROW>
          <ROW>
            <ENT I="03">NEODS MCM 10 lb charge</ENT>
            <ENT>10</ENT>
            <ENT>18</ENT>
            <ENT>77</ENT>
            <ENT>226</ENT>
            <ENT>389</ENT>
            <ENT>280</ENT>
            <ENT>880</ENT>
          </ROW>
          <TNOTE>EFDL = Energy Flux Density Level.</TNOTE>
        </GPOTABLE>

        <P>Applying the harassment ranges in Table 6-2 of the application to the species densities of Table 3-1 of the application, the number of animals potentially occurring within the ZOI was estimated. These results are presented in Tables 6-3, 6-4, and 6-5 of the application. For Level A harassment calculations (Table 6-3 of the application), the ZOI corresponding to 13 psi-msec is used because this radius is in all cases greater than the radius corresponding to 205 dB re 1 μPa<SU>2</SU>· s EFD. For Level B harassment calculations (Table 6-4 of the application), the ZOI corresponding to the 182 dB re 1 μPa<SU>2</SU>· s EFD metric is used because this radius is in all cases greater than the radius corresponding to 23 psi (peak). A whole animal (and potential take) is defined as 0.5 or greater, where calculation totals result in fractions of an animal. Where less than 0.5 animals are affected, no take is assumed. The calculations in Tables 6-3 and 6-4 of the application are based on the expected tempo of: (1) 40 total detonations per year; (2) one-half of detonations are of 5 lb charges, and one-half are of 10 lb charges; and (3) 60 percent of detonations occur in summer, and 40 percent occur in winter.<PRTPAGE P="16729"/>
        </P>
        <GPOTABLE CDEF="s100,13,13,13,r65,xls65" COLS="6" OPTS="L2,i1">
          <TTITLE>Table 6—(Table 6-3 of the Application) Marine Mammal Densities and Risk Estimates for Level A Harassment (13 PSI-MSEC Positive Pressure)</TTITLE>
          <BOXHD>
            <CHED H="1">Species</CHED>
            <CHED H="1">Density<LI>(animals/km<SU>2</SU>)</LI>
            </CHED>
            <CHED H="1">ZOI (km)</CHED>
            <CHED H="2">5 lb charge</CHED>
            <CHED H="2">10 lb charge</CHED>
            <CHED H="1">Number of animals exposed to level A<LI>harassment</LI>
            </CHED>
            <CHED H="2">5 lb charge</CHED>
            <CHED H="2">10 lb charge</CHED>
          </BOXHD>
          <ROW>
            <ENT I="22">Summer:</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Bottlenose Dolphin</ENT>
            <ENT>0.78</ENT>
            <ENT>0.156</ENT>
            <ENT>0.225</ENT>
            <ENT O="xl">0.72<LI>(12 detonations)</LI>
            </ENT>
            <ENT>1.49<LI O="xl">(12 detonations).</LI>
            </ENT>
          </ROW>
          <ROW>
            <ENT I="22">Winter:</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="01">Bottlenose Dolphin</ENT>
            <ENT>0.84</ENT>
            <ENT>0.156</ENT>
            <ENT>0.226</ENT>
            <ENT O="xl">0.51<LI O="xl">(8 detonations)</LI>
            </ENT>
            <ENT>1.08<LI>(8 detonations).</LI>
            </ENT>
          </ROW>
          <ROW EXPSTB="02">
            <ENT I="22">Total Number Animals Potentially Exposed To Level A Harassment Annually</ENT>
            <ENT A="02">3.80</ENT>
          </ROW>
        </GPOTABLE>
        <GPOTABLE CDEF="s100,13,12,12,r65,xs65" COLS="6" OPTS="L2,i1">
          <TTITLE>Table 7—(Table 6-4 of the Application) Marine Mammal Densities and Risk Estimates for Level B Harassment (182 dB re 1 μPa<SU>2</SU>·s EFD 1/3 Octave Band) Noise Exposure</TTITLE>
          <BOXHD>
            <CHED H="1">Species</CHED>
            <CHED H="1">Density<LI>(animals/km<SU>2</SU>)</LI>
            </CHED>
            <CHED H="1">ZOI (km)</CHED>
            <CHED H="2">5 lb charge</CHED>
            <CHED H="2">10 lb charge</CHED>
            <CHED H="1">Number of animals exposed to Level B<LI>harassment (TTS)</LI>
            </CHED>
            <CHED H="2">5 lb charge</CHED>
            <CHED H="2">10 lb charge</CHED>
          </BOXHD>
          <ROW>
            <ENT I="22">Summer:</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Bottlenose Dolphin</ENT>
            <ENT>0.78</ENT>
            <ENT>0.2275</ENT>
            <ENT>0.385</ENT>
            <ENT>1.52<LI>(12 detonations)</LI>
            </ENT>
            <ENT>4.36<LI>(12 detonations).</LI>
            </ENT>
          </ROW>
          <ROW>
            <ENT I="22">Winter:</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="03">Bottlenose Dolphin</ENT>
            <ENT>0.84</ENT>
            <ENT>0.2298</ENT>
            <ENT>0.389</ENT>
            <ENT>1.11<LI>(8 detonations)</LI>
            </ENT>
            <ENT>3.19<LI>(8 detonations).</LI>
            </ENT>
          </ROW>
          <ROW EXPSTB="02">
            <ENT I="22">Total number animals potentially exposed to Level B harassment (TTS and behavioral) annually</ENT>
            <ENT A="02">10.18</ENT>
          </ROW>
        </GPOTABLE>
        <GPOTABLE CDEF="s100,13,13,13,r65,xs65" COLS="6" OPTS="L2,i1">
          <TTITLE>Table 8—(Table 6-4 of the Application) Marine Mammal Densities and Risk Estimates for Level B Harassment (177 dB re 1 μPa<SU>2</SU>·s EFD 1/3 Octave Band) Noise Exposure</TTITLE>
          <BOXHD>
            <CHED H="1">Species</CHED>
            <CHED H="1">Density<LI>(animals/km<SU>2</SU>)</LI>
            </CHED>
            <CHED H="1">ZOI (km)</CHED>
            <CHED H="2">5 lb charge</CHED>
            <CHED H="2">10 lb charge</CHED>
            <CHED H="1">Number of animals exposed to level B<LI>harassment (behavioral)</LI>
            </CHED>
            <CHED H="2">5 lb charge</CHED>
            <CHED H="2">10 lb charge</CHED>
          </BOXHD>
          <ROW>
            <ENT I="22">Summer:</ENT>
          </ROW>
          <ROW>
            <ENT I="03">Bottlenose Dolphin</ENT>
            <ENT>0.78</ENT>
            <ENT>0.520</ENT>
            <ENT>0.845</ENT>
            <ENT>7.95<LI>(12 detonations)</LI>
            </ENT>
            <ENT>20.99<LI>(12 detonations).</LI>
            </ENT>
          </ROW>
          <ROW>
            <ENT I="22">Winter:</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="03">Bottlenose Dolphin</ENT>
            <ENT>0.84</ENT>
            <ENT>0.529</ENT>
            <ENT>0.880</ENT>
            <ENT>5.91</ENT>
            <ENT>16.35</ENT>
          </ROW>
          <ROW EXPSTB="03">
            <ENT I="22">Total number animals potentially exposed to Level B harassment (sub-TTS and behavioral) annually</ENT>
            <ENT A="01">51.20</ENT>
          </ROW>
        </GPOTABLE>
        <P>The tables above indicate that the potential takes of marine mammals for non-injurious (Level B) harassment, as well as the onset of injury (Level A harassment) to cetaceans is possible but low, even without implementing any monitoring and mitigation measures. Slightly fewer than four bottlenose dolphins are estimated to be exposed annually to a positive pressure level corresponding to Level A harassment (13 psi-msec). Noise levels corresponding to Level B harassment (182 dB re 1 μPa<SU>2</SU>· s EFD) would potentially affect approximately 10 dolphins. Finally, approximately 50 dolphins could be exposed to noise levels associated with sub-TTS behavioral harassment. None of the above impact estimates take into account the monitoring and mitigation measures that will be employed by the proponent to minimize potential impacts to protected species. These monitoring and mitigation measures are described in Eglin AFB's application (see below) and are anticipated to substantially reduce the potential impacts to marine mammals.</P>

        <P>Based on the analyses and results provided here and in Section 6 of Eglin AFB's application, approximately four Atlantic bottlenose dolphins could be exposed to pressure levels (13 psi-msec) corresponding to Level A harassment annually in the absence of monitoring and mitigation measures. Approximately 10 dolphins could be exposed to noise levels corresponding to Level B harassment (TTS and associated behavioral), while 50 individuals could be exposed to noise levels corresponding to Level B harassment. NMFS expects that monitoring and mitigation measures set forth in the final rule would substantially reduce the number of animals impacted. The individuals potentially affected could be part of the Northern GOM Coastal Stock and/or part of one or more of the Northern GOM bay, sound, and estuarine stocks. The Northern GOM coastal stock and all bay, sound, and estuarine stocks are considered<PRTPAGE P="16730"/>strategic. Although the NEODS training area lies outside the defined range of the bay, sound, and estuarine stocks, movement between such stocks has been documented in GOM coastal waters, as described in Waring<E T="03">et al.</E>(2009). Movements have ranged from travel through adjacent communities to movement over several hundred kms off Texas, and may include seasonal movements into GOM waters. NEODS training operations will occur between the ranges of the Pensacola/East Bay and Choctawhatchee Bay Stocks, although individuals from other locations could potentially travel through the training areas as well. These stocks and their movements are not fully understood; therefore, it is possible that individuals from these stocks could be affected. PBR has not been determined for the coastal stock due to insufficient information. Similarly, PBR has not been determined for many of the bay, sound, and estuarine stocks, including the Pensacola/East Bay and Choctawhatchee Bay stocks.</P>
        <P>Based on the calculation methods discussed above, NMFS estimated take numbers per year of 10 individuals and 50 individuals during the five-year rule for Atlantic bottlenose dolphins. The actual number of individual animals being exposed or taken may be less due to the U.S. Air Force's implementation of monitoring and mitigation measures.</P>
        <HD SOURCE="HD1">Possible Effects of Activities on Marine Mammal Habitat</HD>
        <P>The primary source of marine mammal habitat impact is noise resulting from live NEODS missions. However, the noise does not constitute a long-term physical alteration of the water column or bottom topography, as the occurrences are of limited duration and are intermittent in time. Surface vessels associated with the missions are present in limited duration and are intermittent as well.</P>
        <P>Other sources that may affect marine mammal habitat were considered and potentially include the introduction of fuel, debris, ordnance, and chemical residues in the water column. The effects of each of these components were considered in the NEODS BA and were determined to be unlikely to adversely affect protected marine species. Marine mammal habitat would not be affected, lost or modified.</P>
        <P>NMFS anticipates that the action will result in no impacts to marine mammal habitat beyond rendering the areas immediately around the NEODS training operations in the EGTTR less desirable shortly after each demolition event. The impacts will be localized and instantaneous. Impacts to marine mammal, invertebrate, and fish species are not expected to be detrimental.</P>
        <HD SOURCE="HD1">Mitigation</HD>
        <P>In order to issue an Incidental Take Authorization under section 101(a)(5)(A) and (D) of the MMPA, NMFS must set forth the permissible methods of taking pursuant to such activity, and other means of effecting the least practicable adverse impact on such species or stock and its habitat, paying particular attention to rookeries, mating grounds, and areas of similar significance, and on the availability of such species or stock for taking for certain subsistence uses. The NDAA of 2004 amended the MMPA as it relates to military readiness activities and the incidental take authorization process such that “the least practicable adverse impact” includes consideration of personnel, safety, practicality of implementation, and the impact on the effectiveness of the “military readiness activity.” NEODS training involves military readiness activities.</P>
        <P>NEODS has employed a number of mitigation measures in an effort to substantially decrease the number of animals potentially affected. Eglin AFB is committed to assessing the mission activity for opportunities to provide operational mitigations while potentially sacrificing some mission flexibility.</P>
        <P>Mitigation consists of visual monitoring of the mission site that is required in order to decrease the likelihood of potential impacts to marine mammals and other protected species. Pre- and post-mission surveys using trained observers are required for each NEODS mission. Surveys will be conducted from surface vessels and possibly helicopters. Missions will only be conducted during daylight hours (i.e., an hour after sunrise and an hour before sunset). Depending on visibility, surface observation would be effective out to several kms.</P>
        <P>Trained observers onboard support boats would be staged from the highest point possible. The observer on the vessel will be familiar with marine life in the mission area and must be equipped with optical equipment with sufficient magnification (e.g., binoculars), which should allow the observer to sight and report surfacing marine mammals from a significant distance. The trained observer will have proper lines of communication to make recommendations to the Officer in Tactical Command so that he/she can then decide on whether or not the mission can proceed.</P>
        <P>Weather that supports the ability to sight marine life is required in order to mitigate the test site effectively (DON, 1998). Wind, visibility, and surface conditions of the GOM are the most critical factors affecting mitigation operations. Higher winds typically increase wave height and create “white cap” conditions, limiting an observer's ability to locate surfacing marine mammals. NEODS missions would be canceled or delayed if the sea state were greater than the Scale Number 3 described on Table 9 (below) and in Eglin AFB's application.</P>
        <GPOTABLE CDEF="xs150,r140" COLS="2" OPTS="L2,i1">
          <TTITLE>Table 9—(Table 11-1 of the Application) Beaufort Sea State Scale for Marine Mammal Observation</TTITLE>
          <BOXHD>
            <CHED H="1">Scale No.</CHED>
            <CHED H="1">Sea conditions</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">0</ENT>
            <ENT>Flat calm, no waves or ripples.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">1</ENT>
            <ENT>Small wavelets, few if any whitecaps.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">2</ENT>
            <ENT>Whitecaps on 0 to 33 percent of surface; 0.3 to 0.6 m (1 to 2 ft) waves.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">3</ENT>
            <ENT>Whitecaps on 33 to 50 percent of surface; 0.6 to 0.9 m (2 to 3 ft) waves.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">4</ENT>
            <ENT>Whitecaps on greater than 50 percent of surface; greater than 0.9 m (3 ft) waves.</ENT>
          </ROW>
        </GPOTABLE>

        <P>During a typical mission in the GOM, visual surveys are conducted out to a distance from the detonation point corresponding to the largest impact ZOI, which would be the Level B sub-TTS behavioral harassment range. However, due to recent dolphin mortalities associated with EOD activities at the Silver Strand Training Complex (SSTC) off of San Diego, California, new survey protocols will be implemented. These protocols represent an agreement between the U.S. Navy and NMFS regarding the size of the visual survey areas for training activities using time-delay fuses. Such fuses are used so that U.S. Navy personnel can safely vacate the area before detonation occurs. The<PRTPAGE P="16731"/>U.S. Air Force will ensure that the U.S. Navy complies with the mitigation and monitoring protocols set forth herein this document, and future reference will be to the U.S. Navy, as the U.S. Navy carries out the NEODS training operations.</P>
        <P>Under the new protocol, the survey radius (distance from the detonation point) is increased so that marine mammals would not likely have time to swim into the affected area after the charge has been set and U.S. Navy divers have left the area. Once the system is armed and divers exit the water, they are typically not allowed back into the water to disarm the charge. Therefore, the distance that a dolphin could typically swim during the time delay is added to the survey distance. The typical swim speed for dolphin species is considered to be 5.6 km per hour (three knots), or approximately 93.3 m (102 yards [yd]) per minute. Table 10 (Table 11-2 of the application) lists the distance a dolphin might travel at this swim speed during various time delays. In addition, NMFS requested that an additional 182.9 m (200 yd) buffer be added to this distance to account for dolphins possibly swimming faster than the average speed of three knots. This additional buffer is shown in the table below.</P>
        <GPOTABLE CDEF="s100,r50,r50,r50" COLS="4" OPTS="L2,i1">
          <TTITLE>Table 10—(Table 11-2 of the Application) Potential Swim Distance of a Dolphin With an Additional 200 yd Buffer</TTITLE>
          <BOXHD>
            <CHED H="1">Typical dolphin swim speed</CHED>
            <CHED H="1">Time delay</CHED>
            <CHED H="1">Distance traveled during time delay</CHED>
            <CHED H="1">Distance traveled with<LI>additional 200 yd buffer</LI>
            </CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">3 knots (102 yd/minute)</ENT>
            <ENT>5 minutes</ENT>
            <ENT>510 yd</ENT>
            <ENT>710 yd.</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>6 minutes</ENT>
            <ENT>612 yd</ENT>
            <ENT>812 yd.</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>7 minutes</ENT>
            <ENT>714 yd</ENT>
            <ENT>914 yd.</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>8 minutes</ENT>
            <ENT>816 yd</ENT>
            <ENT>1,016 yd.</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>9 minutes</ENT>
            <ENT>918 yd</ENT>
            <ENT>1,118 yd.</ENT>
          </ROW>
          <ROW>
            <ENT I="22"/>
            <ENT>10 minutes</ENT>
            <ENT>1,020 yd</ENT>
            <ENT>1,220 yd.</ENT>
          </ROW>
        </GPOTABLE>
        <P>The total distance potentially traveled during the time delay, as listed in Table 10, is then added to the range of the applicable NMFS injury criteria to determine the final survey radius. The more conservative (larger) of the ranges between the injury dual criteria is used, which for the document is the 13 psi-msec threshold (see Table 5 above or Table 6-2 of the application). If marine mammals are not observed within the mitigation-monitoring zone before the charge is set, they would be unlikely to swim into the injury zone during the time-delay window. The adjusted survey radius for various time delays is Table 11 below (see Table 11-3 of the application). The injury criterion range and final survey distance are shown in meters in order to be consistent with U.S. Navy standards established for the SSTC.</P>
        <GPOTABLE CDEF="s50,r50,r50,r50,r50,r50,r50,xs50" COLS="8" OPTS="L2,i1">
          <TTITLE>Table 11—(Table 11-3 of the Application) Survey Radius for Time-Delayed Firing Devices</TTITLE>
          <BOXHD>
            <CHED H="1">Charge<LI>weight (new)</LI>
            </CHED>
            <CHED H="1">13 psi-msec<LI>range</LI>
            </CHED>
            <CHED H="1">Survey radius for time delay, adjusted for swim distance and buffer</CHED>
            <CHED H="2">5 minutes</CHED>
            <CHED H="2">6 minutes</CHED>
            <CHED H="2">7 minutes</CHED>
            <CHED H="2">8 minutes</CHED>
            <CHED H="2">9 minutes</CHED>
            <CHED H="2">10 minutes</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">5 lb</ENT>
            <ENT>171 * yd</ENT>
            <ENT>881 yd</ENT>
            <ENT>983 yd</ENT>
            <ENT>1,085 yd</ENT>
            <ENT>1,187 yd</ENT>
            <ENT>1,289 yd</ENT>
            <ENT>1,391 yd.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">10 lb</ENT>
            <ENT>247 * yd</ENT>
            <ENT>957 yd</ENT>
            <ENT>1,059 yd</ENT>
            <ENT>1,161 yd</ENT>
            <ENT>1,263 yd</ENT>
            <ENT>1,365 yd</ENT>
            <ENT>1,467 yd.</ENT>
          </ROW>
          <TNOTE>* Ranges from Table 5 are converted to yd.</TNOTE>
        </GPOTABLE>
        <P>In order to provide a more practical implementation of mitigation measures, the U.S. Navy and NMFS agreed to round survey ranges to distances more easily delineated in the field. Therefore, to be consistent with the method used for missions at the U.S. Navy's SSTC, the survey distances shown in Table 11 are rounded to either 914.4 or 1,280.2 m (1,000 or 1,400 yd). A different number of survey vessels are required for each distance. The final rounded distances are shown in Table 12 (Table 11-4 of the application).</P>
        <GPOTABLE CDEF="s50,r50,r50,r50,r50,r50,xs50" COLS="7" OPTS="L2,i1">
          <TTITLE>Table 12—(Table 11-4 of the Application) Final Rounded Survey Radius for Time-Delayed Firing Devices</TTITLE>
          <BOXHD>
            <CHED H="1">Charge weight (new)</CHED>
            <CHED H="2"/>
            <CHED H="1">Final rounded survey radius by time delay</CHED>
            <CHED H="2">5 minutes</CHED>
            <CHED H="2">6 minutes</CHED>
            <CHED H="2">7 minutes</CHED>
            <CHED H="2">8 minutes</CHED>
            <CHED H="2">9 minutes</CHED>
            <CHED H="2">10 minutes</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">5 lb</ENT>
            <ENT>1,000 yd</ENT>
            <ENT>1,000 yd</ENT>
            <ENT>1,000 yd</ENT>
            <ENT>1,000 yd</ENT>
            <ENT>1,400 yd</ENT>
            <ENT>1,400 yd.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">10 lb</ENT>
            <ENT>1,000 yd</ENT>
            <ENT>1,000 yd</ENT>
            <ENT>1,000 yd</ENT>
            <ENT>1,400 yd</ENT>
            <ENT>1,400 yd</ENT>
            <ENT>1,400 yd.</ENT>
          </ROW>
        </GPOTABLE>
        <P>The following visual monitoring requirements will be implemented for each NEODS mission. These requirements are based on the agreement between NMFS and the U.S. Navy for EOD activities conducted in water depths of 7.3 m (24 ft) or greater.</P>
        <P>• Underwater detonations using timed delay devices will only be conducted during daylight hours (i.e., an hour after sunrise and an hour before sunset).</P>
        <P>• Time delays longer than 10 minutes will not be used. Initiation of the timer device will not start until the mitigation-monitoring zone is clear of marine mammals for 30 minutes.</P>

        <P>• A mitigation-monitoring zone will be established around each underwater detonation location as indicated in Table 12 based on charge weight and<PRTPAGE P="16732"/>length of time-delay used. When conducting surveys within the mitigation-monitoring zone radius (but always outside the detonation plume radius/human safety zone) boats will travel in a circular pattern around the detonation point, surveying the inner (toward the detonation site) and outer (away from the detonation site) areas. For a survey radius of 1,000 yd, the boat will be positioned at 457.2 m (500 yd) from the detonation point. Similarly, for a survey radius of 1,400 yd, boats will be positioned at a distance of 640.1 m (700 yd).</P>
        <P>• For a survey radius of 1,000 yd, two boats are required. For a radius of 1,400 yd, either three boats or two boats/one helicopter are required.</P>
        <P>• When using two boats, each boat will be positioned on opposite sides of the detonation location, separated by 180 degrees. When using three boats, each boat will be separated by 120 degrees (equidistant from each other).</P>

        <P>• Two observers in each boat will conduct continuous visual surveys of the mitigation-monitoring zone for the entire duration of the training event, including at least 30 minutes prior to detonation. Observers will search the mitigation-monitoring zone for the presence of marine mammals, and other marine species such as sea turtles, diving birds, large concentrations of fish or jellyfish, and large<E T="03">Sargassum</E>mats. The presence of diving birds, fish, jellyfish, and<E T="03">Sargassum</E>may indicate an increased likelihood of dolphin presence.</P>

        <P>• The mission would be postponed if large concentrations of fish, jellyfish, and/or large<E T="03">Sargassum</E>rafts are observed within the mitigation-monitoring zone. The delay would continue until the fish, jellyfish, and/or large<E T="03">Sargassum</E>rafts that caused the postponement are confirmed to be outside the mitigation-monitoring zone.</P>
        <P>• To the extent practicable, boats will maintain a 18.5 km per hour (10 knot or 11.5 miles per hour) search speed. This search speed is expected to ensure adequate coverage of the buffer zone. While weather conditions and sea state may require slower speeds in some instances, 10 knots is considered a prudent, safe, and executable speed that will allow adequate surveillance. For a 1,000-yd survey zone, a boat travelling at 10 knots and 500 yd from the detonation point would circle the point approximately 3.2 times during a 30-minute survey period. By using two boats, approximately 6.4 circles would be completed in total. Similarly, for a 1,400 yd radius, each boat would circle the detonation point approximately 2.3 times within 30 minutes, and use of three boats would result in 6.9 total circles.</P>
        <P>• If available, a U.S. Navy helicopter can be used in lieu of one of the survey boats, so long as safety of flight is not jeopardized. U.S. Navy helicopter pilots are trained to conduct searches for relatively small objects in the water, such as a missing persons. A helicopter search pattern is dictated by standard U.S. Navy protocols and accounts for multiple variables, such as size and shape of the search area, size of the object, and environmental conditions, among others.</P>
        <P>• The mitigation-monitoring zone will be surveyed for 30 minutes prior to detonation and continue for 30 minutes after detonation (concentrated on the area down current of the test site), in order to monitor for marine mammals and other protected species. It is the U.S. Navy's intent to conduct five successive detonations with a maximum time of 20-minutes between detonations, although a variety of factors can cause a delay of longer than 20 minutes, including a delay until the following day. Monitoring would continue during the 20 minute interval between detonations, and would serve as both post-detonation monitoring as well as pre-mission monitoring for the next detonation. If the time between detonations is delayed beyond 20 minutes, post-mission monitoring will be conducted for 30 minutes. At the conclusion of the final detonation, post-monitoring will be conducted for 30 minutes.</P>
        <P>• Other personnel besides designated observers shall also maintain situational awareness of the presence of marine mammals within the mitigation-monitoring zone to the extent practicable given dive safety considerations.</P>
        <P>• Divers placing the charges on mines will observe the immediate underwater area around the detonation site for marine mammals and other marine species such as diving birds, sea turtles, and Gulf sturgeon, and report sightings to surface observers.</P>
        <P>• If a marine mammal is sighted within an established mitigation-monitoring zone or moving towards it, underwater detonation events will be postponed or suspended until the marine mammal that caused the postponement/suspension of training operations has voluntarily left the area and the area is clear of marine mammals for at least 30 minutes.</P>
        <P>• If a marine mammal is detected within or about to enter an established mitigation-monitoring zone and subsequently cannot be reacquired, the mission will be postponed or suspended until the last verified location is outside the mitigation-monitoring zone, the animal is moving away from the area, and the area is clear of marine mammals for at least 30 minutes.</P>
        <P>• Any marine mammal observed after an underwater detonation either injured or exhibiting signs of distress will be reported to the Eglin AFB. Eglin AFB will coordinate with other members of marine mammal stranding networks, as appropriate, and report these events to NMFS or USFWS. The report will contain date and time of sighting, location, species description, and indications of the animal's status (see section below for more information on reporting).</P>
        <P>NEODS training operations will be suspended and the U.S. Air Force will re-initiate consultation under the MMPA with NMFS' Office of Protected Resources if (1) a marine mammal is killed or seriously injured and the injury or death could be associated with the NEODS training operations; and (2) implementing supplemental mitigation and monitoring measures is not likely to reduce the risk of serious injury or death to a very low level. The U.S. Air Force will suspend operations until the proper authorization for incidental take is obtained from NMFS.</P>
        <HD SOURCE="HD1">Monitoring and Reporting</HD>
        <P>In order to issue an ITA for an activity, section 101(a)(5)(A) of the MMPA states that NMFS must set forth “requirements pertaining to the monitoring and reporting of such taking.” The MMPA implementing regulations at 50 CFR 216.104(a)(13) indicate that requests for ITAs must include the suggested means of accomplishing the necessary monitoring and reporting that will result in increased knowledge of the species and of the level of taking or impacts on populations of marine mammals that are expected to be present. Any authorization issued pursuant to this final rule will require the U.S. Air Force to conduct mitigation monitoring before, during, and after completion of training exercises in accordance with the procedures discussed above. Methods for monitoring will include trained observers positioned on vessels. Monitors will be required to record and report specific data to NMFS in an annual monitoring report.</P>

        <P>Mitigation may include any supplemental activities that are designed and exercised to help reduce or eliminate the potential adverse impacts to the marine resources. The U.S. Air Force recognizes the importance of such “in-place” mitigations and is aware that NMFS<PRTPAGE P="16733"/>recommends an approved mitigation plan that outlines the scope and effectiveness of the action's mitigations.</P>
        <P>The risk of harassment (Levels A and B) to marine mammals has been determined to be relatively small. Eglin AFB has determined that with the implementation and commitment to utilizing the “visual monitoring” mitigations, potential takes are greatly reduced.</P>
        <P>For NEODS testing, areas to be used in missions are visually monitored for marine mammal presence from a surface vessel prior to detonation of mine neutralization charges. Monitoring would be conducted before missions to clear marine mammals within the ZOI. If protected animals are inside the ZOI, firing would be postponed until they left the area. The following procedures will be conducted during the mission activities:</P>
        <P>• Conduct survey clearance procedures using best operational methods possible.</P>

        <P>• Clear ZOI and avoid all dolphins and protected species indicators (e.g.,<E T="03">Sargassum</E>rafts) to the maximum extent possible.</P>

        <P>• Re-conduct clearance procedures if dolphins or protected species indicators (e.g.,<E T="03">Sargassum</E>rafts) are encountered.</P>
        <P>• All observers must complete the Marine Observer Certification course annually.</P>
        <P>• Conduct post-mission observation and report operations data as required by Eglin's Natural Resources Section, 96 CEG/CEVSN.</P>
        <P>• Submit an annual summary (coordinated through 96 CEG/CEVSN) of mission observations to:</P>
        
        <FP SOURCE="FP-1">National Marine Fisheries Service, Southeast Regional Office, Protected Resources Division, 9721 Executive Center Drive North, St. Petersburg, FL 33702</FP>
        
        <P>and</P>
        
        <FP SOURCE="FP-1">National Marine Fisheries Service, Office of Protected Resources, 1315 East West Highway, Silver Spring, MD 20910.</FP>
        
        <P>Information recorded will include species counts, numbers of observed disturbances, and descriptions of the disturbance behaviors before, during, and after explosive activities. Observations of unusual behaviors, numbers, or distributions of marine mammals in the activity area will be reported to NMFS and USFWS so that any potential follow-up observations can be conducted by the appropriate personnel. In addition, observations of tag-bearing marine mammals, sea turtles, and fish carcasses as well as any rare or unusual species of marine mammals and fish would be reported to NMFS and USFWS.</P>
        <P>Eglin AFB would notify NMFS and the Regional Office prior to initiating of each explosive demolition session. If at any time injury or death of any marine mammal occurs that may be a result of the NEODS activities, Eglin AFB would suspend activities and contact NMFS immediately to determine how best to proceed to ensure that another injury, serious injury, or death does not occur, and to ensure that the applicant remains in compliance with the MMPA. Any takes of marine mammals other than those authorized by the LOA, as well as any injuries or deaths of marine mammals, will be reported to the Southeast Regional Administrator, within 24 hours. An annual draft final report must be submitted to NMFS within 90 days after the conclusion of the NEODS activities. An annual report must be submitted at the time of renewal of the LOA as well. Also, a report must be submitted at least 180 days prior to the expiration of these regulations. The report will include a summary of the activities undertaken and information gathered pursuant to the monitoring requirements set forth in the regulations and LOA, including dates and times of detonations as well as pre- and post-blasting monitoring observations. A final report must be submitted to the Regional Administrator within 30 days after receiving comments from NMFS on the draft final report. If no comments are received from NMFS, the draft final report would be considered to be the final report.</P>

        <P>In the unanticipated event that the specified activity clearly causes the take of a marine mammal in a manner prohibited by this rule, such as an injury, serious injury or mortality, Eglin AFB will immediately cease the specified activities and report the incident to the Chief of the Permits and Conservation Division, Office of Protected Resources, NMFS at (301) 427-8401 and/or by email to<E T="03">Jolie.Harrison@noaa.gov</E>and<E T="03">Howard.Goldstein@noaa.gov,</E>and the NMFS Southeast Region Marine Mammal Stranding Network at (877) 433-8299 (<E T="03">Blair.Mase@noaa.gov</E>and<E T="03">Erin.Fougeres@noaa.gov</E>) (Florida Marine Mammal Stranding Hotline at (888) 404-3922). The report must include the following information:</P>
        <P>• Time, date, and location (latitude/longitude) of the incident;</P>
        <P>• Description of the incident;</P>
        <P>• Status of all noise-generating sources use in the 24 hours preceding the incident;</P>
        <P>• Water depth;</P>
        <P>• Environmental conditions (e.g., wind speed and direction, Beaufort sea state, cloud cover, and visibility);</P>
        <P>• Description of all marine mammal observations in the 24 hours preceding the incident;</P>
        <P>• Species identification or description of the animal(s) involved;</P>
        <P>• Fate of the animal(s); and</P>
        <P>• Photographs or video footage of the animal(s) (if equipment is available).</P>
        <P>Activities shall not resume until NMFS is able to review the circumstances of the prohibited take. NMFS shall work with Eglin AFB to determine what is necessary to minimize the likelihood of further prohibited take and ensure MMPA compliance. Eglin AFB may not resume their activities until notified by NMFS via letter or email, or telephone.</P>

        <P>In the event that Eglin AFB discovers an injured or dead marine mammal, and the lead observer determines that the cause of injury or death is unknown and the death is relatively recent (i.e., in less than a moderate state of decomposition as described in the next paragraph), Eglin AFB will immediately report the incident to the Chief of the Permits and Conservation Division, Office of Protected Resources, NMFS, at (301) 427-8401, and/or by email to<E T="03">Jolie.Harrison@noaa.gov</E>and<E T="03">Howard.Goldstein@noaa.gov,</E>and the NMFS Southeast Region Marine Mammal Stranding Network ((877) 433-8299) and/or by email to the Southeast Regional Stranding Coordinator (<E T="03">Blair.Mase@noaa.gov</E>) and Southeast Regional Stranding Program Administrator (<E T="03">Erin.Fougeres@noaa.gov</E>). The report must include the same information identified in the paragraph above. Activities may continue while NMFS reviews the circumstances of the incident. NMFS will work with Eglin AFB to determine whether modifications in the activities are appropriate.</P>

        <P>In the event that Eglin AFB discovers an injured or dead marine mammal, and the lead observer determines that the injury or death is not associated with or related to the activities authorized in the final rule (e.g., previously wounded animal, carcass with moderate to advanced decomposition, or scavenger damage), Eglin AFB will report the incident to the Chief of the Permits and Conservation Division, Office of Protected Resources, NMFS, at (301) 427-8401, and/or by email to<E T="03">Jolie.Harrison@noaa.gov</E>and<E T="03">Howard.Goldstein@noaa.gov,</E>and the NMFS Southeast Regional Marine Mammal Stranding Network ((877) 433-8299), and/or by email to the Southeast<PRTPAGE P="16734"/>Regional Stranding Coordinator (<E T="03">Blair.Mase@noaa.gov</E>) and Southeast Regional Stranding Program Administrator (<E T="03">Erin.Fougeres@noaa.gov</E>), within 24 hours of discovery. Eglin AFB will provide photographs or video footage (if available) or other documentation of the stranded animals sighting to NMFS and the Marine Mammal Stranding Network.</P>
        <HD SOURCE="HD1">Encouraging and Coordinating Research</HD>
        <P>Although Eglin AFB does not currently conduct independent Air Force monitoring efforts, Eglin's Natural Resources Section does participate in marine animal tagging and monitoring programs lead by other agencies. Additionally, the Natural Resources Section supports participation in annual surveys of marine mammals in the GOM with NMFS. From 1999 to 2002, Eglin AFB's Natural Resources Section, through a contract representative, participated in summer cetacean monitoring and research opportunities. The contractor participated in visual surveys in 1999 for cetaceans in the GOM, photographic identification of sperm whales in the northeastern GOM in 2001, and as a visual observer during the 2000 Sperm Whale Pilot Study and the 2002 sperm whale Satellite-tag (S-tag) cruise. In addition, Eglin's Natural Resources Section has obtained Department of Defense funding for two marine mammal habitat modeling projects. The latest such project (Garrison, 2008) included funding and extensive involvement of NMFS personnel so that the most recent aerial survey data could be utilized for habitat modeling and animal density estimates in the northeastern GOM.</P>
        <P>Eglin AFB conducts other research efforts that utilize marine mammal stranding information as a means of ascertaining the effectiveness of mitigation techniques. Stranding data is collected and maintained for the Florida panhandle and GOM-wide areas. This is undertaken through the establishment and maintenance of contacts with local, state, and regional stranding networks.</P>
        <P>Eglin AFB assists with stranding data collection by maintaining its own team of stranding personnel. In addition to simply collecting stranding data, various analyses are performed. Stranding events are tracked by year, season, and NMFS' statistical zone, both GOM-wide and on the coastline in proximity to Eglin AFB. Stranding data is combined with records of EGTTR mission activity in each water range and analyzed for any possible correlation. In addition to being used as a measure of the effectiveness of mission mitigations, stranding data can yield insight into the species composition of cetaceans in the region.</P>
        <HD SOURCE="HD1">Negligible Impact Determination</HD>
        <P>As explained, NMFS will only issue an authorization to incidentally take marine mammals pursuant to section 101(a)(5)(A) of the MMPA if, based on review of the best scientific information available and consideration of applicable mitigation and their likely effectiveness, it determines that the total taking authorized over the five-year period will have a negligible impact on affected species or stocks of marine mammals. NMFS implementing regulations codified at 50 CFR 216.103 state that “negligible impact is an impact resulting from the specified activity that cannot be reasonably expected to, and is not reasonably likely to, adversely affect the species or stock through effects on annual rates of recruitment or survival.”</P>
        <P>In making a negligible impact determination NMFS evaluated factors such as:</P>
        <P>(1) The number of anticipated injuries, serious injuries, or mortalities;</P>
        <P>(2) The number, nature, intensity, and duration of Level B harassment (all relatively limited);</P>
        <P>(3) The context in which the takes occur (i.e., impacts to areas of significance, impacts to local populations, and cumulative impacts when taking into account successive contemporaneous actions when added to baseline data);</P>
        <P>(4) The status of stock or species of marine mammal (i.e., depleted, not depleted, decreasing, increasing, stable, and impact relative to the size of the population);</P>
        <P>(5) Impacts on habitat affecting rates of recruitment or survival; and</P>
        <P>(6) The effectiveness of monitoring and mitigation measures (i.e., the manner and degree in which the measure is likely to reduce adverse impacts to marine mammals, the likely effectiveness of the measures, and the practicability of implementation).</P>
        <P>Tables 2, 3, 6, 7, and 8 in this document disclose the habitat, regional abundance, conservation status, density, and the number of individuals exposed to sound levels considered the threshold for Level A and B harassment. Also, there are no known important reproductive or feeding areas in the action area.</P>
        <P>For reasons stated previously in this document, and in the proposed rule (76 FR 60694, October 1, 2010), the specified activities associated with the NEODS training operations are not likely to cause PTS or other non-auditory injury, serious injury, or death to affected marine mammals. As a result, no take by injury, serious injury, or death is anticipated or authorized, and the potential for temporary or permanent hearing impairment is very low and will be minimized through the incorporation of the monitoring and mitigation measures.</P>
        <P>Approximately 50 Atlantic bottlenose dolphins are anticipated to incur hearing impairment (TTS). While some other species of marine mammals (none of which are ESA-listed) occur in the project area year-round, only Atlantic bottlenose dolphins are anticipated to be potentially impacted by the NEODS operations. Due to the nature, degree, and context of the Level B harassment anticipated, the activity is not expected to impact rates of recruitment or survival.</P>

        <P>Many animals perform vital functions, such as feeding, resting, traveling, and socializing, on a diel cycle (24-hr cycle). Behavioral reactions to noise exposure (such as disruption of critical life functions, displacement, or avoidance of important habitat) are more likely to be significant if they last more than one diel cycle or recur on subsequent days (Southall<E T="03">et al.,</E>2007). Consequently, a behavioral response lasting less than one day and not recurring on subsequent days is not considered particularly severe unless it could directly affect reproduction or survival (Southall<E T="03">et al.,</E>2007). NEODS operations would occur up to eight times annually, at varying times within the year, and include two “live demolition” days. Therefore, the U.S. Air Force's NEODS operations will not be creating increased sound levels in the marine environment for prolonged periods of time.</P>
        <P>The population estimates for the species that may be taken by harassment from the most recent U.S. Gulf of Mexico Stock Assessment Reports and Protected Species Habitat Modeling in the EGTTR were provided earlier in this document. From the most conservative estimates of both marine mammal densities in the action area and the size of the harassment thresholds, the maximum calculated number of individual Atlantic bottlenose dolphins that could potentially be harassed annually and over the five-year rule is 6 (summer) and 4 (winter) (10 total annually), which numbers amount to 0.05 percent (summer) and less than 0.01 percent (winter) of the total estimated population size.</P>

        <P>Based on the analysis contained herein, of the likely effects of the specified activity on marine mammals and their habitat, and taking into<PRTPAGE P="16735"/>consideration the implementation of the mitigation and monitoring measures, NMFS has determined that NEODS operations by the U.S. Air Force will result in the incidental take of marine mammals, by Level B harassment only, and that the total taking from the NEODS training operations over the five-year period covered by the regulations would have a negligible impact on the affected species or stocks of marine mammals.</P>
        <HD SOURCE="HD1">Impact on Availability of Affected Species for Taking for Subsistence Uses</HD>
        <P>Section 101(a)(5)(A) of the MMPA also requires NMFS to determine that the total of such taking authorized will not have an unmitigable adverse effect on the availability of marine mammal species or stocks for taking for subsistence uses. There is no subsistence hunting for marine mammals in the waters off of the coast of Florida that implicates section 101(a)(5)(A) of the MMPA.</P>
        <HD SOURCE="HD1">Endangered Species Act (ESA)</HD>
        <P>For the reasons already described in this<E T="03">preamble,</E>NMFS has determined that the described NEODS training operations and the accompanying LOA are not likely to affect marine mammal species managed under NMFS jurisdiction and protected by the ESA. The U.S. Air Force requested an informal section 7 consultation with NMFS SERO on May 9, 2010 and NMFS SERO concurred that the action may affect, but is not likely to adversely affect, ESA-listed species or designated critical habitat in a letter to the U.S. Air Force dated July 28, 2010.</P>
        <HD SOURCE="HD1">National Environmental Policy Act (NEPA)</HD>
        <P>NMFS has conducted the necessary NEPA analysis and has prepared an “Environmental Assessment on the Promulgation of Regulations and the Issuance of a Letter of Authorization to Take Marine Mammals, by Harassment, Incidental to Naval Explosive Ordnance Disposal School Training Operations at Eglin Air Force Base, Florida,” which analyzes the project's purpose and need, alternatives, affected environment, and environmental effects for the action prior to making a determination on the final rule. Based on the analysis in the EA and the underlying information in the record, including the application, proposed rule, public comments and informal section 7 consultation, NMFS has prepared and issued a Finding of No Significant Impact determining that preparation of an Environmental Impact Statement is not required.</P>
        <HD SOURCE="HD1">Determinations</HD>
        <P>Based on Eglin AFB's application, as well as the analysis contained herein, NMFS has determined that the impact of the described NEODS training operations will result, at most, in a temporary modification in behavior (Level B harassment) of Atlantic bottlenose dolphins, which are expected to temporarily vacate the action area to avoid NEODS training activities. The activities may also result in minor visual and acoustic disturbances from detonations. The effect of the NEODS training operations is expected to be limited to non-TTS behavioral disturbance and short-term and localized TTS-related behavioral changes.</P>
        <P>Due to the infrequency, short time-frame, and localized nature of these activities, NMFS only expects and has thus authorized the incidental take of up to 50 Atlantic bottlenose dolphins. In addition, no take by injury, serious injury, or death is anticipated, and take by Level B harassment will be at the lowest level practicable due to incorporation of the monitoring and mitigation measures mentioned previously in this document. No injury (Level A harassment), serious injury, or mortality is expected or authorized for marine mammals, and take by harassment will be at the lowest level practicable due to incorporation of the monitoring and mitigation measures mentioned previously in this document. Further, NMFS has determined that the anticipated takes incidental to this activity are expected to result in a negligible impact on the affected species or stocks of marine mammals. The provision requiring that the activity not have an unmitigable adverse impact on the availability of the affected species or stock for subsistence uses does not apply to this action as there are no subsistence users within the specified geographic area of the project.</P>
        <HD SOURCE="HD1">Classification</HD>
        <P>For purposes of Executive Order 12866, the Office of Management and Budget has determined that this rule stage is not significant.</P>
        <P>Pursuant to section 605(b) of the Regulatory Flexibility Act, the Chief Counsel for Regulation of the Department of Commerce has certified to the Chief of Counsel for Advocacy of the Small Business Administration that this final rule would not have a significant economic impact on a substantial number of small entities. The factual basis for the certification was published in the proposed rule and is not repeated here. No comments were received regarding this certification. Accordingly, no regulatory flexibility analysis is required, and none has been prepared.</P>
        <HD SOURCE="HD1">Authorization</HD>
        <P>As a result of these determinations, NMFS is issuing five-year regulations establishing a framework for the issuance of LOAs to Eglin AFB for the take of Atlantic bottlenose dolphins by Level B harassment incidental to NEODS training operations, provided the previously mentioned mitigation, monitoring, and reporting requirements are incorporated.</P>
        <HD SOURCE="HD1">Changes From the Proposed Rule</HD>
        <P>In addition to minor edits to the rule for clarification, NMFS has made the following changes to the rule:</P>
        <P>• Revised dates;</P>
        <P>• Revised safety zones based on the weight of the charge;</P>

        <P>• Revised analysis of takes based on the Level A harassment (injury) threshold of 13 psi-msec and the Level B harassment (non-TTS) threshold of 177 dB re 1 μPa<E T="51">2</E>-sec;</P>
        <P>• Revised monitoring and mitigation measures to increase the probability of detecting all marine mammals within or entering the identified safety zones under various Beaufort sea state and weather conditions;</P>
        <P>• Revised monitoring and mitigation measures to reduce the potential for lethal take of bottlenose dolphins, as occurred in similar explosive training operations at the U.S. Navy's Silver Strand Training Complex near San Diego, California; and</P>
        <P>• Require suspension of the NEODS training operations if a marine mammal is seriously injured or killed and the injury or death could be associated with the Eglin AFB activities and, if supplementary measures are unlikely to reduce the risk of serious injury or death to a very low level, require the U.S. Air Force to suspend its activities until an authorization for such taking has been obtained.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 50 CFR Part 217</HD>
          <P>Exports, Fish, Imports, Indians, Labeling, Marine mammals, Penalties, Reporting and recordkeeping requirements, Seafood, Transportation.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: March 14, 2012.</DATED>
          <NAME>Alan D. Risenhoover,</NAME>
          <TITLE>Acting Deputy Assistant Administrator for Regulatory Programs, National Marine Fisheries Service.</TITLE>
        </SIG>
        <P>For reasons set forth in the preamble, 50 CFR part 217 is amended as follows:</P>
        <REGTEXT PART="217" TITLE="50">
          <PART>
            <PRTPAGE P="16736"/>
            <HD SOURCE="HED">PART 217—REGULATIONS GOVERNING THE TAKE OF MARINE MAMMALS INCIDENTAL TO SPECIFIED ACTIVITIES</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 217 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>16 U.S.C. 1361<E T="03">et seq.</E>
            </P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="217" TITLE="50">
          <AMDPAR>2. Subpart I is added to part 217 to read as follows:</AMDPAR>
          <CONTENTS>
            <SUBPART>
              <HD SOURCE="HED">Subpart I—Taking of Marine Mammals Incidental to Naval Explosive Ordnance Disposal School Training Operations</HD>
              <SECHD>Sec.</SECHD>
              <SECTNO>217.80</SECTNO>
              <SUBJECT>Specified activity and specified geographical region.</SUBJECT>
              <SECTNO>217.81</SECTNO>
              <SUBJECT>Effective dates.</SUBJECT>
              <SECTNO>217.82</SECTNO>
              <SUBJECT>Permissible methods of taking.</SUBJECT>
              <SECTNO>217.83</SECTNO>
              <SUBJECT>Prohibitions.</SUBJECT>
              <SECTNO>217.84</SECTNO>
              <SUBJECT>Mitigation.</SUBJECT>
              <SECTNO>217.85</SECTNO>
              <SUBJECT>Requirements for monitoring and reporting.</SUBJECT>
              <SECTNO>217.86</SECTNO>
              <SUBJECT>Applications for Letters of Authorization.</SUBJECT>
              <SECTNO>217.87</SECTNO>
              <SUBJECT>Letters of Authorization.</SUBJECT>
              <SECTNO>217.88</SECTNO>
              <SUBJECT>Renewal and review of Letters of Authorization and adaptive management.</SUBJECT>
              <SECTNO>217.89</SECTNO>
              <SUBJECT>Modifications of Letters of Authorization.</SUBJECT>
            </SUBPART>
          </CONTENTS>
          <SUBPART>
            <HD SOURCE="HED">Subpart I—Taking of Marine Mammals Incidental to Naval Explosive Ordnance Disposal School (NEODS) Training Operations</HD>
            <SECTION>
              <SECTNO>§ 217.80</SECTNO>
              <SUBJECT>Specified activity and specified geographical region.</SUBJECT>
              <P>(a) Regulations in this subpart apply only to the incidental taking of those marine mammals specified in paragraph (b) of this section by the United States Air Force, Headquarters 96th Air Base Wing, Eglin Air Force Base, and those persons who engage in activities described in paragraphs (a)(1) through (7) of this section and the area set forth in paragraph (b) of this section.</P>
              <P>(1) NEODS missions involving underwater detonations of small, live explosive charges adjacent to inert mines in order to disable the mine function,</P>
              <P>(2) Live training events occurring eight times annually, averaging one event occurring every 6 to 7 weeks,</P>
              <P>(3) Four of the training events involving 5-lb charges, and four events involving 10-lb charges,</P>
              <P>(4) Up to 20 5-lb detonations and twenty 10-lb detonations annually, for a total of 40 detonations,</P>
              <P>(5) The five charges occurring for each training event shall be detonated individually with a maximum separation time of 20 minutes between each detonation,</P>
              <P>(6) Mine shapes and debris shall be recovered and removed from the Gulf of Mexico waters when training is completed, and</P>
              <P>(7) Each training team has two days to complete their entire evolution (i.e., detonation of five charges). If operations cannot be completed on the first live demolition day, the second live demolition day shall be utilized to complete the evolution.</P>

              <P>(b) The incidental take of marine mammals at Eglin Air Force Base, within the Eglin Military Complex, including three sites in the Eglin Gulf Test and Training Range at property off Santa Rosa Island, Florida, in the northern Gulf of Mexico, under the activity identified in paragraph (a) of this section, is limited to the following species: Atlantic bottlenose dolphins (<E T="03">Tursiops truncatus</E>).</P>
              <P>(1) The latitude/longitude of corners of W-151 in the Eglin Gulf Test and Training Range are:</P>
              <P>(i) 30.24006° North, −86.808838° West</P>
              <P>(ii) 29.539011° North, −84.995536° West</P>
              <P>(iii) 28.03949° North, −85.000147° West</P>
              <P>(iv) 28.027598° North, −85.199395° West</P>
              <P>(v) 28.505304° North, −86.799043° West</P>
              <P>(2) The latitude/longitude of corners of W-151A in the Eglin Gulf Test and Training Range are:</P>
              <P>(i) 30.24006° North, −86.808838° West</P>
              <P>(ii) 30.07499° North, −85.999327° West</P>
              <P>(iii) 29.179968° North, −85.996341° West</P>
              <P>(iv) 29.384439° North, −86.802579° West</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.81</SECTNO>
              <SUBJECT>Effective dates.</SUBJECT>
              <P>Regulations in this subpart are effective from April 23, 2012, through April 24, 2017.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.82</SECTNO>
              <SUBJECT>Permissible methods of taking.</SUBJECT>
              <P>(a) Under Letters of Authorization issued pursuant to § 216.106 of this chapter and § 217.87, the U.S. Department of the Air Force, Headquarters 96th Air Base Wing, Eglin Air Force Base (U.S. Air Force), its contractors, and clients, may incidentally, but not intentionally, take marine mammals by Level B harassment, within the area described in § 217.80, provided the activity is in compliance with all terms, conditions, and requirements of these regulations and the appropriate Letter of Authorization.</P>
              <P>(b) The incidental taking of marine mammals is authorized for the species listed in § 217.80(b) and is limited to Level B harassment.</P>
              <P>(c) The incidental taking of an average of 10 individuals annually and 50 individuals during the 5-year rule, for Atlantic bottlenose dolphins.</P>
              <P>(d) The U.S. Air Force shall suspend NEODS training operations until it obtains additional authorization for the take of marine mammals if:</P>
              <P>(1) A marine mammal is injured, seriously injured, or killed during training operations;</P>
              <P>(2) The injury, serious injury, or death could be associated with the activities; and</P>
              <P>(3) After coordination and concurrence with NMFS, the U.S. Air Force determines that supplementary measures are unlikely to reduce the risk of injury, serious injury or death to a very low level, require the U.S. Air Force to suspend its activities until an authorization for such taking has been obtained.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.83</SECTNO>
              <SUBJECT>Prohibitions.</SUBJECT>
              <P>Notwithstanding takings contemplated in § 217.80 and authorized by a Letter of Authorization issued under §§ 216.106 of this chapter and 217.87, no person in connection with the activities described in § 217.80 may:</P>
              <P>(a) Take any marine mammal not specified in § 217.80(b);</P>
              <P>(b) Take any marine mammal specified in § 217.80(b) other than by incidental take as specified in § 217.82(a) through (d);</P>
              <P>(c) Take a marine mammal specified in § 217.80(b) if such taking results in more than a negligible impact on the species or stocks of such marine mammal; or</P>
              <P>(d) Violate, or fail to comply with, the terms, conditions, and requirements of this subpart or a Letter of Authorization issued under §§ 216.106 of this chapter and 217.87.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.84</SECTNO>
              <SUBJECT>Mitigation.</SUBJECT>
              <P>(a) The activity identified in § 217.80(a) must be conducted in a manner that minimizes, to the greatest extent practicable, adverse impacts on marine mammals and their habitats. When conducting operations identified in § 217.80(a), the mitigation measures contained in the Letter of Authorization issued under §§ 216.106 of this chapter and 217.87 must be implemented. These mitigation measures include (but are not limited to):</P>
              <P>(1) Underwater detonations using timed delay devices will only be conducted during daylight hours. The time of detonation shall be limited to an hour after sunrise and an hour before sunset.</P>
              <P>(2) NEODS missions shall be postponed if:<PRTPAGE P="16737"/>
              </P>
              <P>(i) The Beaufort sea state is greater than scale number three. Such a delay would maximize detection of marine mammals.</P>

              <P>(ii) Large concentrations of fish, jellyfish, and/or large<E T="03">Sargassum</E>rafts are observed within the mitigation-monitoring zone. The delay would continue until the fish, jellyfish, and/or<E T="03">Sargassum</E>rafts that cause the postponement are confirmed to be outside the mitigation-monitoring zone.</P>
              <P>(3) Time delays longer than 10 minutes will not be used. Initiation of the timer device will not start until the mitigation-monitoring zone is clear of marine mammals for 30 minutes.</P>
              <P>(4) A calculated mitigation-monitoring zone will be established around each underwater detonation location based on charge weight and length of time-delay used. When conducting surveys within the mitigation-monitoring zone radius (but always outside the detonation plume radius/human safety zone) and travel in a circular pattern around the detonation point, surveying the inner (toward the detonation site) and outer (away from the detonation site) areas. For a survey radius of 914.4 meters, the boat will be positioned at 457.2 meters from the detonation point. Similarly, for a survey radius of 1,280.2 meters, boats will be positioned at 640.1 meter distance.</P>
              <P>(5) For a survey radius of 914.4 meters, two boats are required. For a radius of 1,280.2 meters, either three boats or two boats/one helicopter are required.</P>
              <P>(6) When using two boats, each boat will be positioned on opposite sides of the detonation location, separated by 180 degrees. When using three boats, each boat will be separated by 120 degrees (equidistant from each other).</P>

              <P>(7) Two observers in each boat will conduct continuous visual surveys of the mitigation-monitoring zone for the entire duration of the training event, including at least 30 minutes prior to detonation. Observers will search the mitigation-monitoring zone for the presence of marine mammals, and other marine species such as sea turtles, diving birds, large concentrations of fish or jellyfish, and large<E T="03">Sargassum</E>mats. The presence of diving birds, fish, jellyfish, and<E T="03">Sargassum</E>may indicate an increased likelihood of dolphin presence.</P>
              <P>(8) To the extent practicable, boats will maintain 18.5 kilometer per hour search speed. This search speed is expected to ensure adequate coverage of the buffer zone. While weather conditions and sea state may require slower speeds in some instances, 18.5 kilometers per hour is considered a prudent, safe, and executable speed that will allow adequate surveillance. For a 914.4 meter survey zone, a boat traveling at 18.5 kilometers per hour and 457.2 meters from the detonation point would circle the point approximately 3.2 times during a 30 minute survey period. By using two boats, approximately 6.4 circles would be completed in total. Similarly, for a 1,280.2 meter radius, each boat would circle the detonation point approximately 2.3 times within 30 minutes, and use of three boats would result in 6.9 total circles.</P>
              <P>(9) If available, a U.S. Navy helicopter can be used in lieu of one of the survey boats, so long as safety of flight is not jeopardized. U.S. Navy helicopter pilots are trained to conduct searches for relatively small objects in the water, such as a missing person. A helicopter search pattern is dictated by standard U.S. Navy protocols and accounts for multiple variables, such as size and shape of the search area, size of the object, and environmental conditions, among others.</P>
              <P>(10) The mitigation-monitoring zone will be surveyed for 30 minutes prior to detonation and continue for 30 minutes after detonation (concentrated on the area down current of the test site), in order to monitor for marine mammals and other protected species. It is the U.S. Air Force's (on behalf of the U.S. Navy) intent to conduct five successive detonations with a maximum time of 20 minutes between detonations, although a variety of factors can cause a delay of longer than 20 minutes between detonations, although a variety of factors can cause a delay of longer than 20 minutes, including a delay until the following day. Monitoring would continue during the 20 minutes time between detonations, and would serve as both post-detonation monitoring as well as pre-mission monitoring for the next detonation. If the time between detonations is delayed beyond 20 minutes, post-mission monitoring will be conducted for 30 minutes. At the conclusion of the final detonation, post-monitoring will be conducted for 30 minutes.</P>
              <P>(11) Other personnel besides designated observers shall also maintain situational awareness of the presence of marine mammals within the mitigation-monitoring zone to the extent practicable given dive safety considerations.</P>
              <P>(12) Divers placing the charges on mines will observe the immediate underwater area around the detonation site for marine mammals and other marine species such as diving birds, sea turtles, and Gulf sturgeon, and report sightings to surface observers.</P>
              <P>(13) If a marine mammal is sighted within an established mitigation-monitoring zone or moving towards it, underwater detonation events will be postponed or suspended until the marine mammal that caused the postponement/suspension of training operations has voluntarily left the area and the area is clear of marine mammals for at least 30 minutes.</P>
              <P>(14) If a marine mammal is detected within or about to enter an established mitigation-monitoring zone and subsequently cannot be reacquired, the mission will be postponed or suspended until the last verified location is outside the mitigation-monitoring zone, the animals is moving away from the area, and the area is clear of marine mammals for at least 30 minutes.</P>
              <P>(15) Any marine mammal observed after an underwater detonation either injured or exhibiting signs of distress will be reported to Eglin Air Force Base. Eglin Air Force Base will coordinate with other members of marine mammal stranding networks, as appropriate, and report these events to NMFS or U.S. Fish and Wildlife Service. The report will contain date and time of sighting, location, species description, and indications of the animal's status.</P>
              <P>(16) Training operations shall be suspended if the conditions of § 217.83(a)-(d) regarding the injury, serious injury, or death of a marine mammal during NEODS training operations are met.</P>
              <P>(17) Additional mitigation measures as contained in a Letter of Authorization.</P>
              <P>(b) [Reserved]</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.85</SECTNO>
              <SUBJECT>Requirements for monitoring and reporting.</SUBJECT>

              <P>(a) Holders of Letters of Authorization pursuant to § 216.106 of this chapter and § 217.87 for activities described in § 216.80(a) are required to cooperate with NMFS, and any other Federal, state, or local agency with authority to monitor the impacts of the activity on marine mammals. Unless specified otherwise in the Letter of Authorization, the Holder of the Letter of Authorization must notify the Administrator, Southeast Region, NMFS, by letter or telephone, prior to activities possibly involving the taking of marine mammals. If the authorized activity identified in § 217.80(a) is thought to have resulted in the mortality or injury of any marine mammals or in any take of marine mammals not identified in § 217.80(b), then the Holder of the Letter of Authorization must, in addition to complying with the requirements of<PRTPAGE P="16738"/>§ 217.82(a)-(d), notify the Director, Office of Protected Resources, NMFS, or designee, by telephone (301-427-8400), within 24 hours of the discovery of the injured or dead animal.</P>
              <P>(b) Holders of Letters of Authorization must designate trained, qualified, on-site individuals approved in advance by NMFS, as specified in the Letter of Authorization, to perform the following monitoring requirements:</P>
              <P>(1) For NEODS testing, areas to be used in missions shall be visually monitored for marine mammal presence from a surface support vessel prior to detonation of mine neutralization charges. Monitoring shall be conducted 30 minutes before missions to clear the mitigation-monitoring zone. Post-mission monitoring shall also be conducted for 30 minutes after the final detonation (concentrated on the area down current of the test site). If marine mammals are inside the mitigation-monitoring zone, detonations shall be postponed until they have left the area. The observer on the vessel must be equipped with the proper optical equipment and lines of communication in order to recommend the decision to move forward with the mission.</P>
              <P>(2) Monitoring shall occur pre-mission (for 30 minutes), throughout the mission, and post-mission (for 30 minutes). Post-mission monitoring shall concentrate on the area down current of the test site.</P>

              <P>(3) Survey clearance procedures shall be conducted using best operational methods possible. After the mitigation-monitoring zone is cleared, all dolphins and protected species indicators (e.g.,<E T="03">Sargassum</E>rafts) shall be avoided to the maximum extent possible.</P>

              <P>(4) Clearance procedures shall be re-conducted if dolphins or protected species indicators (e.g.,<E T="03">Sargassum</E>rafts) are encountered.</P>
              <P>(5) After conducting post-mission monitoring, NEODS training operations data as required by Eglin Air Force Base's Natural Resources Section, 96 CEG/CEVSN shall be reported. Post-mission monitoring shall commence immediately following each detonation and shall be concentrated on the area down current of the test site. If any injured or dead marine mammals are observed, that information will be reported and coordinated with marine animals stranding networks.</P>
              <P>(6) An annual summary (coordinated through 96 CEG/CEVSN) of mission observations shall be submitted to: NMFS, Southeast Regional Office, Protected Resources Division, 9721 Executive Center Drive North, St. Petersburg, Florida 33702; and NMFS, Office of Protected Resources, 1315 East West Highway, Silver Spring, Maryland 20910.</P>
              <P>(c) Holders of Letters of Authorization must conduct additional monitoring as required under an annual Letter of Authorization.</P>
              <P>(d) Holders of Letters of Authorization must submit an annual report summarizing the specified activity as well as monitoring and mitigation data to the Southeast Regional Administrator and Director of the Office of Protected Resources, NMFS, within 90 days after the conclusion of the NEODS training operations. This report must contain the following information:</P>
              <P>(1) Date(s), time(s), and location(s) of explosive activities,</P>
              <P>(2) Design of the monitoring program,</P>
              <P>(3) Results of the monitoring program including, but not necessarily limited to:</P>
              <P>(i) Species counts,</P>
              <P>(ii) Numbers of observed disturbances,</P>
              <P>(iii) Descriptions of the disturbance behaviors before, during, and after explosive activities,</P>
              <P>(iv) Bearing and distances,</P>
              <P>(v) Observations of unusual behaviors, numbers, or distributions of marine mammals in the activity area shall be reported to NMFS and the U.S. Fish and Wildlife Service so that any potential follow-up observations can be conducted by the appropriate personnel. In addition, observations of tag-bearing marine mammals, sea turtles, and fish carcasses as well as any rare or unusual species of marine mammals and fish shall be reported to NMFS and U.S. Fish and Wildlife Service.</P>
              <P>(e) An annual report (referred to in § 217.85(d)) must be submitted at the time of notification of the renewal of the Letter of Authorization.</P>
              <P>(f) A draft comprehensive final report must be submitted at least 180 days prior to expiration of these regulations. This comprehensive technical report shall provide full documentation of methods, results, and interpretation of all monitoring during the first four and a half years of the Letter of Authorization. A revised final comprehensive technical report, including all monitoring results during the entire period of the Letters of Authorization, must be submitted 90 days after the end of the period of effectiveness of the regulations. This report shall summarize the activities undertaken and the results reported in all previous reports.</P>

              <P>(g)(1) In the unanticipated event that the specified activity clearly causes the take of a marine mammal in a manner prohibited by a Letter of Authorization, such as an injury, serious injury, or mortality, Eglin Air Force Base will immediately cease the specified activities and immediately report the incident to the Chief of the Permits and Conservation Division, Office of Protected Resources, NMFS at 301-427-8401 and/or by email to<E T="03">Jolie.Harrison@noaa.gov</E>and<E T="03">Howard.Goldstein@noaa.gov,</E>and the NMFS Southeast Regional Marine Mammal Stranding Network at 877-433-8299 (<E T="03">Blair.Mase@noaa.gov</E>and<E T="03">Erin.Fougeres@noaa.gov</E>) (Florida Marine Mammal Stranding Hotline at 888-404-3922). The report must include the following information:</P>
              <P>(i) Time, date, and location (latitude/longitude) of the incident;</P>
              <P>(ii) Description of the incident;</P>
              <P>(iii) Status of all noise-generating source use in the 24 hours preceding the incident;</P>
              <P>(iv) Water depth;</P>
              <P>(v) Environmental conditions (e.g., wind speed and direction, Beaufort sea state, cloud cover, and visibility);</P>
              <P>(vi) Description of all marine mammal observations in the 24 hours preceding the incident;</P>
              <P>(vii) Species identification or description of the animal(s) involved;</P>
              <P>(viii) Fate of the animal(s); and</P>
              <P>(ix) Photographs or video footage of the animal(s) (if equipment is available).</P>
              <P>Activities shall not resume until NMFS is able to review the circumstances of the prohibited take. NMFS shall work with Eglin Air Force Base to determine what is necessary to minimize the likelihood of further prohibited take and ensure MMPA compliance. Eglin Air Force Base may not resume their activities until notified by NMFS via letter or email, or telephone.</P>

              <P>(2) In the event that Eglin Air Force Base discovers an injured or dead marine mammal, and the lead observer determines that the cause of injury or death is unknown and the death is relatively recent (i.e., less than a moderate state of decomposition as described in the next paragraph), Eglin Air Force Base will immediately report the incident to the Chief of the Permits and Conservation Division, Office of Protected Resources, NMFS, at 301-427-8401, and/or by email to<E T="03">Jolie.Harrison@noaa.gov</E>and<E T="03">Howard.Goldstein@noaa.gov</E>and the NMFS Southeast Region Marine Mammal Stranding Network (877-433-8299) and/or by email to the Southeast Regional Stranding Coordinator (<E T="03">Blair.Mase@noaa.gov</E>) and Southeast Regional Stranding Program Administrator (<E T="03">Erin.Fougeres@noaa.gov</E>). The report must include the same information<PRTPAGE P="16739"/>identified in the paragraph above. Activities may continue while NMFS reviews the circumstances of the incident, NMFS will work with Eglin Air Force Base to determine whether modifications in the activities are appropriate.</P>

              <P>(3) In the event that Eglin Air Force Base discovers an injured or dead marine mammal, and the lead observer determines that the injury or death is not associated with or related to the activities authorized in the Letter of Authorization (e.g., previously wounded animal, carcass with moderate to advanced decomposition, or scavenger damage), Eglin Air Force Base will report the incident to the Chief of the Permits and Conservation Division, Office of Protected Resources, NMFS, at 301-427-8401, and/or by email to<E T="03">Jolie.Harrison@noaa.gov</E>and<E T="03">Howard.Goldstein@noaa.gov,</E>and the NMFS Southeast Regional Marine Mammal Stranding Network (877-433-8299), and/or by email to the Southeast Regional Stranding Coordinator (<E T="03">Blair.Mase@noaa.gov</E>) and Southeast Regional Stranding Program Administrator (<E T="03">Erin.Fougeres@noaa.gov</E>), within 24 hours of discovery. Eglin Air Force Base will provide photographs or video footage (if available) or other documentation of the stranded animals sighting to NMFS and the Marine Mammal Stranding Network.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.86</SECTNO>
              <SUBJECT>Applications for Letters of Authorization.</SUBJECT>
              <P>(a) To incidentally take marine mammals pursuant to these regulations, the U.S. citizen (as defined by § 216.103) conducting the activity identified in § 217.80(a) must apply for and obtain either an initial Letter of Authorization in accordance with § 217.87 or a renewal under § 217.88.</P>
              <P>(b) The application must be submitted to NMFS at least 30 days before the activity is scheduled to begin.</P>
              <P>(c) Application for a Letter of Authorization and for renewals of Letters of Authorization must include the following:</P>
              <P>(1) Name of the U.S. citizen requesting the authorization;</P>
              <P>(2) A description of the activity, the dates of the activity, and the specific location of the activity; and</P>
              <P>(3) Plans to monitor the behavior and effects of the activity on marine mammals.</P>
              <P>(d) A copy of the Letter of Authorization must be in the possession of the persons conducting activities that may involve incidental takings of marine mammals.</P>
              <P>(e) [Reserved]</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.87</SECTNO>
              <SUBJECT>Letters of Authorization.</SUBJECT>
              <P>(a) A Letter of Authorization, unless suspended or revoked, shall be valid for a period of time not to exceed the period of validity of this subpart.</P>
              <P>(b) The Letter of Authorization shall set forth:</P>
              <P>(1) Permissible methods of incidental taking;</P>
              <P>(2) Means of effecting the least practicable adverse impact on the species, its habitat, and on the availability of the species for subsistence uses (i.e., mitigation); and</P>
              <P>(3) Requirements for mitigation, monitoring, and reporting.</P>
              <P>(c) Issuance and renewal of the Letter of Authorization shall be based on a determination that the total number of marine mammals taken by the activity as a whole shall have no more than a negligible impact on the affected species or stock of marine mammal(s).</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.88</SECTNO>
              <SUBJECT>Renewal of Letters of Authorization and adaptive management.</SUBJECT>
              <P>(a) A Letter of Authorization issued under § 216.106 of this chapter and § 217.87 for the activity identified in § 217.80(a) shall be renewed upon a request by the applicant or determination by NMFS and the applicant that modifications are appropriate pursuant to the adaptive management component of these regulations, provided that:</P>
              <P>(1) NMFS is notified that the activity described in the application submitted under § 217.86 shall be undertaken and there shall not be a substantial modification to the described work, mitigation or monitoring undertaken during the upcoming 12 months;</P>
              <P>(2) NMFS has received, reviewed, and accepted the monitoring reports required under § 217.85(d) and (e) and the Letter of Authorization issued under § 217.87;</P>
              <P>(3) NMFS determines that the mitigation, monitoring, and reporting measures required under §§ 217.84 and 217.85 and the Letter of Authorization issued under §§ 216.106 and 217.87 of this chapter, were undertaken and shall be undertaken during the upcoming annual period of validity of a renewed Letter of Authorization; and</P>
              <P>(4) NMFS makes the determination required by § 217.87(c).</P>

              <P>(b) If either a request for a renewal of a Letter of Authorization issued under § 216.106 of this chapter and § 217.88, or a determination by NMFS and the applicant that modifications are appropriate pursuant to the adaptive management component of these regulations indicates that a substantial modification, as determined by NMFS, to the described work, mitigation or monitoring undertaken during the upcoming season shall occur, NMFS shall publish a proposed modification to the Letter of Authorization in the<E T="04">Federal Register</E>and provide the public a period of 30 days for review and comment. Review and comment on renewals or modifications of Letters of Authorization are restricted to:</P>
              <P>(1) New cited information and data indicating that the determinations made in this document are in need of reconsideration, and</P>
              <P>(2) Proposed substantive changes to the mitigation and monitoring requirements contained in these regulations or in the current Letter of Authorization.</P>

              <P>(c) A notice of issuance or denial of a renewal of a Letter of Authorization shall be published in the<E T="04">Federal Register</E>.</P>
              <P>(d) Adaptive Management—NMFS may modify or augment the existing mitigation or monitoring measures (after consulting with the U.S. Air Force regarding the practicability of the modifications) if doing so creates a reasonable likelihood of more effectively accomplishing the goals of mitigation and monitoring set forth in the preamble of these regulations. Below are some of the possible sources of new data that could contribute to the decision to modify the mitigation or monitoring measures:</P>
              <P>(1) Results from the U.S. Air Force's monitoring from the previous year;</P>
              <P>(2) Results from marine mammal and sound research; or</P>
              <P>(3) Any information which reveals that marine mammals may have been taken in a manner, extent or number not authorized by these regulations or subsequent Letters of Authorization.</P>
            </SECTION>
            <SECTION>
              <SECTNO>§ 217.89</SECTNO>
              <SUBJECT>Modifications of Letters of Authorization.</SUBJECT>
              <P>(a) Except as provided in paragraph (b) of this section, no substantive modification (including withdrawal or suspension) to the Letter of Authorization by NMFS issued pursuant to § 216.106 of this chapter and § 217.87 of this chapter and subject to the provisions of this subpart shall be made until after notification and an opportunity for public comment has been provided. For purposes of this paragraph, a renewal of a Letter of Authorization under § 217.88, without modification (except for the period of validity), is not considered a substantive modification.</P>

              <P>(b) If the Assistant Administrator determines that an emergency exists that poses a significant risk to the well-being of the species or stocks of marine mammals specified in § 217.80(b), a<PRTPAGE P="16740"/>Letter of Authorization issued pursuant to § 216.106 of this chapter and § 217.87 of this chapter may be substantively modified without prior notification and an opportunity for public comment. Notification shall be published in the<E T="04">Federal Register</E>within 30 days subsequent to the action.</P>
            </SECTION>
          </SUBPART>
        </REGTEXT>
        
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6824 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </RULE>
    <RULE>
      <PREAMB>
        <AGENCY TYPE="S">DEPARTMENT OF COMMERCE</AGENCY>
        <SUBAGY>National Oceanic and Atmospheric Administration</SUBAGY>
        <CFR>50 CFR Part 300</CFR>
        <DEPDOC>[Docket No. 120106033-2163-02]</DEPDOC>
        <RIN>RIN 0648-BB68</RIN>
        <SUBJECT>Pacific Halibut Fisheries; Catch Sharing Plan</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>National Marine Fisheries Service (NMFS), National Oceanic and Atmospheric Administration (NOAA), Commerce.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Final rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Assistant Administrator (AA) for Fisheries, National Oceanic and Atmospheric Administration (NOAA), on behalf of the International Pacific Halibut Commission (IPHC), publishes annual management measures promulgated as regulations by the IPHC and approved by the Secretary of State governing the Pacific halibut fishery. The AA also announces modifications to the Catch Sharing Plan (CSP) for Area 2A (waters off the U.S. West Coast) and implementing regulations for 2012, announces approval of the Area 2A CSP, and provides notice of the guideline harvest levels (GHLs) for Areas 2C and 3A. These actions are intended to enhance the conservation of Pacific halibut and further the goals and objectives of the Pacific Fishery Management Council (PFMC) and the North Pacific Fishery Management Council (NPFMC) (Councils).</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>This rule is effective April 23, 2012. The IPHC's 2012 annual management measures are effective March 22, 2012, except for the measures in section 26, which are effective April 23, 2012. The 2012 management measures are effective until superseded.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Additional requests for information regarding this action may be obtained by contacting: the International Pacific Halibut Commission, 2320 W. Commodore Way Suite 300, Seattle, WA 98199-1287; or Sustainable Fisheries Division, NMFS Alaska Region, P.O. Box 21668, Juneau, AK 99802, Attn: Ellen Sebastian, Records Officer; or Sustainable Fisheries Division, NMFS Northwest Region, 7600 Sand Point Way, NE., Seattle, WA 98115. This final rule also is accessible via the Internet at the Federal eRulemaking portal at<E T="03">http://www.regulations.gov.</E>
          </P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>For waters off Alaska, Glenn Merrill, 907-586-7228, email at<E T="03">glenn.merrill@noaa.gov;</E>or Rachel Baker, 907-586-7228, email at<E T="03">rachel.baker@noaa.gov;</E>or, for waters off the U.S. West Coast, Sarah Williams, 206-526-4646, email at<E T="03">sarah.williams@noaa.gov.</E>
          </P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background</HD>
        <P>The IPHC has promulgated regulations governing the Pacific halibut fishery in 2012 under the Convention between Canada and the United States for the Preservation of the Halibut Fishery of the North Pacific Ocean and Bering Sea (Convention), signed at Ottawa, Ontario, on March 2, 1953, as amended by a Protocol Amending the Convention (signed at Washington, DC, on March 29, 1979).</P>
        <P>As provided by the Northern Pacific Halibut Act of 1982 (Halibut Act) at 16 U.S.C. 773b, the Secretary of State, with the concurrence of the Secretary of Commerce (Secretary), may accept or reject, on behalf of the United States, recommendations made by the IPHC in accordance with the Convention (Halibut Act, Sections 773-773k.). On March 5, 2012, the Secretary of State of the United States, with the concurrence of the Secretary, accepted the 2012 IPHC regulations as provided by the Northern Pacific Halibut Act of 1982 (Halibut Act) at 16 U.S.C. 773-773k.</P>
        <P>The Halibut Act provides the Secretary with the authority and general responsibility to carry out the requirements of the Convention and the Halibut Act. The Regional Fishery Management Councils may develop and the Secretary may implement regulations governing harvesting privileges among U.S. fishermen in U.S. waters that are in addition to, and not in conflict with approved IPHC regulations. The NPFMC has exercised this authority most notably in developing a suite of halibut management programs that correspond to the three fisheries that harvest halibut in Alaska: the subsistence, sport, and commercial fisheries.</P>
        <P>Subsistence and sport halibut fishery regulations are codified at 50 CFR part 300. Commercial halibut fisheries in Alaska operate within the Individual Fishing Quota (IFQ) Program and Community Development Quota (CDQ) Program (50 CFR part 679), and through area-specific catch sharing plans. Regulations for a commercial and sport fishery Halibut CSP in Areas 2C and 3A are being developed pursuant to the NPFMC authority under the Halibut Act. NMFS published a proposed rule for the Area 2C and Area 3A CSP on July 16, 2011, and accepted comments on the proposed rule and on the Environmental Assessment (EA), Regulatory Impact Review, and Initial Regulatory Flexibility Analysis (IRFA) prepared for the CSP through September 21, 2011. In October 2011, NMFS informed the NPFMC that public comments received on the proposed CSP raised issues that may require additional input from the NPFMC before NMFS can proceed to a final rule. NMFS is continuing to work with the NPFMC to address these issues of concern and is seeking NPFMC advice on how to proceed with agency review of the Area 2C and Area 3A CSP.</P>
        <P>The PFMC also exercises authority in a CSP allocating halibut among groups of fishermen in Area 2A, off the coasts of Washington, Oregon, and California. The CSP allocates the Area 2A catch limit among treaty Indian and non-Indian harvesters, and non-Indian commercial and sport harvesters. The treaty Indian group includes tribal commercial, and tribal ceremonial and subsistence fisheries. The Secretary implemented the Area 2A CSP recommended by the PFMC in 1995. Each year between 1995 and the present, the PFMC has adopted minor revisions to the plan to account for needs of the fisheries. These revisions are implemented in regulations for Area 2A through annual rule making and annual IPHC review and recommendation of management measures for Secretarial review. The Area 2A regulations are part of the IPHC annual management measures and are superseded each year by new implementing regulations.</P>
        <P>The NPFMC implemented a CSP among commercial IFQ and CDQ halibut fisheries in IPHC Areas 4C, 4D and 4E (Area 4) through rulemaking, and the Secretary approved the plan on March 20, 1996 (61 FR 11337). The Area 4 CSP regulations were codified (50 CFR 300.65) and amended through rule making on March 17, 1998 (63 FR 13000). New annual regulations pertaining to the Area 4 CSP also may be implemented through IPHC review and recommendation for Secretarial review.</P>

        <P>Publication of this final rule announces that the U.S. Secretary of<PRTPAGE P="16741"/>State has accepted the annual management measures recommended by the IPHC, implements Area 2A regulations supporting annual management measures recommended by IPHC, implements the Area 2A CSP, announces the GHLs for Areas 2C and 3A, and makes minor changes to the codified halibut regulations. The proposed rule for the Area 2A CSP was published on February 3, 2012 (77 FR 5473).</P>

        <P>Pursuant to regulations at 50 CFR 300.62, the approved IPHC regulations setting forth the 2012 IPHC annual management measures are published in the<E T="04">Federal Register</E>to provide notice of their immediate regulatory effect, and to inform persons subject to the regulations of the restrictions and requirements. NMFS could implement more restrictive regulations for the sport fishery for halibut or components of it; therefore, anglers are advised to check the current Federal or IPHC regulations prior to fishing.</P>
        <P>The IPHC held its annual meeting in Anchorage, Alaska, January 24-27, 2012, and recommended a limited number of changes to the previous IPHC regulations (76 FR 14300, March 16, 2011). The Secretary of State approved the following changes to the previous IPHC regulations for 2012:</P>
        <P>1. New halibut catch limits in all regulatory areas in Section 11;</P>
        <P>2. New commercial halibut fishery opening and closing dates in Section 8;</P>
        <P>3. Licensing requirements for retaining incidental Pacific Halibut caught in the Primary Sablefish Fishery North of Pt. Chehalis, Washington; in Sections 4 and 8;</P>
        <P>4. Modified logbook regulations in Areas 2A and 2B in Section 16;</P>
        <P>5. Adopting the revised Catch Sharing Plan (CSP) for Area 2A in Sections 22 and 26;</P>
        <P>6. Size limit on the halibut retained on board a charter vessel fishing in Regulatory Area 2C of less than 45 inches or greater than 68 inches in length (a “reverse slot limit”) in Section 28.</P>
        <P>These are the only changes to the previous IPHC regulations for the 2012 fishing season. NMFS is publishing the 2012 IPHC regulations in this final rule to provide the public with the complete set of regulations.</P>
        <HD SOURCE="HD1">Catch Limits</HD>
        <P>The IPHC recommended to the governments of Canada and the United States catch limits for 2012 totaling 33,540,000 pounds (15,213 mt), an 18.3 percent reduction from the 2011 catch limits for all areas. The IPHC staff reported on the 2011 assessment of the Pacific halibut stock that estimated coastwide biomass, with apportionment among regulatory areas based on the data from the annual IPHC standardized stock assessment survey. The IPHC recommended a 21.5 percent harvest rate for Area 2A through Area 3A, and a harvest rate of 16.1 percent for Areas 3B, 4A, 4B and 4CDE. Catch limits adopted for 2012 were lower in all regions of the stock except Areas 2A and 2C. The IPHC also recommended using the harvest control rule it adopted in 2011 to implement the full reductions in catch limits identified by the stock assessment, rather than the partial (50 percent) reductions used in previous years. Concern exists over continued declining halibut catch rates in most areas and IPHC staff recommended continued action to reduce harvests. The IPHC staff also noted as a continuing problem that updated information often indicates that previous estimates of biomass are incorrect, and that as a result actual historical harvest rates of the halibut stock are higher than the estimates IPHC used to inform its stock assessments. IPHC scientists will be conducting additional research on this matter in 2012.</P>
        <P>The IPHC adopted the staff recommendations for catch limits in 2012 for all areas except 2B. Catch limits adopted for Areas 2A and 2C in 2012 were approximately 9 percent, and 13 percent higher, respectively, than in 2011. Catch limits adopted for Areas 2B, 3A, and 3B in 2012 were approximately 8 percent, 17 percent, and 32 percent lower, respectively, than in 2011 Catch limits in Areas 4A, 4B, 4CD, and 4E were approximately 35 percent, 14 percent, 34 percent, and 26 percent lower, respectively, than in 2011.</P>
        <HD SOURCE="HD1">Commercial Halibut Fishery Opening Dates</HD>
        <P>The opening date for the tribal commercial fishery in Area 2A and for the commercial halibut fisheries in Areas 2B through 4E is March 17, 2012. The date takes into account a number of factors, including timing of halibut migration and spawning, marketing for seasonal holidays, and interest in getting product in to the processing plants before the herring season opens. The closing date for the halibut fisheries is November 7, 2012. This date takes into account the anticipated time required to fully harvest the commercial halibut catch limits while providing adequate time for IPHC staff to review the complete record of 2012 commercial catch data for use in the 2013 stock assessment process.</P>
        <P>In the Area 2A directed fishery, each fishing period shall begin at 0800 hours and terminate at 1800 hours local time on June 27, July 11, July 25, August 8, August 22, September 5, and September 19, 2012, unless the IPHC specifies otherwise. These 10-hour openings will occur until the quota is taken and the fishery is closed.</P>
        <HD SOURCE="HD1">Modification of Area 2A Licensing Regulations</HD>
        <P>Because the Area 2A TAC is over 900,000 lbs (408.2 mt), incidental take of halibut will be allowed in the sablefish primary fishery in 2012. Therefore regulations pertaining to vessel licensing in Area 2A were updated at paragraph 4(4)(a) to allow vessels operating in the commercial halibut or sablefish primary fishery to choose a license that allows this type of participation.</P>
        <HD SOURCE="HD1">Size Limit on the Halibut Retained on Board a Charter Vessel Fishing in Area 2C of Less Than or Equal to 45 Inches and Greater Than or Equal to 68 Inches in Length</HD>
        <P>This final rule prohibits a person onboard a charter vessel referred to in 50 CFR 300.65 and fishing in Area 2C from taking or possessing any halibut, with head on, that is greater than 45 inches (114.3 cm) and less than 68 inches (172.7 cm), as measured in a straight line, passing over the pectoral fin from the tip of the lower jaw with mouth closed, to the extreme end of the middle of the tail.</P>
        <P>The IPHC recognizes the role of the NPFMC to develop policy and regulations that allocate the Pacific halibut resource among fishermen in and off of Alaska, and that NMFS has developed numerous regulations to support the NPFMC's goals of limiting guided sport (charter) harvests over the past several years. The IPHC specifically recommended this additional size limit as a management measure in the Area 2C charter fishery, based on guidance from the NPFMC to limit charter halibut harvests to the stated harvest policy of the United States for the charter fishery, the GHL.</P>

        <P>The GHL was recommended by the NPFMC in February 2000, after several years of debate and refinement. NMFS published a final rule implementing the GHL on August 8, 2003 (68 FR 47256). The GHL establishes a pre-season estimate of the acceptable annual harvests for the charter fishery in Areas 2C and 3A. The GHLs are established as a total maximum poundage, which is responsive to annual fluctuations in abundance. For example, in the event of a reduction in either area's halibut<PRTPAGE P="16742"/>biomass, as determined by the IPHC, the area GHL is reduced incrementally in a stepwise fashion in proportion to the reduction.</P>
        <P>Regulations at § 300.65(c)(1) specify the GHLs based on the total constant exploitation yield (CEY) that is established annually by the IPHC. The CEY represents the target level for total halibut removals in an area for the coming year. The IPHC calculates the CEY in a given area by multiplying a target harvest rate by the estimate of exploitable biomass, or the portion of the biomass available to the fishery. The charter halibut fishery exceeded the GHL in Area 2C from 2004 through 2010. During 2004 through 2007, the GHL was 1,432,000 pounds. During that time period, charter harvests were approximately 1,750,000 pounds in 2004, 1,952,000 pounds in 2005, 1,804,000 pounds in 2006, and 1,918,000 pounds in 2007. In 2008, the GHL was 931,000 pounds and charter harvests were approximately 1,999,000 pounds. In 2009 the GHL was 788,000 pounds and the charter harvest was approximately 1,245,000 pounds. In 2010, the GHL was 788,000 pounds and the charter harvest was approximately 1,249,000 pounds. The Area 2C charter harvest exceeded its GHL every year from 2004 through 2010 notwithstanding management measures designed by the NPFMC and implemented by NMFS to control sport halibut harvest to the GHL in this area.</P>
        <P>Recognizing that the GHL was not limiting fishing, the NPFMC recommended a CSP for Area 2C and Area 3A in October 2008, to replace the current GHL and establish specific allocations of halibut harvest between the charter and commercial setline fisheries in Area 2C and 3A. Under the CSP, the IPHC would annually establish one combined charter and commercial catch limit to which pre-specified sector allocation percentages would apply. Multiplying the specified percentage by the combined catch limit would result in a specific catch limit for each sector. Using a nondiscretionary process specified in Federal regulations, changes in the combined charter and commercial catch limit could trigger changes in the charter halibut bag and size limit in effect for that year.</P>
        <P>At the IPHC's annual meeting in January 2011, the IPHC became aware that charter halibut harvests in Area 2C were likely to exceed the 788,000 pound GHL based on the well-established trend of charter harvests since 2004, and the demonstrated removals under existing regulations. Therefore, the IPHC concluded that additional restrictions were necessary to limit that charter harvest to the GHL and achieve the IPHC's overall conservation objective and the NPFMC's allocation objective for Area 2C.</P>
        <P>The IPHC determined that limiting charter harvests in Area 2C to one fish of no more than 37 inches would likely meet the multiple objectives established by the IPHC in 2011. The Secretary of State, with the concurrence of the Secretary, accepted the IPHC's recommended daily bag limit for charter vessel anglers in Area 2C of one halibut with a maximum length of 37 inches (94.0 cm) per day (76 FR 14300, March 16, 2011).</P>
        <P>In November 2011, the Alaska Department of Fish and Game (ADF&amp;G) estimated that 2011 Area 2C charter harvests under the 37-inch maximum length rule totaled approximately 388,000 pounds, which is significantly below the GHL of 788,000 pounds. The NPFMC determined that the GHL would continue to be in place for the 2012 charter halibut season because the CSP would not be implemented for 2012. Based on the 2011 charter harvest estimate that was well below the GHL under the 37-inch maximum length limit regulation, the NPFMC determined that it would be appropriate for IPHC to consider management measures in addition to a maximum length limit to limit charter harvest to the GHL. To address this issue for 2012, the NPFMC requested that ADF&amp;G analyze the following options for management measures for the Area 2C charter halibut fishery to limit charter harvest to the 2012 GHL:</P>
        <P>1. Maximum size limits;</P>
        <P>2. Reverse slot limits (anglers may retain fish under a relatively small maximum size limit and fish over a relatively high minimum size limit, but must return to the sea fish that are larger than the lower size limit and smaller than the upper size limit); and</P>
        <P>3. Closures on selected days of the week.</P>
        <P>In November 2011, the IPHC announced the total CEY for Area 2C in 2012, which results in an Area 2C GHL of 931,000 pounds. In December 2011, the NPFMC reviewed the analysis of the management measures to limit Area 2C charter harvest to the 2012 GHL and unanimously recommended that the IPHC implement a reverse slot limit with a lower limit of under 45 inches (U45) and an upper limit of over 68 inches (O68). This U45/O68 reverse slot limit would allow the retention of halibut approximately ≤ 32 pounds and ≥ 123 pounds (headed and gutted). In considering charter management measures for 2012, the NPFMC sought to select a management measure that would enable the charter sector to harvest an amount of halibut close to the GHL without exceeding it.</P>
        <P>The NPFMC noted that its U45/O68 reverse slot limit recommendation is likely to limit charter harvest to the GHL because the analysis projected that charter harvest under these length limits would be 6.4 percent under the GHL. The NPFMC also determined that its recommendation was conservative because it assumes (1) the higher of two harvest projections of numbers of fish (45,338) harvested by charter vessel anglers in Area 2C based on the recent 3-year average; and (2) that charter vessel anglers will want to retain the largest halibut possible, will choose to release more smaller halibut in comparison to recent years, and this selectivity will result in approximately 20 percent more fish harvested that are greater than 68 inches in length than in the previous fishing year.</P>
        <P>The NPFMC recommended a reverse slot limit instead of a maximum length limit based on input from its Charter Implementation Committee and charter fishery participants indicating that the reverse slot limit would provide anglers with an opportunity to retain a “trophy” fish (halibut larger than 68 inches), whereas a maximum length limit would prohibit retention of any halibut larger than the maximum length limit. These charter fishery stakeholders indicated that a reverse slot limit would be less likely to result in adverse economic impacts from reduced angler demand than a maximum length limit regulation.</P>
        <P>The NPFMC did not recommend daily closures because of identified enforcement difficulties and uncertainty regarding the effects of daily closures on charter harvest. Additionally, the day of the week closure would impact charter businesses differently, depending on their business model and their ability to change halibut fishing schedules for individual clients.</P>

        <P>The NPFMC requested that the IPHC implement the U45/O68 reverse slot limit in the 2012 Area 2C charter fishery. At its annual meeting in January 2012, the IPHC reviewed the ADF&amp;G analysis the NPFMC used in developing its recommendation. The IPHC unanimously recommended implementing the U45/O68 reverse slot limit for charter anglers in Area 2C for the 2012 halibut fishing season. The IPHC determined that its recommended reverse slot limit in Area 2C was necessary to prevent excess halibut harvest by charter vessel anglers as an immediate but interim measure for 2012. The IPHC's recommendation was based on the NPFMC's objective to implement a management measure that<PRTPAGE P="16743"/>would (1) restrict charter harvest to the GHL, and (2) be less likely to result in adverse economic impacts for charter operators from reduced angler demand than a maximum length limit regulation.</P>
        <HD SOURCE="HD1">Area 2C Carcass Retention</HD>
        <P>Current IPHC regulations prohibit the filleting, mutilation or other disfigurement of sport-caught halibut that would prevent the determination of the size or number of halibut possessed or landed. In Southeast Alaska Area 2C, the IPHC recommended maintaining the current regulation at section 28(2)(b) that a person onboard a charter vessel who possesses filleted halibut must also retain the entire carcass, with head and tail connected as a single piece, onboard the vessel until all the fillets are offloaded. This regulation was implemented in 2011 to facilitate enforcement of the 37-inch maximum size limit and accounting of each charter vessel angler's halibut bag limit. The IPHC recommended maintaining the carcass retention requirement in 2012 to facilitate enforcement of the U45/O68 reverse slot limit in Area 2C.</P>
        <HD SOURCE="HD1">Pacific Fishery Management Council's Area 2A Catch Sharing Plan and Codified Regulations</HD>
        <P>In addition to implementing the IPHC recommendations, this final rule approves several Council-recommended changes to the Pacific Fishery Management Council's Area 2A CSP, implements the CSP through annual management measures, and makes minor changes to NMFS' codified regulations for the halibut fishery in Area 2A.</P>
        <HD SOURCE="HD1">Changes to Codified Regulations for Area 2A</HD>
        <P>This final rule makes minor corrections to the Federal regulations at § 300.63 to make the term “sablefish primary fishery” consistent through the halibut regulations to match the groundfish regulations where the term is defined. Current halibut regulations use inconsistent terms to refer to the sablefish primary fishery. These changes are minor corrections and do not represent a shift in policy regarding the sablefish primary fishery or the halibut fishery.</P>
        <HD SOURCE="HD1">Changes to the Area 2A Catch Sharing Plan; Annual Management Measures</HD>
        <P>This final rule approves the CSP as revised by recommendations of the PFMC. For 2012 and beyond, the PFMC has recommended several minor changes to the Plan that would: Adjust the primary fishery schedule for the Washington South coast subarea to maintain the number of fishing days seen in previous years; adjust the quota split for the Columbia River subarea between the early and late fishery to better align the fishery with recent effort trends, and adjust the Oregon contribution to the subarea to better align the Oregon quota contribution to the Columbia River subarea quota with previous years' halibut landings from Oregon; adjust the Oregon Central Coast subarea spring and nearshore quotas to allow the maximum number of fishing days in each fishery and adjust the inseason adjustment rules for this subarea so that any remaining quota from the spring fishery may be allocated to either the summer fishery and/or the nearshore fishery. This final rule also adopts the annual domestic management measures for Area 2A. Changes to these management measures from 2011 are necessary to implement the IPHC's decision regarding the Area 2A total allowable catch (TAC) and the above-described changes to the Catch Sharing Plan.</P>
        <P>The adjustment in 2012 to the Oregon contribution to the quota for the Columbia River subarea results in a small portion of the overall Oregon/California sport fishery allocation being undistributed. The overall Oregon/California sport fishery allocation is separated into three components: (1) A contribution to the Columbia River subarea (previously 5 percent or amount equal to the Washington contribution, whichever was greater); (2) a 92 percent allocation to the Oregon Central Coast subarea; and (3) a 3 percent allocation to the South of Humbug subarea. In past years the Oregon contribution to the Columbia River subarea quota was set at 5 percent, because this amount was greater than the Washington contribution, meaning that the three components of the Oregon/California sport fishery allocation totaled 100 percent. This year, the Oregon contribution is set equal to the Washington contribution, which is an amount less than 5 percent of the overall Oregon/California sport fishery allocation. This change results in a remainder of 2 percent undistributed Oregon/California sport fishery allocation. To remedy this situation NMFS is not making any long-term changes to allocations, but is distributing the remainder of the overall Oregon/California sport fishery allocation left after the Columbia River contribution is removed according to the Oregon/California subarea allocations specified in the Plan; i.e., the remainder will be distributed 92 percent to the Central Coast subarea and 3 percent to the South of Humbug subarea. For 2013 and beyond NMFS anticipates that the Council will recommend changes to the CSP to address this issue.</P>
        <HD SOURCE="HD1">Incidental Halibut Retention in the Sablefish Primary Fishery North of Pt. Chehalis, Washington</HD>

        <P>The CSP provides that incidental halibut retention in the sablefish primary fishery north of Pt. Chehalis, Washington, will be allowed when the Area 2A TAC is greater than 900,000 lb (408.2 mt), provided that a minimum of 10,000 lb (4.5 mt) is available above a Washington recreational TAC of 214,100 lb (97.1 mt). In 2012, the TAC is 989,000 lb (448.6 mt); therefore incidental halibut retention will be allowed in this fishery. Landing restrictions will be recommended by the PFMC for public review at its March meeting and final recommendations will occur at its April meeting. Following this meeting NMFS will publish the restrictions in the<E T="04">Federal Register</E>.</P>
        <HD SOURCE="HD1">Corrections to Federal Regulations at § 300.63</HD>
        <P>This rule makes minor corrections to the Federal regulations at § 300.63 to make the term “sablefish primary fishery” consistent through the halibut regulations and match the groundfish regulations where the term is defined. Current halibut regulations inconsistently use the terms when referring to the sablefish primary fishery.</P>
        <HD SOURCE="HD1">Area 2A Catch Sharing Plan and Annual Regulations; Comments and Responses</HD>
        <P>NMFS accepted comments through February 21, 2012, on the proposed rule for the Area 2A CSP and annual regulations and received 2 public comments: One comment letter each from Washington Department of Fish and Wildlife (WDFW) and Oregon Department of Fish and Wildlife (ODFW) recommending season dates for halibut sport fisheries in each state.</P>
        <P>
          <E T="03">Comment 1:</E>The WDFW held a public meeting following the IPHC's final 2012 TAC decisions to review the results of the 2011 Puget Sound halibut fishery, and to develop season dates for the 2012 sport halibut fishery. Based on the 2012 Area 2A TAC of 989,000 lb (448.6 mt), the halibut quota for the Puget Sound sport fishery is 57,393 lb (26 mt). Because the catch in this area exceeded the quota in 2008, 2009, and 2010, WDFW will continue to use the highest catch rate seen over the last 5 years to determine the number of days available to the fishery. Within the Puget Sound<PRTPAGE P="16744"/>sport halibut fishery, WDFW recommends they open as follows: in the Eastern Region from May 3-19, Thursday through Saturday, and May 24-28, Thursday through Monday, and from May 31 through June 2, Thursday through Saturday. In the Western Region from May 24-28, WDFW recommends the fishery be open Thursday through Monday; and from May 31-June 23, Thursday through Saturday.</P>
        <P>
          <E T="03">Response:</E>NMFS agrees with WDFW's recommended Puget Sound season dates. These dates will help keep this area within its quota, while providing for angler enjoyment and participation. Therefore, NMFS implements the dates in this final rule.</P>
        <P>
          <E T="03">Comment 2:</E>ODFW held a public meeting following the final TAC decision by the IPHC to gather comments on the open dates for the recreational all-depth fishery in Oregon's Central Coast Subarea. Since 2004, the number of open fishing days that could be accommodated in the spring fishery has been roughly constant. The catch limit for this sub-area's spring season will be 191,780 lb (86.9 mt) in 2012, based on the IPHC's 2012 TAC for Area 2A. Because of the increased TAC for 2012, ODFW recommends setting a Central Coast all-depth fishery of 12 days. ODFW recommends the following days for the spring fishery, within this subarea's parameters for a Thursday-Saturday season and with weeks of adverse tidal conditions skipped: Regular open days of May 10-12, 17-19, 24-26 and May 31-June 2; back-up open days of June 14-16, 28-30, July 12-14, and 26-28. For the summer fishery in this subarea, ODFW recommended following the CSP's parameters of opening the first Friday in August, with open days to occur every other Friday-Saturday, unless modified in-season within the parameters of the CSP. Under the CSP, the 2012 summer all-depth fishery in Oregon's Central Coast Subarea occurs: August 3-4, 17-18, August 31-September 1, 14-15, 28-29, October 12-13, and 26-27.</P>
        <P>
          <E T="03">Response:</E>NMFS agrees with ODFW's recommended Central Coast season dates. These dates will help keep this area within its quota, while providing for angler enjoyment and participation. Therefore, NMFS implements the dates in this final rule.</P>
        <HD SOURCE="HD1">Changes From the Proposed Rule</HD>
        <P>On February 2, 2012, NMFS published a proposed rule to modify the CSP and recreational management measures for Area 2A (77 FR 5473). The final TAC amounts were not available until January 27, 2012, which was after the proposed rule needed to be drafted and sent to the Office of the Federal Register for timely publication. The provisions in the proposed rule were based on the preliminary estimate of the 2A TAC of 989,000 lb. The final 2A TAC is unchanged from the proposed rule. There are four changes to sport fishery season dates in this final rule from the proposed rule. The first two changes are in sections (8)(b)(i)(A) and (B) in the annual management measures. These changes were made after discussion with WDFW to better align the season dates with past practices of having a “quota management closure” following the first two open periods; the dates listed in the proposed rule were in error and did not include a quota management closure.. The third change is in section (8)(d)(i). July 15th was listed as the closing date of the first open period, but it should be July 14th. The first open period is scheduled to close on a Saturday, and July 15 is a Sunday, therefore Saturday July 14 is the correct date. The final change is to season dates in section (8)(e)(i)(C). The opening of the summer season was incorrectly listed as September 7 and 8, the correct dates are September 14-15 to follow the season structure of being open every other week. The remainder of the changes in this final rule are to simply add dates for sport fisheries which were not listed in the proposed rule. The proposed rule does not contain final season dates because the states do not submit their final season date recommendations until the final TAC decision is made by the IPHC (after the publication of the proposed rule) and the states have held their public meetings. There are no other substantive changes from the proposed rule.</P>
        <HD SOURCE="HD1">Guideline Harvest Levels for Areas 2C and 3A</HD>
        <P>NMFS provides notice of the 2012 Pacific halibut GHLs for the charter fishery in IPHC Regulatory Areas 2C and 3A. This notice is necessary to meet the regulatory requirement at 50 CFR 300.65(c) to publish notice announcing the GHLs and to inform the public about the 2012 GHLs for the charter fishery for halibut. The GHLs are benchmark harvest levels for participants in the charter fishery. Regulations at § 300.65(c)(1) specify the GHLs based on the total CEY that is established annually by the IPHC. The total CEY for 2012 is 5,865,000 pounds (2,660.3 mt) in Area 2C, and 19,779,000 pounds (8,971.6 mt) in Area 3A. The corresponding GHLs are 931,000 pounds (422.3 mt) in Area 2C, and 3,103,000 pounds (1,407.5 mt) in Area 3A.</P>
        <HD SOURCE="HD1">Annual Halibut Management Measures</HD>
        <P>The following annual management measures for the 2012 Pacific halibut fishery are those recommended by the IPHC and accepted by the Secretary of State, with the concurrence of the Secretary. The sport fishing regulations for Area 2A, included in paragraph 26, are consistent with the measures adopted by the IPHC and approved by the Secretary of State, but were developed by the Pacific Fishery Management Council and promulgated by the United States under the Halibut Act.</P>
        <HD SOURCE="HD2">1. Short Title</HD>
        <P>These Regulations may be cited as the Pacific Halibut Fishery Regulations.</P>
        <HD SOURCE="HD2">2. Application</HD>
        <P>(1) These Regulations apply to persons and vessels fishing for halibut in, or possessing halibut taken from, the maritime area as defined in Section 3.</P>
        <P>(2) Sections 3 to 6 apply generally to all halibut fishing.</P>
        <P>(3) Sections 7 to 20 apply to commercial fishing for halibut.</P>
        <P>(4) Section 21 applies to tagged halibut caught by any vessel.</P>
        <P>(5) Section 22 applies to the United States treaty Indian fishery in Subarea 2A-1.</P>
        <P>(6) Section 23 applies to customary and traditional fishing in Alaska.</P>
        <P>(7) Section 24 applies to Aboriginal groups fishing for food, social and ceremonial purposes in British Columbia.</P>
        <P>(8) Sections 25 to 28 apply to sport fishing for halibut.</P>
        <P>(9) These Regulations do not apply to fishing operations authorized or conducted by the Commission for research purposes.</P>
        <HD SOURCE="HD2">3. Definitions</HD>
        <P>(1) In these Regulations,</P>
        <P>(a) “authorized officer” means any State, Federal, or Provincial officer authorized to enforce these Regulations including, but not limited to, the National Marine Fisheries Service (NMFS), Canada's Department of Fisheries and Oceans (DFO), Alaska Wildlife Troopers (AWT), United States Coast Guard (USCG), Washington Department of Fish and Wildlife (WDFW), and the Oregon State Police (OSP);</P>

        <P>(b) “authorized clearance personnel” means an authorized officer of the United States, a representative of the Commission, or a designated fish processor;<PRTPAGE P="16745"/>
        </P>
        <P>(c) “charter vessel” means a vessel used for hire in sport fishing for halibut, but not including a vessel without a hired operator;</P>
        <P>(d) “commercial fishing” means fishing, the resulting catch of which is sold or bartered; or is intended to be sold or bartered, other than (i) sport fishing, (ii) treaty Indian ceremonial and subsistence fishing as referred to in section 22, (iii) customary and traditional fishing as referred to in section 23 and defined by and regulated pursuant to NMFS regulations published at 50 CFR part 300, and (iv) Aboriginal groups fishing in British Columbia as referred to in section 24;</P>
        <P>(e) “Commission” means the International Pacific Halibut Commission;</P>
        <P>(f) “daily bag limit” means the maximum number of halibut a person may take in any calendar day from Convention waters;</P>
        <P>(g) “fishing” means the taking, harvesting, or catching of fish, or any activity that can reasonably be expected to result in the taking, harvesting, or catching of fish, including specifically the deployment of any amount or component part of setline gear anywhere in the maritime area;</P>
        <P>(h) “fishing period limit” means the maximum amount of halibut that may be retained and landed by a vessel during one fishing period;</P>
        <P>(i) “land” or “offload” with respect to halibut, means the removal of halibut from the catching vessel;</P>
        <P>(j) “license” means a halibut fishing license issued by the Commission pursuant to section 4;</P>
        <P>(k) “maritime area,” in respect of the fisheries jurisdiction of a Contracting Party, includes without distinction areas within and seaward of the territorial sea and internal waters of that Party;</P>
        <P>(l) “net weight” of a halibut means the weight of halibut that is without gills and entrails, head-off, washed, and without ice and slime. If a halibut is weighed with the head on or with ice and slime, the required conversion factors for calculating net weight are a 2 percent deduction for ice and slime and a 10 percent deduction for the head;</P>
        <P>(m) “operator,” with respect to any vessel, means the owner and/or the master or other individual on board and in charge of that vessel;</P>
        <P>(n) “overall length” of a vessel means the horizontal distance, rounded to the nearest foot, between the foremost part of the stem and the aftermost part of the stern (excluding bowsprits, rudders, outboard motor brackets, and similar fittings or attachments);</P>
        <P>(o) “person” includes an individual, corporation, firm, or association;</P>
        <P>(p) “regulatory area” means an area referred to in section 6;</P>
        <P>(q) “setline gear” means one or more stationary, buoyed, and anchored lines with hooks attached;</P>
        <P>(r) “sport fishing” means all fishing other than (i) Commercial fishing, (ii) treaty Indian ceremonial and subsistence fishing as referred to in section 22, (iii) customary and traditional fishing as referred to in section 23 and defined in and regulated pursuant to NMFS regulations published in 50 CFR part 300, and (iv) Aboriginal groups fishing in British Columbia as referred to in section 24;</P>
        <P>(s) “tender” means any vessel that buys or obtains fish directly from a catching vessel and transports it to a port of landing or fish processor;</P>
        <P>(t) “VMS transmitter” means a NMFS-approved vessel monitoring system transmitter that automatically determines a vessel's position and transmits it to a NMFS-approved communications service provider.<SU>1</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>1</SU>Call NOAA Enforcement Division, Alaska Region, at 907-586-7225 between the hours of 0800 and 1600 local time for a list of NMFS-approved VMS transmitters and communications service providers.</P>
        </FTNT>
        <P>(2) In these Regulations, all bearings are true and all positions are determined by the most recent charts issued by the United States National Ocean Service or the Canadian Hydrographic Service.</P>
        <HD SOURCE="HD2">4. Licensing Vessels for Area 2A</HD>
        <P>(1) No person shall fish for halibut from a vessel, nor possess halibut on board a vessel, used either for commercial fishing or as a charter vessel in Area 2A, unless the Commission has issued a license valid for fishing in Area 2A in respect of that vessel.</P>
        <P>(2) A license issued for a vessel operating in Area 2A shall be valid only for operating either as a charter vessel or a commercial vessel, but not both.</P>
        <P>(3) A vessel with a valid Area 2A commercial license cannot be used to sport fish for Pacific halibut in Area 2A.</P>
        <P>(4) A license issued for a vessel operating in the commercial fishery in Area 2A shall be valid for one of the following, but not both:</P>
        <P>(a) the directed commercial fishery during the fishing periods specified in paragraph (2) of section 8 and the incidental commercial fishery during the sablefish fishery specified in paragraph (3) of section 8; or</P>
        <P>(b) the incidental catch fishery during the salmon troll fishery specified in paragraph (4) of section 8.</P>
        <P>(5) A license issued in respect to a vessel referred to in paragraph (1) of this section must be carried on board that vessel at all times and the vessel operator shall permit its inspection by any authorized officer.</P>
        <P>(6) The Commission shall issue a license in respect to a vessel, without fee, from its office in Seattle, Washington, upon receipt of a completed, written, and signed “Application for Vessel License for the Halibut Fishery” form.</P>
        <P>(7) A vessel operating in the directed commercial fishery or the incidental commercial fishery during the sablefish fishery in Area 2A must have its “Application for Vessel License for the Halibut Fishery” form postmarked no later than 11:59 p.m. on April 30, or on the first weekday in May if April 30 is a Saturday or Sunday.</P>
        <P>(8) A vessel operating in the incidental commercial fishery during the salmon troll season in Area 2A must have its “Application for Vessel License for the Halibut Fishery” form postmarked no later than 11:59 p.m. on March 31, or the first weekday in April if March 31 is a Saturday or Sunday.</P>
        <P>(9) Application forms may be obtained from any authorized officer or from the Commission.</P>
        <P>(10) Information on “Application for Vessel License for the Halibut Fishery” form must be accurate.</P>
        <P>(11) The “Application for Vessel License for the Halibut Fishery” form shall be completed and signed by the vessel owner.</P>
        <P>(12) Licenses issued under this section shall be valid only during the year in which they are issued.</P>
        <P>(13) A new license is required for a vessel that is sold, transferred, renamed, or the documentation is changed.</P>
        <P>(14) The license required under this section is in addition to any license, however designated, that is required under the laws of the United States or any of its States.</P>
        <P>(15) The United States may suspend, revoke, or modify any license issued under this section under policies and procedures in Title 15, CFR part 904.</P>
        <HD SOURCE="HD2">5. In-Season Actions</HD>
        <P>(1) The Commission is authorized to establish or modify regulations during the season after determining that such action:</P>
        <P>(a) will not result in exceeding the catch limit established preseason for each regulatory area;</P>
        <P>(b) is consistent with the Convention between Canada and the United States of America for the Preservation of the Halibut Fishery of the Northern Pacific Ocean and Bering Sea, and applicable domestic law of either Canada or the United States; and</P>

        <P>(c) is consistent, to the maximum extent practicable, with any domestic<PRTPAGE P="16746"/>catch sharing plans or other domestic allocation programs developed by the United States or Canadian governments.</P>
        <P>(2) In-season actions may include, but are not limited to, establishing or modifying the following:</P>
        <P>(a) closed areas;</P>
        <P>(b) fishing periods;</P>
        <P>(c) fishing period limits;</P>
        <P>(d) gear restrictions;</P>
        <P>(e) recreational bag limits;</P>
        <P>(f) size limits; or</P>
        <P>(g) vessel clearances.</P>
        <P>(3) In-season changes will be effective at the time and date specified by the Commission.</P>
        <P>(4) The Commission will announce in-season actions under this section by providing notice to major halibut processors; Federal, State, United States treaty Indian, and Provincial fishery officials; and the media.</P>
        <HD SOURCE="HD2">6. Regulatory Areas</HD>
        <P>The following areas shall be regulatory areas (see Figure 1) for the purposes of the Convention:</P>
        <P>(1) Area 2A includes all waters off the states of California, Oregon, and Washington;</P>
        <P>(2) Area 2B includes all waters off British Columbia;</P>
        <P>(3) Area 2C includes all waters off Alaska that are east of a line running 340° true from Cape Spencer Light (58°11′56″ N. latitude, 136°38′26″ W. longitude) and south and east of a line running 205° true from said light;</P>
        <P>(4) Area 3A includes all waters between Area 2C and a line extending from the most northerly point on Cape Aklek (57°41′15″ N. latitude, 155°35′00″ W. longitude) to Cape Ikolik (57°17′17″ N. latitude, 154°47′18″ W. longitude), then along the Kodiak Island coastline to Cape Trinity (56°44′50″ N. latitude, 154°08′44″ W. longitude), then 140° true;</P>
        <P>(5) Area 3B includes all waters between Area 3A and a line extending 150° true from Cape Lutke (54°29′00″ N. latitude, 164°20′00″ W. longitude) and south of 54°49′00″ N. latitude in Isanotski Strait;</P>
        <P>(6) Area 4A includes all waters in the Gulf of Alaska west of Area 3B and in the Bering Sea west of the closed area defined in section 10 that are east of 172°00′00″ W. longitude and south of 56°20′00″ N. latitude;</P>
        <P>(7) Area 4B includes all waters in the Bering Sea and the Gulf of Alaska west of Area 4A and south of 56°20′00″ N. latitude;</P>
        <P>(8) Area 4C includes all waters in the Bering Sea north of Area 4A and north of the closed area defined in section 10 which are east of 171°00′00″ W. longitude, south of 58°00′00″ N. latitude, and west of 168°00′00″ W. longitude;</P>
        <P>(9) Area 4D includes all waters in the Bering Sea north of Areas 4A and 4B, north and west of Area 4C, and west of 168°00′00″ W. longitude; and</P>
        <P>(10) Area 4E includes all waters in the Bering Sea north and east of the closed area defined in section 10, east of 168°00′00″ W. longitude, and south of 65°34′00″ N. latitude.</P>
        <HD SOURCE="HD2">7. Fishing in Regulatory Area 4E and 4D</HD>
        <P>(1) Section 7 applies only to any person fishing, or vessel that is used to fish for, Area 4E Community Development Quota (CDQ) or Area 4D CDQ halibut, provided that the total annual halibut catch of that person or vessel is landed at a port within Area 4E or 4D.</P>
        <P>(2) A person may retain halibut taken with setline gear in Area 4E CDQ and 4D CDQ fishery that are smaller than the size limit specified in section 13, provided that no person may sell or barter such halibut.</P>
        <P>(3) The manager of a CDQ organization that authorizes persons to harvest halibut in the Area 4E or 4D CDQ fisheries must report to the Commission the total number and weight of undersized halibut taken and retained by such persons pursuant to section 7, paragraph (2). This report, which shall include data and methodology used to collect the data, must be received by the Commission prior to November 1 of the year in which such halibut were harvested.</P>
        <HD SOURCE="HD2">8. Fishing Periods</HD>
        <P>(1) The fishing periods for each regulatory area apply where the catch limits specified in section 11 have not been taken.</P>
        <P>(2) Each fishing period in the Area 2A directed commercial fishery<SU>2</SU>
          <FTREF/>shall begin at 0800 hours and terminate at 1800 hours local time on June 27, July 13, July 11, July 25, August 8, August 22, September 5, and September 19 unless the Commission specifies otherwise.</P>
        <FTNT>
          <P>

            <SU>2</SU>The directed fishery is restricted to waters that are south of Point Chehalis, Washington (46°53′18″ N. latitude) under regulations promulgated by NMFS and published in the<E T="04">Federal Register</E>.</P>
        </FTNT>
        <P>(3) Notwithstanding paragraph (7) of section 11, an incidental catch fishery<SU>3</SU>
          <FTREF/>is authorized during the sablefish seasons in Area 2A in accordance with regulations promulgated by NMFS. This fishery will occur between 1200 hours local time on March 17 and 1200 hours local time on November 7.</P>
        <FTNT>
          <P>
            <SU>3</SU>The incidental fishery during the directed, fixed gear sablefish season is restricted to waters that are north of Point Chehalis, Washington (46°53′18″ N. latitude) under regulations promulgated by NMFS at CFR 300.63. Landing restrictions for halibut retention in the fixed gear sablefish fishery can be found at CFR 660.231.</P>
        </FTNT>
        <P>(4) Notwithstanding paragraph (2), and paragraph (7) of section 11, an incidental catch fishery is authorized during salmon troll seasons in Area 2A in accordance with regulations promulgated by NMFS. This fishery will occur between 1200 hours local time on March 17 and 1200 hours local time on November 7.</P>
        <P>(5) The fishing period in Areas 2B, 2C, 3A, 3B, 4A, 4B, 4C, 4D, and 4E shall begin at 1200 hours local time on March 17 and terminate at 1200 hours local time on November 7, unless the Commission specifies otherwise.</P>
        <P>(6) All commercial fishing for halibut in Areas 2A, 2B, 2C, 3A, 3B, 4A, 4B, 4C, 4D, and 4E shall cease at 1200 hours local time on November 7.</P>
        <HD SOURCE="HD2">9. Closed Periods</HD>
        <P>(1) No person shall engage in fishing for halibut in any regulatory area other than during the fishing periods set out in section 8 in respect of that area.</P>
        <P>(2) No person shall land or otherwise retain halibut caught outside a fishing period applicable to the regulatory area where the halibut was taken.</P>
        <P>(3) Subject to paragraphs (7), (8), (9), and (10) of section 19, these Regulations do not prohibit fishing for any species of fish other than halibut during the closed periods.</P>
        <P>(4) Notwithstanding paragraph (3), no person shall have halibut in his/her possession while fishing for any other species of fish during the closed periods.</P>
        <P>(5) No vessel shall retrieve any halibut fishing gear during a closed period if the vessel has any halibut on board.</P>
        <P>(6) A vessel that has no halibut on board may retrieve any halibut fishing gear during the closed period after the operator notifies an authorized officer or representative of the Commission prior to that retrieval.</P>
        <P>(7) After retrieval of halibut gear in accordance with paragraph (6), the vessel shall submit to a hold inspection at the discretion of the authorized officer or representative of the Commission.</P>
        <P>(8) No person shall retain any halibut caught on gear retrieved in accordance with paragraph (6).</P>
        <P>(9) No person shall possess halibut on board a vessel in a regulatory area during a closed period unless that vessel is in continuous transit to or within a port in which that halibut may be lawfully sold.</P>
        <HD SOURCE="HD2">10. Closed Area</HD>

        <P>All waters in the Bering Sea north of 55°00′00″ N. latitude in Isanotski Strait<PRTPAGE P="16747"/>that are enclosed by a line from Cape Sarichef Light (54°36′00″ N. latitude, 164°55′42″ W. longitude) to a point at 56°20′00″ N. latitude, 168°30′00″ W. longitude; thence to a point at 58°21′25″ N. latitude, 163°00′00″ W. longitude; thence to Strogonof Point (56°53′18″ N. latitude, 158°50′37″ W. longitude); and then along the northern coasts of the Alaska Peninsula and Unimak Island to the point of origin at Cape Sarichef Light are closed to halibut fishing and no person shall fish for halibut therein or have halibut in his/her possession while in those waters except in the course of a continuous transit across those waters. All waters in Isanotski Strait between 55°00′00″ N. latitude and 54°49′00″ N. latitude are closed to halibut fishing.</P>
        <HD SOURCE="HD2">11. Catch Limits</HD>
        <P>(1) The total allowable catch of halibut to be taken during the halibut fishing periods specified in section 8 shall be limited to the net weights expressed in pounds or metric tons shown in the following table:</P>
        <GPOTABLE CDEF="s60,14,14" COLS="3" OPTS="L2,i1">
          <TTITLE>Catch Limit in Net Weight by Regulatory Area</TTITLE>
          <BOXHD>
            <CHED H="1">Regulatory area</CHED>
            <CHED H="1">Catch limit—net weight</CHED>
            <CHED H="2">Pounds</CHED>
            <CHED H="2">Metric tons</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">2A: directed commercial, and incidental commercial catch during salmon troll fishery</ENT>
            <ENT>203,784</ENT>
            <ENT>92.4</ENT>
          </ROW>
          <ROW>
            <ENT I="01">2A: incidental commercial during sablefish fishery</ENT>
            <ENT>21,173</ENT>
            <ENT>9.6</ENT>
          </ROW>
          <ROW>
            <ENT I="01">2B<SU>4</SU>
            </ENT>
            <ENT>7,038,000</ENT>
            <ENT>3,191.8</ENT>
          </ROW>
          <ROW>
            <ENT I="01">2C</ENT>
            <ENT>2,624,000</ENT>
            <ENT>1,190.0</ENT>
          </ROW>
          <ROW>
            <ENT I="01">3A</ENT>
            <ENT>11,918,000</ENT>
            <ENT>5,405.0</ENT>
          </ROW>
          <ROW>
            <ENT I="01">3B</ENT>
            <ENT>5,070,000</ENT>
            <ENT>2,299.3</ENT>
          </ROW>
          <ROW>
            <ENT I="01">4A</ENT>
            <ENT>1,567,000</ENT>
            <ENT>710.7</ENT>
          </ROW>
          <ROW>
            <ENT I="01">4B</ENT>
            <ENT>1,869,000</ENT>
            <ENT>847.6</ENT>
          </ROW>
          <ROW>
            <ENT I="01">4C</ENT>
            <ENT>1,107,355</ENT>
            <ENT>502.2</ENT>
          </ROW>
          <ROW>
            <ENT I="01">4D</ENT>
            <ENT>1,107,355</ENT>
            <ENT>502.2</ENT>
          </ROW>
          <ROW>
            <ENT I="01">4E</ENT>
            <ENT>250,290</ENT>
            <ENT>113.5</ENT>
          </ROW>
        </GPOTABLE>
        <P>

          <FTREF/>(2) Notwithstanding  paragraph (1), regulations pertaining to the division of the Area 2A catch limit between the directed commercial fishery and the incidental catch fishery as described in paragraph (4) of section 8 will be promulgated by NMFS and published in the<E T="04">Federal Register</E>.</P>
        <FTNT>
          <P>
            <SU>4</SU>Area 2B includes the combined commercial and sport catch limits which will be allocated by DFO.</P>
        </FTNT>
        <P>(3) The Commission shall determine and announce to the public the date on which the catch limit for Area 2A will be taken.</P>
        <P>(4) Notwithstanding paragraph (1), Area 2B will close only when all Individual Vessel Quotas (IVQs) assigned by DFO are taken, or November 7, whichever is earlier.</P>
        <P>(5) Notwithstanding paragraph (1), Areas 2C, 3A, 3B, 4A, 4B, 4C, 4D, and 4E will each close only when all Individual Fishing Quotas (IFQ) and all CDQs issued by NMFS have been taken, or November 7, whichever is earlier.</P>
        <P>(6) If the Commission determines that the catch limit specified for Area 2A in paragraph (1) would be exceeded in an unrestricted 10-hour fishing period as specified in paragraph (2) of section 8, the catch limit for that area shall be considered to have been taken unless fishing period limits are implemented.</P>
        <P>(7) When under paragraphs (2), (3), and (6) the Commission has announced a date on which the catch limit for Area 2A will be taken, no person shall fish for halibut in that area after that date for the rest of the year, unless the Commission has announced the reopening of that area for halibut fishing.</P>
        <P>(8) Notwithstanding paragraph (1), the total allowable catch of halibut that may be taken in the Area 4E directed commercial fishery is equal to the combined annual catch limits specified for the Area 4D and Area 4E CDQ fisheries. The annual Area 4D CDQ catch limit will decrease by the equivalent amount of halibut CDQ taken in Area 4E in excess of the annual Area 4E CDQ catch limit.</P>
        <P>(9) Notwithstanding paragraph (1), the total allowable catch of halibut that may be taken in the Area 4D directed commercial fishery is equal to the combined annual catch limits specified for Area 4C and Area 4D. The annual Area 4C catch limit will decrease by the equivalent amount of halibut taken in Area 4D in excess of the annual Area 4D catch limit.</P>
        <P>Area 2B includes combined commercial and sport catch limits which will be allocated by DFO.</P>
        <HD SOURCE="HD2">12. Fishing Period Limits</HD>
        <P>(1) It shall be unlawful for any vessel to retain more halibut than authorized by that vessel's license in any fishing period for which the Commission has announced a fishing period limit.</P>
        <P>(2) The operator of any vessel that fishes for halibut during a fishing period when fishing period limits are in effect must, upon commencing an offload of halibut to a commercial fish processor, completely offload all halibut on board said vessel to that processor and ensure that all halibut is weighed and reported on State fish tickets.</P>
        <P>(3) The operator of any vessel that fishes for halibut during a fishing period when fishing period limits are in effect must, upon commencing an offload of halibut other than to a commercial fish processor, completely offload all halibut on board said vessel and ensure that all halibut are weighed and reported on State fish tickets.</P>
        <P>(4) The provisions of paragraph (3) are not intended to prevent retail over-the-side sales to individual purchasers so long as all the halibut on board is ultimately offloaded and reported.</P>
        <P>(5) When fishing period limits are in effect, a vessel's maximum retainable catch will be determined by the Commission based on:</P>
        <P>(a) The vessel's overall length in feet and associated length class;</P>
        <P>(b) The average performance of all vessels within that class; and</P>
        <P>(c) The remaining catch limit.</P>
        <P>(6) Length classes are shown in the following table:</P>
        <GPOTABLE CDEF="s50,xs48" COLS="2" OPTS="L2,tp0,i1">
          <TTITLE/>
          <BOXHD>
            <CHED H="1">Overall length (in feet)</CHED>
            <CHED H="1">Vessel class</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">1-25</ENT>
            <ENT>A</ENT>
          </ROW>
          <ROW>
            <ENT I="01">26-30</ENT>
            <ENT>B</ENT>
          </ROW>
          <ROW>
            <ENT I="01">31-35</ENT>
            <ENT>C</ENT>
          </ROW>
          <ROW>
            <ENT I="01">36-40</ENT>
            <ENT>D</ENT>
          </ROW>
          <ROW>
            <ENT I="01">41-45</ENT>
            <ENT>E</ENT>
          </ROW>
          <ROW>
            <ENT I="01">46-50</ENT>
            <ENT>F</ENT>
          </ROW>
          <ROW>
            <ENT I="01">51-55</ENT>
            <ENT>G</ENT>
          </ROW>
          <ROW>
            <ENT I="01">56+</ENT>
            <ENT>H</ENT>
          </ROW>
        </GPOTABLE>

        <P>(7) Fishing period limits in Area 2A apply only to the directed halibut<PRTPAGE P="16748"/>fishery referred to in paragraph (2) of section 8.</P>
        <HD SOURCE="HD2">13. Size Limits</HD>
        <P>(1) No person shall take or possess any halibut that:</P>
        <P>(a) With the head on, is less than 32 inches (81.3 cm) as measured in a straight line, passing over the pectoral fin from the tip of the lower jaw with the mouth closed, to the extreme end of the middle of the tail, as illustrated in Figure 2; or</P>
        <P>(b) With the head removed, is less than 24 inches (61.0 cm) as measured from the base of the pectoral fin at its most anterior point to the extreme end of the middle of the tail, as illustrated in Figure 2.</P>
        <P>(2) No person on board a vessel fishing for, or tendering, halibut caught in Area 2A shall possess any halibut that has had its head removed.</P>
        <HD SOURCE="HD2">14. Careful Release of Halibut</HD>
        <P>(1) All halibut that are caught and are not retained shall be immediately released outboard of the roller and returned to the sea with a minimum of injury by:</P>
        <P>(a) Hook straightening;</P>
        <P>(b) Cutting the gangion near the hook; or</P>
        <P>(c) Carefully removing the hook by twisting it from the halibut with a gaff.</P>
        <P>(2) Except that paragraph (1) shall not prohibit the possession of halibut on board a vessel that has been brought aboard to be measured to determine if the minimum size limit of the halibut is met and, if sublegal-sized, is promptly returned to the sea with a minimum of injury.</P>
        <HD SOURCE="HD2">15. Vessel Clearance in Area 4</HD>
        <P>(1) The operator of any vessel that fishes for halibut in Areas 4A, 4B, 4C, or 4D must obtain a vessel clearance before fishing in any of these areas, and before the landing of any halibut caught in any of these areas, unless specifically exempted in paragraphs (10), (13), (14), (15), or (16).</P>
        <P>(2) An operator obtaining a vessel clearance required by paragraph (1) must obtain the clearance in person from the authorized clearance personnel and sign the IPHC form documenting that a clearance was obtained, except that when the clearance is obtained via VHF radio referred to in paragraphs (5), (8), and (9), the authorized clearance personnel must sign the IPHC form documenting that the clearance was obtained.</P>
        <P>(3) The vessel clearance required under paragraph (1) prior to fishing in Area 4A may be obtained only at Nazan Bay on Atka Island, Dutch Harbor or Akutan, Alaska, from an authorized officer of the United States, a representative of the Commission, or a designated fish processor.</P>
        <P>(4) The vessel clearance required under paragraph (1) prior to fishing in Area 4B may only be obtained at Nazan Bay on Atka Island or Adak, Alaska, from an authorized officer of the United States, a representative of the Commission, or a designated fish processor.</P>
        <P>(5) The vessel clearance required under paragraph (1) prior to fishing in Area 4C or 4D may be obtained only at St. Paul or St. George, Alaska, from an authorized officer of the United States, a representative of the Commission, or a designated fish processor by VHF radio and allowing the person contacted to confirm visually the identity of the vessel.</P>
        <P>(6) The vessel operator shall specify the specific regulatory area in which fishing will take place.</P>
        <P>(7) Before unloading any halibut caught in Area 4A, a vessel operator may obtain the clearance required under paragraph (1) only in Dutch Harbor or Akutan, Alaska, by contacting an authorized officer of the United States, a representative of the Commission, or a designated fish processor.</P>
        <P>(8) Before unloading any halibut caught in Area 4B, a vessel operator may obtain the clearance required under paragraph (1) only in Nazan Bay on Atka Island or Adak, by contacting an authorized officer of the United States, a representative of the Commission, or a designated fish processor by VHF radio or in person.</P>
        <P>(9) Before unloading any halibut caught in Area 4C and 4D, a vessel operator may obtain the clearance required under paragraph (1) only in St. Paul, St. George, Dutch Harbor, or Akutan, Alaska, either in person or by contacting an authorized officer of the United States, a representative of the Commission, or a designated fish processor. The clearances obtained in St. Paul or St. George, Alaska, can be obtained by VHF radio and allowing the person contacted to confirm visually the identity of the vessel.</P>
        <P>(10) Any vessel operator who complies with the requirements in section 18 for possessing halibut on board a vessel that was caught in more than one regulatory area in Area 4 is exempt from the clearance requirements of paragraph (1) of this section, provided that:</P>
        <P>(a) The operator of the vessel obtains a vessel clearance prior to fishing in Area 4 in either Dutch Harbor, Akutan, St. Paul, St. George, Adak, or Nazan Bay on Atka Island by contacting an authorized officer of the United States, a representative of the Commission, or a designated fish processor. The clearance obtained in St. Paul, St. George, Adak, or Nazan Bay on Atka Island can be obtained by VHF radio and allowing the person contacted to confirm visually the identity of the vessel. This clearance will list the areas in which the vessel will fish; and</P>
        <P>(b) Before unloading any halibut from Area 4, the vessel operator obtains a vessel clearance from Dutch Harbor, Akutan, St. Paul, St. George, Adak, or Nazan Bay on Atka Island by contacting an authorized officer of the United States, a representative of the Commission, or a designated fish processor. The clearance obtained in St. Paul or St. George can be obtained by VHF radio and allowing the person contacted to confirm visually the identity of the vessel. The clearance obtained in Adak or Nazan Bay on Atka Island can be obtained by VHF radio.</P>
        <P>(11) Vessel clearances shall be obtained between 0600 and 1800 hours, local time.</P>
        <P>(12) No halibut shall be on board the vessel at the time of the clearances required prior to fishing in Area 4.</P>
        <P>(13) Any vessel that is used to fish for halibut only in Area 4A and lands its total annual halibut catch at a port within Area 4A is exempt from the clearance requirements of paragraph (1).</P>
        <P>(14) Any vessel that is used to fish for halibut only in Area 4B and lands its total annual halibut catch at a port within Area 4B is exempt from the clearance requirements of paragraph (1).</P>
        <P>(15) Any vessel that is used to fish for halibut only in Area 4C or 4D or 4E and lands its total annual halibut catch at a port within Area 4C, 4D, 4E, or the closed area defined in section 10, is exempt from the clearance requirements of paragraph (1).</P>
        <P>(16) Any vessel that carries a transmitting VMS transmitter while fishing for halibut in Area 4A, 4B, 4C, or 4D and until all halibut caught in any of these areas is landed, is exempt from the clearance requirements of paragraph (1) of this section, provided that:</P>
        <P>(a) The operator of the vessel complies with NMFS' vessel monitoring system regulations published at 50 CFR sections 679.28(f)(3), (4) and (5); and</P>

        <P>(b) The operator of the vessel notifies NOAA Fisheries Office for Law Enforcement at 800-304-4846 (select option 1 to speak to an Enforcement Data Clerk) between the hours of 0600 and 0000 (midnight) local time within 72 hours before fishing for halibut in Area 4A, 4B, 4C, or 4D and receives a VMS confirmation number.<PRTPAGE P="16749"/>
        </P>
        <HD SOURCE="HD2">16. Logs</HD>
        <P>(1) The operator of any U.S. vessel fishing for halibut that has an overall length of 26 feet (7.9 meters) or greater shall maintain an accurate log of halibut fishing operations. The operator of a vessel fishing in waters in and off Alaska must use one of the following logbooks: the Groundfish/IFQ Daily Fishing Longline and Pot Gear Logbook provided by NMFS; the Alaska hook-and-line logbook provided by Petersburg Vessel Owners Association or Alaska Longline Fisherman's Association; the Alaska Department of Fish and Game (ADF&amp;G) longline-pot logbook; or the logbook provided by IPHC. The operator of a vessel fishing in Area 2A must use either the Washington Department of Fish and Wildlife (WDFW) Voluntary Sablefish Logbook, Oregon Department of Fish and Wildlife (ODFW) Fixed Gear Logbook, or the logbook provided by IPHC.</P>
        <P>(2) The logbook referred to in paragraph (1) must include the following information:</P>
        <P>(a) The name of the vessel and the State (ADF&amp;G, WDFW, ODFW, or California Department of Fish and Game) or Tribal vessel number;</P>
        <P>(b) The date(s) upon which the fishing gear is set or retrieved;</P>
        <P>(c) The latitude and longitude coordinates or a direction and distance from a point of land for each set or day;</P>
        <P>(d) The number of skates deployed or retrieved, and number of skates lost; and</P>
        <P>(e) The total weight or number of halibut retained for each set or day.</P>
        <P>(3) The logbook referred to in paragraph (1) shall be:</P>
        <P>(a) Maintained on board the vessel;</P>
        <P>(b) Updated not later than 24 hours after 0000 (midnight) local time for each day fished and prior to the offloading or sale of halibut taken during that fishing trip;</P>
        <P>(c) Retained for a period of two years by the owner or operator of the vessel;</P>
        <P>(d) Open to inspection by an authorized officer or any authorized representative of the Commission upon demand; and</P>
        <P>(e) Kept on board the vessel when engaged in halibut fishing, during transits to port of landing, and until the offloading of all halibut is completed.</P>
        <P>(4) The log referred to in paragraph (1) does not apply to the incidental halibut fishery during the salmon troll season in Area 2A defined in paragraph (4) of section 8.</P>
        <P>(5) The operator of any Canadian vessel fishing for halibut shall maintain an accurate log recorded in the British Columbia Integrated Groundfish Fishing Log provided by DFO.</P>
        <P>(6) The logbook referred to in paragraph (5) must include the following information:</P>
        <P>(a) The name of the vessel and the DFO vessel registration number;</P>
        <P>(b) The date(s) upon which the fishing gear is set and retrieved;</P>
        <P>(c) The latitude and longitude coordinates for each set;</P>
        <P>(d) The number of skates deployed or retrieved, and number of skates lost; and</P>
        <P>(e) The total weight or number of halibut retained for each set.</P>
        <P>(7) The logbook referred to in paragraph (5) shall be:</P>
        <P>(a) Maintained on board the vessel;</P>
        <P>(b) Retained for a period of two years by the owner or operator of the vessel;</P>
        <P>(c) Open to inspection by an authorized officer or any authorized representative of the Commission upon demand;</P>
        <P>(d) Kept on board the vessel when engaged in halibut fishing, during transits to port of landing, and until the offloading of all halibut is completed;</P>
        <P>(e) Mailed to the DFO (white copy) within seven days of offloading; and</P>
        <P>(f) Mailed to the Commission (yellow copy) within seven days of the final offload if not collected by a Commission employee.</P>
        <P>(8) No person shall make a false entry in a log referred to in this section.</P>
        <HD SOURCE="HD2">17. Receipt and Possession of Halibut</HD>
        <P>(1) No person shall receive halibut caught in Area 2A from a United States vessel that does not have on board the license required by section 4.</P>
        <P>(2) No person shall possess on board a vessel a halibut other than whole or with gills and entrails removed, except that this paragraph shall not prohibit the possession on board a vessel of:</P>
        <P>(a) Halibut cheeks cut from halibut caught by persons authorized to process the halibut on board in accordance with NMFS regulations published at 50 CFR part 679;</P>
        <P>(b) Fillets from halibut offloaded in accordance with section 17 that are possessed on board the harvesting vessel in the port of landing up to 1800 hours local time on the calendar day following the offload;<SU>5</SU>
          <FTREF/>and</P>
        <FTNT>
          <P>
            <SU>5</SU>DFO has more restrictive regulations; therefore, section 17 paragraph (2)(b) does not apply to fish caught in Area 2B or landed in British Columbia.</P>
        </FTNT>
        <P>(c) Halibut with their heads removed in accordance with section 13.</P>
        <P>(3) No person shall offload halibut from a vessel unless the gills and entrails have been removed prior to offloading.</P>
        <P>(4) It shall be the responsibility of a vessel operator who lands halibut to continuously and completely offload at a single offload site all halibut on board the vessel.</P>
        <P>(5) A registered buyer (as that term is defined in regulations promulgated by NMFS and codified at 50 CFR part 679) who receives halibut harvested in IFQ and CDQ fisheries in Areas 2C, 3A, 3B, 4A, 4B, 4C, 4D, and 4E, directly from the vessel operator that harvested such halibut must weigh all the halibut received and record the following information on Federal catch reports: date of offload; name of vessel; vessel number (State, Tribal or Federal, but not IPHC vessel number); scale weight obtained at the time of offloading, including the scale weight (in pounds) of halibut purchased by the registered buyer, the scale weight (in pounds) of halibut offloaded in excess of the IFQ or CDQ, the scale weight of halibut (in pounds) retained for personal use or for future sale, and the scale weight (in pounds) of halibut discarded as unfit for human consumption.</P>
        <P>(6) The first recipient, commercial fish processor, or buyer in the United States who purchases or receives halibut directly from the vessel operator that harvested such halibut must weigh and record all halibut received and record the following information on State fish tickets: the date of offload; vessel number (State, Tribal or Federal, not IPHC vessel number); total weight obtained at the time of offload including the weight (in pounds) of halibut purchased; the weight (in pounds) of halibut offloaded in excess of the IFQ, CDQ, or fishing period limits; the weight of halibut (in pounds) retained for personal use or for future sale; and the weight (in pounds) of halibut discarded as unfit for human consumption.</P>
        <P>(7) The individual completing the State fish tickets for the Area 2A fisheries as referred to in paragraph (6) must additionally record whether the halibut weight is of head-on or head-off fish.</P>
        <P>(8) For halibut landings made in Alaska, the requirements as listed in paragraph (5) and (6) can be met by recording the information in the Interagency Electronic Reporting Systems, eLandings in accordance with NMFS regulation published at 50 CFR part 679.</P>

        <P>(9) The master or operator of a Canadian vessel that was engaged in halibut fishing must weigh and record all halibut on board said vessel at the time offloading commences and record on Provincial fish tickets or Federal catch reports the date; locality; name of vessel; the name(s) of the person(s) from whom the halibut was purchased; and the scale weight (in pounds) obtained at<PRTPAGE P="16750"/>the time of offloading of all halibut on board the vessel including the pounds purchased, pounds in excess of IVQs, pounds retained for personal use, and pounds discarded as unfit for human consumption.</P>
        <P>(10) No person shall make a false entry on a State or Provincial fish ticket or a Federal catch or landing report referred to in paragraphs (5), (6), and (9) of section 17.</P>
        <P>(11) A copy of the fish tickets or catch reports referred to in paragraphs (5), (6), and (9) shall be:</P>
        <P>(a) Retained by the person making them for a period of three years from the date the fish tickets or catch reports are made; and</P>
        <P>(b) Open to inspection by an authorized officer or any authorized representative of the Commission.</P>
        <P>(12) No person shall possess any halibut taken or retained in contravention of these Regulations.</P>
        <P>(13) When halibut are landed to other than a commercial fish processor, the records required by paragraph (6) shall be maintained by the operator of the vessel from which that halibut was caught, in compliance with paragraph (11).</P>
        <P>(14) No person shall tag halibut unless the tagging is authorized by IPHC permit or by a Federal or State agency.</P>
        <HD SOURCE="HD2">18. Fishing Multiple Regulatory Areas</HD>
        <P>(1) Except as provided in this section, no person shall possess at the same time on board a vessel halibut caught in more than one regulatory area.</P>
        <P>(2) Halibut caught in more than one of the Regulatory Areas 2C, 3A, or 3B may be possessed on board a vessel at the same time provided the operator of the vessel:</P>
        <P>(a) Has a NMFS-certified observer on board when required by NMFS regulations<SU>6</SU>
          <FTREF/>published at 50 CFR 679.7(f)(4); and</P>
        <FTNT>
          <P>
            <SU>6</SU>Without an observer, a vessel cannot have on board more halibut than the IFQ for the area that is being fished, even if some of the catch occurred earlier in a different area.</P>
        </FTNT>
        <P>(b) Can identify the regulatory area in which each halibut on board was caught by separating halibut from different areas in the hold, tagging halibut, or by other means.</P>
        <P>(3) Halibut caught in more than one of the Regulatory Areas 4A, 4B, 4C, or 4D may be possessed on board a vessel at the same time provided the operator of the vessel:</P>
        <P>(a) Has a NMFS-certified observer on board the vessel as required by NMFS regulations published at 50 CFR 679.7(f)(4); or has an operational VMS on board actively transmitting in all regulatory areas fished and does not possess at any time more halibut on board the vessel than the IFQ permit holders on board the vessel have cumulatively available for any single Area 4 regulatory area fished; and</P>
        <P>(b) Can identify the regulatory area in which each halibut on board was caught by separating halibut from different areas in the hold, tagging halibut, or by other means.</P>
        <P>(4) If halibut from Area 4 are on board the vessel, the vessel can have halibut caught in Regulatory Areas 2C, 3A, and 3B on board if in compliance with paragraph (2).</P>
        <HD SOURCE="HD2">19. Fishing Gear</HD>
        <P>(1) No person shall fish for halibut using any gear other than hook and line gear, except that vessels licensed to catch sablefish in Area 2B using sablefish trap gear as defined in the Condition of Sablefish Licence can retain halibut caught as bycatch under regulations promulgated by the Canadian Department of Fisheries and Oceans.</P>
        <P>(2) No person shall possess halibut taken with any gear other than hook and line gear, except that vessels licensed to catch sablefish in Area 2B using sablefish trap gear as defined by the Condition of Sablefish Licence can retain halibut caught as bycatch under regulations promulgated by the Canadian Department of Fisheries and Oceans.</P>
        <P>(3) No person shall possess halibut while on board a vessel carrying any trawl nets or fishing pots capable of catching halibut, except that in Areas 2C, 3A, 3B, 4A, 4B, 4C, 4D, or 4E, halibut heads, skin, entrails, bones or fins for use as bait may be possessed on board a vessel carrying pots capable of catching halibut, provided that a receipt documenting purchase or transfer of these halibut parts is on board the vessel.</P>
        <P>(4) All setline or skate marker buoys carried on board or used by any United States vessel used for halibut fishing shall be marked with one of the following:</P>
        <P>(a) The vessel's State license number; or</P>
        <P>(b) The vessel's registration number.</P>
        <P>(5) The markings specified in paragraph (4) shall be in characters at least four inches in height and one-half inch in width in a contrasting color visible above the water and shall be maintained in legible condition.</P>
        <P>(6) All setline or skate marker buoys carried on board or used by a Canadian vessel used for halibut fishing shall be:</P>
        <P>(a) Floating and visible on the surface of the water; and</P>
        <P>(b) Legibly marked with the identification plate number of the vessel engaged in commercial fishing from which that setline is being operated.</P>
        <P>(7) No person on board a vessel used to fish for any species of fish anywhere in Area 2A during the 72-hour period immediately before the fishing period for the directed commercial halibut fishery shall catch or possess halibut anywhere in those waters during that halibut fishing period unless, prior to the start of the halibut fishing period, the vessel has removed its gear from the water and has either:</P>
        <P>(a) Made a landing and completely offloaded its catch of other fish; or</P>
        <P>(b) Submitted to a hold inspection by an authorized officer.</P>
        <P>(8) No vessel used to fish for any species of fish anywhere in Area 2A during the 72-hour period immediately before the fishing period for the directed halibut commercial fishery may be used to catch or possess halibut anywhere in those waters during that halibut fishing period unless, prior to the start of the halibut fishing period, the vessel has removed its gear from the water and has either:</P>
        <P>(a) Made a landing and completely offloaded its catch of other fish; or</P>
        <P>(b) Submitted to a hold inspection by an authorized officer.</P>
        <P>(9) No person on board a vessel from which setline gear was used to fish for any species of fish anywhere in Areas 2B, 2C, 3A, 3B, 4A, 4B, 4C, 4D, or 4E during the 72-hour period immediately before the opening of the halibut fishing season shall catch or possess halibut anywhere in those areas until the vessel has removed all of its setline gear from the water and has either:</P>
        <P>(a) Made a landing and completely offloaded its entire catch of other fish; or</P>
        <P>(b) Submitted to a hold inspection by an authorized officer.</P>
        <P>(10) No vessel from which setline gear was used to fish for any species of fish anywhere in Areas 2B, 2C, 3A, 3B, 4A, 4B, 4C, 4D, or 4E during the 72-hour period immediately before the opening of the halibut fishing season may be used to catch or possess halibut anywhere in those areas until the vessel has removed all of its setline gear from the water and has either:</P>
        <P>(a) Made a landing and completely offloaded its entire catch of other fish; or</P>
        <P>(b) Submitted to a hold inspection by an authorized officer.</P>

        <P>(11) Notwithstanding any other provision in these Regulations, a person may retain, possess and dispose of halibut taken with trawl gear only as<PRTPAGE P="16751"/>authorized by Prohibited Species Donation regulations of NMFS.</P>
        <HD SOURCE="HD2">20. Supervision of Unloading and Weighing</HD>
        <P>The unloading and weighing of halibut may be subject to the supervision of authorized officers to assure the fulfillment of the provisions of these Regulations.</P>
        <HD SOURCE="HD2">21. Retention of Tagged Halibut</HD>
        <P>(1) Nothing contained in these Regulations prohibits any vessel at any time from retaining and landing a halibut that bears a Commission external tag at the time of capture, if the halibut with the tag still attached is reported at the time of landing and made available for examination by a representative of the Commission or by an authorized officer.</P>
        <P>(2) After examination and removal of the tag by a representative of the Commission or an authorized officer, the halibut:</P>
        <P>(a) May be retained for personal use; or</P>
        <P>(b) May be sold only if the halibut is caught during commercial halibut fishing and complies with the other commercial fishing provisions of these Regulations.</P>
        <P>(3) Externally tagged fish must count against commercial IVQs, CDQs, IFQs, or daily bag or possession limits unless otherwise exempted by State, Provincial, or Federal regulations.</P>
        <HD SOURCE="HD2">22. Fishing by United States Treaty Indian Tribes</HD>

        <P>(1) Halibut fishing in Subarea 2A-1 by members of United States treaty Indian tribes located in the State of Washington shall be regulated under regulations promulgated by NMFS and published in the<E T="04">Federal Register</E>.</P>
        <P>(2) Subarea 2A-1 includes all waters off the coast of Washington that are north of 46°53′18″ N. latitude and east of 125°44′00″ W. longitude, and all inland marine waters of Washington.</P>
        <P>(3) Section 13 (size limits), section 14 (careful release of halibut), section 16 (logs), section 17 (receipt and possession of halibut) and section 19 (fishing gear), except paragraphs (7) and (8) of section 19, apply to commercial fishing for halibut in Subarea 2A-1 by the treaty Indian tribes.</P>
        <P>(4) Regulations in paragraph (3) of this section that apply to State fish tickets apply to Tribal tickets that are authorized by Washington Department of Fish and Wildlife.</P>
        <P>(5) Section 4 (Licensing Vessels for Area 2A) does not apply to commercial fishing for halibut in Subarea 2A-1 by treaty Indian tribes.</P>
        <P>(6) Commercial fishing for halibut in Subarea 2A-1 is permitted with hook and line gear from March 17 through November 7, or until 321,650 pounds (145.9 metric tons) net weight is taken, whichever occurs first.</P>
        <P>(7) Ceremonial and subsistence fishing for halibut in Subarea 2A-1 is permitted with hook and line gear from January 1 through December 31, and is estimated to take 24,500 pounds (11.1 metric tons) net weight.</P>
        <HD SOURCE="HD2">23. Customary and Traditional Fishing in Alaska</HD>
        <P>(1) Customary and traditional fishing for halibut in Regulatory Areas 2C, 3A, 3B, 4A, 4B, 4C, 4D, and 4E shall be governed pursuant to regulations promulgated by NMFS and published in 50 CFR part 300.</P>
        <P>(2) Customary and traditional fishing is authorized from January 1 through December 31.</P>
        <HD SOURCE="HD2">24. Aboriginal Groups Fishing for Food, Social and Ceremonial Purposes in British Columbia</HD>
        <P>(1) Fishing for halibut for food, social and ceremonial purposes by Aboriginal groups in Regulatory Area 2B shall be governed by the Fisheries Act of Canada and regulations as amended from time to time.</P>
        <HD SOURCE="HD2">25. Sport Fishing for Halibut—General</HD>
        <P>(1) No person shall engage in sport fishing for halibut using gear other than a single line with no more than two hooks attached; or a spear.</P>
        <P>(2) Any minimum overall size limit promulgated under IPHC or NMFS regulations shall be measured in a straight line passing over the pectoral fin from the tip of the lower jaw with the mouth closed, to the extreme end of the middle of the tail.</P>
        <P>(3) Any halibut brought aboard a vessel and not immediately returned to the sea with a minimum of injury will be included in the daily bag limit of the person catching the halibut.</P>
        <P>(4) No person may possess halibut on a vessel while fishing in a closed area.</P>
        <P>(5) No halibut caught by sport fishing shall be offered for sale, sold, traded, or bartered.</P>
        <P>(6) No halibut caught in sport fishing shall be possessed on board a vessel when other fish or shellfish aboard said vessel are destined for commercial use, sale, trade, or barter.</P>
        <P>(7) The operator of a charter vessel shall be liable for any violations of these Regulations committed by a passenger aboard said vessel.</P>
        <HD SOURCE="HD2">26. Sport Fishing for Halibut—Area 2A</HD>
        <P>(1) The total allowable catch of halibut shall be limited to:</P>
        <P>(a) 214,110 pounds (97.1 metric tons) net weight in waters off Washington; and</P>
        <P>(b) 203,783 pounds (92.4 metric tons) net weight in waters off California and Oregon.</P>
        <P>(2) The Commission shall determine and announce closing dates to the public for any area in which the catch limits promulgated by NMFS are estimated to have been taken.</P>
        <P>(3) When the Commission has determined that a subquota under paragraph (8) of this section is estimated to have been taken, and has announced a date on which the season will close, no person shall sport fish for halibut in that area after that date for the rest of the year, unless a reopening of that area for sport halibut fishing is scheduled in accordance with the Catch Sharing Plan for Area 2A, or announced by the Commission.</P>
        <P>(4) In California, Oregon, or Washington, no person shall fillet, mutilate, or otherwise disfigure a halibut in any manner that prevents the determination of minimum size or the number of fish caught, possessed, or landed.</P>
        <P>(5) The possession limit on a vessel for halibut in the waters off the coast of Washington is the same as the daily bag limit. The possession limit on land in Washington for halibut caught in U.S. waters off the coast of Washington is two halibut.</P>
        <P>(6) The possession limit on a vessel for halibut caught in the waters off the coast of Oregon is the same as the daily bag limit. The possession limit for halibut on land in Oregon is three daily bag limits.</P>
        <P>(7) The possession limit on a vessel for halibut caught in the waters off the coast of California is one halibut. The possession limit for halibut on land in California is one halibut.</P>
        <P>(8) The sport fishing subareas, subquotas, fishing dates, and daily bag limits are as follows, except as modified under the in-season actions in 50 CFR 300.63(c). All sport fishing in Area 2A is managed on a “port of landing” basis, whereby any halibut landed into a port counts toward the quota for the area in which that port is located, and the regulations governing the area of landing apply, regardless of the specific area of catch.</P>

        <P>(a) The area in Puget Sound and the U.S. waters in the Strait of Juan de Fuca, east of a line extending from 48°17.30′ N. lat., 124°23.70′ W. long. north to 48°24.10′ N. lat., 124°23.70′ W. long., is not managed in-season relative to its quota. This area is managed by setting a season that is projected to result in a catch of 57,393 lb (26 mt).<PRTPAGE P="16752"/>
        </P>
        <P>(i) The fishing season in eastern Puget Sound (east of 123°49.50′ W. long., Low Point) is open May 3-19, 3 days per week, Thursday-Saturday. May 24-28, Thursday-Monday. May 31-June 2, 3 days per week, Thursday through Saturday. The fishing season in western Puget Sound (west of 123°49.50′ W. long., Low Point) is open May 24-28, Thursday-Monday, and open May 31-June 23, 3 days a week, Thursday-Saturday.</P>
        <P>(ii) The daily bag limit is one halibut of any size per day per person.</P>
        <P>(b) The quota for landings into ports in the area off the north Washington coast, west of the line described in paragraph (2)(a) of section 26 and north of the Queets River (47°31.70′ N. lat.), is 108,030 lb (49 mt).</P>
        <P>(i) The fishing seasons are:</P>
        <P>(A) Commencing on May 10 and continuing 2 days a week (Thursday and Saturday) until 108,030 lb (49 mt) are estimated to have been taken and the season is closed by the Commission or until May 19.</P>
        <P>(B) If sufficient quota remains the fishery will reopen on May 31 and/or June 2 in the entire north coast subarea, continuing 2 days per week (Thursday and Saturday) until there is not sufficient quota for another full day of fishing and the area is closed by the Commission. When there is insufficient quota remaining to reopen the entire north coast subarea for another day, then the nearshore areas described below will reopen for 2 days per week (Thursday and Saturday), until the overall quota of 108,030 lb (49 mt) is estimated to have been taken and the area is closed by the Commission, or until September 30, whichever is earlier. After May 19, any fishery opening will be announced on the NMFS hotline at 800-662-9825. No halibut fishing will be allowed after May 19 unless the date is announced on the NMFS hotline. The nearshore areas for Washington's North Coast fishery are defined as follows:</P>
        <P>(<E T="03">1</E>) WDFW Marine Catch Area 4B, which is all waters west of the Sekiu River mouth, as defined by a line extending from 48°17.30′ N. lat., 124°23.70′W. long. north to 48°24.10′ N. lat., 124°23.70′ W. long., to the Bonilla-Tatoosh line, as defined by a line connecting the light on Tatoosh Island, WA, with the light on Bonilla Point on Vancouver Island, British Columbia (at 48°35.73′ N. lat., 124°43.00′ W. long.) south of the International Boundary between the U.S. and Canada (at 48°29.62′ N. lat., 124°43.55′ W. long.), and north of the point where that line intersects with the boundary of the U.S. territorial sea.</P>
        <P>(<E T="03">2</E>) Shoreward of the recreational halibut 30-fm boundary line, a modified line approximating the 30-fm depth contour from the Bonilla-Tatoosh line south to the Queets River. The 30-fm depth contour is defined in groundfish regulations at 50 CFR 660.71(e).</P>
        <P>(ii) The daily bag limit is one halibut of any size per day per person.</P>
        <P>(iii) Recreational fishing for groundfish and halibut is prohibited within the North Coast Recreational Yelloweye Rockfish Conservation Area (YRCA). It is unlawful for recreational fishing vessels to take and retain, possess, or land halibut taken with recreational gear within the North Coast Recreational YRCA. A vessel fishing in the North Coast Recreational YRCA may not be in possession of any halibut. Recreational vessels may transit through the North Coast Recreational YRCA with or without halibut on board. The North Coast Recreational YRCA is a C-shaped area off the northern Washington coast intended to protect yelloweye rockfish. The North Coast Recreational YRCA is defined in groundfish regulations at § 660.70(a).</P>
        <P>(c) The quota for landings into ports in the area between the Queets River, WA (47°31.70′ N. lat.) and Leadbetter Point, WA (46°38.17′ N. lat.), is 42,739 lb (19.3 mt).</P>
        <P>(i) This subarea is divided between the all-waters fishery (the Washington South coast primary fishery), and the incidental nearshore fishery in the area from 47°31.70′ N. lat. south to 46°58.00′ N. lat. and east of a boundary line approximating the 30 fm depth contour. This area is defined by straight lines connecting all of the following points in the order stated as described by the following coordinates (the Washington South coast, northern nearshore area):</P>
        <P>(1) 47°31.70′ N. lat, 124°37.03′ W. long;</P>
        <P>(2) 47°25.67′ N. lat, 124°34.79′ W. long;</P>
        <P>(3) 47°12.82′ N. lat, 124°29.12′ W. long;</P>
        <P>(4) 46°58.00′ N. lat, 124°24.24′ W. long.</P>
        <P>The south coast subarea quota will be allocated as follows: 40,739 lb (18.4 mt) for the primary fishery and 2,000 lb (0.9 mt) for the nearshore fishery. The primary fishery commences on May 6 and continues 2 days a week (Sunday and Tuesday) until May 22. If the primary quota is projected to be obtained sooner than expected the management closure may occur earlier. Beginning on June 3 the primary fishery will be open at most 2 days per week (Sunday and/or Tuesday) until the quota for the south coast subarea primary fishery is taken and the season is closed by the Commission, or until September 30, whichever is earlier. The fishing season in the nearshore area commences on May 6 and continues seven days per week. Subsequent to closure of the primary fishery the nearshore fishery is open seven days per week, until 42,739 lb (19.3 mt) is projected to be taken by the two fisheries combined and the fishery is closed by the Commission or September 30, whichever is earlier. If the fishery is closed prior to September 30, and there is insufficient quota remaining to reopen the northern nearshore area for another fishing day, then any remaining quota may be transferred in-season to another Washington coastal subarea by NMFS via an update to the recreational halibut hotline.</P>
        <P>(ii) The daily bag limit is one halibut of any size per day per person.</P>
        <P>(iii) Seaward of the boundary line approximating the 30-fm depth contour and during days open to the primary fishery, lingcod may be taken, retained and possessed when allowed by groundfish regulations at 50 CFR 660.360, Subpart G.</P>
        <P>(iv) Recreational fishing for groundfish and halibut is prohibited within the South Coast Recreational YRCA and Westport Offshore YRCA. It is unlawful for recreational fishing vessels to take and retain, possess, or land halibut taken with recreational gear within the South Coast Recreational YRCA and Westport Offshore YRCA. A vessel fishing in the South Coast Recreational YRCA and/or Westport Offshore YRCA may not be in possession of any halibut. Recreational vessels may transit through the South Coast Recreational YRCA and Westport Offshore YRCA with or without halibut on board. The South Coast Recreational YRCA and Westport Offshore YRCA are areas off the southern Washington coast established to protect yelloweye rockfish. The South Coast Recreational YRCA is defined at 50 CFR 660.70(d). The Westport Offshore YRCA is defined at 50 CFR 660.70(e).</P>
        <P>(d) The quota for landings into ports in the area between Leadbetter Point, WA (46°38.17′ N. lat.) and Cape Falcon, OR (45°46.00′ N. lat.), is 11,895 lb (5.3 mt).</P>

        <P>(i) The fishing season commences on May 3, and continues 3 days a week (Thursday, Friday and, Saturday) until 9,516 lb (4.3 mt) are estimated to have been taken and the season is closed by the Commission or until July 14, whichever is earlier. The fishery will reopen on August 3 and continue 3 days a week (Friday through Sunday) until 2,379 lb (1.1 mt) have been taken and the season is closed by the Commission,<PRTPAGE P="16753"/>or until September 30, whichever is earlier. Subsequent to this closure, if there is insufficient quota remaining in the Columbia River subarea for another fishing day, then any remaining quota may be transferred in-season to another Washington and/or Oregon subarea by NMFS via an update to the recreational halibut hotline. Any remaining quota would be transferred to each state in proportion to its contribution.</P>
        <P>(ii) The daily bag limit is one halibut of any size per day per person.</P>
        <P>(iii) Pacific Coast groundfish may not be taken and retained, possessed or landed, except sablefish and Pacific cod when allowed by Pacific Coast groundfish regulations, when halibut are on board the vessel.</P>
        <P>(e) The quota for landings into ports in the area off Oregon between Cape Falcon (45°46.00′ N. lat.) and Humbug Mountain (42°40.50′ N. lat.), is 191,780 lb (86.9 mt).</P>
        <P>(i) The fishing seasons are:</P>
        <P>(A) The first season (the “inside 40-fm” fishery) commences May 1 and continues 7 days a week through October 31, in the area shoreward of a boundary line approximating the 40-fm (73-m) depth contour, or until the sub-quota for the central Oregon “inside 40-fm” fishery (23,014 lb (10.4 mt)) or any in-season revised subquota is estimated to have been taken and the season is closed by the Commission, whichever is earlier. The boundary line approximating the 40-fm (73-m) depth contour between 45°46.00′ N. lat. and 42°40.50′ N. lat. is defined at § 660.71(k).</P>
        <P>(B) The second season (spring season), which is for the “all-depth” fishery, is open three days week, Thursday through Saturday, on May 10-12, May 17-19, May 24-26, May 31-June 2, 2012. The projected catch for this season is 120,821 lb (54.8 mt). If sufficient unharvested catch remains for additional fishing days, the season will re-open. Depending on the amount of unharvested catch available, the potential season re-opening dates will be: June 14-16, June 28-30, July 12-14, and July 26-28. If NMFS decides in-season to allow fishing on any of these re-opening dates, notice of the re-opening will be announced on the NMFS hotline (206) 526-6667 or (800) 662-9825. No halibut fishing will be allowed on the re-opening dates unless the date is announced on the NMFS hotline.</P>
        <P>(C) If sufficient unharvested catch remains, the third season (summer season), which is for the “all-depth” fishery, will be open every other Friday and Saturday on August 3-4, August 17-18, August 31-September 1, September 14-15, September 28-29, October 12-13 and October 26-27, 2012, or until the combined spring season and summer season quotas in the area between Cape Falcon and Humbug Mountain, OR, totaling 168,766 lb (76.5 mt), are estimated to have been taken and the area is closed by the Commission, or October 31, whichever is earlier. NMFS will announce on the NMFS hotline in July whether the fishery will re-open for the summer season in August. No halibut fishing will be allowed in the summer season fishery unless the dates are announced on the NMFS hotline. Additional fishing days may be opened if sufficient quota remains after the last day of the first scheduled open period August 4, 2012. If, after this date, an amount greater than or equal to 60,000 lb (27.2 mt) remains in the combined all-depth and inside 40-fm (73-m) quota, the fishery may re-open every Friday and Saturday, beginning August 17-18, August 31-September 1. If after September 3, an amount greater than or equal to 30,000 lb (13.6 mt) remains in the combined all-depth and inside 40-fm (73-m) quota, and the fishery is not already open every Friday and Saturday, the fishery may re-open every Friday and Saturday, beginning September 14 and 15, and ending October 31. After September 3, the bag limit may be increased to two fish of any size per person, per day. NMFS will announce on the NMFS hotline whether the summer all-depth fishery will be open on such additional fishing days, what days the fishery will be open and what the bag limit is.</P>
        <P>(ii) The daily bag limit is one halibut of any size per day per person, unless otherwise specified. NMFS will announce on the NMFS hotline any bag limit changes.</P>
        <P>(iii) During days open to all-depth halibut fishing, no Pacific Coast groundfish may be taken and retained, possessed or landed, except sablefish and Pacific cod, when allowed by Pacific Coast groundfish regulations, if halibut are on board the vessel.</P>
        <P>(iv) When the all-depth halibut fishery is closed and halibut fishing is permitted only shoreward of a boundary line approximating the 40-fm (73-m) depth contour, halibut possession and retention by vessels operating seaward of a boundary line approximating the 40-fm (73-m) depth contour is prohibited.</P>
        <P>(v) Recreational fishing for groundfish and halibut is prohibited within the Stonewall Bank YRCA. It is unlawful for recreational fishing vessels to take and retain, possess, or land halibut taken with recreational gear within the Stonewall Bank YRCA. A vessel fishing in the Stonewall Bank YRCA may not possess any halibut. Recreational vessels may transit through the Stonewall Bank YRCA with or without halibut on board. The Stonewall Bank YRCA is an area off central Oregon, near Stonewall Bank, intended to protect yelloweye rockfish. The Stonewall Bank YRCA is defined at § 660.70(f).</P>
        <P>(f) The area south of Humbug Mountain, Oregon (42°40.50′ N. lat.) and off the California coast is not managed in-season relative to its quota. This area is managed on a season that is projected to result in a catch of 6,056 lb (2.7 mt).</P>
        <P>(i) The fishing season will commence on May 1 and continue 7 days a week until October 31.</P>
        <P>(ii) The daily bag limit is one halibut of any size per day per person.</P>
        <HD SOURCE="HD2">27. Sport Fishing for Halibut—Area 2B</HD>
        <P>(1) In all waters off British Columbia:<SU>7</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>7</SU>DFO could implement more restrictive regulations for the sport fishery, therefore anglers are advised to check the current Federal or Provincial regulations prior to fishing.</P>
        </FTNT>
        <P>(a) The sport fishing season is from February 1 to December 31;</P>
        <P>(b) The daily bag limit is two halibut of any size per day per person.</P>
        <P>(2) In British Columbia, no person shall fillet, mutilate, or otherwise disfigure a halibut in any manner that prevents the determination of minimum size or the number of fish caught, possessed, or landed.</P>
        <P>(3) The possession limit for halibut in the waters off the coast of British Columbia is three halibut.</P>
        <HD SOURCE="HD2">28. Sport Fishing for Halibut—Areas 2C, 3A, 3B, 4A, 4B, 4C, 4D, 4E</HD>
        <P>(1) In waters in and off Alaska:<SU>8</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>8</SU>NMFS could implement more restrictive regulations for the sport fishery or components of it, therefore, anglers are advised to check the current Federal or State regulations prior to fishing.</P>
        </FTNT>
        <P>(a) The sport fishing season is from February 1 to December 31;</P>
        <P>(b) The daily bag limit is two halibut of any size per day per person unless a more restrictive bag limit applies in Federal regulations at 50 CFR 300.65; and</P>
        <P>(c) No person may possess more than two daily bag limits.</P>
        <P>(2) No person on board a charter vessel<SU>9</SU>
          <FTREF/>referred to in 50 CFR 300.65 and fishing in Regulatory Area 2C shall take or possess any halibut that:</P>
        <FTNT>
          <P>
            <SU>9</SU>Charter vessels are prohibited from harvesting halibut in Area 2C and 3A during one charter vessel fishing trip under regulations promulgated by NMFS at CFR 300.66.</P>
        </FTNT>

        <P>(a) With head on, is greater than 45 inches (114.3 cm) and less than 68 inches (172.7 cm) as measured in a straight line, passing over the pectoral fin from the tip of the lower jaw with<PRTPAGE P="16754"/>mouth closed, to the extreme end of the middle of the tail, as illustrated in Figure 3; and</P>
        <P>(b) If the halibut is filleted the entire carcass, with head and tail connected as a single piece, must be retained on board the vessel until all fillets are offloaded.</P>
        <P>(3) In Convention waters in and off Alaska, no person shall possess on board a vessel, including charter vessels and pleasure craft used for fishing, halibut that has been filleted, mutilated, or otherwise disfigured in any manner, except that:</P>
        <P>(a) Each halibut may be cut into no more than 2 ventral pieces, 2 dorsal pieces, and 2 cheek pieces, with skin on all pieces; and</P>
        <P>(b) Halibut in excess of the possession limit in paragraph (1)(c) of this section may be possessed on a vessel that does not contain sport fishing gear, fishing rods, hand lines, or gaffs.</P>
        <HD SOURCE="HD2">29. Previous Regulations Superseded</HD>
        <P>These Regulations shall supersede all previous regulations of the Commission, and these Regulations shall be effective each succeeding year until superseded.</P>
        
        <BILCOD>BILLING CODE 3510-22-P</BILCOD>
        <GPH DEEP="576" SPAN="3">
          <PRTPAGE P="16755"/>
          <GID>ER22MR12.000</GID>
        </GPH>
        <GPH DEEP="632" SPAN="3">
          <PRTPAGE P="16756"/>
          <GID>ER22MR12.001</GID>
        </GPH>
        <GPH DEEP="631" SPAN="3">
          <PRTPAGE P="16757"/>
          <GID>ER22MR12.002</GID>
        </GPH>
        <BILCOD>BILLING CODE 3510-22-C</BILCOD>
        
        <PRTPAGE P="16758"/>
        <HD SOURCE="HD1">Classification</HD>
        <HD SOURCE="HD2">IPHC Regulations</HD>

        <P>These IPHC annual management measures are a product of an agreement between the United States and Canada and are published in the<E T="04">Federal Register</E>to provide notice of their effectiveness and content. The notice-and-comment and delay-in-effectiveness date provisions of the Administrative Procedure Act (APA), 5 U.S.C. 553, are inapplicable to IPHC management measures because this regulation involves a foreign affairs function of the United States, 5 U.S.C. 553(a)(1). Furthermore, no other law requires prior notice and public comment for this rule. Because prior notice and an opportunity for public comment are not required to be provided for these portions of this rule by 5 U.S.C. 553, or any other law, the analytical requirements of the Regulatory Flexibility Act, 5 U.S.C. 601<E T="03">et seq.,</E>are not applicable. Accordingly, no Regulatory Flexibility Analysis is required for this portion of the rule and none has been prepared.</P>
        <HD SOURCE="HD2">2012 Area 2A Catch Sharing Plan, Annual Management Measures and Federal Regulations</HD>
        <P>Section 5 of the Northern Pacific Halibut Act of 1982 (Halibut Act, 16 U.S.C. 773c) allows the Regional Council having authority for a particular geographical area to develop regulations governing the allocation and catch of halibut in U.S. Convention waters as long as those regulations do not conflict with IPHC regulations. This action is consistent with the Pacific Council's authority to allocate halibut catches among fishery participants in the waters in and off the U.S. West Coast.</P>
        <P>This action has been determined to be not significant for purposes of Executive Order 12866.</P>

        <P>NMFS prepared an Initial Regulatory Flexibility Analysis (IRFA) in association with the proposed rule for this action. A final regulatory flexibility analysis (FRFA) incorporates the IRFA, a summary of the significant issues raised by the public comments in response to the IRFA, if any, and NMFS responses to those comments, and a summary of the analyses completed to support the action. NMFS received no comments on the IRFA. A copy of the FRFA is available from the NMFS Northwest Region (see<E T="02">ADDRESSES</E>) and a summary of the FRFA follows:</P>
        <P>The main management objective for the Pacific halibut fishery in Area 2A is to manage fisheries to remain within the TAC for Area 2A, while also allowing each commercial, recreational (sport), and tribal fishery to target halibut in the manner that is appropriate to meet both the conservation requirements for species that co-occur with Pacific halibut and the needs of fishery participants in particular fisheries and fishing areas.</P>
        <P>The changes to the CSP, which allocates the catch of Pacific halibut among users in Washington, Oregon and California, and the codified regulations:</P>
        <P>1. Adjust the primary fishery schedule for the Washington South coast subarea (section (f)(1)(iii)) to be open for the first 3 consecutive weeks Sunday and Tuesday and closed the following week.</P>
        <P>2. Adjust the subarea quota split for the Columbia River subarea (section (f)(1)(iv)) between the early and late fishery from 70 percent for the early fishery and 30 percent for the late fishery to 80 percent for the early fishery and 20 percent for the late fishery, and adjust the Oregon contribution to the subarea quota to equal the Washington contribution.</P>
        <P>3. Adjust the Oregon Central Coast subarea quota (section (f)(1)(v)) from 67 percent to 63 percent for the spring fishery and from 8 percent to 12 percent for the nearshore fishery and allow remaining quota to be allocated from the spring fishery to either the summer fishery and/or the nearshore fishery.</P>
        <P>4. Make minor corrections to regulations at 300.63, to make the term “sablefish primary fishery” consistent through the halibut regulations and match the groundfish regulations where the term is defined. Current halibut regulations use inconsistent terms when referring to the same fishery.</P>
        <P>Under the RFA, NMFS must identify the small entities impacted by this rule, describe that impact, and describe any alternatives considered. Under the Small Business Administration's (SBAs) regulations implementing the RFA, a fishing entity is considered “small” if it has gross annual receipts of less than $4 million. A governmental jurisdiction (i.e., town or community) is considered a small entity if it has fewer than 50,000 people.</P>
        <P>Although many small and large nonprofit enterprises track fisheries management issues on the West Coast, the changes to the Plan, codified regulations and annual management measures will not directly affect those enterprises. Similarly, although many fishing communities are small governmental jurisdictions, no direct regulations for those governmental jurisdictions will result from this rule. However, charterboat operations and participants in the non-treaty directed commercial fishery off the coast of Washington, Oregon, and California, are small businesses that are directly regulated by this rule. In 2008, 570 vessels were issued IPHC licenses to retain halibut. IPHC issues licenses for: the directed commercial fishery in Area 2A, including licenses issued to retain halibut caught incidentally in the primary sablefish fishery (296 licenses in 2008); incidental halibut caught in the salmon troll fishery (135 licenses in 2008); and the charterboat fleet (139 licenses in 2008). In 2011, 604 vessels were issued IPHC licenses to retain halibut. IPHC issues licenses for: the directed commercial fishery in Area 2A (147 licenses in 2011); incidental halibut caught in the salmon troll fishery (316 licenses in 2011); and the charterboat fleet (141 licenses in 2011). No vessel may participate in more than one of these three fisheries per year. Individual recreational anglers and private boats are the only sectors that are not required to have an IPHC license to retain halibut. Current Pacific Fishery Management Council estimates show that there are 44 tribal longline vessels. Therefore, the total estimate of affected entities is 648 vessels when tribal vessels are combined with IPHC licenses. The total estimated of the directed commercial fishery fleet for 2012 is 191 vessels (147 directed commercial fishery licenses plus 44 tribal vessels). In 2008, the total directed commercial fleet was about 340 vessels.</P>
        <P>NMFS does not have the data to analyze the impacts of these regulations on the charterboat fleet. However, impacts on the directed commercial fleets can be estimated via changes in ex-vessel revenues. According to the Pacific States Marine Fisheries Commission PacFIN data reports (Report 307), halibut prices have varied significantly by year: 2008—$3.57/lb, 2009—$2.72/lb, and through November 2010—$4.01 per lb. At $4.01 per lb, the projected ex-vessel value of the 2012 commercial tribal (346,150 lbs) and non-tribal (203,783 lbs) fishery is about $2.2 million. Therefore, average ex-vessel revenue to potential participant in the directed commercial halibut fleet is expected to receive is about $12,000 ($2.2 million divided by 191 vessels). At $3.57/lb, the estimated ex-vessel value of the 2008 commercial tribal (397,000 lbs) and non-tribal (321,381 lbs) fishery is $2.6 million. With a directed commercial fleet of 340 vessels, the 2008 estimated average revenue per potential participating vessel is about $7,500 per vessel. Compared to 2008, despite the decline in the TAC, vessels are benefiting from higher prices and fewer competing vessels.</P>

        <P>The RIR/FRFA relies on the analysis in the 2009 RIR, which used information from the Pacific Fishery<PRTPAGE P="16759"/>Management Council's Final Environmental Impact Statement (FEIS) (available at<E T="02">ADDRESSES</E>) on the 2009-2010 Groundfish Biennial Harvest Specifications and Management Measures to make personal income impact projections of the TAC on coastal communities. Personal income is considered a key indicator of economic activity, and is used in economic analysis to evaluate distributional effects on local and regional economies associated with changes in regulations. Income impacts include the amount of employee salaries and benefits, business owner (proprietor) income, and property-related income (rents, dividends, interest, royalties, etc.) that result from commercial fishing and recreational expenditures. Using available analysis from the FEIS, the 2009 RIR estimated that the 2008 commercial, recreational, and tribal fisheries generated about $8.8 million in personal income for the coastal tribal and non-tribal communities. This 2008 estimate was based on a TAC of 1,220,000 lbs. For 2012, the TAC is 989,000 lbs, or about 81 percent of the 2008 TAC. On a proportional basis, this decline would suggest that the income impacts for 2012 would be about $7.0 million in 2008 dollars. Using the change in ex-vessel revenues as means of forecasting the change in community impact, the estimated 2012 income impact on coastal communities is about $7.5 million.)</P>
        <P>NOAA Fisheries cannot exempt small entities or change the reporting requirements for small entities, because the limits and reporting requirements are determined by international negotiations. Thus, there are no other alternatives to the rule that minimize the impacts on small entities. The major economic effect on the fishery is from a change in the TAC which is set by international agreement. Given the TAC, the sport management measures implement the plan by managing the recreational fishery to meet the differing fishery needs of the various areas along the coast according to the plan's objectives. The measures will be very similar to last year's management measures.</P>

        <P>Section 212 of the Small Business Regulatory Enforcement Fairness Act of 1996 states that, for each rule or group of related rules for which an agency is required to prepare a FRFA, the agency shall publish one or more guides to assist small entities in complying with the rule, and shall designate such publications as “small entity compliance guides.” The agency shall explain the actions a small entity is required to take to comply with a rule or group of rules. As part of halibut management in Area 2A, NMFS maintains a toll-free telephone hotline where members of the public may call in to receive current information on seasons and requirements to participate in the halibut fisheries in Area 2A. This hotline also serves as small entity compliance guide. Copies of this final rule are available from the NMFS Northwest Regional Office upon request (See<E T="02">ADDRESSES</E>). To hear the small entity compliance guide associated with this final rule, call the NMFS hotline at 800-662-9825.</P>
        <P>WDFW and ODFW held public meetings and crafted alternatives to adjust management of the sport halibut fisheries in their states. The states then narrowed the alternatives under consideration and brought the resulting subset of alternatives to the Council at the Council's September and November 2011 meetings. The Council and the States both considered a range of alternatives that could have similarly improved angler enjoyment of participation in the fisheries while simultaneously protecting halibut and co-occurring groundfish species from overharvest. The range of alternatives that were considered, but ultimately rejected, includes alternate fishery structures, such as opening the sport fisheries on different days of the week than the final preferred alternative. Generally, because they have been through the state public review process by the time the alternatives reach the Council, there are not a large number of alternatives. Rather, the range of alternatives has generally been reduced to the proposed action and the status quo. The status quo alternative was rejected because it would fail to: align subarea quotas with recent participation, adjust season subarea quota splits to better match participation; and correct the codified regulations consistent with the groundfish regulations.</P>
        <P>Pursuant to Executive Order 13175, the Secretary recognizes the sovereign status and co-manager role of Indian tribes over shared Federal and tribal fishery resources. Section 302(b)(5) of the Magnuson-Stevens Fishery Conservation and Management Act establishes a seat on the Pacific Council for a representative of an Indian tribe with federally recognized fishing rights from California, Oregon, Washington, or Idaho. The U.S. Government formally recognizes that 13 Washington Tribes have treaty rights to fish for Pacific halibut. In general terms, the quantification of those rights is 50 percent of the harvestable surplus of Pacific halibut available in the tribes' usual and accustomed fishing areas (described at 50 CFR 300.64). Each of the treaty tribes has the discretion to administer their fisheries and to establish their own policies to achieve program objectives. Accordingly, tribal allocations and regulations, including the changes to the CSP, have been developed in consultation with the affected tribe(s) and, insofar as possible, with tribal consensus.</P>
        <P>NMFS NWR has initiated consultation on the halibut fishery under section 7 of the ESA because of the listing of yelloweye, canary, and bocaccio rockfish of the Puget Sound/Georgia Basin. Area 2A partially overlaps with the Distinct Population Segments (DPSs) for listed rockfish. NMFS completed a 7(a)(2)/7(d) determination memo under the Endangered Species Act (ESA) finding that bycatch in the 2012 fishery was not likely to be a significant impact on listed species, that direct effects of the fishery (e.g. direct takes) were not likely to jeopardize the continued existence of any listed species, and that in no way did the 2012 fishery make an irreversible or irretrievable commitment of resources by the agency. At this time the consultation is not completed.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 50 CFR Part 300</HD>
          <P>Fisheries, Fishing, and Indian fisheries.</P>
        </LSTSUB>
        <SIG>
          <DATED>Dated: March 16, 2012.</DATED>
          <NAME>Alan D. Risenhoover,</NAME>
          <TITLE>Acting Deputy Assistant Administratorfor Regulatory Programs, National Marine Fisheries Service.</TITLE>
        </SIG>
        
        <P>For the reasons set out in the preamble, 50 CFR part 300 is amended as follows:</P>
        <REGTEXT PART="300" TITLE="50">
          <PART>
            <HD SOURCE="HED">PART 300—INTERNATIONAL FISHERIES REGULATIONS</HD>
          </PART>
          <AMDPAR>1. The authority citation for part 300 continues to read as follows:</AMDPAR>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>16 U.S.C. 773<E T="03">et seq.</E>
            </P>
          </AUTH>
        </REGTEXT>
        
        <REGTEXT PART="300" TITLE="50">
          <AMDPAR>2. In § 300.63, paragraphs (b)(3), (d)(1)(ii), (d)(3), (d)(4), (d)(6), and (e)(2) are revised to read as follows:</AMDPAR>
          <SECTION>
            <SECTNO>§ 300.63</SECTNO>
            <SUBJECT>Catch sharing plan and domestic management measures in Area 2A.</SUBJECT>
            <STARS/>
            <P>(b) * * *</P>

            <P>(3) A portion of the Area 2A Washington recreational TAC is allocated as incidental catch in the sablefish primary fishery north of 46°53.30' N. lat, (Pt. Chehalis, Washington), which is regulated under 50 CFR 660.231. This fishing opportunity is only available in years in which the Area 2A TAC is greater than 900,000 lb (408.2 mt,) provided that a<PRTPAGE P="16760"/>minimum of 10,000 lb (4.5 mt) is available above a Washington recreational TAC of 214,100 lb (97.1 mt). Each year that this harvest is available, the landing restrictions necessary to keep this fishery within its allocation will be recommended by the Pacific Fishery Management Council at its spring meetings, and will be published in the<E T="04">Federal Register</E>. These restrictions will be designed to ensure the halibut harvest is incidental to the sablefish harvest and will be based on the amounts of halibut and sablefish available to this fishery, and other pertinent factors. The restrictions may include catch or landing ratios, landing limits, or other means to control the rate of halibut landings.</P>
            <P>(i) In years when this incidental harvest of halibut in the sablefish primary fishery north of 46°53.30′ N. lat. is allowed, it is allowed only for vessels using longline gear that are registered to groundfish limited entry permits with sablefish endorsements and that possess the appropriate incidental halibut harvest license issued by the Commission.</P>
            <P>(ii) It is unlawful for any person to possess, land or purchase halibut south of 46°53.30′ N. lat. that were taken and retained as incidental catch authorized by this section in the sablefish primary fishery.</P>
            <STARS/>
            <P>(d) * * *</P>
            <P>(1) * * *</P>
            <P>(ii) The commercial directed fishery for halibut during the fishing period(s) established in section 8 of the annual domestic management measures and IPHC regulations and/or the incidental retention of halibut during the sablefish primary fishery described at 50 CFR 660.231; or</P>
            <STARS/>
            <P>(3) No person shall fish for halibut in the directed commercial halibut fishery during the fishing periods established in section 8 of the annual domestic management measures and IPHC regulations and/or retain halibut incidentally taken in the sablefish primary fishery in Area 2A from a vessel that has been used during the same calendar year for the incidental catch fishery during the salmon troll fishery as authorized in Section 8 of the annual domestic management measures and IPHC regulations.</P>
            <P>(4) No person shall fish for halibut in the directed commercial halibut fishery and/or retain halibut incidentally taken in the sablefish primary fishery in Area 2A from a vessel that, during the same calendar year, has been used in the sport halibut fishery in Area 2A or that is licensed for the sport charter halibut fishery in Area 2A.</P>
            <STARS/>
            <P>(6) No person shall retain halibut in the salmon troll fishery in Area 2A as authorized under section 8 of the annual domestic management measures and IPHC regulations taken on a vessel that, during the same calendar year, has been used in the directed commercial halibut fishery during the fishing periods established in Section 8 of the annual domestic management measures and IPHC regulations and/or retained halibut incidentally taken in the sablefish primary fishery for Area 2A or that is licensed to participate in these commercial fisheries during the fishing periods established in Section 8 of the annual domestic management measures and IPHC regulations in Area 2A.</P>
            <P>(e) * * *</P>
            <P>(2) Non-treaty commercial vessels operating in the incidental catch fishery during the sablefish primary fishery north of Pt. Chehalis, Washington, in Area 2A are required to fish outside of a closed area. Under Pacific Coast groundfish regulations at 50 CFR 660.230, fishing with limited entry fixed gear is prohibited within the North Coast Commercial Yelloweye Rockfish Conservation Area (YRCA). It is unlawful to take and retain, possess, or land halibut taken with limited entry fixed gear within the North Coast Commercial YRCA. The North Coast Commercial YRCA is an area off the northern Washington coast, overlapping the northern part of the North Coast Recreational YRCA, and is defined by straight lines connecting latitude and longitude coordinates. Coordinates for the North Coast Commercial YRCA are specified in groundfish regulations at 50 CFR 660.70(b).</P>
            <STARS/>
          </SECTION>
        </REGTEXT>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6858 Filed 3-19-12; 11:15 am]</FRDOC>
      <BILCOD>BILLING CODE 3510-22-P</BILCOD>
    </RULE>
  </RULES>
  <VOL>77</VOL>
  <NO>56</NO>
  <DATE>Thursday, March 22, 2012</DATE>
  <UNITNAME>Proposed Rules</UNITNAME>
  <PRORULES>
    <PRORULE>
      <PREAMB>
        <PRTPAGE P="16761"/>
        <AGENCY TYPE="S">OFFICE OF THE FEDERAL REGISTER</AGENCY>
        <CFR>1 CFR Part 51</CFR>
        <DEPDOC>[NARA-12-0002]</DEPDOC>
        <SUBJECT>Incorporation by Reference</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of the Federal Register, National Archives and Records Administration.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Extension of the comment period.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>On February 13, 2012, the Office of the Federal Register (OFR or we) received a petition to amend our regulations governing the approval of agency requests to incorporate material by reference into the Code of Federal Regulations. We published an announcement of the petition and request for comments on February 27, 2012. Since that time we have received one formal and several informal requests to extend the comment period. We are extending the comment period until June 1, 2012. We will not accept late comments.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>We are extending the comment period until June 1, 2012. We will not accept late comments.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>You may submit comments, identified using the subject line of this document, by any of the following methods:</P>
          <P>•<E T="03">Federal eRulemaking Portal: http://www.regulations.gov.</E>Follow the instructions for submitting comments.</P>
          <P>•<E T="03">Email: Fedreg.legal@nara.gov.</E>Include the subject line of this document in the subject line of the message.</P>
          <P>•<E T="03">Mail:</E>the Office of the Federal Register (NF), The National Archives and Records Administration, 8601 Adelphi Road, College Park, MD.</P>
          <P>•<E T="03">Hand Delivery/Courier:</E>Office of the Federal Register, 800 North Capitol Street NW., Suite 700, Washington, DC 20001.</P>

          <P>Docket materials are available at the Office of the Federal Register, 800 North Capitol Street NW., Suite 700, Washington, DC 20001, 202-741-6030. Please contact the persons listed in the<E T="02">FOR FURTHER INFORMATION CONTACT</E>section to schedule your inspection of docket materials. The Office of the Federal Register's official hours of business are Monday through Friday, 8:45 a.m. to 5:15 p.m., excluding Federal holidays.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Amy Bunk, Director of Legal Affairs and Policy, or Miriam Vincent, Staff Attorney, Office of the Federal Register, at<E T="03">Fedreg.legal@nara.gov,</E>or 202-741-6030.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>

        <P>The Office of the Federal Register (OFR or we) received a petition to revise our regulations at 1 CFR part 51 on February 13, 2012. We published an announcement of the petition and a request for comments on February 27, 2012. 77 FR 11414. You can view the petition and its suggested revisions to the regulations 1 CFR part 51 on<E T="03">www.regulations.gov.</E>At the regulations.gov main page type NARA-12-0002 in the search box to find the docket for this petition.</P>
        <P>Since we published the announcement, we have received several informal and one formal request to extend the comment period on the petition. After considering the requests, we have decided to extend the comment period to June 1, 2012. Because this extension gives commenters more than 90 days to consider the petition and submit comments on its merits, we will not accept comments received after June 1, 2012.</P>
        <SIG>
          <NAME>Michael L. White,</NAME>
          <TITLE>Acting Director, Office of the Federal Register.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6935 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 1505-02-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HOUSING AND URBAN DEVELOPMENT</AGENCY>
        <CFR>5 CFR Part 7501</CFR>
        <DEPDOC>[Docket No. FR-5542-P-01]</DEPDOC>
        <RIN>RIN 2501-AD55</RIN>
        <SUBJECT>Supplemental Standards of Ethical Conduct for Employees of the Department of Housing and Urban Development; Republication</SUBJECT>
        <HD SOURCE="HD2">Republication</HD>
        <EDNOTE>
          <HD SOURCE="HED">Editorial Note:</HD>
          <P>Proposed rule document 2012-06177 was originally published on pages 14997 through 15003 in the issue of Wednesday, March 14, 2012. In that publication an incorrect version of the document was published. The corrected document is republished in its entirety.</P>
        </EDNOTE>
        
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of the Secretary, Department of Housing and Urban Development.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Department of Housing and Urban Development (HUD), with the concurrence of the Office of Government Ethics (OGE), seeks comments on the proposed amendments to HUD's Supplemental Standards of Ethical Conduct, which are regulations for HUD officers and employees that supplement the Standards of Ethical Conduct for Employees of the Executive Branch (Standards) issued by OGE. To ensure a comprehensive and effective ethics program at HUD, and to address ethical issues unique to HUD, the proposed rule reflects statutory changes that were enacted subsequent to the promulgation of HUD's Supplemental Standards of Conduct regulation in 1996; significantly, the transfer of general regulatory authority over the Federal National Mortgage Association and the Federal Home Loan Mortgage Corporation from HUD to the Federal Housing Finance Agency (FHFA). In addition, the proposed rule revises definitions used in HUD's Supplemental Standards of Conduct to reflect updated titles and positions and clarifies existing prohibitions on certain financial interests and outside employment to better guide employee conduct, while upholding the integrity of HUD in the administration of its programs.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>
            <E T="03">Comment Due Date:</E>May 14, 2012.</P>
        </EFFDATE>
        <ADD>
          <PRTPAGE P="16762"/>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Interested persons are invited to submit comments regarding this proposed rule. All comments must be in writing and be addressed to the Regulations Division, Office of General Counsel, Department of Housing and Urban Development, 451 7th St. SW., Room 10276, Washington, DC 20410-0500. There are two methods for submitting public comments. All submissions must refer to the above docket number and title.</P>
          <P>1.<E T="03">Submission of Comments by Mail.</E>Comments may be submitted by mail to the Regulations Division, Office of General Counsel, Department of Housing and Urban Development, 451 7th Street SW., Room 10276, Washington, DC 20410-0500.</P>
          <P>2.<E T="03">Electronic Submission of Comments.</E>Interested persons may submit comments electronically through the Federal eRulemaking Portal at<E T="03">www.regulations.gov.</E>HUD strongly encourages commenters to submit comments electronically. Electronic submission of comments allows the commenter maximum time to prepare and submit a comment, ensures timely receipt by HUD, and enables HUD to make them immediately available to the public. Comments submitted electronically through the<E T="03">www.regulations.gov</E>Web site can be viewed by other commenters and interested members of the public. Commenters should follow the instructions provided on that site to submit comments electronically.</P>
        </ADD>
        <NOTE>
          <HD SOURCE="HED">Note:</HD>
          <P>To receive consideration as public comments, comments must be submitted through one of the two methods specified above. Again, all submissions must refer to the docket number and title of the rule.</P>
        </NOTE>
        <P>
          <E T="03">No Facsimile Comments.</E>Facsimile (FAX) comments are not acceptable.</P>
        <P>
          <E T="03">Public Inspection of Public Comments.</E>All properly submitted comments and communications submitted to HUD will be available for public inspection and copying between 8 a.m. and 5 p.m. weekdays at the above address. Due to security measures at the HUD Headquarters building, an advance appointment to review the public comments must be scheduled by calling the Regulations Division at (202) 402-3055 (this is not a toll-free number). Individuals with speech or hearing impairments may access this number via TTY by calling the Federal Relay Service, toll-free, at (800) 877-8339. Copies of all comments submitted are available for inspection and downloading at<E T="03">www.regulations.gov.</E>
        </P>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Robert H. Golden, Assistant General Counsel, Ethics Law Division, telephone number 202-402-6334, or Peter J. Constantine, Associate General Counsel for Ethics and Personnel Law, Office of General Counsel, Department of Housing and Urban Development, 451 7th Street SW., Washington, DC 20410, telephone number (202) 402-2377. Persons with hearing or speech impairments may access this number through TTY by calling the toll-free Federal Relay Service at (800) 877-8339.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">I. Background</HD>
        <P>Executive Order 12674, as amended by Executive Order 12731, authorized OGE to establish a single, comprehensive, and clear set of executive-branch standards of conduct. On August 7, 1992, OGE published the Standards of Ethical Conduct for Employees of the Executive Branch (Standards), as codified at 5 CFR part 2635. (See 57 FR 35006, as corrected at 57 FR 48557 and 57 FR 52583.) The Standards, effective February 3, 1993, set uniform ethical conduct standards applicable to all executive branch personnel.</P>
        <P>With the concurrence of OGE, 5 CFR 2635.105 authorizes executive branch agencies to publish agency-specific supplemental regulations necessary to implement their respective ethics programs. Pursuant to this authority, HUD, with OGE's concurrence, published on July 9, 1996, a final rule to establish its supplementary standards of ethical conduct for HUD employees (61 FR 36246). HUD, with OGE's concurrence, now proposes to amend its supplemental standards in order to successfully implement HUD's ethics program in light of recent statutory changes to HUD's programs and operations. One of the most significant statutory changes to HUD programs and operations was made by the Housing and Economic Recovery Act of 2008 (HERA) (Pub. L. 110-289, approved July 30, 2008). HERA transfers regulatory authority over the Federal National Mortgage Association (Fannie Mae) and the Federal Home Loan Mortgage Corporation (Freddie Mac) (collectively referred to as the Government Sponsored Enterprises, or GSEs) from HUD to the Federal Housing Finance Agency (FHFA). Based on this transfer of regulatory authority, HUD has decided to remove provisions of its Supplemental Standards of Conduct that prohibit all HUD employees from owning certain financial interests issued by the GSEs. In addition, HUD has decided to remove § 7501.106 of its Supplemental Standards of Conduct that apply to employees whose duties involve the regulation or oversight of the GSEs. Section 7501.106 prohibits covered employees from, among other things, owning financial interests in certain mortgage institutions and from performing any work, either compensated or uncompensated, for or on behalf of a mortgage institution. The removal of § 7501.106 is based on HUD's determination that this section is no longer necessary to ensuring the impartiality and integrity in the administration of HUD's programs.</P>
        <P>In addition, this proposed rule revises definitions used in HUD's Supplemental Standards of Conduct to reflect updated titles and positions and clarifies existing prohibitions on certain financial interests and outside employment to better guide employee conduct, while upholding the integrity of HUD in the administration of its programs. This rule also proposes to add a new § 7501.106 that clarifies the authority of the HUD OIG in the agency's ethics program and establishes it as a separate component as provided by 5 CFR 2635.203(a).</P>
        <HD SOURCE="HD1">II. Amendments Proposed by This Rule</HD>
        <P>The following is a section-by-section overview of the amendments proposed by this rule.</P>
        <HD SOURCE="HD2">Section 7501.101Purpose</HD>
        <P>This section remains unchanged.</P>
        <HD SOURCE="HD2">Section 7501.102Definitions</HD>

        <P>Proposed § 7501.102 updates and clarifies key terms already in the current regulation. In addition, it adds new terms to reflect current HUD policy and removes terms that are no longer used in the regulation. Specifically, the proposed definitions of “Agency designee” and “Designated Agency Ethics Official (DAEO)” are revised to reflect updated office names and titles within the current HUD organization. Definitions of “Bureau,” “Bureau Ethics Counselor,” and “Deputy Bureau Ethics Counselor,” are proposed to clarify the Office of Inspector General's responsibilities in HUD's ethics program. Additionally, the reference to the Inspector General (IG) is removed from the definition of “agency designee” in favor of adding definitions for “Bureau,” “Bureau Ethics Counselor,” and “Deputy Bureau Ethics Counselor.” “Bureau” would be defined to mean the Office of the Inspector General (OIG). “Bureau Ethics Counselor” and “Deputy Bureau Ethics Counselor” would be defined to mean, respectively, the General Counsel for OIG and the OIG employees to whom the OIG General Counsel delegates responsibility to make determinations, issue explanatory guidance, or establish<PRTPAGE P="16763"/>procedures necessary to implement this part, subpart I of 5 CFR part 2634, and 5 CFR part 2635 for Bureau employees. HUD is proposing these amendments to make the structure of its ethics program more consistent with the structure used by other federal agencies and to more clearly describe the role and responsibilities of the IG in HUD's ethics program.</P>
        <P>The proposed definition of “employment” is also clarified to provide that employment includes uncompensated activity, such as volunteer work for others while off-duty.</P>
        <P>The terms “assistance” and “security” are proposed to be removed from § 7501.102, because these terms are no longer used in HUD's supplemental regulations.</P>
        <HD SOURCE="HD2">Section 7501.103Waivers</HD>
        <P>Proposed § 7501.103 clarifies the procedure for requesting a waiver, and makes other minor changes to make the section clearer. Proposed § 7501.103 adds the requirement that a waiver request be submitted in writing to an agency designee and should include the employee's office and division; a description of the employee's official duties; the nature and extent of the waiver; a detailed statement of facts to support the request; and the basis for the request, such as hardship. This amendment codifies HUD practice that a waiver request must be in writing, and provides direction to employees on what should be included in a waiver request for a thorough analysis to be conducted. The amendment further confirms HUD practice that hardship and other exigent circumstances are legitimate reasons for a waiver request, and such a request will be considered in light of HUD's need to ensure public confidence in the impartiality and objectivity with which HUD programs are administered. This section also proposes to delegate authority to the Bureau Ethics Counselor to waive provisions of this part.</P>
        <P>The proposed section also makes minor textual changes in order to make the regulation easier to understand. These textual changes are not intended to change the meaning of the section.</P>
        <HD SOURCE="HD2">Section 7501.104Prohibited Financial Interests</HD>
        <P>Proposed § 7501.104 is amended to remove the reference to covered employees under § 7501.106(b)(1). This change reflects the proposed removal of § 7501.106 as discussed in more detail below in this preamble. The proposed regulation continues to apply to all HUD employees, except special government employees, and to the employee's spouse and minor children, because HUD has determined that ownership of the financial interests listed in this section by these individuals constitutes a significant risk of an apparent conflict of interest. Additionally, this section is revised to reflect the changes to HUD regulatory authority as the result of HERA, which transferred all general regulatory authority over Fannie Mae and Freddie Mac from HUD to the FHFA.</P>

        <P>Existing § 7501.104(a)(1) is proposed to be removed. The prohibition in this section was promulgated in 1968 after Congress provided HUD with general regulatory authority over Fannie Mae through the Federal National Mortgage Association Charter Act (12 U.S.C. 1716<E T="03">et seq.</E>). Under this 1968 statute, HUD was directed to establish housing goals for Fannie Mae, specifically a goal for low- and moderate-income housing and a goal for housing located in central cities. Beginning in 1968, HUD's Standards of Conduct prohibited employees from owning securities issued by Fannie Mae or securities collateralized by Fannie Mae securities. (See 24 CFR § 0.735.205(a)(3) (1968).) Section 7501.104(a)(1) is no longer necessary since HERA transferred the general regulatory functions over Fannie Mae to FHFA.</P>
        <P>Existing § 7501.104(a)(2) is also proposed to be removed. In 1989, Congress passed the Financial Institutions Reform, Recovery, and Enforcement Act (FIRREA) and granted HUD essentially the same authority over Freddie Mac as it had over Fannie Mae. In response to this additional authority, HUD's standards of conduct were updated to include a prohibition against owning securities issued by Freddie Mac or securities collateralized by Freddie Mac securities. HUD has determined that the prohibition is no longer necessary because of HERA.</P>
        <P>The remaining provisions are redesignated accordingly.</P>
        <P>Proposed § 7501.104(a)(1) adopts language from the current § 7501.104(a)(3).</P>
        <P>Proposed § 7501.104(a)(2) is based on current § 7501.104(a)(4), but is revised to add clarity. Specifically, the revised section replaces the phrase “in a multifamily project or single family dwelling, cooperative unit, or condominium unit” with the term “project” in order to cover all HUD subsidized or insured projects that exist or may come to exist in the future. Employee ownership of homes with mortgages insured under programs of the Federal Housing Administration (FHA) and the purchase by employees of HUD-owned homes, which was an exception within the prohibition of § 7501.104(a)(4), is now addressed in exceptions under proposed § 7501.104(b). All remaining HUD projects, including multifamily projects, assisted living facilities, nursing homes, and hospitals, are now included in the revised prohibition in § 7501.104(a)(2). Finally, proposed § 7501.104(a)(2) now uses the term “financial interest” to replace “stock or other financial interest” and references OGE regulations at 5 CFR 2635.403(c) for a complete definition of the term “financial interest,” including examples.</P>

        <P>Proposed § 7501.104(a)(3) revises the language in current § 7501.104(a)(5). A new exception is proposed that allows all new HUD employees who already have a tenant receiving Section 8 subsidies to retain that tenant until the tenant terminates his or her lease. Proposed § 7501.104(a)(3)(i)(E) adds a new exception permitting HUD employees to receive a Section 8 subsidy for the rental of properties located in areas of Presidentially declared emergency or natural disaster with prior written approval from an agency designee. HUD's experience demonstrates that in rare instances (<E T="03">e.g.,</E>Hurricane Katrina in 2005 or the 2008 flooding in Cedar Rapids, Iowa), there may be an extreme shortage of affordable housing in an area due to a natural disaster or other emergency. This exception would permit HUD employees with rentable properties in these areas to accept new tenants receiving Section 8 subsidies. These supplemental ethics regulations are intended to uphold the integrity of HUD's administration of the Section 8 program and are not intended to further restrict the availability of Section 8 housing, especially in times of acute housing shortages.</P>
        <P>The exceptions provided by proposed § 7501.104(a)(3) continue as long as the tenant continues to reside in the property and as long as the rent charged the tenant is not increased above the annual rate adjustments permitted by the Section 8 program. This first condition codifies HUD's intent not to require an employee to terminate the rental arrangement early or require a Section 8 tenant to move based solely on these regulations. The second condition preserves the current language of the exceptions.</P>
        <P>Current § 7501.104(a)(6) is proposed to be removed. The current prohibition against “direct creditor interests” is undefined and unclear.</P>

        <P>Proposed § 7501.104(b), which provides exceptions to this section on<PRTPAGE P="16764"/>prohibited financial interests, is revised to add the phrase “directly or indirectly receiving, acquiring or owning” to ensure consistency with § 7501.104(a). Additionally, this section proposes to expand the exceptions by eliminating from current § 7501.104(b)(1) the prohibition on owning investment funds that concentrate in residential mortgages or mortgage-backed securities. This prohibition is no longer needed to maintain the integrity of HUD in light of the fact that HUD no longer has regulatory authority over Fannie Mae and Freddie Mac.</P>
        <P>Proposed § 7501.104(b)(1) also provides an exception to the interests prohibited under proposed § 7501.104(a)(2). Section 7501.104(b)(1) allows the employee, or the employee's spouse or minor child, to have a financial interest in a publicly available or publicly traded investment fund that may include interests that are prohibited under § 7501.104(a)(2), as long as the employee, or the employee's spouse or minor child, neither exercises control nor has the ability to exercise control over the fund or the financial interests held in the fund. This exception allows the employee, or the employee's spouse or minor child, to have an interest in an investment fund that may hold interests in HUD subsidized projects. HUD's experience has been that it is extremely difficult to determine which investment funds have interests in HUD-subsidized projects, since that information is not readily available. Therefore, HUD has decided that this type of interest does not present an appearance problem and is therefore permissible.</P>
        <P>Current § 7501.104(b)(2) is proposed to be removed. Read literally, this exception had no possible application to a limited partnership holding. Also, limited partnerships create no less of an appearance issue than other legal entities that could be used as an investment vehicle and do not warrant the specific exception.</P>
        <P>Proposed § 7501.104(b)(2) provides that a HUD employee may obtain mortgage insurance provided by FHA under section 203 of the National Housing Act (12 U.S.C. 1709) to assist in his or her purchase of a single-family home that serves as the employee's principal residence and of one other single-family residence. Proposed § 7501.104(b)(2) provides notice to HUD employees that they must adhere to the procedures established by the Assistant Secretary for Housing—FHA Commissioner in order to obtain FHA insurance. This exception was previously found in § 7501.104(b)(3).</P>
        <P>Proposed § 7501.104(b)(3) covers HUD employees' purchases of HUD-owned homes. This provision is currently an exception within the prohibition of § 7501.104(a)(4); however, since the provision is permissive, HUD has moved the exception to proposed § 7501.104(b), where the other exceptions to the prohibitions to § 7501.104(a) are located. Current § 7501.104(a)(4) notifies employees that the purchase of HUD-held properties must be consistent with an Office of Housing handbook that is now outdated. To avoid the codification of references to HUD handbooks that may become obsolete, and thus create a discrepancy with the supplemental standards, proposed § 7501.104(b)(3) does not reference a specific Office of Housing handbook, but simply provides notice to HUD employees that they must adhere to the procedures established by the Assistant Secretary for Housing—FHA Commissioner in order to purchase a HUD-held property.</P>
        <P>Proposed § 7501.104(b)(4) has been added to ensure that the employment compensation and benefits package for an employee's spouse is not covered as a prohibited financial interest if the employee's spouse is employed by an entity that may have interests in HUD projects that are prohibited under proposed § 7501.104(a)(2). For example, an employee's spouse is not restricted from earning a salary and other benefits as compensation for employment with a real estate development company that does multifamily business with HUD.</P>
        <P>Proposed § 7501.104(b)(5) contains a revised provision that permits employees, or their spouses or minor children, to hold Government National Mortgage Association (GNMA) securities. The ownership of GNMA securities is currently addressed in § 7501.104(b)(1). Under this provision, an employee or the spouse or minor child of an employee may not own an interest in an investment fund that has an objective or practice of investing in residential mortgages or securities backed by residential mortgages except those of GNMA. Since HUD is proposing to revise § 7501.104(b)(1), the provision addressing ownership of GNMA securities is established as a separate exception.</P>
        <HD SOURCE="HD2">Section 7501.105Outside Activities</HD>
        <P>Proposed § 7501.105 governs the outside activities of HUD employees. This proposed section has been revised to account for changes in HUD's regulatory authority and to provide clarity on restricted real estate activities. The proposed rule is designed to balance several important ethical principles against an employee's right to engage in outside activities.</P>
        <P>HUD has determined that maintaining the policy against employment in businesses related to real estate or manufactured housing is necessary to protect against questions regarding the impartiality and objectivity of employees in the administration of HUD programs. Allowing such activity would hinder HUD in meeting its missions if members of the public question whether HUD employees are using their public positions or HUD connections to advance their outside real estate-related employment. While HUD has determined that this concern remains valid, HUD has also concluded that implementing this rule in its current form has led to inconsistent application and confusion. Therefore, HUD is proposing a number of amendments to clarify the intent of the prohibition.</P>

        <P>Proposed § 7501.105(a)(1) is amended by removing the phrase “involving active participation” with a real estate-related business. By removing this term, HUD does not intend to change the application of the prohibition contained in § 7501.105(a)(1) of the current rule; rather, HUD intends to make the prohibition less confusing and more transparent. The term “involving active participation” with a real estate-related business encompasses two prohibitions. First, it prohibits employment with a real estate-related business and, second, it prohibits ownership of a real estate-related business. The term led to some confusion in the application of these prohibitions by conflating the concepts of employment in a business related to real estate and the ownership activities of operating or managing investment properties. To rectify any confusion, HUD has separated the prohibition against the ownership activities of operating and managing a real estate-related business involving investment properties from the employment prohibition, by adding § 7501.105(a)(2), which prohibits the operation or management of investment properties to the extent that doing so rises to the level of a real estate business. To make the prohibition more transparent, HUD has decided to codify longstanding policy by listing several factors that it uses to consider whether the employee's actions of operating or managing investment properties rises to the level of a real estate business and falls within the prohibition. HUD first announced these factors in the 1995 preamble to the proposed version of the current rule. By listing these factors in the rule, HUD has not changed the scope of the current prohibition; rather, it has made the prohibition more transparent by<PRTPAGE P="16765"/>including in the rule the factors that are used to determine a violation of the prohibition. Therefore, HUD employees may continue to own or manage investment properties, so long as that ownership or management does not rise to the level of operation or management of a real estate-related business. In a further effort to make the rule more transparent, HUD has decided to codify existing policy by stating in § 7501.105(a)(2) that HUD will consider these situations on an individual basis.</P>

        <P>Proposed § 7501.105(a)(3) is amended to prohibit outside employment with a registered lobbying organization that is registered to lobby HUD. The current regulation cites a repealed statute. The proposed change would incorporate the definition of a lobbyist under the Lobbying Disclosure Act (2 U.S.C. 1601,<E T="03">et seq.</E>), although applying only to entities that lobby HUD. This change will allow easier compliance by employees and review by ethics staff because of the ease of checking the lobbying database of the U.S. House of Representatives and the U.S. Senate to determine if a potential employer is prohibited.</P>
        <P>Proposed § 7501.105(a)(4) is amended to remove the specific restriction on employees having outside positions with Fannie Mae and Freddie Mac. As previously discussed, HUD no longer has general regulatory authority over Fannie Mae and Freddie Mac. Further, under proposed § 7501.105(a)(1), employees would be prohibited from employment with a business related to real estate. This prohibition would cover employment with Fannie Mae and Freddie Mac. Therefore, a specific prohibition is not necessary.</P>
        <P>Proposed § 7501.105(b)(1)(ii) is amended to clarify that the outside employment prohibitions do not prohibit employees from serving as a member of an employee's homeowners' association. HUD previously permitted serving on the board of a cooperative and condominium association, and HUD has determined that serving on the board of a homeowners' association does not create additional ethics concerns.</P>
        <P>HUD has added § 7501.105(b)(2), which codifies HUD's longstanding policy that employees with a real estate agent's license may continue to hold such license. An employee may only use his or her license in relation to purchasing or selling a single-family property for use as the employee's primary residence, or for the primary residence of an immediate family of the employee. Employees seeking to use their real estate license for this purpose, however, must obtain the prior written approval of an agency ethics official. HUD has revised § 7501.105(c) to add the requirement for prior written approval from an agency ethics official for employees seeking to use their real estate license for this purpose.</P>
        <P>Proposed § 7501.105(c)(1) would require an employee to receive written approval prior to accepting a position of authority with a prohibited source. This section had previously extended only to organizations that directly or indirectly received HUD assistance. This section has been expanded to include all prohibited sources, because HUD has determined that taking a position of authority with any prohibited source, not just those which receive HUD funding, could create the appearance of a conflict of interest and should therefore be examined by an agency ethics official. Further, the section will now be easier for employees to understand, because prohibited source is a term with which they are familiar. As discussed, HUD proposes to add the requirement at § 7501.105(c)(1)(iv) for prior written approval from an agency ethics official for employees seeking to use their real estate license in relation to purchasing or selling a single-family property for use as the employee's primary residence or as the primary residence of an immediate family member of the employee.</P>
        <P>Proposed § 7501.105 would eliminate the reference to voluntary services. That section cited only other regulations, and HUD has determined that it is no longer needed to ensure public confidence in the impartiality and objectivity with which HUD programs are administered.</P>
        <P>Proposed § 7501.105(d) incorporates HUD's policy regarding liaison representatives, which was previously provided as a Note. This change will avoid any confusion over the concept and its authority.</P>
        <HD SOURCE="HD2">Section 7501.106Bureau Instructions and Designation of Separate Agency Components</HD>
        <P>HUD proposes to remove this section as currently codified. As previously discussed in this preamble, HUD no longer has general regulatory authority over Fannie Mae and Freddie Mac. In its place, HUD is proposing to add a new § 7501.106 that clarifies the authority of the Office of the Inspector General in the agency's ethics program and establishes it as a separate component as provided for by 5 CFR 2635.203(a).</P>

        <P>In 1992, Congress enacted the Federal Housing Enterprise Financial Safety and Soundness Act (FHEFSSA) (12 U.S.C. 4501<E T="03">et seq.</E>), which revamped the statutory requirements and regulatory structure of the GSEs by separating the GSEs' financial regulation from its mission regulation. FHEFSSA also established the Office of Federal Housing Enterprise Oversight as an independent regulatory office within HUD to ensure the GSEs' financial safety and soundness, while the Secretary of HUD retained responsibility for the mission regulation and all other general regulatory powers. FHEFSSA also required HUD to prohibit the GSEs from discriminating in their mortgage purchases. The fair housing authority was twofold: first, to take remedial action against lenders found to have engaged in discriminatory lending practices and second, to periodically review and comment on the GSEs' underwriting and appraisal guidelines to ensure consistency with the Fair Housing Act (42 U.S.C. 3601<E T="03">et seq.</E>). In 2008, HERA transferred all regulatory oversight of the GSEs from HUD to FHFA, except for this fair housing component.</P>
        <P>HUD's only remaining direct regulation of the GSEs is the periodic review of their underwriting and appraisal guidelines by the Office of Systemic Investigation of HUD's Office of Fair Housing and Equal Opportunity and by the Fair Housing Enforcement Division of HUD's Office of General Counsel. For employees involved in these compliance reviews, 18 U.S.C. 208, which prohibits employees from participating in matters that may affect their financial interests, would prohibit them from participating in official matters such as these reviews if the employee also owns a financial interest that could be affected by the review. Therefore, these employees would be required to recuse themselves from the official matter or divest their financial interest without the need for an additional HUD-specific regulation. The criminal statute is sufficient to insure against conflicts in those HUD employees when the periodic review is underway.</P>
        <P>HUD has determined that the prohibitions in current § 7501.106 are unnecessary given HUD's very limited role regarding the GSEs. The current § 7501.106 prohibits certain employees that were involved with GSEs from owning securities in certain mortgage institutions that originate, insure, or service mortgages owned or guaranteed by the GSEs. However, HUD employees no longer regulate the GSEs in a way that could affect the stock value of these mortgage institutions.</P>

        <P>Additionally, there are other regulations that cover an appearance issue that might arise for those employees working on fair housing compliance review of the GSEs.<PRTPAGE P="16766"/>Specifically, OGE regulations at 5 CFR 2635.502 would apply and would limit the activity that employees who are involved in the periodic review of the GSEs can engage in with respect to a financial interest in a mortgage institution that currently originates, insures, or services mortgages owned or guaranteed by the GSEs.</P>
        <P>Accordingly removing these prohibitions would not compromise the integrity of HUD's functions.</P>
        <P>The new proposed § 7501.106(a) delegates to the Bureau Ethics Counselor the authority to designate Deputy Bureau Ethics Counselors to make determinations, issue explanatory guidance, and establish procedures necessary to implement this part, subpart I of 5 CFR 2634, and 5 CFR part 2635 for his or her bureau. The proposed rule also includes the concurrence of the Designated Agency Ethics Official on the delegation. This designation is consistent with 5 CFR 2635.105(c), more clearly describes the role and responsibility of the OIG in the agency's ethics program, and maintains the independence of the IG as provided for by the Inspector General Act, as amended.</P>
        <P>Additionally, consistent with 5 CFR 2635.203(a), new proposed § 7501.106(b) designates the OIG as a separate agency component. HUD is designating the OIG as a separate agency component to make the structure its ethics program more consistent with the structure used by other federal agencies. HUD's changes are intended to more clearly describe the role and responsibility of the OIG in the agency's ethics program, and maintain the independence and authority of the IG. The designation as a separate agency component authorizes Bureau Ethics Counselors within the OIG to render legal ethics advice regarding the regulations contained in subpart B of 5 CFR part 2635, governing gifts from outside sources; and 5 CFR 2635.807, governing teaching, speaking, or writing.</P>
        <HD SOURCE="HD1">III. Matters of Regulatory Procedure</HD>
        <HD SOURCE="HD2">Administrative Procedure Act</HD>

        <P>Interested persons are invited to submit written comments on this proposed amendatory rulemaking, to be received by DATE section of this proposed rule. The comments will be carefully considered and appropriate changes will be made before a final rule is adopted and published in the<E T="04">Federal Register</E>.</P>
        <HD SOURCE="HD2">Executive Order 12866 and Executive Order 13563</HD>
        <P>Executive Orders 12866 and 13563 direct agencies to assess all costs and benefits of available regulatory alternatives and, if the regulation is necessary, to select the regulatory approach that maximizes net benefits. Because this rule relates solely to the internal operations of HUD, this rule was determined to be not a significant regulatory action under section 3(f) of Executive Order 12866, Regulatory Planning and Review, and therefore was not reviewed by the Office of Management and Budget (OMB).</P>
        <HD SOURCE="HD2">Regulatory Flexibility Act</HD>
        <P>The Regulatory Flexibility Act (5 U.S.C. 601<E T="03">et seq.</E>) generally requires an agency to conduct a regulatory flexibility analysis of any rule subject to notice and comment rulemaking requirements, unless the agency certifies that the rule will not have a significant economic impact on a substantial number of small entities. This rule would not have a significant economic impact on a substantial number of small entities because this rule pertains only to HUD employees.</P>
        <HD SOURCE="HD2">Information Collection Requirements</HD>
        <P>The Paperwork Reduction Act of 1995 (44 U.S.C. 3501-3520) does not apply to this regulation because it does not contain information collection requirements subject to the approval of OMB.</P>
        <HD SOURCE="HD2">Environmental Impact</HD>
        <P>In accordance with 40 CFR 1508.4 of the regulations of the Council on Environmental Quality and 24 CFR 50.20(k) of the HUD regulations, the policies and procedures contained in this rule relate only to internal administrative procedures whose content does not constitute a development decision nor affect the physical condition of project areas or building sites, and therefore, are categorically excluded from the requirements of the National Environmental Policy Act.</P>
        <HD SOURCE="HD2">Executive Order 13132, Federalism</HD>
        <P>Executive Order 13132 (entitled “Federalism”) prohibits, to the extent practicable and permitted by law, an agency from promulgating a regulation that has federalism implications and either imposes substantial direct compliance costs on state and local governments and is not required by statute or preempts state law, unless the relevant requirements of section 6 of the Executive Order are met. This rule does not have federalism implications and does not impose substantial direct compliance costs on state and local governments or preempt state law within the meaning of the Executive Order.</P>
        <HD SOURCE="HD2">Unfunded Mandates Reform Act</HD>
        <P>Title II of the Unfunded Mandates Reform Act of 1995 (2 U.S.C. 1531-1538) (UMRA) establishes requirements for federal agencies to assess the effects of their regulatory actions on state, local, and tribal governments, and on the private sector. Since it is only directed toward HUD employees, this rule would not impose any federal mandates on any state, local, or tribal governments, or on the private sector, within the meaning of the UMRA</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 5 CFR Part 7501</HD>
          <P>Conflicts of interests.</P>
        </LSTSUB>
        
        <P>Accordingly, for the reasons described in the preamble, HUD, with the concurrence of OGE, proposes to amend 5 CFR part 7501, as follows:</P>
        <PART>
          <HD SOURCE="HED">PART 7501—SUPPLEMENTAL STANDARDS OF ETHICAL CONDUCT FOR EMPLOYEES OF THE DEPARTMENT OF HOUSING AND URBAN DEVELOPMENT</HD>
          <CONTENTS>
            <SECHD>Sec.</SECHD>
            <SECTNO>7501.101</SECTNO>
            <SUBJECT>Purpose.</SUBJECT>
            <SECTNO>7501.102</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <SECTNO>7501.103</SECTNO>
            <SUBJECT>Waivers.</SUBJECT>
            <SECTNO>7501.104</SECTNO>
            <SUBJECT>Prohibited financial interests.</SUBJECT>
            <SECTNO>7501.105</SECTNO>
            <SUBJECT>Outside activities.</SUBJECT>
            <SECTNO>7501.106</SECTNO>
            <SUBJECT>Bureau instructions and designation of separate agency component.</SUBJECT>
          </CONTENTS>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>5 U.S.C. 301, 7301, 7351, 7353; 5 U.S.C. App. (Ethics in Government Act of 1978); E.O. 12674, 54 FR 15159, 3 CFR, 1989 Comp., p. 215, as modified by E.O. 12731, 55 FR 42547, 3 CFR, 1990 Comp., p. 306; 5 CFR 2635.105, 2635.203(a), 2635.403(a), 2635.803, 2635.807.</P>
          </AUTH>
          <SECTION>
            <SECTNO>§ 7501.101</SECTNO>
            <SUBJECT>Purpose.</SUBJECT>
            <P>In accordance with 5 CFR 2635.105, the regulations in this part apply to employees of the Department of Housing and Urban Development (HUD or Department) and supplement the Standards of Ethical Conduct for Employees of the Executive Branch contained in 5 CFR part 2635. Employees are required to comply with 5 CFR part 2635, this part, and any additional rules of conduct that the Department is authorized to issue.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 7501.102</SECTNO>
            <SUBJECT>Definitions.</SUBJECT>
            <P>For purposes of this part, and otherwise as indicated, the following definitions shall apply:</P>
            <P>
              <E T="03">Agency designee,</E>as used also in 5 CFR part 2635, means the Associate General Counsel for Ethics and<PRTPAGE P="16767"/>Personnel Law, the Assistant General Counsel for the Ethics Law Division, and the HUD Regional Counsels.</P>
            <P>
              <E T="03">Agency ethics official,</E>as used also in 5 CFR part 2635, means the agency designees as specified above.</P>
            <P>
              <E T="03">Affiliate</E>means any entity that controls, is controlled by, or is under common control with another entity.</P>
            <P>
              <E T="03">Bureau</E>means the Office of the Inspector General.</P>
            <P>
              <E T="03">Bureau Ethics Counselor</E>means the General Counsel for the Bureau.</P>
            <P>
              <E T="03">Deputy Bureau Ethics Counselor</E>means the Bureau employee or employees who the Bureau Ethics Counselor has delegated responsibility to act under § 7501.106 for the Bureau.</P>
            <P>
              <E T="03">Designated Agency Ethics Official</E>(DAEO) means the General Counsel of HUD or the Deputy General Counsel for Operations in the absence of the General Counsel.</P>
            <P>
              <E T="03">Employment</E>means any compensated or uncompensated (including volunteer work for others while off-duty) form of non-Federal activity or business relationship, including self-employment, that involves the provision of personal services by the employee. It includes, but is not limited to, personal services as an officer, director, employee, agent, attorney, consultant, contractor, general partner, trustee, teacher, or speaker. It includes writing when done under an arrangement with another person for production or publication of the written product.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 7501.103</SECTNO>
            <SUBJECT>Waivers.</SUBJECT>
            <P>The Designated Agency Ethics Official, or the Bureau Ethics Counselor for a Bureau employee may waive any provision of this part upon finding that the waiver will not result in conduct inconsistent with 5 CFR part 2635 and is not otherwise prohibited by law and that application of the provision is not necessary to ensure public confidence in the Department's impartial and objective administration of its programs. Each waiver shall be in writing and supported by a statement of the facts and findings upon which it is based and may impose appropriate conditions, such as requiring the employee's execution of a written disqualification statement. A waiver will be considered only in response to a written waiver request submitted to an agency ethics official. The waiver request should include:</P>
            <P>(1) The requesting employee's Branch, Unit, and a detailed description of his or her official duties;</P>
            <P>(2) The nature and extent of the proposed waiver;</P>
            <P>(3) A detailed statement of the facts supporting the request; and</P>
            <P>(4) The basis for the request, such as undue hardship or other exigent circumstances.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 7501.104</SECTNO>
            <SUBJECT>Prohibited financial interests.</SUBJECT>
            <P>(a)<E T="03">General requirement.</E>This section applies to all HUD employees except special Government employees. Except as provided in paragraph (b) of this section, the employee, or the employee's spouse or minor child, shall not directly or indirectly receive, acquire, or own:</P>
            <P>(1) Federal Housing Administration (FHA) debentures or certificates of claim.</P>
            <P>(2) A financial interest in a project, including any single family dwelling or unit, which is subsidized by the Department, or which is subject to a note or mortgage or other security interest insured by the Department. The definition of “financial interest” is found at 5 CFR 2635.403(c).</P>
            <P>(3)(i) Any Department subsidy provided pursuant to Section 8 of the United States Housing Act of 1937, as amended (42 U.S.C. 1437f), to or on behalf of a tenant of property owned by the employee or the employee's spouse or minor child. However, such subsidy is permitted when:</P>
            <P>(A) The employee, or the employee's spouse or minor child acquires, without specific intent as through inheritance, a property in which a tenant receiving such a subsidy already resides;</P>
            <P>(B) The tenant receiving such a subsidy lived in the rental property before the employee worked for the Department;</P>
            <P>(C) The tenant receiving such a subsidy is a parent, child, grandchild, or sibling of the employee;</P>
            <P>(D) The employee's, or the employee's spouse or minor child's, rental property has an incumbent tenant who has not previously received such a subsidy and becomes the beneficiary thereof; or</P>
            <P>(E) The location of the rental property is in a Presidentially declared emergency or natural disaster area and the employee receives prior written approval from an agency designee.</P>
            <P>(ii) The exception provided by paragraph (a)(3)(i) of this section continues only as long as:</P>
            <P>(A) The tenant continues to reside in the property; and</P>
            <P>(B) There is no increase in that tenant's rent upon the commencement of subsidy payments other than normal annual adjustments under the Section 8 program.</P>
            <P>(b)<E T="03">Exception to prohibition for certain interests.</E>Nothing in this section prohibits the employee, or the employee's spouse or minor child from directly or indirectly receiving, acquiring, or owning:</P>
            <P>(1) A financial interest in a publicly available or publicly traded investment fund that includes financial interests prohibited by paragraph (a)(2) of this section, so long as the employee neither exercises control nor has the ability to exercise control over the fund or the financial interests held in the fund;</P>
            <P>(2) Mortgage insurance provided pursuant to section 203 of the National Housing Act (12 U.S.C. 1709) on the employee's principal residence and any one other single family residence. Employees must adhere to the procedures established by the Assistant Secretary for Housing—FHA Commissioner in order to obtain FHA insurance;</P>
            <P>(3) Department-owned single family property. Employees must adhere to the procedures established by the Assistant Secretary for Housing—FHA Commissioner in order to purchase a HUD-held property;</P>
            <P>(4) Employment compensation and benefit packages provided by the employer of an employee's spouse that include financial interests prohibited by paragraph (a)(2) of this section; or</P>
            <P>(5) Government National Mortgage Association (GNMA) securities.</P>
            <P>(c)<E T="03">Reporting and divestiture.</E>An employee must report, in writing, to the appropriate agency ethics official, any interest prohibited under paragraph (a) of this section acquired prior to the commencement of employment with the Department or without specific intent, as through gift, inheritance, or marriage, within 30 days from the date of the start of employment or acquisition of such interest. Such interest must be divested within 90 days from the date reported unless waived by the Designated Agency Ethics Official in accordance with § 7501.103.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 7501.105</SECTNO>
            <SUBJECT>Outside activities.</SUBJECT>
            <P>(a)<E T="03">Prohibited outside activities.</E>Subject to the exceptions set forth in paragraph (b) of this section, HUD employees, except special Government employees, shall not engage in:</P>
            <P>(1) Employment with a business related to real estate or manufactured housing including, but not limited to, real estate brokerage, management and sales, architecture, engineering, mortgage lending, property insurance, appraisal services, title search services, construction, construction financing, land planning, or real estate development;</P>

            <P>(2) The operation or management of investment properties to the extent that it rises to the level of a real estate-related business. HUD will determine whether an employee is operating or managing investment properties to an<PRTPAGE P="16768"/>extent that it rises to the level of a real estate business based on the totality of the circumstances, and will consider whether the employee maintains an office; advertises or otherwise solicits clients or business; hires staff or employees; uses business stationary or other similar materials; files the business as a corporation, limited liability company, partnership, or other type of business association with a state government; establishes a formal or informal association with an existing business; hires a management company; and the nature and number of its investment properties;</P>
            <P>(3) Employment with a person or entity who registered as a lobbyist or lobbyist organization pursuant to 2 U.S.C. 1603(a) and engages in lobbying activity concerning the Department;</P>
            <P>(4) Employment as an officer or director with a Department-approved mortgagee, a lending institution, or an organization that services securities for the Department; or</P>
            <P>(5) Employment with the Federal Home Loan Bank System or any affiliate thereof.</P>
            <P>(b)<E T="03">Exceptions to employment prohibitions.</E>The prohibitions set forth in paragraph (a) of this section do not apply to:</P>
            <P>(1) Serving as an officer or a member of the Board of Directors of:</P>
            <P>(i) A Federal Credit Union;</P>
            <P>(ii) A cooperative, condominium association, or homeowners association for a housing project that is not subject to regulation by the Department or, if so regulated, in which the employee personally resides; or</P>
            <P>(iii) An entity designated in writing by the Designated Agency Ethics Official.</P>
            <P>(2) Holding a real estate agent's license; however, use of the license is limited as provided by paragraph (c) of this section.</P>
            <P>(c)<E T="03">Prior approval requirement.</E>(1) Employees, except special Government employees, shall obtain the prior written approval of an Agency Ethics Official before accepting compensated or uncompensated employment:</P>
            <P>(i) As an officer, director, trustee, or general partner of, or in any other position of authority with a prohibited source, as defined at 5 CFR 2635.203(d);</P>
            <P>(ii) With a state or local government;</P>
            <P>(iii) In the same professional field as that of the employee's official position; or</P>
            <P>(iv) As a real estate agent in relation to purchasing or selling a single family property for use as the employee's primary residence, or the primary residence of the employee's immediate family member.</P>
            <P>(2) Approval shall be granted unless the conduct is inconsistent with 5 CFR part 2635 or this part.</P>
            <P>(d)<E T="03">Liaison representative.</E>An employee designated to serve in an official capacity as the Department's liaison representative to an outside organization is not engaged in an outside activity to which this section applies. Notwithstanding, an employee may be designated to serve as the Department's liaison representative only as authorized by law, and as approved by the Department under applicable procedures.</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 7501.106</SECTNO>
            <SUBJECT>Bureau instructions and designation of separate agency component.</SUBJECT>
            <P>(a)<E T="03">Bureau instructions.</E>With the concurrence of the Designated Agency Ethics Official, the Bureau Ethics Counselor is authorized, consistent with 5 CFR 2635.105(c), to designate Deputy Bureau Ethics Counselors, to make a determination, issue explanatory guidance, and establish procedures necessary to implement this part, subpart I of 5 CFR part 2634, and 5 CFR part 2635 for the Bureau.</P>
            <P>(b)<E T="03">Designation of separate agency component.</E>Pursuant to 5 CFR 2635.203(a), the Office of the Inspector General is designated as a separate agency for purposes of the regulations contained in subpart B of 5 CFR part 2635, governing gifts from outside sources; and 5 CFR 2635.807, governing teaching, speaking, or writing.</P>
          </SECTION>
          <SIG>
            <DATED>Dated: February 15, 2012.</DATED>
            <NAME>Shaun Donovan,</NAME>
            <TITLE>Secretary.</TITLE>
            <NAME>Don W. Fox,</NAME>
            <TITLE>Principal Deputy Director, Office of Government Ethics.</TITLE>
          </SIG>
          <EXTRACT>
            <FP>[FR Doc. 2012-6177 Filed 3-13-12; 8:45 am]</FP>
          </EXTRACT>
          <EDNOTE>
            <HD SOURCE="HED">Editorial Note:</HD>
            <P>Proposed rule document 2012-06177 was originally published on pages 14997 through 15003 in the issue of Wednesday, March 14, 2012. In that publication an incorrect version of the document was published. The corrected document is republished in its entirety.</P>
          </EDNOTE>
          
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. R1-2012-6177 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 1505-01-D</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF AGRICULTURE</AGENCY>
        <SUBAGY>Office of the Secretary</SUBAGY>
        <CFR>7 CFR Part 20</CFR>
        <CFR>RIN 0551-AA70</CFR>
        <SUBJECT>Export Sales Reporting Requirements</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of the Secretary, USDA.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule, withdrawal.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>A proposed rule published in the<E T="04">Federal Register</E>on March 8, 2012, proposing requirements to add reporting for pork (fresh, chilled, and frozen box/primal cuts) and distillers dried grain (DDG) to the Export Sales Reporting Requirements, is being withdrawn. The Foreign Agricultural Service (FAS) is currently awaiting approval for publication from the Office of Management and Budget.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>As of March 22, 2012, the proposed rule published March 8, 2012 (77 FR 13990), is withdrawn.</P>
        </EFFDATE>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Contact Peter W. Burr, Branch Chief, Export Sales Reporting Branch, Import Policies and Export Reporting Division, Office of Trade Programs, Foreign Agricultural Service, 1400 Independence Avenue SW., Washington, DC 20250-1021, STOP 1021; or by email at<E T="03">Pete.Burr@fas.usda.gov;</E>or by telephone at (202) 720-3274; or by fax (202) 720-0876.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P/>
        <HD SOURCE="HD1">Background</HD>
        <P>On March 8, 2012, a proposed rule was published in the<E T="04">Federal Register</E>establishing new reporting requirements for pork (fresh, chilled, and frozen box/primal cuts) and distillers dried grain (DDG) to the Export Sales Reporting Requirements (77 FR 13990). Subsequent to publication, FAS ascertained that OMB clearance was not yet received, so the proposed rule needs to be withdrawn until such clearance is conveyed.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 7 CFR Part 20</HD>
          <P>Agricultural commodities, Exports, Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        <HD SOURCE="HD1">The Withdrawal</HD>

        <P>Accordingly, pursuant to the authority delegated to me, the Proposed Rule, as published in the<E T="04">Federal Register</E>of March 8, 2012 (77 FR 13990) (FR Doc. 2012-05486), is hereby withdrawn.</P>
        <AUTH>
          <HD SOURCE="HED">Authority:</HD>
          <P>7 U.S.C. 5712.</P>
        </AUTH>
        <SIG>
          <DATED>Dated: March 14, 2012.</DATED>
          <NAME>Suzanne Heinen,</NAME>
          <TITLE>Acting Administrator, Foreign Agricultural Service.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6820 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 3410-10-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <PRTPAGE P="16769"/>
        <AGENCY TYPE="N">DEPARTMENT OF ENERGY</AGENCY>
        <CFR>10 CFR Part 431</CFR>
        <DEPDOC>[Docket No. EERE-2011-BT-STD-0029]</DEPDOC>
        <RIN>RIN 1904-AC47</RIN>
        <SUBJECT>Energy Conservation Program for Certain Industrial Equipment: Energy Conservation Standards and Test Procedures for Commercial Heating, Air-Conditioning, and Water-Heating Equipment</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Office of Energy Efficiency and Renewable Energy, Department of Energy.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Supplemental notice of proposed rulemaking.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The U.S. Department of Energy (DOE) proposed to amend its energy conservation standards for several classes of commercial heating, air-conditioning, and water-heating equipment and to adopt new energy conservation standards for computer room air conditioners in a January 2012 notice of proposed rulemaking (January 2012 NOPR). The levels that DOE proposed to adopt were equivalent to the efficiency levels contained in the American National Standards Institute (ANSI)/American Society of Heating, Refrigerating, and Air-Conditioning Engineers (ASHRAE)/Illuminating Engineering Society of North America (IESNA) Standard 90.1-2010 (ASHRAE Standard 90.1-2010). In addition, DOE proposed in the January 2012 NOPR to update the current Federal test procedures, or for certain equipment types adopt new test procedures, to incorporate by reference the most current versions of several relevant industry test procedures specified in ASHRAE Standard 90.1-2010. The amendments proposed in today's supplemental notice of proposed rulemaking (SNOPR) would modify the definition of “computer room air conditioner” initially proposed in the January 2012 NOPR and incorporate additional provisions to clarify the proposed test procedure provisions for commercial package air-conditioning and heating equipment and variable refrigerant flow systems. DOE is also proposing to include with modification certain provisions from Air-Conditioning, Heating, and Refrigeration Institute (AHRI) operations manuals in its test procedures that would clarify the application of the DOE test procedures and harmonize DOE testing with the testing performed by industry.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>DOE will accept comments, data, and other information regarding this SNOPR no later than April 2, 2012. For details, see section V, “Public Participation” of this SNOPR.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Any comments submitted must identify the SNOPR on Energy Conservation Standards and Test Procedures for ASHRAE Standard 90.1 Products, and provide docket number EERE-2011-BT-STD-0029 and/or Regulatory Information Number (RIN) 1904-AC47. Comments may be submitted using any of the following methods:</P>
          <P>1.<E T="03">Federal eRulemaking Portal: www.regulations.gov</E>. Follow the instructions for submitting comments.</P>
          <P>2.<E T="03">Email: ASHRAE90.1-2011-STD-0029@ee.doe.gov</E>. Include docket number EERE-2011-BT-STD-0029 and/or RIN 1904-AC47 in the subject line of the message.</P>
          <P>3.<E T="03">Mail:</E>Ms. Brenda Edwards, U.S. Department of Energy, Building Technologies Program, Mailstop EE-2J, 1000 Independence Avenue SW., Washington, DC 20585-0121. If possible, please submit all items on a compact disc (CD), in which case it is not necessary to include printed copies.</P>
          <P>4.<E T="03">Hand Delivery/Courier:</E>Ms. Brenda Edwards, U.S. Department of Energy, Building Technologies Program, 950 L'Enfant Plaza SW., Suite 600, Washington, DC 20024. Telephone: (202) 586-2945. If possible, please submit all items on a CD, in which case it is not necessary to include printed copies.</P>
          <P>No telefacsimiles (faxes) will be accepted. For detailed instructions on submitting comments and additional information on the rulemaking process, see section V of this document (Public Participation).</P>
          <P>
            <E T="03">Docket:</E>The docket is available for review at<E T="03">www.regulations.gov</E>, including<E T="04">Federal Register</E>notices, public meeting attendee lists and transcripts, comments, and other supporting documents/materials. All documents in the docket are listed in the<E T="03">www.regulations.gov</E>index. However, not all documents listed in the index may be publicly available, such as information that is exempt from public disclosure.</P>
          <P>A link to the docket Web page can be found at:<E T="03">http://www.regulations.gov/#!docketDetail;dct=FR%252BPR%252BN%252BO%252BSR%252BPS;rpp=25;po=0;D=EERE-2011-BT-STD-0029</E>. This Web page contains a link to the docket for this notice, along with simple instructions on how to access all documents, including public comments, in the docket. See section V, “Public Participation,” for further information on how to submit comments through<E T="03">www.regulations.gov</E>.</P>

          <P>For further information on how to submit a comment or review other public comments and the docket, contact Ms. Brenda Edwards at (202) 586-2945 or by email:<E T="03">Brenda.Edwards@ee.doe.gov</E>.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Mr. Mohammed Khan, U.S. Department of Energy, Office of Energy Efficiency and Renewable Energy, Building Technologies Program, Mailstop EE-2J, 1000 Independence Avenue SW., Washington, DC 20585-0121. Telephone: (202) 586-7892. Email:<E T="03">Mohammed.Khan@ee.doe.gov</E>.</P>

          <P>Mr. Eric Stas, U.S. Department of Energy, Office of the General Counsel, GC-71, 1000 Independence Avenue SW., Washington, DC 20585-0121. Telephone: (202) 586-9507. Email:<E T="03">Eric.Stas@hq.doe.gov</E>.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Table of Contents</HD>
        <EXTRACT>
          <FP SOURCE="FP-2">I. Introduction</FP>
          <FP SOURCE="FP1-2">A. Authority</FP>
          <FP SOURCE="FP1-2">B. Background</FP>
          <FP SOURCE="FP1-2">1. ASHRAE Standard 90.1-2010</FP>
          <FP SOURCE="FP1-2">2. Previous Rulemaking Documents</FP>
          <FP SOURCE="FP-2">II. Summary of the Supplemental Proposed Rule</FP>
          <FP SOURCE="FP-2">III. Discussion</FP>
          <FP SOURCE="FP1-2">A. Definition of “Computer Room Air Conditioner”</FP>
          <FP SOURCE="FP1-2">B. Test Procedures</FP>
          <FP SOURCE="FP1-2">1. Compressor Break-In Period</FP>
          <FP SOURCE="FP1-2">2. Certified Ratings</FP>
          <FP SOURCE="FP1-2">3. Defective Samples</FP>
          <FP SOURCE="FP1-2">4. Test Set-Up</FP>
          <FP SOURCE="FP1-2">5. Enhancement Devices</FP>
          <FP SOURCE="FP1-2">6. Refrigerant Charge</FP>
          <FP SOURCE="FP1-2">7. Fan Speeds and Air Flow Rates, Rated versus Nominal</FP>
          <FP SOURCE="FP1-2">8. Manufacturer Involvement During Variable Refrigerant Flow Multi-Split Air-Conditioners and Heat Pumps Assessment and/or Enforcement Testing</FP>
          <FP SOURCE="FP1-2">9. Correction Factors for VRF Refrigerant Line Lengths</FP>
          <FP SOURCE="FP1-2">10. Corrections to the January 2012 Notice of Proposed Rulemaking</FP>
          <FP SOURCE="FP-2">IV. Procedural Issues and Regulatory Review</FP>
          <FP SOURCE="FP-2">V. Public Participation</FP>
          <FP SOURCE="FP1-2">A. Submission of Comments</FP>
          <FP SOURCE="FP1-2">B. Issues on Which DOE Seeks Comment</FP>
          <FP SOURCE="FP-2">VI. Approval of the Office of the Secretary</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. Introduction</HD>

        <P>The following section briefly discusses the statutory authority underlying today's supplemental notice of proposed rulemaking, as well as some of the relevant historical background related to the establishment of energy conservation standards and test procedures for ASHRAE Standard 90.1 equipment.<PRTPAGE P="16770"/>
        </P>
        <HD SOURCE="HD2">A. Authority</HD>
        <P>Title III, Part C<SU>1</SU>
          <FTREF/>of the Energy Policy and Conservation Act of 1975 (EPCA or the Act), Public Law 94-163 (42 U.S.C. 6311-6317, as codified), added by Public Law 95-619, Title IV, § 441(a), established the Energy Conservation Program for Certain Industrial Equipment, which includes the commercial heating, air-conditioning, and water-heating equipment that is the subject of this rulemaking.<SU>2</SU>
          <FTREF/>In general, this program addresses the energy efficiency of certain types of commercial and industrial equipment. Relevant provisions of the Act specifically include definitions (42 U.S.C. 6311), energy conservation standards (42 U.S.C. 6313), test procedures (42 U.S.C. 6314), labelling provisions (42 U.S.C. 6315), and the authority to require information and reports from manufacturers (42 U.S.C. 6316).</P>
        <FTNT>
          <P>
            <SU>1</SU>For editorial reasons, upon codification in the U.S. Code, Part C was redesignated Part A-1.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>2</SU>All references to EPCA in this document refer to the statute as amended through the Energy Independence and Security Act of 2007, Public Law 110-140.</P>
        </FTNT>

        <P>EPCA contains mandatory energy conservation standards for commercial heating, air-conditioning, and water-heating equipment. (42 U.S.C. 6313(a)) Specifically, the statute sets standards for small, large, and very large commercial package air-conditioning and heating equipment, packaged terminal air conditioners (PTACs) and packaged terminal heat pumps (PTHPs), warm-air furnaces, packaged boilers, storage water heaters, instantaneous water heaters, and unfired hot water storage tanks.<E T="03">Id.</E>In doing so, EPCA established Federal energy conservation standards that generally correspond to the levels in ASHRAE Standard 90.1, as in effect on October 24, 1992 (<E T="03">i.e.,</E>ASHRAE Standard 90.1-1989), for each type of covered equipment listed in 42 U.S.C. 6313(a).</P>

        <P>In acknowledgement of technological changes that yield energy efficiency benefits, Congress further directed DOE through EPCA to consider amending the existing Federal energy conservation standard for each type of equipment listed, each time ASHRAE Standard 90.1 is amended with respect to such equipment. (42 U.S.C. 6313(a)(6)(A)) For each type of equipment, EPCA directs that if ASHRAE Standard 90.1 is amended, DOE must publish in the<E T="04">Federal Register</E>an analysis of the energy savings potential of amended energy efficiency standards within 180 days of the amendment of ASHRAE Standard 90.1. (42 U.S.C. 6313(a)(6)(A)(i)) EPCA further directs that DOE must adopt amended standards at the new efficiency level in ASHRAE Standard 90.1, unless clear and convincing evidence supports a determination that adoption of a more-stringent level would produce significant additional energy savings and be technologically feasible and economically justified. (42 U.S.C. 6313(a)(6)(A)(ii)) If DOE decides to adopt as a national standard the efficiency levels specified in the amended ASHRAE Standard 90.1, DOE must establish such standard not later than 18 months after publication of the amended industry standard. (42 U.S.C. 6313(a)(6)(A)(ii)(I)) However, if DOE determines that a more-stringent standard is justified under 42 U.S.C. 6313(a)(6)(A)(ii)(II), then it must establish such more-stringent standard not later than 30 months after publication of the amended ASHRAE Standard 90.1. (42 U.S.C. 6313(a)(6)(B)) (In addition, DOE notes that pursuant to the EISA 2007 amendments to EPCA, under 42 U.S.C. 6313(a)(6)(C), the agency must periodically review its already-established energy conservation standards for ASHRAE products. Under this requirement, the next review that DOE would need to conduct must occur no later than six years from the issuance of a final rule establishing or amending a standard for a covered product.)</P>
        <P>EPCA also requires that if a test procedure referenced in ASHRAE Standard 90.1 is updated, DOE must update its test procedure to be consistent with the amended test procedure in ASHRAE Standard 90.1, unless DOE determines that the amended test procedure is not reasonably designed to produce test results which reflect the energy efficiency, energy use, or estimated operating costs of the ASHRAE equipment during a representative average use cycle. In addition, DOE must determine that the amended test procedure is not unduly burdensome to conduct. (42 U.S.C. 6314(a)(2) and (4))</P>

        <P>Additionally, the Energy Independence and Security Act of 2007 (EISA 2007; Pub. L. 110-140) amended EPCA to require that at least once every 7 years, DOE must conduct an evaluation of the test procedures for all covered equipment and either amend test procedures (if the Secretary determines that amended test procedures would more accurately or fully comply with the requirements of 42 U.S.C. 6314(a)(2)-(3)) or publish notice in the<E T="04">Federal Register</E>of any determination not to amend a test procedure. (42 U.S.C. 6314(a)(1)(A)) Under this requirement, DOE must review the test procedures for the various types of ASHRAE equipment not later than December 19, 2014 (<E T="03">i.e.,</E>7 years after the enactment of EISA 2007). Thus, the final rule resulting from this rulemaking will satisfy the requirement to review the test procedures for the certain types of ASHRAE equipment addressed in this rulemaking (<E T="03">i.e.,</E>those equipment for which DOE has been triggered) within seven years.</P>
        <P>On October 29, 2010, ASHRAE officially released and made public ASHRAE Standard 90.1-2010. This action triggered DOE's obligations under 42 U.S.C. 6313(a)(6), as outlined above. For a more complete discussion of authority, see DOE's January 17, 2012 NOPR. 77 FR 2356, 2359-61.</P>
        <HD SOURCE="HD2">B. Background</HD>
        <HD SOURCE="HD3">1. ASHRAE Standard 90.1-2010</HD>

        <P>As noted, ASHRAE released a new version of ASHRAE Standard 90.1 on October 29, 2010. The ASHRAE standard addresses efficiency levels and test procedures for many types of commercial heating, ventilating, air-conditioning (HVAC), and water-heating equipment covered by EPCA. ASHRAE Standard 90.1-2010 revised its efficiency levels for certain commercial equipment, but for the remaining equipment, ASHRAE left in place the preexisting levels (<E T="03">i.e.,</E>the efficiency levels specified in EPCA or the efficiency levels in ASHRAE Standard 90.1-2007). Specifically, DOE determined in the January 2012 NOPR that ASHRAE updated its efficiency levels for small, large, and very large water-cooled and evaporatively-cooled commercial package air conditioners; variable refrigerant flow (VRF) water-source heat pumps less than 17,000 Btu/h; and VRF water-source heat pumps at or greater than 135,000 Btu/h. ASHRAE Standard 90.1-2010 also revised its scope to include certain commercial equipment used for industrial and process cooling, namely “air conditioners and condensing units serving computer rooms.”</P>

        <P>In addition, ASHRAE Standard 90.1-2010 updated the following referenced test procedures to the most recent version of the industry standards: AHRI 210/240-2008 (small commercial package air-conditioning and heating equipment); AHRI 340/360-2007 (large and very large commercial package air-conditioning and heating equipment); Underwriters Laboratories (UL) 727-2006 (oil-fired commercial warm-air furnaces); ANSI Z21.47-2006 (gas-fired commercial warm-air furnaces); and ANSI Z21.10.3-2004 (commercial water heaters). Lastly, ASHRAE Standard<PRTPAGE P="16771"/>90.1-2010 specified new test procedures for certain equipment, including: ASHRAE 127-2007 (computer room air conditioners); and AHRI 1230-2010 (variable refrigerant flow air conditioners and heat pumps).</P>
        <HD SOURCE="HD3">2. Previous Rulemaking Documents</HD>

        <P>Subsequent to the release of ASHRAE Standard 90.1-2010, DOE published a notice of data availability (NODA) in the<E T="04">Federal Register</E>on May 5, 2011 (May 2011 NODA) and requested public comment as a preliminary step required pursuant to EPCA when DOE considers amended energy conservation standards for certain types of commercial equipment covered by ASHRAE Standard 90.1. 76 FR 25622. Specifically, in the May 2011 NODA, DOE presented a discussion of the changes found in ASHRAE Standard 90.1-2010, which included a description of DOE's evaluation of each ASHRAE equipment type in order for DOE to determine whether the amendments in ASHRAE Standard 90.1-2010 have increased efficiency levels.<E T="03">Id.</E>at 25630-37. As an initial matter, DOE sought to determine which requirements for covered equipment in ASHRAE Standard 90.1, if any, were revised solely to reflect the level of the current Federal energy conservation standard (where ASHRAE is merely “catching up” to the current national standard), were revised but lowered, were revised to include design requirements without changes to the efficiency level, or had any other revisions made that did not increase the standard level, in which case, DOE was not triggered to act under 42 U.S.C. 6313(a)(6) for that particular equipment type. For those types of equipment in ASHRAE Standard 90.1 for which ASHRAE actually increased efficiency levels above the current Federal standard (<E T="03">i.e.,</E>water-cooled and evaporatively-cooled air conditioners; two classes of VRF water-source heat pumps with and without heat recovery; and computer room air conditioners (which were not previously covered)), DOE subjected that equipment to the potential energy savings analysis for amended national energy conservation standards based on: (1) The modified efficiency levels contained within ASHRAE Standard 90.1-2010; and (2) more-stringent efficiency levels. DOE presented its methodology, data, and results for the preliminary energy savings analysis developed for the water-cooled and evaporatively-cooled equipment classes in the May 2011 NODA for public comment.<E T="03">Id.</E>at 25637-46. For the remaining equipment classes, DOE requested data and information that would allow it to accurately assess the energy savings potential of those equipment classes. Additionally, for single package vertical air conditioners and heat pumps, although the levels in ASHRAE Standard 90.1-2010 were unchanged, DOE performed an analysis of their potential energy savings as required by 42 U.S.C. 6313(a)(10)(B). Lastly, DOE presented an initial assessment of the test procedure changes included in ASHRAE Standard 90.1-2010.<E T="03">Id.</E>at 25644-47.</P>

        <P>Following the NODA, DOE published a notice of proposed rulemaking in the<E T="04">Federal Register</E>on January 17, 2012 (the January 2012 NOPR), and requested public comment. 77 FR 2356. In the January 2012 NOPR, DOE proposed amended energy conservation standards for small, large, and very large water-cooled and evaporatively-cooled commercial package air conditioners; variable refrigerant flow (VRF) water-source heat pumps less than 17,000 Btu/h; VRF water-source heat pumps at or greater than 135,000 Btu/h; and new energy conservation standards for computer room air conditioners. DOE presented its methodology, data, and results for its analysis of two classes of variable refrigerant flow water-source heat pumps and for its analysis of computer room air conditioners.</P>
        <P>In addition, DOE's NOPR also proposed the adoption of amended test procedures for small commercial package air-conditioning and heating equipment; large and very large commercial package air-conditioning and heating equipment; commercial warm-air furnaces; and commercial water heaters. Furthermore, DOE proposed to adopt new test procedures for variable refrigerant flow equipment, single package vertical air conditioners and heat pumps, and computer room air conditioners. Following the publication of the NOPR, DOE held a public meeting on February 14, 2012 to receive feedback from interested parties on its proposals and analyses.</P>
        <HD SOURCE="HD1">II. Summary of the Supplemental Proposed Rule</HD>
        <P>This supplemental notice of proposed rulemaking builds upon the January 17, 2012 NOPR, which DOE hereby affirms, except for those provisions that are modified by this supplemental proposal. In overview, in today's SNOPR, DOE proposes to modify the definition of “computer room air conditioner” that was initially proposed in the January 2012 NOPR. DOE also proposes to include with modification certain provisions from AHRI operations manuals (OMs) in its test procedures that would clarify the application of the test procedures and harmonize DOE testing with the testing performed by industry.</P>
        <P>At the February 14, 2012 public meeting, DOE came to better understand the overlap between the markets for comfort conditioning and computer room air conditioning, as well as the difficulty in identifying physical or technological characteristics that would consistently differentiate between equipment used for these two types of applications in all cases. Accordingly, DOE is proposing a revised definition of “computer room air conditioner” that would focus on the equipment's use, its testing and certification under a test procedure specifically tailored to computer room air conditioners, and confirmation that the basic model is not a covered consumer product to which energy conservation standards apply. DOE believes that this revised approach would ensure that the computer room air conditioner equipment class does not improperly expand to other comfort-conditioning applications where other energy conservation standards apply. To assist in making these distinctions, the SNOPR's proposed definition of “computer room air conditioner” provides physical characteristics to help guide manufacturers in determining whether their equipment meets the definition of “computer room air conditioner.” DOE wishes to make clear that its proposal would do nothing to prevent properly rated and certified comfort-conditioning air conditioners from also being marketed and sold in computer room applications. However, DOE's proposed definition is intended to ensure that certification to the new computer room air conditioner standards remains limited to basic models devoted to such applications. These changes are discussed in further detail in section III.A of this SNOPR.</P>

        <P>The proposed changes to the test procedures are described in detail in III.B of this SNOPR. Primarily, DOE proposes to further modify the DOE test procedures in order to provide clarifications of several test parameters that are not explicitly addressed in the previously proposed test procedures but are currently found in AHRI operations manuals, which guide the AHRI-member manufacturers in applying the DOE test procedures to their equipment. In some cases, DOE has made modifications to the wording that is used in AHRI's operations manuals. Specifically, DOE is proposing to adopt provisions to specify how manufacturers should determine the refrigerant charge and fans speeds/air flow rates for testing. Further, DOE is<PRTPAGE P="16772"/>proposing clarifications to the allowance of manufacturer involvement in VRF testing. DOE is also proposing to adopt refrigerant line length correction factors for variable refrigerant flow systems that are contained in the AHRI operations manual for that equipment with some limitations on their use. DOE also proposes modification to the regulatory text where necessary to reflect DOE's interpretation of the test procedure by clarifying several other testing issues described below, including certified rating tolerances, defective samples, test set-up, and enhancement devices. DOE tentatively determined in the January 2012 NOPR and reaffirms in today's SNOPR that none of the proposed changes would alter the measured efficiency of covered products.</P>
        <HD SOURCE="HD1">III. Discussion</HD>
        <HD SOURCE="HD2">A. Definition of “Computer Room Air Conditioner”</HD>

        <P>In the January 2012 NOPR, DOE tentatively concluded that because ASHRAE expanded the scope of Standard 90.1 to include air conditioners and condensing units serving computer rooms, the scope of DOE's obligations pursuant to EPCA with regard to ASHRAE products similarly expanded to encompass these products. 77 FR 2356, 2372 (Jan. 17, 2012). Thus, DOE analyzed the technological feasibility and economic justification of adopting efficiency levels for computer room air conditioners that are more stringent than those in ASHRAE Standard 90.1-2010, as required by EPCA, and proposed to adopt new standards for computer room air conditioners at the same levels as those specified in ASHRAE Standard 90.1-2010.<E T="03">Id.</E>at 2416-18. The term “computer room air conditioner” had not been defined under DOE's regulations because such units had not previously been covered equipment. As a result, in the January 2012 NOPR, DOE proposed to adopt the following definition for “computer room air conditioner”:</P>
        
        <EXTRACT>
          <P>
            <E T="03">Computer Room Air Conditioner</E>means a unit of commercial package air conditioning and heating equipment that is advertised, marketed, and/or sold specifically for use in computer rooms, data processing rooms, or other precision cooling applications, and is rated for performance using ASHRAE Standard 127, (incorporated by reference, see § 431.95). Such equipment may not be marketed or advertised as equipment for any other space conditioning applications, and may not be rated for performance using AHRI Standard 210/240 or AHRI Standard 340/360 (incorporated by reference, see § 431.95).</P>
        </EXTRACT>
        
        <FP>77 FR 2356, 2425-26 (Jan. 17, 2012).</FP>
        
        <P>DOE presented the proposed definition at the February 2012 public meeting for the ASHRAE equipment NOPR, and received feedback from interested parties that indicated concerns about the proposed definition of “computer room air conditioner.” In particular, Panasonic indicated concern that the proposed definition might require the same equipment to be certified to multiple test methods—one for comfort cooling and one for computer room applications. (Panasonic, Public Meeting Transcript, No. 20 at p. 62) Mitsubishi expressed concern that the proposed definition would prevent equipment that is designed primarily for use in comfort conditioning (and thus not rated using ASHRAE Standard 127) but that may also be suitable for computer room service from being installed in all potential applications. (Mitsubishi, Public Meeting Transcript, No. 20 at pp. 60-61) In an attempt to alleviate these concerns, DOE is proposing modifications to this definition in today's SNOPR to assist manufacturers in determining what equipment is considered a “computer room air conditioner” under DOE's proposed regulations.</P>
        <P>In developing a definition for “computer room air conditioner,” DOE first looked to existing industry definitions in ASHRAE Standard 90.1 and ASHRAE Standard 127. ASHRAE Standard 90.1-2010 does not provide a definition of “computer room air conditioner,” but rather, it defines a “computer room,” thereby clarifying the use/location but not the technology suitable for that location.<SU>3</SU>
          <FTREF/>In terms of applying its efficiency levels, ASHRAE Standard 90.1-2010 states that “[a]ir conditioners primarily serving computer rooms and covered by ASHRAE Standard 127 shall meet the requirements in Table 6.8.1K. All other air conditioners shall meet the requirements in Table 6.8.1A.” Table 6.8.1K in ASHRAE Standard 90.1-2010 provides the minimum efficiency levels for computer room air conditioners that DOE proposed adopting in the January 2012 NOPR.</P>
        <FTNT>
          <P>
            <SU>3</SU>ASHRAE Standard 90.1-2010 defines “Computer Room” as “a room whose primary function is to house equipment for the processing and storage of electronic data and that has a design electronic data equipment power density exceeding 20 watts/ft<SU>2</SU>of conditioned floor area.”</P>
        </FTNT>
        <P>ASHRAE Standard 127-2007 (Method of Testing for Rating Computer and Data Processing Room Unitary Air-Conditioners) provides a definition for “computer and data processing room (CDPR) unitary air conditioner.”<SU>4</SU>

          <FTREF/>In addition, the first public review draft of proposed revisions to ASHRAE 127-2007 (<E T="03">i.e.,</E>ASHRAE 127-2007R, Proposed Revision of Standard 127-2007, Method of Testing and Rating Computer and Data Processing Room Unitary Air Conditioners) defines “CRAC”<SU>5</SU>
          <FTREF/>[computer room air conditioner]. However, no part of the definition of either “CRAC” or “CDPR unitary air conditioner” clearly differentiates the design of CRACs from other direct expansion cooling equipment.</P>
        <FTNT>
          <P>
            <SU>4</SU>ASHRAE Standard 127-2007 defines “computer and data processing room (CDPR) unitary air conditioner” as “a computer and data processing room unitary air conditioner consisting of one or more factory-made assemblies, which include a direct expansion evaporator or chilled water cooling coil, an air-moving device, and air filtering devices. The air conditioner may include a compressor, condenser, humidifier, or reheating function. Where direct expansion equipment is provided in more than one assembly and the separate assemblies are to be used together, the requirements of rating outlined in this standard are based upon the use of matched assemblies. The functions of a CDPR air conditioner, either alone or in combination with a cooling and heating plant, are to provide air filtration, circulation, cooling, reheating, and humidity control.”</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>5</SU>ASHRAE Standard 127-2007R Proposed Revision of Standard 127-2007, Method of Testing for Rating Computer and Data Processing Room Unitary Air Conditioners defines “computer room air conditioner (CRAC)” as “computer room air conditioner; generally refers to computer-room cooling units that utilize dedicated compressors and refrigerant cooling coils rather than chilled-water coils.”</P>
        </FTNT>

        <P>As discussed in the January 2012 NOPR, DOE was not able to identify any physical construction and/or component characteristic(s) of computer room air conditioners that distinguish those products from conventional comfort-cooling air conditioners. 77 FR 2356, 2382-83 (Jan. 17, 2012). After hearing the concerns raised at the February 2012 public meeting, DOE again attempted to develop a definition for “computer room air conditioner” that effectively distinguishes these products from other types of commercial air conditioners. DOE considered characteristics such as evaporator-to-condenser effective surface area ratio and delivered cubic feet per minute (CFM) per ton of capacity, as well as the presence of certain features such as an integrated humidifier, temperature and/or humidity control of the supplied air, and reheating function. Based upon its review, DOE notes that many, but not all, computer room air conditioners may have features such as an integrated humidifier, temperature and/or humidity control of the supplied air, and reheating function. However, DOE could not identify any single<PRTPAGE P="16773"/>characteristic or combination of characteristics that would<E T="03">consistently</E>differentiate between the two types of equipment, the same reasoning which led DOE to propose a definition in the January 2012 NOPR based upon how the equipment is marketed and/or sold for use, rather than upon physical characteristics.</P>
        <P>At the February 2012 public meeting, Mitsubishi stated that the most distinguishing characteristic of CRAC equipment is that it has the ability to apply cooling operation at very low temperatures. (Mitsubishi, Public Meeting Transcript, No. 20 at p. 99) Although DOE recognizes that many computer room air conditioners are deemed “mission critical” equipment and are expected to operate year round regardless of the outdoor conditions, DOE is also aware that other types of commercial air conditioners can be designed to operate under low ambient temperature conditions (through the use of “low ambient” control packages). At the public meeting, Mitsubishi stated that certain comfort-cooling equipment it manufactures also has the ability to operate under low ambient conditions, and, thus, such equipment can be used in some computer room applications. (Mitsubishi, Public Meeting Transcript, No. 20 at p. 99) DOE notes that many self-contained water-cooled air conditioners and heat pumps also can operate under low ambient conditions. As a result, a commercial air conditioner's ability to apply cooling operation at very low temperatures is not a differentiating characteristic on which to base the definition, because it would not differentiate computer room air conditioners from other conventional comfort-conditioning air conditioners.</P>
        <P>The Department considered all of these potential differentiating characteristics when developing a definition of “computer room air conditioner” but ultimately determined that none of these factors could be used to definitively distinguish computer room air conditioners from conventional comfort-conditioning air conditioners. However, upon considering the comments at the NOPR public meeting, DOE believes that specifying certain physical characteristics in the definition that may be present in computer room air conditioners will assist manufacturers in determining which equipment falls under the definition of “computer room air conditioner” and which equipment falls under the definitions for other types of commercial package air conditioners. Therefore, DOE has proposed in today's SNOPR to include some of the physical characteristics listed above in the revised definition of “computer room air conditioner.”</P>
        <P>Given the above-discussed difficulties in distinguishing computer room air conditioners from comfort-conditioning air conditioners based solely upon differences in physical construction and/or component characteristics, DOE is proposing to instead specify that products satisfying the definition of “computer room air conditioner” are (by definition) certified to DOE's test procedure for CRACs (see § 431.96), and any other covered comfort-conditioning air conditioners must still be rated and certified to their applicable test procedure and energy conservation standards (either residential or commercial).</P>

        <P>By definition, “industrial equipment” (generally applicable to ASHRAE equipment) “is not a `covered product' as defined in section 6291(a)(2) * * *.” (42 U.S.C. 6311(2)(A)(iii)) Under 42 U.S.C. 6291(2), the term “covered product” means a consumer product of a type listed in 42 U.S.C. 6292,<E T="03">Coverage;</E>central air conditioners and central air conditioning heat pumps are specifically included at 42 U.S.C. 6292(a)(3). Furthermore, the definition of “consumer product” at 42 U.S.C. 6291(1) specifically captures a type of product, which, to any significant extent, is distributed in commerce for personal use or consumption by individuals. Thus, if a basic model of central air conditioner is found to any significant extent in consumer applications, it would appropriately be a residential central air conditioner subject to 10 CFR 430.32(c).</P>
        <P>For air-conditioning equipment that is properly classified as commercial and industrial equipment, DOE notes that there is already a comprehensive set of standards at 10 CFR 431.97 for a variety of types of commercial air-conditioning and heating equipment used in comfort-conditioning applications. Similar to the principle stated above, if a basic model of commercial air-conditioning equipment is found to any significant extent in comfort-conditioning applications, the manufacturer would be required to test and certify the basic model to the applicable comfort-conditioning air conditioner test procedure and standard under 10 CFR 431.97. If the manufacturer, at its discretion, wishes to make representations as to the basic model's performance as a comfort-conditioning air conditioner and a computer room air conditioner, then the basic model would need to be tested using the DOE test procedures for each equipment type. However, DOE believes that in most cases, the manufacturer would decide upon the primary purpose of each given basic model in its product offering and choose the equipment type associated with that basic model for the purposes of testing and certification.</P>
        <P>Once the manufacturer identifies the applicable equipment type of the basic model, the applicable DOE test procedure provisions for rating, standards for compliance, and certification requirements should be easy to identify. DOE is not proposing to modify any certification requirements in this rulemaking. Nothing in DOE's proposal would bar a manufacturer from making representations of the same basic model performing as two equipment types as long as those ratings are based on testing using the DOE testing procedures for each equipment type.</P>
        <P>In consideration of the above points, DOE is proposing to define “computer room air conditioner” as follows:</P>
        
        <EXTRACT>
          <P>
            <E T="03">Computer room air conditioner</E>means a basic model of commercial package air-conditioning and heating equipment that is: (1) Used in computer rooms, data processing rooms, or other purpose-specific cooling applications; (2) rated for sensible coefficient of performance (SCOP) and tested in accordance with 10 CFR 431.96; and (3) not a covered, consumer product under 42 U.S.C. 6291(1)-(2) and 6292. A computer room air conditioner may be provided with, or have as available options, an integrated humidifier, temperature and/or humidity control of the supplied air, and reheating function.</P>
        </EXTRACT>
        

        <P>Additionally, DOE clarifies that any basic model that meets the definition of “commercial package air-conditioning and heat equipment” must be classified as one of the equipment types (<E T="03">e.g.,</E>small, large, or very large commercial package air-conditioning and heat equipment, packaged terminal air conditioners or heat pumps, variable refrigerant flow systems, computer room air conditioners, and single package vertical units) for the purposes of determining the applicable test procedure and energy conservation standard. While DOE is permitting manufacturers to make this election based on a comparison of each basic model with DOE's regulatory definitions for the various equipment types, DOE is adding a new section to the beginning of 10 CFR 431.97 to make it clear that each manufacturer of a basic model that meets this definition does have a regulatory obligation in terms of standards compliance. Accordingly, DOE is proposing the following revision to 10 CFR 431.97:</P>
        <EXTRACT>
          

          <P>(a) All basic models of commercial package air-conditioning and heating equipment must be tested for performance using the applicable DOE test procedure in § 431.96, be<PRTPAGE P="16774"/>compliant with the applicable standards set forth in paragraphs (b) through (f) of this section, and be certified to the Department under 10 CFR part 429.</P>
        </EXTRACT>
        
        <P>DOE believes that the amended definition of “computer room air conditioner” would not restrict any types of commercial air-conditioning equipment from being installed in computer rooms, but rather, that it clarifies which air conditioners must be tested and certified as computer room air conditioners under DOE's regulatory program. DOE seeks comment on its proposed definition of “computer room air conditioner” and the clarifications proposed to 10 CFR 431.97(a) regarding commercial package air-conditioning and heating equipment. These are identified as issues 1 and 2 in section V.B, “Issues on Which DOE Seeks Comment.”</P>
        <P>DOE would also like to take this opportunity to address another potential approach raised at the February 2012 public meeting. More specifically, several interested parties suggested use of the term “precision” air conditioner to identify this equipment class. Panasonic stated that it is opposed to this equipment being termed “computer room air conditioning” equipment, because there are other systems that could be used for computer rooms. (Panasonic, Public Meeting Transcript, No. 20 at p. 92) Danfoss stated that there could be a standard for precision computer room air conditioning equipment and one for conventional commercial air conditioning equipment. (Danfoss, Public Meeting Transcript, No. 20 at p. 103) Panasonic stated that the term “precision air conditioning” would be more appropriate for use, rather than computer room air conditioning, because precision air conditioning would not restrict the market. (Panasonic, Public Meeting Transcript, No. 20 at p. 105) Danfoss stated that specialized equipment might be used in a laboratory with very strict climate control needs, which might have the same type of requirements but not be a computer room. (Danfoss, Public Meeting Transcript, No. 20 at p. 105) Mitsubishi supported these comments and the use of the term “precision air conditioner.” (Mitsubishi, Public Meeting Transcript, No. 20 at p. 105)</P>

        <P>As noted in the January 2012 NOPR, DOE believes ASHRAE Standard 90.1 does not cover commercial package air-conditioning and heating equipment used for industrial, manufacturing, or commercial processes, with the exception of the specific industrial equipment listed in the standard (<E T="03">i.e.,</E>“air conditioners and condensing units serving computer rooms”). 77 FR 2356, 2373 (Jan. 17, 2012). DOE intends its standards for commercial package air-conditioning and heating equipment to have the same scope as ASHRAE Standard 90.1 and to apply only to equipment used for comfort space conditioning, with the exception of those equipment types listed in ASHRAE Standard 90.1 that are used for commercial or industrial processes. See further discussion in the January 2012 NOPR regarding the “Coverage of Commercial Package Air Conditioning and Heating Equipment That Are Exclusively Used as Part of Industrial or Manufacturing Processes.” 77 FR 2356, 2372-2373 (Jan. 17, 2012).</P>

        <P>ASHRAE Standard 90.1-2010 does not refer to or use the term “precision air conditioner.” The process cooling application that has been listed in ASHRAE Standard 90.1 specifically refers to cooling of computer rooms (<E T="03">i.e.,</E>“air conditioners and condensing units serving computer rooms”). Given these factors, DOE has tentatively concluded that DOE's proposed use of the term “computer room air conditioner” would be in line with the equipment covered by ASHRAE Standard 90.1-2010 and that use of the term “precision air conditioner” would not be appropriate.</P>
        <HD SOURCE="HD2">B. Test Procedures</HD>
        <P>EPCA requires DOE to amend any test procedures for ASHRAE equipment to the latest version generally accepted by the industry or the rating procedures developed or recognized by industry, as referenced in ASHRAE/IES Standard 90.1, unless the Secretary determines that clear and convincing evidence exists that the latest version of the industry test procedure does not meet the requirements for test procedures described under 42 U.S.C. 6314(a)(2)-(3).<SU>6</SU>

          <FTREF/>(42 U.S.C. 6314(a)(4)(A)-(B)) In the January 2012 NOPR, DOE proposed to adopt the updated industry test procedures for the following equipment: small commercial package air conditioners and heating equipment (AHRI 210/240-2008,<E T="03">Performance Rating of Unitary Air-Conditioning &amp; Air-Source Heat Pump Equipment</E>), large and very large commercial package air conditioners and heating equipment (AHRI 340/360-2007,<E T="03">Performance Rating of Commercial and Industrial Unitary Air-Conditioning and Heat Pump Equipment</E>), commercial warm-air furnaces (UL 727-2006,<E T="03">Standard for Safety for Oil-Fired Central Furnaces,</E>and ANSI Z21.47-2006,<E T="03">Standard for Gas-Fired Central Furnaces</E>), and commercial water heaters (ANSI Z21.10.3-2004,<E T="03">Gas Water Heaters, Volume III, Storage Water Heaters with Input Ratings Above 75,000 Btu Per Hour, Circulating and Instantaneous</E>). In the May 2011 NODA and the January 2012 NOPR, DOE reviewed each of these test procedures and described the changes in comparison to the previous version of the test procedure. 76 FR 25622, 25634-37 (May 5, 2011) and 76 FR 2356, 2373-76 (Jan. 17, 2012).</P>
        <FTNT>
          <P>
            <SU>6</SU>The relevant statutory provisions at 42 U.S.C. 6314(a)(2)-(3) state that test procedure shall be reasonably designed to produce test results which reflect energy efficiency, energy use, and estimated operating costs of a type of industrial equipment and shall not be unduly burdensome to conduct. If the test procedure is a procedure for determining estimated annual operating costs, such costs shall be calculated from measurements of energy use in a representative average-use cycle.</P>
        </FTNT>

        <P>Additionally, in the January 2012 NOPR, DOE proposed to adopt new test procedures for measuring the efficiency of variable refrigerant flow equipment (AHRI 1230-2010,<E T="03">Performance Rating of Variable Refrigerant Flow (VRF) Multi-Split Air-Conditioning and Heat Pump Equipment</E>), computer room air conditioners (ASHRAE 127-2007,<E T="03">Method of Testing for Rating Computer and Data Processing Room Unitary Air Conditioners</E>), and single package vertical air conditioners and single package vertical heat pumps (AHRI 390-2003,<E T="03">Performance Rating of Single Package Vertical Air-Conditioners and Heat Pumps)</E>An initial assessment of these test procedures is also presented in the January 2012 NOPR. 76 FR 2356, 2376-79 (Jan. 17, 2012).</P>
        <P>DOE presented its proposed changes to the test procedures for ASHRAE equipment at the February 2012 public meeting. At the meeting, interested parties indicated that DOE should review the AHRI operations manuals<SU>7</SU>

          <FTREF/>and, if necessary, adopt parts of the manuals that contain provisions relevant to testing that would impact or help clarify DOE's proposed test procedures. Specifically, AHRI commented that the organization has been running certification and verification programs for years, and in each program, there is an operations manual that describes the verification program and clarifies how to run the test procedure. AHRI encouraged DOE to look at these operations manuals and reference them in any way DOE can. (AHRI, Public Meeting Transcript, No. 20 at p. 48) Mitsubishi also commented that it would be essential for DOE to incorporate the operations manual in the case of VRF systems, because the operations manual has additional guidance on how to set up the systems and what the manufacturer requires in<PRTPAGE P="16775"/>order to do the testing. (Mitsubishi, Public Meeting Transcript, No. 20 at p. 48)</P>
        <FTNT>
          <P>

            <SU>7</SU>For more information and to access those operations manuals, visit AHRI's Web site at:<E T="03">http://www.ahrinet.org/ahri+certification+programs.aspx.</E>
          </P>
        </FTNT>
        <P>In response, DOE reviewed the industry operations manuals developed by AHRI to determine whether the manuals provide information that would help clarify the application of the DOE test procedures and those updates that were proposed in the January 2012 NOPR. In its review, DOE found that several AHRI operations manuals provide guidance that DOE believes could be useful in clarifying the DOE test procedures. This guidance, which is in part proposed for inclusion in DOE's test procedures, is presented in Table III.1 and discussed in detail in the subsections immediately below.</P>
        <GPOTABLE CDEF="s50,r50,r50,r100,r100" COLS="5" OPTS="L2,i1">
          <TTITLE>Table III.1—Summary of Issues Identified Through Review of AHRI Operations Manuals</TTITLE>
          <BOXHD>
            <CHED H="1">Issue</CHED>
            <CHED H="1">AHRI OM*</CHED>
            <CHED H="1">Relevant OM<LI>section</LI>
            </CHED>
            <CHED H="1">Summary of issue</CHED>
            <CHED H="1">Summary of response</CHED>
          </BOXHD>
          <ROW RUL="s">
            <ENT I="01">Compressor Break-In Period</ENT>
            <ENT>Small Unitary OM<LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl">Large Unitary OM.</LI>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl">VRF OM.</LI>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl">SPVU OM</LI>
            </ENT>
            <ENT>3.8 (Break-in Operation of Test Units)<LI>3.7 (Break-in Operation and Start-up of Test Units)</LI>
              <LI>3.7 (Break-in Operation and Start-up of Test System)</LI>
              <LI>3.7 (Optional “Break-In” Period)</LI>
            </ENT>
            <ENT>Certain AHRI OMs allow manufacturers the option of “breaking in” equipment by running the unit before testing. Depending on the equipment, AHRI allows up to 16 hours, up to 24 hours, or a manufacturer-specified number of hours</ENT>
            <ENT>DOE is proposing to add a “break-in” provision to its test procedures for commercial air conditioning and heating equipment. However, DOE is only proposing to allow up to 16 hours to break in equipment, regardless of the equipment class.</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="01">Tolerances</ENT>
            <ENT>Multiple OMs</ENT>
            <ENT>N/A</ENT>
            <ENT>Certain AHRI OMs and certain industry test methods provide tolerances to evaluate manufacturer efficiency ratings</ENT>
            <ENT>Compliance with DOE standards is based on a statistically valid set of samples, as specified at 10 CFR part 429, and DOE is not proposing to adopt tolerances from AHRI OMs in the final rule.</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="01">Defective Samples</ENT>
            <ENT>Multiple OMs</ENT>
            <ENT>N/A</ENT>
            <ENT>Certain AHRI OMs provide criteria by which a unit would be considered defective</ENT>
            <ENT>DOE determines whether a unit is defective on a case-by-case basis as part of its regulatory program using the guidelines in 10 CFR part 429 and is not proposing to adopt AHRI's provisions for what constitutes a defective sample.</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="01">Test Set-Up</ENT>
            <ENT>Commercial Furnaces OM<LI>Commercial Water Heaters OM</LI>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl">SPVU OM.</LI>
            </ENT>
            <ENT>3.3.5.4 (Sample Start-Up and Operation)<LI>3.12 (Clarification in Running of the Test Procedure)</LI>
              <LI>3.3.5.4 (Sample Start-Up and Operation)</LI>
              <LI>3.10 (Clarification of Test Procedures)</LI>
              <LI>3.6 (Test Set-up and Start-up Punch List)</LI>
            </ENT>
            <ENT>Certain AHRI OMs allow the opportunity for a manufacturer or test lab to use a “test procedure guideline” or a “punch list” to help facilitate implementation of the DOE test procedure</ENT>
            <ENT>DOE is not proposing to adopt AHRI OM “test procedure guidelines” or to allow for the use of “punch lists.” DOE proposes to use only information found in the DOE test procedures in 10 CFR part 431 and in Installation and Operation (I&amp;O) manuals when conducting testing.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Enhancement Devices</ENT>
            <ENT>Small Unitary OM</ENT>
            <ENT>3.6 (System Manufacturer's Required Equipment Provisions)<LI>3.7 (ICM's Required Equipment Provisions)</LI>
              <LI>5.8 (Listing Equipment with Enhancement Components)</LI>
            </ENT>
            <ENT O="xl">Certain AHRI OMs state that manufacturers shall provide a complete system including “other listed system enhancement devices.”</ENT>
            <ENT>DOE will only consider those devices which are part of the rated basic model, are shipped with the unit, and are clearly described as enhancement devices in the I&amp;O manuals.</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="22"/>
            <ENT>Large Unitary OM</ENT>
            <ENT>3.6 (Required Equipment Provisions)</ENT>
            <ENT O="xl"/>
            <ENT O="xl"/>
          </ROW>
          <ROW RUL="s">
            <PRTPAGE P="16776"/>
            <ENT I="01">Refrigerant Charge</ENT>
            <ENT>General OM<LI O="xl"/>
              <LI O="xl"/>
              <LI>Small Unitary OM</LI>
              <LI O="xl"/>
              <LI O="xl"/>
              <LI O="xl">VRF OM.</LI>
            </ENT>
            <ENT>9.11.1.1 (Test Sample Refrigerant Charge)<LI>3.19 (Test Sample Refrigerant Charge)</LI>
              <LI>3.15 (Test Sample Refrigerant Charge) and 3.15.1 (Refrigerant Charge Adjustment)</LI>
            </ENT>
            <ENT>Certain AHRI OMs give the manufacturer additional guidance on how to charge the system for testing</ENT>
            <ENT>DOE proposes to add clarification to its test procedures that if a range of refrigerant charges is specified in the I&amp;O manuals, then any charge in that range is acceptable for use in testing, unless a rating value is clearly specified in the I&amp;O manual.</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="01">Fan Speeds and Air Flow Rates, Rated vs. Nominal</ENT>
            <ENT>General OM<LI O="xl"/>
              <LI>Large Unitary OM</LI>
            </ENT>
            <ENT>9.11.1.2 (Fan Speed)<LI>3.11 (Indoor Coil Airflow Rate)</LI>
            </ENT>
            <ENT>Certain AHRI OMs and the test procedures allow manufacturers to adjust the indoor air flow rate as long as it is under a specified limit and meets minimum external static pressure requirements</ENT>
            <ENT>DOE proposes to add clarification to its test procedures that the air flow rate to be used for testing should be clearly specified in the I&amp;O manuals. If rated air flow values for DOE testing are not clearly identified then a default value of 400 standard cubic feet per minute (scfm) per ton will be used.</ENT>
          </ROW>
          <ROW RUL="s">
            <ENT I="01">Manufacturer Involvement During VRF Testing</ENT>
            <ENT>VRF OM</ENT>
            <ENT>3.8 (Duties of Testing Laboratory Personnel)<LI>3.10 (System Stabilization for Testing)</LI>
            </ENT>
            <ENT>The AHRI OM for VRF equipment allows manufacturers to lock in the compressor and fan motor speeds in order to achieve steady-state operation and allows manufacturers to assist in the set up and start up of this equipment during AHRI verification testing</ENT>
            <ENT>DOE proposes to allow limited manufacturer involvement in ensuring the system has been set up correctly, including setting the compressor speed during DOE regulatory testing, provided that the manufacturers document their set-up and record their fixed compressor speeds.</ENT>
          </ROW>
          <ROW>
            <ENT I="01">Correction Factors for VRF Refrigerant Line Lengths</ENT>
            <ENT>VRF OM</ENT>
            <ENT>3.9 (Refrigerant Line Length Considerations)</ENT>
            <ENT>The AHRI OM for VRF equipment provides a table of cooling capacity correction factors in the event that a testing laboratory exceeds the minimum refrigerant line length specified in AHRI 1230</ENT>
            <ENT>DOE proposes to adopt the correction factors but only in the instance where the physical limitations of the laboratory prevent it from setting up the test without exceeding the minimum refrigerant line lengths.</ENT>
          </ROW>
          <TNOTE>* Small Unitary OM means Unitary Small Air-Conditioners and Air-Source Heat Pumps (Includes Mixed-Match Coils) (Rated Below 65,000 Btu/h) Certification Program Operations Manual; Large Unitary OM means Unitary Large Equipment Certification Program Operations Manual; VRF OM means Variable Refrigerant Flow Multi-Split Air-Conditioners and Heat Pumps Certification Program (rated up to 760,000 Btu/h) Operations Manual; SPVU OM means Single Packaged Vertical Air-Conditioners and Heat Pumps Certification Program Operations Manual; Commercial Furnaces OM means Commercial Furnaces Certification Program Operations Manual; Commercial Water Heater OM means Commercial Water Heaters Certification Program Operations Manual.</TNOTE>
        </GPOTABLE>
        <HD SOURCE="HD3">1. Compressor Break-In Period</HD>
        <P>The DOE test procedure for commercial air-conditioning equipment does not provide for a compressor “break-in” period prior to initiating testing. According to several AHRI operations manuals for commercial air-conditioning equipment, manufacturers may direct AHRI to run the tested unit's compressor for a certain amount of time before running DOE's test procedure. In the January 2012 NOPR, DOE proposed to allow an optional compressor “break-in” period of no longer than 16 hours as part of the proposed adoption of AHRI 210/240-2008, AHRI 340/360-2007, AHRI 390-2003, and AHRI 1230-2010, and requested comment on allowing the break-in period for tests conducted using ASHRAE 127-2007. 77 FR 2356, 2374, 2376-78 (Jan. 17, 2012).</P>
        <P>The 16-hour break-in limit aligns with the limit indicated in the AHRI operations manual for unitary large air conditioners and heat pumps.<SU>8</SU>
          <FTREF/>Other AHRI operations manuals that provide for a compressor break-in period either specify a different time limit or allow the manufacturer to specify the break-in period. For example, the VRF Multi-Split Air-Conditioners and Heat Pumps Operations Manual allows for a compressor break-in period of up to 24 hours, and the operations manuals for unitary small air conditioners and heat pumps and for SPVUs do not specify a time limit for the “break-in” period, instead deferring to manufacturer specifications.</P>
        <FTNT>
          <P>

            <SU>8</SU>For more information, see section 3.7 of the AHRI Operations Manual for Unitary Large Equipment, available at:<E T="03">http://www.ahrinet.org/App_Content/ahri/files/Certification/OM%20pdfs/2012/ULE%20OM-2012.pdf.</E>
          </P>
        </FTNT>
        <P>DOE reiterates the proposal set forth in the January 2012 NOPR, providing the manufacturer the option of breaking in the compressor for up to 16 hours for all equipment types. Due to the general similarities between the compressors used in large unitary equipment and other types of commercial air conditioning equipment, DOE believes that a compressor break-in time of up to 16 hours is adequate and appropriate to ensure test results that are representative of the energy efficiency of the basic model during average use.</P>

        <P>For assessment and enforcement testing purposes, DOE would use the compressor break-in period used by the manufacturer, if any, when it performed certification testing, up to 16 hours. A manufacturer who elects to use an<PRTPAGE P="16777"/>optional compressor break-in period in its certification testing should record this information (including the duration) in the test data underlying the certified ratings that is required to be maintained under 10 CFR 429.71. DOE seeks comment as to whether a longer break-in period is necessary for VRF systems, small air conditioners and heat pumps, and SPVUs, and why these types of equipment need a longer break-in period. This is identified as issue 3 in section V.B, “Issues on Which DOE Seeks Comment.”</P>
        <HD SOURCE="HD3">2. Certified Ratings</HD>
        <P>Many AHRI operations manuals and certain test procedures proposed in the January 2012 NOPR to be incorporated by reference into DOE regulations contain guidance on the tolerance that AHRI applies in its verification program to determine whether a given basic model is properly rated. For example, the AHRI operations manual for commercial furnaces<SU>9</SU>
          <FTREF/>states in section 3.9 (Tolerances) that if a piece of equipment tests below 95 percent of its rated efficiency, then it fails its AHRI verification test. DOE has received numerous inquiries regarding the use of the AHRI tolerances in DOE's regulatory program as it may relate to certification, assessment, and/or enforcement testing. Consistent with the language in the January 2012 NOPR and DOE's current practice, current DOE regulations do not provide for a 5-percent tolerance across its regulatory program. Instead, DOE's regulations call for a statistical evaluation of a test sample, as explained below. As such, DOE is not proposing to adopt such provisions for a general 5-percent tolerance in the final rule and is proposing to explicitly exclude them from industry standards incorporated by reference.</P>
        <FTNT>
          <P>

            <SU>9</SU>The AHRI Commercial Furnaces Operations Manual is available at:<E T="03">http://www.ahrinet.org/App_Content/ahri/files/Certification/OM%20pdfs/2012/CFRN%20OM-2012.pdf.</E>
          </P>
        </FTNT>
        <P>Under current DOE regulations, a manufacturer must determine its certified ratings for its products and equipment from values derived pursuant to the applicable testing and sampling requirements set forth in 10 CFR parts 429, 430, and 431. For the products covered by this rulemaking, the sampling requirements incorporate a 95-percent confidence limit based on testing a sample of sufficient size (no less than 2 units per basic model). DOE's sampling plan for certification testing allows for some variation in the manufacturing and testing processes. More information on DOE's sampling plans can be found in 10 CFR part 429, more specifically at 10 CFR 429.43 for commercial HVAC equipment and at 10 CFR 429.44 for commercial water-heating equipment.</P>

        <P>In the March 2011 final rule addressing certification, compliance, and enforcement, DOE reiterated its authority under the statute that DOE may, at any time, test a basic model to assess whether the basic model is in compliance with the applicable energy conservation standard(s).<E T="03">See</E>10 CFR 429.104; 76 FR 12422, 12495 (March 7, 2011). For an “assessment test,” DOE obtains one or more units for testing, generally from retailors or distributors, and frequently performs the testing without the knowledge of the manufacturer. For an “enforcement test,” DOE issues a test notice requiring the manufacturer to provide units for testing. DOE uses the results of assessment testing as one tool when determining whether to pursue enforcement testing. DOE does not apply a tolerance to the results of an assessment test to determine whether to pursue enforcement testing. DOE may pursue enforcement testing if it has reason to believe that a basic model is not in compliance with applicable standards (10 CFR 429.110(a))—a determination that is informed but not necessarily driven by the assessment test results.</P>
        <P>DOE has set forth different sampling plans for DOE enforcement testing of covered equipment and certain low-volume covered products, which include many of the products that are the subject of this rulemaking proceeding, including built-to-order products. These sampling plans utilize a test sample of no more than 4 units for low-volume, built-to-order basic models, which include many of the products that are the subject of this rulemaking proceeding. These sampling plans are set forth in Appendix B to subpart C to part 429.</P>
        <HD SOURCE="HD3">3. Defective Samples</HD>
        <P>AHRI operations manuals contain guidance on determining whether a sample is defective. This determination typically is based on how closely the AHRI verification test results correlate to the product's rated performance. The AHRI general OM manual provides, “A Defective Sample is one that fails a test due to the sample's inability to operate in accordance with the Participant's installation and operating instructions because it suffers an anomaly making it inconsistent with other samples of the same model. Unit design, unit assembly, quality control issues, and/or the Participant's inability to rate the product correctly will not be accepted by AHRI as causes for defect.”</P>
        <P>DOE determines whether a unit is defective on a case-by-case basis as part of its certification and enforcement program. DOE's guidelines for determining whether a unit is defective are contained at 10 CFR 429.110(d)(3), which provides, “A test unit shall be considered defective if such unit is inoperative or is found to be in noncompliance due to failure of the unit to operate according to the manufacturer's design and operating instructions.” DOE is retaining its current approach and will evaluate the circumstances regarding the enforcement test results on a per-unit basis for a given basic model on a case-by-case basis. In DOE's view, additional clarification may be overly restrictive and may result in a unit of a sample being determined defective due simply to high variability in the performance of a given basic model.</P>
        <HD SOURCE="HD3">4. Test Set-Up</HD>

        <P>In many of AHRI's product-specific operations manuals, AHRI states that the start-up and operation of a unit shall be in accordance with the installation and operation instructions shipped with the sample. As DOE has previously stated in this rulemaking, DOE agrees and proposed to use the installation and operation instructions shipped with the sample. However, in some cases (<E T="03">e.g.,</E>commercial water heaters and commercial warm-air furnaces), the AHRI OM provides for the use of a “test procedure guideline” intended to facilitate “proper” performance of the DOE test procedure. The operations manuals add that “such guidelines shall not revise or modify the basic DOE test procedure * * * but shall seek to provide uniformity in interpretation of terms, measurements, and application of procedures.”<SU>10</SU>
          <FTREF/>Likewise, the operations manual for single package vertical air conditioners and heat pumps requires that manufacturers provide a “punch list” specific to performance testing that contains specific information needed to facilitate the testing of a given basic model (if any).</P>
        <FTNT>
          <P>

            <SU>10</SU>For more information, see section 3.10 of the AHRI Commercial Water Heater Operations Manual, available at:<E T="03">http://www.ahrinet.org/App_Content/ahri/files/Certification/OM%20pdfs/2012/CWH%20OM-2012.pdf,</E>or section 3.12 of the AHRI Commercial Furnaces Operations Manual, available at:<E T="03">http://www.ahrinet.org/App_Content/ahri/files/Certification/OM%20pdfs/2012/CFRN%20OM-2012.pdf.</E>
          </P>
        </FTNT>

        <P>DOE has not proposed to incorporate by reference any industry test procedure guidelines or provisions for “punch lists” into its test procedures. DOE<PRTPAGE P="16778"/>reiterates that any provisions of the operations manuals, industry test procedure guidelines, or any other guidelines or provisions that are not in DOE's test procedure or issued as the Department's official interpretation of the regulations in the DOE guidance database<SU>11</SU>
          <FTREF/>are not part of the DOE regulatory structure. Accordingly, DOE will not use any of these types of documents during DOE's assessment and enforcement testing. DOE will use the individual basic model's installation and operation manual. DOE accepts questions regarding the application of its test procedures when areas requiring clarification are identified or ambiguities arise. The DOE guidance database provides interested parties a way of submitting test procedure questions and industry-developed guidance for DOE review and response. DOE utilizes this guidance process as interim clarification until DOE's test procedure regulations can be periodically updated through rulemaking.</P>
        <FTNT>
          <P>
            <SU>11</SU>Available at:<E T="03">http://www1.eere.energy.gov/guidance/default.aspx?pid=2&amp;spid=1</E>.</P>
        </FTNT>
        <HD SOURCE="HD3">5. Enhancement Devices</HD>
        <P>The AHRI Operations Manuals for Unitary Small Air-Conditioners and Heat Pumps and Unitary Large Equipment provide that system manufacturers shall provide a complete system including “other listed system enhancement devices” for verification testing purposes.<SU>12</SU>
          <FTREF/>While DOE is unclear exactly what is meant by “other listed system enhancement devices,” DOE will only consider a device to be part of a basic model for certification, assessment, and/or enforcement testing purposes if the device is a shipped with the unit from the point of manufacture and is clearly described as required equipment in the equipment's I&amp;O manual. If an enhancement device is necessary for a basic model to meet minimum energy conservation standards, all units of the basic model must be shipped with any required enhancement device, and the installation and operational manual should include a description of the unit's operation with such a device.</P>
        <FTNT>
          <P>

            <SU>12</SU>For more information, see sections 3.6, 3.7, and 5.8 of the AHRI Operations Manual for Unitary Small Air-Conditioners and Air-source Heat Pumps, available at:<E T="03">http://www.ahrinet.org/App_Content/ahri/files/Certification/OM%20pdfs/2012/USE%20OM-2012.pdf,</E>and section 3.6 of the AHRI Operations Manual for Unitary Large Equipment, available at:<E T="03">http://www.ahrinet.org/App_Content/ahri/files/Certification/OM%20pdfs/2012/ULE%20OM-2012.pdf</E>.</P>
        </FTNT>
        <HD SOURCE="HD3">6. Refrigerant Charge</HD>
        <P>AHRI's General Operations Manual states that the laboratory must “determine the refrigerant charge at the Standard Rating Condition in accordance with instructions from the [manufacturer's] installation and operational manuals.”<SU>13</SU>
          <FTREF/>The operations manual also states that, “for a given specified range of superheat, sub-cooling, or refrigerant pressure, the average of the range shall be used to determine the refrigerant charge. If multiple instructions are given, the [manufacturer] shall be asked to sign off on the preferred method.” Similarly, the AHRI VRF Operations Manual states that in the event of a verification test failure, the manufacturer has the “option to charge the unit between the minimum and maximum of the range. The Laboratory may consult with the [manufacturer] about the refrigerant charging procedures and make any needed corrections as long as they do not contradict the published installation instructions.”<SU>14</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>

            <SU>13</SU>For more information, see section 9.11.1.1 of the AHRI General Operations Manual, available at:<E T="03">http://www.ahrinet.org/App_Content/ahri/files/Certification/2012%20General%20OM.PDF</E>.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>14</SU>For more information, see section 3.15 of the AHRI Operations Manual for Variable Refrigerant Flow Multi-Split Air-Conditioners and Heat Pumps, available at:<E T="03">http://www.ahrinet.org/App_Content/ahri/files/Certification/OM%20pdfs/2012/VRF%20OM-2012.pdf.</E>
          </P>
        </FTNT>
        <P>DOE's current test procedures for commercial air conditioners and heat pumps greater than 65,000 Btu/h and for VRF systems do not provide a method for determining the refrigerant charge for testing if the manufacturer only specifies a range of refrigerant charges or in the event of an assessment and/or enforcement test failure. Thus, to provide clarity in its test procedures, DOE proposes that if a manufacturer specifies a range of superheat, sub-cooling, and/or refrigerant pressure in its I&amp;O manuals, any value(s) within that range may be used to determine refrigerant charge or mass of refrigerant for purposes of assessment and/or enforcement testing, unless the manufacturer clearly specifies a rating value in its I&amp;O manuals. Note that in all cases, the laboratory conducting the assessment and/or enforcement test shall not ask the manufacturer to provide, and shall not consider, any instructions outside of those specified in the I&amp;O manuals shipped with the unit.</P>
        <HD SOURCE="HD3">7. Fan Speeds and Air Flow Rates, Rated Versus Nominal</HD>
        <P>AHRI's General Operations Manual states that “unless specified in writing, Laboratory personnel shall not make adjustments to fan speed.” Also, the Unitary Large Equipment Operations Manual states “if the rated cfm is not obtained at the required external static pressure * * * the [manufacturer] shall change the cfm rating by adjusting the speed of the fan motor or supply alternate drives.”</P>
        <P>The DOE test procedures specify only an upper limit to the indoor air flow rate based on nominal capacity. Manufacturers can adjust the indoor air flow rate to any point below that limit when conducting certification testing, provided that the system, as tested, maintains DOE's minimum external static pressure requirements throughout the duration of the test.</P>
        <P>DOE has found that in most instances, manufacturers rate their equipment using an indoor airflow rate that differs from the nominal airflow rate (typically 400 cfm/ton) for a given basic model. While DOE understands that manufacturers may submit their rated air flow rate as part of AHRI's Certification, DOE will only use those test parameters and conditions, including air flow rate, that are set forth in the installation and operation manuals being shipped to the commercial customer with the basic model, are clearly identified in the installation and operation manuals as being used in the testing to generate the DOE performance ratings, and are allowed by the applicable DOE test procedure.</P>
        <P>DOE reiterates its position from the January 2012 NOPR that if manufacturers have specific conditions or instructions used in generating their energy efficiency ratings, they must be clearly provided in the I&amp;O manual shipped with the unit. 77 FR 2356, 2378 (Jan. 17, 2012). If DOE finds that the rated information, such as airflow rates, is not specified in the I&amp;O manual shipped with the unit, DOE will test using a default value of 400 standard cubic feet per minute (scfm) per ton of cooling capacity. DOE realizes that testing under nominal, as opposed to rated, conditions may negatively impact the equipment's energy efficiency performance; however, in DOE's view, the commercial customer has a right to know the operating conditions that are used to generate the certified efficiency values, including rated airflow and rated capacity.</P>
        <HD SOURCE="HD3">8. Manufacturer Involvement During Variable Refrigerant Flow Multi-Split Air-Conditioners and Heat Pumps Assessment and/or Enforcement Testing</HD>

        <P>The DOE test procedure incorporated by reference for Variable Refrigerant<PRTPAGE P="16779"/>Flow Multi-Split Air-Conditioner and Heat Pumps (VRF), AHRI 1230-2010, states that “if the equipment cannot be maintained at steady state conditions by its normal controls, then the manufacturer shall modify or over-ride such controls so that steady state conditions are achieved.” The VRF Operations Manual provides that manufacturers are allowed to assist in the set up and start up of this equipment during AHRI verification testing, because skilled personnel with knowledge of the control software specific to the equipment being tested are required to ensure proper test set-up and valid test results. This provision in the VRF OM limits manufacturer involvement during start-up and testing to only regulating the compressor motor speed control. Similarly, the VRF OM states that if the equipment does not stabilize within two hours of fixing the compressor speed, the manufacturer may adjust the control operation of the system to meet the requirements of the standard.</P>
        <P>DOE understands the complexity of the VRF systems and will allow a manufacturer representative to witness assessment and/or enforcement testing. DOE is proposing that the manufacturer representative will also be allowed to adjust the compressor speed during testing. Manufacturers should document their certification test set-up, including fixed compressor speeds, and maintain this documentation as part of their test data underlying certification so that DOE can request the documentation from the manufacturers on an as-needed basis. The documentation must be detailed enough about the set-up, such that it can be recreated by a laboratory technician without further manufacturer assistance. However, DOE acknowledges that a VRF manufacturer's representative will be allowed on-site for DOE-initiated testing to verify set-up per the documentation. DOE will only use set-up instructions from the testing underlying the manufacturer's certified ratings for DOE verification and enforcement testing. Also, the manufacturer must designate the maximum, minimum, and any intermediate speeds used during certification testing (as required under AHRI 1230-2010); these speeds should be documented in the test data underlying certification.</P>
        <P>DOE does not typically allow manufacturers to witness or be involved in DOE-initiated assessment and/or enforcement testing of commercial air conditioning and heating equipment, and consequently, this allowance for VRF systems represents a departure of DOE's current practices. DOE has received comment that DOE is adopting an inequity between VRF systems and unitary systems. In response, DOE has tentatively concluded that there are unique circumstances governing the installation and operation of VRF systems that require intimate knowledge of the product control software in order to ensure that the system can operate properly during assessment and/or enforcement testing. Further, DOE believes that unlike the unitary market, a representative from the VRF manufacturer's company typically provides on-site expertise when product VRF system is being installed in a given commercial building in order to help ensure proper operation. DOE seeks additional comment from interested parties regarding its proposal to allow limited manufacturer involvement in the testing of VRF systems. This is identified as issue 4 in section V.B, “Issues on Which DOE Seeks Comment.”</P>
        <HD SOURCE="HD3">9. Correction Factors for VRF Refrigerant Line Lengths</HD>
        <P>The VRF OM provides correction factors for the cooling capacity of the VRF system in the event that the refrigerant line length used in the test set-up exceeds the length specified in AHRI 1230-2010. The VRF OM provides that if the test facility does not set up the test using the minimum required lengths, the test facility will apply a correction factor to the cooling capacity when establishing the certified ratings to correct for the lost capacity due to a longer-than-required refrigerant line. The correction factor makes test results more comparable across different laboratories and testing set-ups.</P>
        <P>DOE is proposing to adopt correction factors as part of the DOE test procedures for commercial VRF systems to a limited extent. DOE proposes to limit the use of the correction to instances in which the physical constraints of the laboratory prevent it from setting up a given basic model for test in accordance with the piping lengths specified in Table 3 of AHRI 1230-2007, thereby making it a matter of necessity. In all other circumstances, DOE expects laboratories to use proper refrigerant line lengths as a matter of course.</P>
        <P>Table III.2 shows the refrigerant line length correction factors DOE proposes to adopt, which are equivalent to those found in AHRI's VRF OM. DOE believes that the correction factors would allow manufacturers to produce test results that are a better representation of the average energy efficiency for this equipment and are more comparable to results of testing across test facilities.</P>
        <GPOTABLE CDEF="s100,r100,16" COLS="3" OPTS="L2,i1">
          <TTITLE>Table III.2—Refrigerant Line Length Correction Factors</TTITLE>
          <BOXHD>
            <CHED H="1">Piping length beyond minimum, X (ft)</CHED>
            <CHED H="1">Piping length beyond minimum, Y (m)</CHED>
            <CHED H="1">Cooling capacity correction, %</CHED>
          </BOXHD>
          <ROW>
            <ENT I="01">0&gt; X ≤20</ENT>
            <ENT>0&gt; Y ≤6.1</ENT>
            <ENT>1</ENT>
          </ROW>
          <ROW>
            <ENT I="01">20&gt; X ≤40</ENT>
            <ENT>6.1&gt; Y ≤12.2</ENT>
            <ENT>2</ENT>
          </ROW>
          <ROW>
            <ENT I="01">40&gt; X ≤60</ENT>
            <ENT>12.2&gt; Y ≤18.3</ENT>
            <ENT>3</ENT>
          </ROW>
          <ROW>
            <ENT I="01">60&gt; X ≤80</ENT>
            <ENT>18.3&gt; Y ≤24.4</ENT>
            <ENT>4</ENT>
          </ROW>
          <ROW>
            <ENT I="01">80&gt; X ≤100</ENT>
            <ENT>24.4&gt; Y ≤30.5</ENT>
            <ENT>5</ENT>
          </ROW>
          <ROW>
            <ENT I="01">100&gt; X ≤120</ENT>
            <ENT>30.5&gt; Y ≤36.6</ENT>
            <ENT>6</ENT>
          </ROW>
        </GPOTABLE>
        <P>DOE is seeking comment on its proposal to incorporate into its test procedures the refrigerant line length correction factors. This is identified as issue 5 in section V.B, “Issues on Which DOE Seeks Comment.”</P>
        <HD SOURCE="HD3">10. Corrections to the January 2012 Notice of Proposed Rulemaking</HD>

        <P>In the January 2012 NOPR, DOE inadvertently referenced incorrect titles for certain industry test procedure standards by improperly identifying the year of the standard. Specifically, DOE referenced “ANSI Z21.10.3-2006” at certain places in the January 2012 NOPR, but intended to reference “ANSI Z21.10.3-2004,” which is the latest version of the standard referenced in ASHRAE Standard 90.1-2010. Additionally, DOE referenced “AHRI 340/360-2004” in some places in the January 2012 NOPR, but intended to reference “AHRI 340/360-2007,” which<PRTPAGE P="16780"/>is the latest version of the standard referenced in ASHRAE Standard 90.1-2010. DOE is clarifying in this SNOPR that it proposes to adopt ANSI Z21.10.3-2004 for commercial water heaters and AHRI 340/360-2007 for large and very large commercial package air conditioners and heat pumps.</P>
        <HD SOURCE="HD1">IV. Procedural Issues and Regulatory Review</HD>
        <P>DOE has concluded that the determinations made pursuant to the various procedural requirements applicable to the January 17, 2012 NOPR remain unchanged for this SNOPR. 77 FR 2356, 2419-22. The additional changes proposed in this SNOPR (a refined definition of “computer room air conditioner” and updates to the DOE test procedures based on information found in industry operations manuals) would not be expected to increase testing burden beyond what is specified in the January 17, 2012 NOPR.</P>
        <HD SOURCE="HD1">V. Public Participation</HD>
        <HD SOURCE="HD2">A. Submission of Comments</HD>

        <P>DOE will accept comments, data, and information regarding this SNOPR no later than the date provided in the<E T="02">DATES</E>section at the beginning of this notice. Interested parties may submit comments, data, and other information using any of the methods described in the<E T="02">ADDRESSES</E>section at the beginning of this notice.</P>
        <P>
          <E T="03">Submitting comments via www.regulations.gov.</E>The www.regulations.gov Web page will require you to provide your name and contact information. Your contact information will be viewable to DOE Building Technologies staff only. Your contact information will not be publicly viewable except for your first and last names, organization name (if any), and submitter representative name (if any). If your comment is not processed properly because of technical difficulties, DOE will use this information to contact you. If DOE cannot read your comment due to technical difficulties and cannot contact you for clarification, DOE may not be able to consider your comment.</P>
        <P>However, your contact information will be publicly viewable if you include it in the comment itself or in any documents attached to your comment. Any information that you do not want to be publicly viewable should not be included in your comment, nor in any document attached to your comment. Otherwise, persons viewing comments will see only first and last names, organization names, correspondence containing comments, and any documents submitted with the comments.</P>
        <P>Do not submit to<E T="03">www.regulations.gov</E>information for which disclosure is restricted by statute, such as trade secrets and commercial or financial information (hereinafter referred to as Confidential Business Information (CBI)). Comments submitted through<E T="03">www.regulations.gov</E>cannot be claimed as CBI. Comments received through the Web site will waive any CBI claims for the information submitted. For information on submitting CBI, see the Confidential Business Information section below.</P>
        <P>DOE processes submissions made through<E T="03">www.regulations.gov</E>before posting. Normally, comments will be posted within a few days of being submitted. However, if large volumes of comments are being processed simultaneously, your comment may not be viewable for up to several weeks. Please keep the comment tracking number that<E T="03">www.regulations.gov</E>provides after you have successfully uploaded your comment.</P>
        <P>
          <E T="03">Submitting comments via email, hand delivery/courier, or mail.</E>Comments and documents submitted via email, hand delivery, or mail also will be posted to<E T="03">www.regulations.gov.</E>If you do not want your personal contact information to be publicly viewable, do not include it in your comment or any accompanying documents. Instead, provide your contact information in a cover letter. Include your first and last names, email address, telephone number, and optional mailing address. The cover letter will not be publicly viewable as long as it does not include any comments.</P>
        <P>Include contact information each time you submit comments, data, documents, and other information to DOE. If you submit via mail or hand delivery/courier, please provide all items on a compact disc (CD), if feasible, in which case it is not necessary to submit printed copies. No telefacsimiles (faxes) will be accepted.</P>
        <P>Comments, data, and other information submitted to DOE electronically should be provided in PDF (preferred), Microsoft Word or Excel, WordPerfect, or text (ASCII) file format. Provide documents that are not secured, that are written in English, and that are free of any defects or viruses. Documents should not contain special characters or any form of encryption and, if possible, they should carry the electronic signature of the author.</P>
        <P>
          <E T="03">Campaign form letters.</E>Please submit campaign form letters by the originating organization in batches of between 50 to 500 form letters per PDF or as one form letter with a list of supporters' names compiled into one or more PDFs. This reduces comment processing and posting time.</P>
        <P>
          <E T="03">Confidential Business Information.</E>Pursuant to 10 CFR 1004.11, any person submitting information that he or she believes to be confidential and exempt by law from public disclosure should submit via email, postal mail, or hand delivery/courier two well-marked copies: one copy of the document marked confidential including all the information believed to be confidential, and one copy of the document marked non-confidential with the information believed to be confidential deleted. Submit these documents via email or on a CD, if feasible. DOE will make its own determination about the confidential status of the information and treat it according to its determination.</P>
        <P>Factors of interest to DOE when evaluating requests to treat submitted information as confidential include: (1) A description of the items; (2) whether and why such items are customarily treated as confidential within the industry; (3) whether the information is generally known by or available from other sources; (4) whether the information has previously been made available to others without obligation concerning its confidentiality; (5) an explanation of the competitive injury to the submitting person which would result from public disclosure; (6) when such information might lose its confidential character due to the passage of time; and (7) why disclosure of the information would be contrary to the public interest.</P>
        <P>It is DOE's policy that all comments may be included in the public docket, without change and as received, including any personal information provided in the comments (except information deemed to be exempt from public disclosure).</P>
        <HD SOURCE="HD2">B. Issues on Which DOE Seeks Comment</HD>
        <P>Although DOE welcomes comment on any aspect of this proposal, DOE is particularly interested in receiving comments and views of interested parties concerning the following issues:</P>
        <P>1. The proposed definition of “computer room air conditioner.”</P>
        <P>2. The clarifications proposed to 10 CFR 431.97(a) regarding commercial package air-conditioning and heating equipment.</P>

        <P>3. Whether a longer break-in period is necessary for VRF systems, small air conditioners and heat pumps, and SPVUs, and, if so, why these equipment require a longer break-in period.<PRTPAGE P="16781"/>
        </P>
        <P>4. The proposal to allow limited manufacturer involvement in the testing of VRF systems.</P>
        <P>5. The proposal to incorporate applicable industry refrigerant line length correction factors into the DOE test procedure.</P>
        <HD SOURCE="HD1">VI. Approval of the Office of the Secretary</HD>
        <P>The Secretary of Energy has approved publication of today's supplemental notice of proposed rulemaking.</P>
        <LSTSUB>
          <HD SOURCE="HED">List of Subjects in 10 CFR Part 431</HD>
          <P>Administrative practice and procedure, Confidential business information, Energy conservation, Incorporation by reference, Reporting and recordkeeping requirements.</P>
        </LSTSUB>
        <SIG>
          <DATED>Issued in Washington, DC, on March 19, 2012.</DATED>
          <NAME>Kathleen B. Hogan,</NAME>
          <TITLE>Deputy Assistant Secretary for Energy Efficiency,Energy Efficiency and Renewable Energy.</TITLE>
        </SIG>
        
        <P>For the reasons set forth in the preamble, DOE proposes to amend part 431 of Chapter II, Subchapter D, of Title 10 of the Code of Federal Regulations as set forth below:</P>
        <PART>
          <HD SOURCE="HED">PART 431—ENERGY EFFICIENCY PROGRAM FOR CERTAIN COMMERCIAL AND INDUSTRIAL EQUIPMENT</HD>
          <P>1. The authority citation for part 431 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>42 U.S.C. 6291-6317.</P>
          </AUTH>
          
          <P>2. Section 431.92 is amended by adding the definition “Computer room air conditioner” in alphabetical order to read as follows:</P>
          <SECTION>
            <SECTNO>§ 431.92</SECTNO>
            <SUBJECT>Definitions concerning commercial air conditioners and heat pumps.</SUBJECT>
            <STARS/>
            <P>
              <E T="03">Computer room air conditioner.</E>(1) Means a basic model of commercial package air-conditioning and heating equipment that is:</P>
            <P>(i) Used in computer rooms, data processing rooms, or other purpose-specific cooling applications;</P>
            <P>(ii) Rated for sensible coefficient of performance (SCOP) and tested in accordance with 10 CFR 431.96; and</P>
            <P>(iii) Not a covered, consumer product under 42 U.S.C. 6291(1)-(2) and 6292.</P>
            <P>(2) A computer room air conditioner may be provided with, or have as available options, an integrated humidifier, temperature and/or humidity control of the supplied air, and reheating function.</P>
            <STARS/>
            <P>3. Revise § 431.96 to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 431.96</SECTNO>
            <SUBJECT>Uniform test method for the measurement of energy efficiency of commercial air conditioners and heat pumps.</SUBJECT>
            <P>(a)<E T="03">Scope.</E>This section contains test procedures for measuring, pursuant to EPCA, the energy efficiency of any small, large, or very large commercial package air-conditioning and heating equipment, packaged terminal air conditioners and packaged terminal heat pumps, computer room air conditioners, variable refrigerant flow systems, and single package vertical air conditioners and single package vertical heat pumps.</P>
            <P>(b)<E T="03">Testing and calculations.</E>Determine the energy efficiency of each type of covered equipment by conducting the test procedure(s) listed in the rightmost column of Table 1 of this section along with any additional testing provisions set forth in paragraphs (c), (d), and (e) of this section, that apply to the energy efficiency descriptor for that equipment, category, and cooling capacity. Note, the omitted sections of the test procedures listed in the rightmost column of Table 1 of this section shall not be used.</P>
            <GPOTABLE CDEF="s50,r50,r50,r50,r50" COLS="5" OPTS="L2,i1">
              <TTITLE>Table 1 to § 431.96—Test Procedures for Commercial Air Conditioners and Heat Pumps</TTITLE>
              <BOXHD>
                <CHED H="1">Equipment type</CHED>
                <CHED H="1">Category</CHED>
                <CHED H="1">Cooling capacity</CHED>
                <CHED H="1">Energy efficiency descriptor</CHED>
                <CHED H="1">Use tests, conditions and procedures<SU>1</SU>in</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">Small Commercial Packaged Air-Conditioning and Heating Equipment</ENT>
                <ENT>Air-Cooled, 3-Phase, AC and HP</ENT>
                <ENT>&lt;65,000 Btu/h</ENT>
                <ENT>SEER and HSPF</ENT>
                <ENT>AHRI Standard 210/240-2008 (omit section 6.5).</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Air-Cooled AC and HP</ENT>
                <ENT>≥65,000 Btu/h and &lt;135,000 Btu/h</ENT>
                <ENT>EER and COP</ENT>
                <ENT>AHRI Standard 340/360-2007 (omit section 6.3).</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT>Water-Cooled and Evaporatively-Cooled AC</ENT>
                <ENT>&lt;65,000 Btu/h</ENT>
                <ENT>EER</ENT>
                <ENT>AHRI Standard 210/240-2008 (omit section 6.5).</ENT>
              </ROW>
              <ROW>
                <ENT I="22"/>
                <ENT O="xl"/>
                <ENT>≥65,000 Btu/h and &lt;135,000 Btu/h</ENT>
                <ENT>EER</ENT>
                <ENT>AHRI Standard 340/360-2007 (omit section 6.3).</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="22"/>
                <ENT>Water-Source HP</ENT>
                <ENT>&lt;135,000 Btu/h</ENT>
                <ENT>EER and COP</ENT>
                <ENT>ISO Standard 13256-1 (1998).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Large Commercial Packaged Air-Conditioning and Heating Equipment</ENT>
                <ENT>Air-Cooled AC and HP</ENT>
                <ENT>≥135,000 Btu/h and &lt;240,000 Btu/h</ENT>
                <ENT>EER and COP</ENT>
                <ENT>AHRI Standard 340/360-2007 (omit section 6.3).</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="22"/>
                <ENT>Water-Cooled and Evaporatively-Cooled AC</ENT>
                <ENT>≥135,000 Btu/h and &lt;240,000 Btu/h</ENT>
                <ENT>EER</ENT>
                <ENT>AHRI Standard 340/360-2007 (omit section 6.3).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Very Large Commercial Packaged Air-Conditioning and Heating Equipment</ENT>
                <ENT>Air-Cooled AC and HP</ENT>
                <ENT>≥240,000 Btu/h and &lt;760,000 Btu/h</ENT>
                <ENT>EER and COP</ENT>
                <ENT>AHRI Standard 340/360-2007 (omit section 6.3).</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="22"/>
                <ENT>Water-Cooled and Evaporatively-Cooled AC</ENT>
                <ENT>≥240,000 Btu/h and &lt;760,000 Btu/h</ENT>
                <ENT>EER</ENT>
                <ENT>AHRI Standard 340/360-2007 (omit section 6.3).</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Packaged Terminal Air Conditioners and Heat Pumps</ENT>
                <ENT>AC and HP</ENT>
                <ENT>&lt;760,000 Btu/h</ENT>
                <ENT>EER and COP</ENT>
                <ENT>AHRI Standard 310/380-2004 (omit section 5.6).</ENT>
              </ROW>
              <ROW RUL="s">
                <PRTPAGE P="16782"/>
                <ENT I="01">Computer Room Air Conditioners</ENT>
                <ENT>AC</ENT>
                <ENT>&lt;760,000 Btu/h</ENT>
                <ENT>SCOP</ENT>
                <ENT>ASHRAE Standard 127-2007 (omit section 5.11).</ENT>
              </ROW>
              <ROW RUL="s">
                <ENT I="01">Variable Refrigerant Flow Multi-split Systems</ENT>
                <ENT>AC and HP</ENT>
                <ENT>&lt;760,000 Btu/h</ENT>
                <ENT>EER and COP</ENT>
                <ENT>AHRI Standard 1230-2010 (omit sections 5.1.2 and 6.6).</ENT>
              </ROW>
              <ROW>
                <ENT I="01">Single Package Vertical Air Conditioners and Single Package Vertical Heat Pumps</ENT>
                <ENT>AC and HP</ENT>
                <ENT>&lt;760,000 Btu/h</ENT>
                <ENT>EER and COP</ENT>
                <ENT>AHRI Standard 390-2003 (omit section 6.4).</ENT>
              </ROW>
              <TNOTE>
                <SU>1</SU>Incorporated by reference, see § 431.95.</TNOTE>
            </GPOTABLE>
            <P>(c)<E T="03">Optional break-in period for tests conducted using AHRI 210/240-2008, AHRI 340/360-2007, AHRI 1230-2010, and AHRI 390-2003.</E>Manufacturers may optionally specify a “break-in” period, not to exceed 16 hours, to operate the equipment under test prior to conducting the test method specified by AHRI 210/240-2008, AHRI 340/360-2007, AHRI 1230-2010, or AHRI 390-2003. A manufacturer who elects to use an optional compressor break-in period in its certification testing should record this information (including the duration) in the test data underlying the certified ratings that is required to be maintained under 10 CFR 429.71.</P>
            <P>(d)<E T="03">Refrigerant line length corrections for tests conducted using AHRI 1230-2010.</E>For test setups where it is physically impossible for the laboratory to use the required line length listed in Table 3 of the AHRI 1230-2010 Standard, then the actual refrigerant line length used by the laboratory may exceed the required length and the following correction factors are applied:</P>
            <GPOTABLE CDEF="s100,r100,16" COLS="3" OPTS="L2,i1">
              <TTITLE/>
              <BOXHD>
                <CHED H="1">Piping length beyond minimum, X (ft)</CHED>
                <CHED H="1">Piping length beyond minimum, Y (m)</CHED>
                <CHED H="1">Cooling capacity correction, %</CHED>
              </BOXHD>
              <ROW>
                <ENT I="01">0&gt; X ≤20</ENT>
                <ENT>0 &gt; Y ≤ 6.1</ENT>
                <ENT>1</ENT>
              </ROW>
              <ROW>
                <ENT I="01">20 &gt; X ≤40</ENT>
                <ENT>6.1&gt; Y ≤12.2</ENT>
                <ENT>2</ENT>
              </ROW>
              <ROW>
                <ENT I="01">40 &gt; X ≤60</ENT>
                <ENT>12.2&gt; Y ≤18.3</ENT>
                <ENT>3</ENT>
              </ROW>
              <ROW>
                <ENT I="01">60 &gt; X ≤80</ENT>
                <ENT>18.3&gt; Y ≤24.4</ENT>
                <ENT>4</ENT>
              </ROW>
              <ROW>
                <ENT I="01">80 &gt; X ≤100</ENT>
                <ENT>24.4&gt; Y ≤30.5</ENT>
                <ENT>5</ENT>
              </ROW>
              <ROW>
                <ENT I="01">100 &gt; X ≤120</ENT>
                <ENT>30.5&gt; Y ≤36.6</ENT>
                <ENT>6</ENT>
              </ROW>
            </GPOTABLE>
            <P>(e)<E T="03">Additional provisions for equipment set-up.</E>The only additional specifications that may be used in setting up the basic model for test are those set forth in the installation and operation manual shipped with the unit. Each unit should be set up for test in accordance with the manufacturer installation and operation manuals. Paragraphs (e)(1) through (e)(3) of this section provide specifications for addressing key information typically found in the installation and operation manuals.</P>
            <P>(1) If a manufacturer specifies a range of superheat, sub-cooling, and/or refrigerant pressure in its installation and operation manual for a given basic model, any value(s) within that range may be used to determine refrigerant charge or mass of refrigerant, unless the manufacturer clearly specifies a rating value in its installation and operation manual in which case the specified rating value shall be used.</P>
            <P>(2) The air flow rate used for testing must be that set forth in the installation and operation manuals being shipped to the commercial customer with the basic model and clearly identified as that used to generate the DOE performance ratings. If a rated air flow value for testing is not clearly identified, a value of 400 standard cubic feet per minute (scfm) per ton shall be used.</P>
            <P>(3) For VRF systems, the test set-up and the fixed compressor speeds (i.e., the maximum, minimum, and any intermediate speeds used for testing) should be recorded and maintained as part of the test data underlying the certified ratings that is required to be maintained under 10 CFR 429.71.</P>
            <P>(f)<E T="03">Manufacturer involvement in assessment or enforcement testing for variable refrigerant flow systems.</E>A manufacturer's representative will be allowed to witness assessment and/or enforcement testing for VRF systems. The manufacturer's representative will be allowed to inspect and discuss set-up only with a DOE representative and adjust the compressor speed during testing in the presence of a DOE representative. Only previously documented specifications for set-up as specified under paragraphs (d) and (e) of this section will be used.</P>
            <P>4. In § 431.97, redesignate paragraphs (a), (b), (c), (d), and (e) as proposed January 17, 2012, at 77 FR 2427, as paragraphs (b), (c), (d), (e), and (f) respectively and add a new paragraph (a) to read as follows:</P>
          </SECTION>
          <SECTION>
            <SECTNO>§ 431.97</SECTNO>
            <SUBJECT>Energy efficiency standards and their effective dates.</SUBJECT>
            <P>(a) All basic models of commercial package air-conditioning and heating equipment must be tested for performance using the applicable DOE test procedure in § 431.96, be compliant with the applicable standards set forth in paragraphs (b) through (f) of this section, and be certified to the Department under 10 CFR part 429.</P>
            <STARS/>
          </SECTION>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-7022 Filed 3-20-12; 4:15 pm]</FRDOC>
      <BILCOD>BILLING CODE 6450-01-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <PRTPAGE P="16783"/>
        <AGENCY TYPE="N">DEPARTMENT OF TRANSPORTATION</AGENCY>
        <SUBAGY>Federal Aviation Administration</SUBAGY>
        <CFR>14 CFR Part 71</CFR>
        <DEPDOC>[Docket No. FAA-2011-0503; Airspace Docket No. 11-ASO-19]</DEPDOC>
        <SUBJECT>Proposed Amendment of Class E Airspace; Orlando, FL</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Federal Aviation Administration (FAA), DOT.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of proposed rulemaking (NPRM).</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>This action proposes to amend Class E Airspace at Orlando, FL, as new Standard Instrument Approach Procedures have been developed at Orlando Executive Airport. This action would enhance the safety and airspace management of Instrument Flight Rules (IFR) operations at the airport.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>

          <P>Comments must be received on or before May 7, 2012. The Director of the<E T="04">Federal Register</E>approves this incorporation by reference action under title 1, Code of Federal Regulations, part 51, subject to the annual revision of FAA, Order 7400.9 and publication of conforming amendments.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>Send comments on this rule to: U.S. Department of Transportation, Docket Operations, West Building Ground Floor, Room W12-140, 1200 New Jersey Ave. SE., Washington, DC 20590-0001; Telephone: 1-800-647-5527; Fax: 202-493-2251. You must identify the Docket Number FAA-2011-0503; Airspace Docket No. 11-ASO-19, at the beginning of your comments. You may also submit and review received comments through the Internet at<E T="03">http://www.regulations.gov</E>.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>John Fornito, Operations Support Group, Eastern Service Center, Federal Aviation Administration, P.O. Box 20636, Atlanta, Georgia 30320; telephone (404) 305-6364.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Comments Invited</HD>
        <P>Interested persons are invited to comment on this rule by submitting such written data, views, or arguments, as they may desire. Comments that provide the factual basis supporting the views and suggestions presented are particularly helpful in developing reasoned regulatory decisions on the proposal. Comments are specifically invited on the overall regulatory, aeronautical, economic, environmental, and energy-related aspects of the proposal.</P>

        <P>Communications should identify both docket numbers (FAA Docket No. FAA-2011-0503; Airspace Docket No. 11-ASO-19) and be submitted in triplicate to the Docket Management System (see<E T="02">ADDRESSES</E>section for address and phone number). You may also submit comments through the Internet at<E T="03">http://www.regulations.gov</E>.</P>
        <P>Persons wishing the FAA to acknowledge receipt of their comments on this action must submit with those comments a self-addressed stamped postcard on which the following statement is made: “Comments to Docket No. FAA-2011-0503; Airspace Docket No. 11-ASO-19.” The postcard will be date/time stamped and returned to the commenter.</P>
        <P>All communications received before the specified closing date for comments will be considered before taking action on the proposed rule. The proposal contained in this notice may be changed in light of the comments received. A report summarizing each substantive public contact with FAA personnel concerned with this rulemaking will be filed in the docket.</P>
        <HD SOURCE="HD1">Availability of NPRMs</HD>

        <P>An electronic copy of this document may be downloaded from and comments submitted through<E T="03">http://www.regulations.gov</E>. Recently published rulemaking documents can also be accessed through the FAA's web page at<E T="03">http://www.faa.gov/airports_airtraffic/air_traffic/publications/airspace_amendments/</E>.</P>

        <P>You may review the public docket containing the proposal, any comments received and any final disposition in person in the Dockets Office (see the<E T="02">ADDRESSES</E>section for address and phone number) between 9 a.m. and 5 p.m., Monday through Friday, except Federal Holidays. An informal docket may also be examined during normal business hours at the office of the Eastern Service Center, Federal Aviation Administration, room 350, 1701 Columbia Avenue, College Park, Georgia 30337.</P>
        <P>Persons interested in being placed on a mailing list for future NPRMs should contact the FAA's Office of Rulemaking, (202) 267-9677, to request a copy of Advisory circular No. 11-2A, Notice of Proposed Rulemaking distribution System, which describes the application procedure.</P>
        <HD SOURCE="HD1">The Proposal</HD>
        <P>The FAA is considering an amendment to Title 14, Code of Federal Regulations (14 CFR) part 71 to amend Class E airspace extending upward from 700 feet above the surface to support new standard instrument approach procedures developed at Orlando Executive Airport, Orlando, FL, and for continued safety and management of IFR operations at the airport.</P>
        <P>Class E airspace designations are published in Paragraph 6005, of FAA Order 7400.9V, dated August 9, 2011, and effective September 15, 2011, which is incorporated by reference in 14 CFR 71.1. The Class E airspace designation listed in this document will be published subsequently in the Order.</P>
        <P>The FAA has determined that this proposed regulation only involves an established body of technical regulations for which frequent and routine amendments are necessary to keep them operationally current. It, therefore, (1) Is not a “significant regulatory action” under Executive Order 12866; (2) is not a “significant rule” under DOT Regulatory Policies and Procedures (44 FR 11034; February 26, 1979); and (3) does not warrant preparation of a Regulatory Evaluation as the anticipated impact is so minimal. Since this is a routine matter that will only affect air traffic procedures and air navigation, it is certified that this proposed rule, when promulgated, would not have a significant economic impact on a substantial number of small entities under the criteria of the Regulatory Flexibility Act.</P>
        <P>The FAA's authority to issue rules regarding aviation safety is found in Title 49 of the United States Code. Subtitle I, Section 106 describes the authority of the FAA Administrator. Subtitle VII, Aviation Programs, describes in more detail the scope of the agency's authority. This proposed rulemaking is promulgated under the authority described in Subtitle VII, Part, A, Subpart I, Section 40103. Under that section, the FAA is charged with prescribing regulations to assign the use of airspace necessary to ensure the safety of aircraft and the efficient use of airspace. This proposed regulation is within the scope of that authority as it would amend Class E airspace at Orlando Executive Airport, Orlando, FL.</P>
        <P>This proposal will be subject to an environmental analysis in accordance with FAA Order 1050.1E, “Environmental Impacts: Policies and Procedures” prior to any FAA final regulatory action.</P>
        <LSTSUB>
          <HD SOURCE="HED">Lists of Subjects in 14 CFR Part 71</HD>
          <P>Airspace, Incorporation by reference, Navigation (air).</P>
        </LSTSUB>
        <HD SOURCE="HD1">The Proposed Amendment</HD>
        <P>In consideration of the foregoing, the Federal Aviation Administration proposes to amend 14 CFR part 71 as follows:</P>
        <PART>
          <PRTPAGE P="16784"/>
          <HD SOURCE="HED">PART 71—DESIGNATION OF CLASS A, B, C, D, AND E AIRSPACE AREAS; AIR TRAFFIC SERVICE ROUTES; AND REPORTING POINTS</HD>
          <P>1. The authority citation for part 71 continues to read as follows:</P>
          <AUTH>
            <HD SOURCE="HED">Authority:</HD>
            <P>49 U.S.C. 106(g); 40103, 40113, 40120; E.O. 10854, 24 FR 9565, 3 CFR, 1959-1963 Comp., p. 389.</P>
          </AUTH>
          <SECTION>
            <SECTNO>§ 71.1</SECTNO>
            <SUBJECT>[Amended]</SUBJECT>
            <P>2. The incorporation by reference in 14 CFR 71.1 of Federal Aviation Administration Order 7400.9V, Airspace Designations and Reporting Points, dated August 9, 2011, effective September 15, 2011, is amended as follows:</P>
            <STARS/>
            
            <EXTRACT>
              <HD SOURCE="HD2">Paragraph 6005Class E airspace areas extending upward from 700 feet or more above the surface of the earth.</HD>
              <STARS/>
              <HD SOURCE="HD1">ASO FL E5Orlando, FL [Amend]</HD>
              <FP SOURCE="FP-2">Orlando Executive Airport, FL</FP>
              <FP SOURCE="FP1-2">(Lat.28 °32′44″ N., long. 81°19′58″ W.)</FP>
              <FP SOURCE="FP-2">Orlando VORTAC</FP>
              <FP SOURCE="FP1-2">(Lat. 28°32′34″ N., long. 81°20′06″ W.)</FP>
              <FP SOURCE="FP-2">Orlando International Airport</FP>
              <FP SOURCE="FP1-2">(Lat. 28°25′44″ N., long. 81°18′57″ W.)</FP>
              <FP SOURCE="FP-2">Kissimmee Municipal Airport</FP>
              <FP SOURCE="FP1-2">(Lat. 28°17′24″ N., long. 81°26′14″ W.)</FP>
              
              <P>That airspace extending upward from 700 feet above the surface within a 7-mile radius of Orlando Executive Airport and within 3.1-miles each side of Orlando VORTAC 067° radial, extending from the 7-mile radius to 9.5-miles northeast of the VORTAC and within a 7-mile radius of Orlando International Airport and within 3 miles each side of Orlando VORTAC 176° radial extending from the 7-mile radius to 19 miles south of the VORTAC, and within a 7-mile radius of Kissimmee Municipal Airport.</P>
            </EXTRACT>
          </SECTION>
          <SIG>
            <DATED>Issued in College Park, Georgia, on March 14, 2012.</DATED>
            <NAME>Barry A. Knight,</NAME>
            <TITLE>Manager, Operations Support Group,Eastern Service Center, Air Traffic Organization.</TITLE>
          </SIG>
        </PART>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6846 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4910-13-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HEALTH AND HUMAN SERVICES</AGENCY>
        <SUBAGY>Food and Drug Administration</SUBAGY>
        <CFR>21 CFR Part 73</CFR>
        <DEPDOC>[Docket No. FDA-2012-C-0224]</DEPDOC>
        <SUBJECT>E. &amp; J. Gallo Winery; Filing of Color Additive Petition</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Food and Drug Administration, HHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Notice of petition.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Food and Drug Administration (FDA) is announcing that E. &amp; J. Gallo Winery has filed a petition proposing that the color additive regulations be amended to provide for the expanded safe use of mica-based pearlescent pigments as color additives in certain distilled spirits.</P>
        </SUM>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>
          <P>Raphael A. Davy, Center for Food Safety and Applied Nutrition (HFS-265), Food and Drug Administration, 5100 Paint Branch Pkwy., College Park, MD 20740-3835, 240-402-1272.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Under the Federal Food, Drug, and Cosmetic Act (section 721(d)(1) (21 U.S.C. 379e(d)(1))), notice is given that a color additive petition (CAP 2C0294) has been filed by E. &amp; J. Gallo Winery, c/o Keller and Heckman LLP, One Embarcadero Center, Suite 2110, San Francisco, CA 94111. The petition proposes to amend the color additive regulations in 21 CFR 73.350 to provide for the safe use of mica-based pearlescent pigments prepared from titanium dioxide and mica as color additives in distilled spirits containing not less than 18% and not more than 23% alcohol by volume but not including distilled spirits mixtures containing more that 5% wine on a proof gallon basis.</P>
        <P>The Agency has determined under 21 CFR 25.32(k) that this action is of a type that does not individually or cumulatively have a significant effect on the human environment. Therefore, neither an environmental assessment nor an environmental impact statement is required.</P>
        <SIG>
          <DATED>Dated: March 13, 2012.</DATED>
          <NAME>Francis Lin,</NAME>
          <TITLE>Acting Director, Office of Food Additive Safety, Center for Food Safety and Applied Nutrition.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6854 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 4160-01-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">DEPARTMENT OF HOMELAND SECURITY</AGENCY>
        <SUBAGY>Coast Guard</SUBAGY>
        <CFR>33 CFR Part 114, 116, 118</CFR>
        <DEPDOC>[Docket No. USCG-2008-1188]</DEPDOC>
        <RIN>RIN 1625-AB36</RIN>
        <SUBJECT>General Bridge Regulation; Amendment</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Coast Guard, DHS.</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule; withdrawal.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>The Coast Guard is withdrawing its rulemaking concerning amendments to the general bridge regulations. The rulemaking was initiated to clarify the statutory responsibilities of bridge owners to remove their bridges from navigable waterways when they are no longer being used for land transportation functions. The Coast Guard will initiate a new rulemaking on this matter when an appropriate methodology, which might include an investigation and meetings, to be used in determining whether an unused bridge is an unreasonable obstruction to navigation is developed.</P>
        </SUM>
        <DATES>
          <HD SOURCE="HED">DATES:</HD>
          <P>The proposed rule is withdrawn on March 22, 2012.</P>
        </DATES>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>

          <P>The docket for this withdrawn rulemaking is available for inspection or copying at the Docket Management Facility (M-30), U.S. Department of Transportation, West Building Ground Floor, Room W12-140, 1200 New Jersey Avenue SE., Washington, DC 20590, between 9 a.m. and 5 p.m., Monday through Friday, except Federal holidays. You may also find this docket on the Internet by going to<E T="03">http://www.regulations.gov,</E>inserting USCG-2008-1188 in the “Keyword” box, and then clicking “Search.”</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>If you have questions about this notice, call or email Mr. Chris Jaufmann, Bridge Program, U.S. Coast Guard, telephone 202-372-1511, email<E T="03">Josef.C.Jaufmann@uscg.mil.</E>If you have questions on viewing material in the docket, call Renee V. Wright, Program Manager, Docket Operations, telephone 202-366-9826.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <HD SOURCE="HD1">Background</HD>
        <P>There were no documents published in the<E T="04">Federal Register</E>for this rulemaking, but this rulemaking was announced in the Unified Agenda of Regulatory and Deregulatory Actions beginning in fall agenda 2009. The Coast Guard does not currently have regulations describing the processes of requiring alteration or removal of unused bridges. This rulemaking would have proposed making amendments to the general bridge regulations to articulate the responsibility of the bridge owner to alter or remove unused bridges, and to describe the Coast Guard processes to require alteration or removal of those bridges.</P>
        <HD SOURCE="HD1">Withdrawal</HD>

        <P>The Coast Guard is withdrawing this rulemaking in order to ascertain the appropriate due process, which might include an investigation and meetings, to be used in determining whether an<PRTPAGE P="16785"/>unused bridge is an unreasonable obstruction to navigation. The Coast Guard will initiate a new rulemaking when an appropriate methodology is developed.</P>
        <HD SOURCE="HD1">Authority</HD>
        <P>We issue this notice of withdrawal under the authority of 33 U.S.C. 494, 502, 525; Department of Homeland Security Delegation No. 0170.1.</P>
        <SIG>
          <DATED>Dated: March 9, 2012.</DATED>
          <NAME>Dana A. Goward,</NAME>
          <TITLE>Director,Maritime Transportation Systems,United States Coast Guard.</TITLE>
        </SIG>
      </SUPLINF>
      <FRDOC>[FR Doc. 2012-6861 Filed 3-21-12; 8:45 am]</FRDOC>
      <BILCOD>BILLING CODE 9110-04-P</BILCOD>
    </PRORULE>
    <PRORULE>
      <PREAMB>
        <AGENCY TYPE="N">ENVIRONMENTAL PROTECTION AGENCY</AGENCY>
        <CFR>40 CFR Part 52</CFR>
        <DEPDOC>[EPA-R10-OAR-2011-0883, FRL- 9650-4 ]</DEPDOC>
        <SUBJECT>Approval and Promulgation of Implementation Plans; Alaska: Infrastructure Requirements for the 1997 8-Hour Ozone National Ambient Air Quality Standard</SUBJECT>
        <AGY>
          <HD SOURCE="HED">AGENCY:</HD>
          <P>Environmental Protection Agency (EPA).</P>
        </AGY>
        <ACT>
          <HD SOURCE="HED">ACTION:</HD>
          <P>Proposed rule.</P>
        </ACT>
        <SUM>
          <HD SOURCE="HED">SUMMARY:</HD>
          <P>EPA is proposing to approve the State Implementation Plan (SIP) submittal from the State of Alaska to demonstrate that the SIP meets the requirements of section 110(a)(1) and (2) of the Clean Air Act (CAA) for the National Ambient Air Quality Standard (NAAQS) promulgated for ozone on July 18, 1997. EPA is proposing to find that the Alaska SIP meets the following 110(a)(2) infrastructure elements for the 1997 8-hour ozone NAAQS: (A), (B), (C), (D)(ii), (E), (F), (G), (H), (J), (K), (L), and (M). EPA is proposing to concurrently approve a number of revisions to the Alaska SIP as a necessary condition to approving the 110(a)(2) infrastructure elements for ozone. Specifically, EPA is proposing to approve revisions submitted by Alaska to update the SIP to include the ozone standard at an 8-hour averaging period, the associated federal method for measuring and monitoring ozone in ambient air, a general definition of ozone, federal Prevention of Significant Deterioration (PSD) program changes to regulate NOx as a precursor to ozone, and provisions to satisfy CAA section 128 conflict of interest disclosure requirements.</P>
        </SUM>
        <EFFDATE>
          <HD SOURCE="HED">DATES:</HD>
          <P>Comments must be received on or before April 23, 2012.</P>
        </EFFDATE>
        <ADD>
          <HD SOURCE="HED">ADDRESSES:</HD>
          <P>Submit your comments, identified by Docket ID No. EPA-R10-OAR-2011-0883, by any of the following methods:</P>
          <P>•<E T="03">www.regulations.gov:</E>Follow the on-line instructions for submitting comments.</P>
          <P>•<E T="03">Email:</E>
            <E T="03">R10-Public_Comments@epa.gov</E>
          </P>
          <P>•<E T="03">Mail:</E>Kristin Hall, EPA Region 10, Office of Air, Waste and Toxics (AWT-107), 1200 Sixth Avenue, Suite 900, Seattle, WA 98101.</P>
          <P>•<E T="03">Hand Delivery/Courier:</E>EPA Region 10, 1200 Sixth Avenue, Suite 900, Seattle, WA 98101. Attention: Kristin Hall, Office of Air, Waste and Toxics, AWT-107. Such deliveries are only accepted during normal hours of operation, and special arrangements should be made for deliveries of boxed information.</P>
          <P>
            <E T="03">Instructions:</E>Direct your comments to Docket ID No. EPA-R10-OAR-2011-0883. EPA's policy is that all comments received will be included in the public docket without change and may be made available online at<E T="03">www.regulations.gov,</E>including any personal information provided, unless the comment includes information claimed to be Confidential Business Information (CBI) or other information whose disclosure is restricted by statute. Do not submit information that you consider to be CBI or otherwise protected through<E T="03">www.regulations.gov</E>or email. The<E T="03">www.regulations.gov</E>Web site is an “anonymous access” system, which means EPA will not know your identity or contact information unless you provide it in the body of your comment. If you send an email comment directly to EPA without going through<E T="03">www.regulations.gov</E>your email address will be automatically captured and included as part of the comment that is placed in the public docket and made available on the Internet. If you submit an electronic comment, EPA recommends that you include your name and other contact information in the body of your comment and with any disk or CD-ROM you submit. If EPA cannot read your comment due to technical difficulties and cannot contact you for clarification, EPA may not be able to consider your comment. Electronic files should avoid the use of special characters, any form of encryption, and be free of any defects or viruses.</P>
          <P>
            <E T="03">Docket:</E>All documents in the docket are listed in the<E T="03">www.regulations.gov</E>index. Although listed in the index, some information is not publicly available, e.g., CBI or other information whose disclosure is restricted by statute. Certain other material, such as copyrighted material, is not placed on the Internet and will be publicly available only in hard copy. Publicly available docket materials are available either electronically in<E T="03">www.regulations.gov</E>or in hard copy during normal business hours at the Office of Air, Waste and Toxics, EPA Region 10, 1200 Sixth Avenue, Seattle, WA 98101.</P>
        </ADD>
        <FURINF>
          <HD SOURCE="HED">FOR FURTHER INFORMATION CONTACT:</HD>

          <P>Kristin Hall at telephone number: (206) 553-6357, email address:<E T="03">hall.kristin@epa.gov,</E>or the above EPA, Region 10 address.</P>
        </FURINF>
      </PREAMB>
      <SUPLINF>
        <HD SOURCE="HED">SUPPLEMENTARY INFORMATION:</HD>
        <P>Throughout this document wherever “we”, “us” or “our” are used, we mean EPA. Information is organized as follows:</P>
        <HD SOURCE="HD1">Table of Contents</HD>
        <EXTRACT>
          <FP SOURCE="FP-2">I. What action is EPA proposing?</FP>
          <FP SOURCE="FP-2">II. What is the background for the action that EPA is proposing?</FP>
          <FP SOURCE="FP-2">III. What infrastructure elements are required under CAA sections 110(a)(1) and (2)?</FP>
          <FP SOURCE="FP-2">IV. What is the scope of action on infrastructure submittals?</FP>
          <FP SOURCE="FP-2">V. What is EPA's analysis of Alaska's submittal?</FP>
          <FP SOURCE="FP-2">VI. Scope of Proposed Action</FP>
          <FP SOURCE="FP-2">VII. Proposed Action</FP>
          <FP SOURCE="FP-2">VIII. Statutory and Executive Order Reviews</FP>
        </EXTRACT>
        <HD SOURCE="HD1">I. What action is EPA proposing?</HD>
        <P>EPA is proposing to approve the State Implementation Plan (SIP) submittal from the State of Alaska to demonstrate that the SIP meets the requirements of section 110(a)(1) and (2) of the Clean Air Act (CAA) for the National Ambient Air Quality Standard (NAAQS) promulgated for ozone on July 18, 1997. EPA is proposing to find that the Alaska SIP meets the following 110(a)(2) infrastructure elements for the 1997 8-hour ozone NAAQS: (A), (B), (C), (D)(ii), (E), (F), (G), (H), (J), (K), (L), and (M).</P>

        <P>Section 110(a)(1) of the CAA requires that each state, after a new or revised NAAQS is promulgated, review their SIPs to ensure that they meet the requirements of the “infrastructure” elements of section 110(a)(2). The Alaska Department of Environmental Conservation (ADEC) submitted a SIP to EPA on March 2, 2012, certifying that Alaska's SIP meets the infrastructure obligations for the 1997 ozone NAAQS, 1997 PM<E T="52">2.5</E>NAAQS, 2006 PM<E T="52">2.5</E>NAAQS, 2008 ozone NAAQS, and 2008 lead NAAQS. The submittal included an attachment analyzing Alaska's SIP as it relates to each section of the infrastructure requirements. The state has requested parallel processing on the March 2, 2012 submittal. Under this procedure, the state submits the SIP revision to EPA before final adoption by<PRTPAGE P="16786"/>the state. EPA reviews this proposed state action and prepares a notice of proposed rulemaking. EPA publishes its notice of proposed rulemaking in the<E T="04">Federal Register</E>and solicits public comment in approximately the same time frame during which the state is completing its rulemaking action. ADEC provided a schedule to EPA for finalizing the March 2, 2012 SIP submittal, including public review, state adoption, and submittal of the final SIP package to EPA. If changes are made to the SIP submittal after this proposal, such changes will be described in EPA's final rulemaking action and, if such changes are significant, EPA may re-propose the action and provide an additional public comment period.</P>

        <P>At this time, EPA is acting on the infrastructure SIP submittal for the 110(a)(2) required elements as they relate to the 1997 8-hour ozone NAAQS. This action does not address infrastructure requirements with respect to the 1997 PM<E T="52">2.5</E>NAAQS, 2006 PM<E T="52">2.5</E>NAAQS, 2008 ozone NAAQS, and 2008 lead NAAQS which EPA intends to act on at a later time. This action also does not address the requirements of 110(a)(2)(D)(i) for the 1997 8-hour ozone NAAQS which were previously approved by EPA on October 15, 2008 (73 FR 60955).</P>

        <P>EPA is proposing to concurrently approve a number of revisions to the Alaska SIP as a necessary condition to approving the 110(a)(2) infrastructure elements for ozone. On April 9, 2010 ADEC submitted a SIP revision to EPA which includes, among other things, revisions to Alaska Administrative Code Chapter 50 “Air Quality Control” to include recent changes to the NAAQS for PM<E T="52">2.5</E>, ozone, and lead; federal reference and interpretation methods for monitoring and measuring PM<E T="52">2.5</E>, ozone and lead in ambient air; and definitions for PM<E T="52">2.5</E>and ozone. EPA is proposing to approve the portions of this SIP revision which update the Alaska SIP to include the ozone standard at an 8-hour averaging period, the associated federal method for measuring and monitoring ozone in ambient air, and a general definition of ozone. On November 19, 2010, ADEC submitted a SIP revision which, among other things, contains updates to Alaska's PSD program. EPA is proposing to concurrently approve the Alaska PSD program revisions to regulate NO<E T="52">X</E>as a precursor to ozone. On March 2, 2012, ADEC submitted the above-described infrastructure certification, in addition to state conflict of interest and financial disclosure regulations for purposes of meeting the requirements of CAA 128 and rule changes to meet federal requirements related to nitrogen dioxide, fine particulate matter and lead. In this action, EPA is proposing to approve the Alaska state conflict of interest and financial disclosure regulations as meeting the requirements of CAA section 128. EPA will act on the remainder of these SIP revisions in future actions.</P>
        <HD SOURCE="HD1">II. What is the background for the action that EPA is proposing?</HD>
        <P>On July 18, 1997, EPA promulgated a new NAAQS for ozone. EPA revised the ozone NAAQS to provide an 8-hour averaging period which replaced the previous 1-hour averaging period, and the level of the NAAQS was changed from 0.12 parts per million (ppm) to 0.08 ppm (62 FR 38856).</P>
        <P>The CAA requires SIPs meeting the requirements of sections 110(a)(1) and (2) be submitted by states within 3 years after promulgation of a new or revised standard. Sections 110(a)(1) and (2) require states to address basic SIP requirements, including emissions inventories, monitoring, and modeling to assure attainment and maintenance of the standards, so-called ”infrastructure” requirements. States were required to submit such SIPs for the 1997 8-hour ozone NAAQS to EPA no later than June 2000. However, intervening litigation over the 1997 8-hour ozone standard created uncertainty about how to proceed, and many states did not provide the required infrastructure SIP submissions for the newly promulgated standard.</P>
        <P>To help states meet this statutory requirement for the 1997 ozone NAAQS, EPA issued guidance to address infrastructure SIP elements under section 110(a)(1) and (2).<SU>1</SU>
          <FTREF/>This guidance provides that to the extent an existing SIP already meets the section 110(a)(2) requirements, states need only to certify that fact via a letter to EPA. Section 110(a) imposes the obligation upon states to make a SIP submission to EPA for a new or revised NAAQS, but the contents of that submission may vary depending upon the facts and circumstances. In particular, the data and analytical tools available at the time the state develops and submits the SIP for a new or revised NAAQS affects the content of the submission. The contents of such SIP submissions may also vary depending upon what provisions the state's federally-approved SIP already contains. In the case of the 1997 8-hour ozone NAAQS, states typically have met the basic program elements required in section 110(a)(2) through earlier SIP submissions in connection with previous ozone standards.</P>
        <FTNT>
          <P>

            <SU>1</SU>William T. Harnett, Director, Air Quality Policy Division, Office of Air Quality Planning and Standards. “Guidance on SIP Elements Required Under Sections 110(a)(1) and (2) for the 1997 8-hour Ozone and PM<E T="52">2.5</E>National Ambient Air Quality Standards.” Memorandum to EPA Air Division Directors, Regions I-X, October 2, 2007 (2007 Guidance).</P>
        </FTNT>
        <HD SOURCE="HD1">III. What infrastructure elements are required under CAA sections 110(a)(1) and (2)?</HD>
        <P>Section 110(a)(1) provides the procedural and timing requirements for SIP submissions after a new or revised NAAQS is promulgated. Section 110(a)(2) lists specific elements that states must meet for “infrastructure” SIP requirements related to a newly established or revised NAAQS. These requirements include SIP infrastructure elements such as modeling, monitoring, and emissions inventories that are designed to assure attainment and maintenance of the NAAQS. The requirements, with their corresponding CAA subsection, are listed below:</P>
        <P>• 110(a)(2)(A): Emission limits and other control measures.</P>
        <P>• 110(a)(2)(B): Ambient air quality monitoring/data system.</P>
        <P>• 110(a)(2)(C): Program for enforcement of control measures.</P>
        <P>• 110(a)(2)(D): Interstate transport.</P>
        <P>• 110(a)(2)(E): Adequate resources.</P>
        <P>• 110(a)(2)(F): Stationary source monitoring system.</P>
        <P>• 110(a)(2)(G): Emergency power.</P>
        <P>• 110(a)(2)(H): Future SIP revisions.</P>
        <P>• 110(a)(2)(I): Areas designated nonattainment and meet the applicable requirements of part D.</P>
        <P>• 110(a)(2)(J): Consultation with government officials; public notification; and Prevention of Significant Deterioration (PSD) and visibility protection.</P>
        <P>• 110(a)(2)(K): Air quality modeling/data.</P>
        <P>• 110(a)(2)(L): Permitting fees.</P>
        <P>• 110(a)(2)(M): Consultation/participation by affected local entities.</P>

        <P>EPA's 2007 guidance clarified that two elements identified in section 110(a)(2) are not governed by the 3 year submission deadline of section 110(a)(1) because SIPs incorporating necessary local nonattainment area controls are not due within 3 years after promulgation of a new or revised NAAQS, but rather are due at the time the nonattainment area plan requirements are due pursuant to CAA section 172. These requirements are: (i) Submissions required by section 110(a)(2)(C) to the extent that subsection refers to a permit program as required in part D Title I of the CAA, and (ii) submissions required by section 110(a)(2)(I) which pertain to the<PRTPAGE P="16787"/>nonattainment planning requirements of part D, Title I of the CAA. As a result, this action does not address infrastructure elements related to section 110(a)(2)(C) with respect to nonattainment new source review (NSR) or 110(a)(2)(I).</P>
        <P>This action also does not address the requirements of 110(a)(2)(D)(i) for the 1997 8-hour ozone NAAQS which was approved by EPA on October 15, 2008 (73 FR 60955). Furthermore, EPA interprets the section 110(a)(2)(J) provision on visibility as not being triggered by a new NAAQS because the visibility requirements in part C are not changed by a new NAAQS.</P>
        <HD SOURCE="HD1">IV. What is the scope of action on infrastructure submittals?</HD>

        <P>EPA is currently acting upon SIPs that address the infrastructure requirements of CAA section 110(a)(1) and (2) for ozone and PM<E T="52">2.5</E>NAAQS for various states across the country. Commenters on EPA's recent proposals for some states raised concerns about EPA statements that it was not addressing certain substantive issues in the context of acting on those infrastructure SIP submissions.<SU>2</SU>
          <FTREF/>The commenters specifically raised concerns involving provisions in existing SIPs and with EPA's statements in other proposals that it would address two issues separately and not as part of actions on the infrastructure SIP submissions: (i) Existing provisions related to excess emissions during periods of start-up, shutdown, or malfunction at sources, that may be contrary to the CAA and EPA's policies addressing such excess emissions (“SSM”); and (ii) existing provisions related to “director's variance” or “director's discretion” that purport to permit revisions to SIP approved emissions limits with limited public process or without requiring further approval by EPA, that may be contrary to the CAA (“director's discretion”). EPA notes that there are two other substantive issues for which EPA likewise stated in other proposals that it would address the issues separately: (i) Existing provisions for minor source new source review programs that may be inconsistent with the requirements of the CAA and EPA's regulations that pertain to such programs (“minor source NSR”); and (ii) existing provisions for Prevention of Significant Deterioration programs that may be inconsistent with current requirements of EPA's “Final NSR Improvement Rule,” 67 FR 80,186 (December 31, 2002), as amended by 72 FR 32,526 (June 13, 2007) (“NSR Reform”). In light of the comments, EPA believes that its statements in various proposed actions on infrastructure SIPs with respect to these four individual issues should be explained in greater depth. It is important to emphasize that EPA is taking the same position with respect to these four substantive issues in this action on the infrastructure SIP for the 1997 8-hour ozone NAAQS submittal from Alaska.</P>
        <FTNT>
          <P>
            <SU>2</SU>See, Comments of Midwest Environmental Defense Center, dated May 31, 2011. Docket #EPA-R05-OAR-2007-1179 (adverse comments on proposals for three states in Region 5). EPA notes that these public comments on another proposal are not relevant to this rulemaking and do not have to be directly addressed in this rulemaking. EPA will respond to these comments in the appropriate rulemaking action to which they apply.</P>
        </FTNT>

        <P>EPA intended the statements in the other proposals concerning these four issues merely to be informational, and to provide general notice of the potential existence of provisions within the existing SIPs of some states that might require future corrective action. EPA did not want states, regulated entities, or members of the public to be under the misconception that the Agency's approval of the infrastructure SIP submission of a given state should be interpreted as a reapproval of certain types of provisions that might exist buried in the larger existing SIP for such state. Thus, for example, EPA explicitly noted that the Agency believes that some states may have existing SIP approved SSM provisions that are contrary to the CAA and EPA policy, but that “in this rulemaking, EPA is not proposing to approve or disapprove any existing State provisions with regard to excess emissions during SSM of operations at facilities.” EPA further explained, for informational purposes, that “EPA plans to address such State regulations in the future.” EPA made similar statements, for similar reasons, with respect to the director's discretion, minor source NSR, and NSR Reform issues. EPA's objective was to make clear that approval of an infrastructure SIP for these ozone and PM<E T="52">2.5</E>NAAQS should not be construed as explicit or implicit reapproval of any existing provisions that relate to these four substantive issues. EPA is reiterating that position in this action on the 1997 8-hour ozone infrastructure SIP for Alaska.</P>
        <P>Unfortunately, the commenters and others evidently interpreted these statements to mean that EPA considered action upon the SSM provisions and the other three substantive issues to be integral parts of acting on an infrastructure SIP submission, and therefore that EPA was merely postponing taking final action on the issues in the context of the infrastructure SIPs. This was not EPA's intention. To the contrary, EPA only meant to convey its awareness of the potential for certain types of deficiencies in existing SIPs, and to prevent any misunderstanding that it was reapproving any such existing provisions. EPA's intention was to convey its position that the statute does not require that infrastructure SIPs address these specific substantive issues in existing SIPs and that these issues may be dealt with separately, outside the context of acting on the infrastructure SIP submission of a state. To be clear, EPA did not mean to imply that it was not taking a full final agency action on the infrastructure SIP submission with respect to any substantive issue that EPA considers to be a required part of acting on such submissions under section 110(k) or under section 110(c). Given the confusion evidently resulting from EPA's statements in those other proposals, however, we want to explain more fully the Agency's reasons for concluding that these four potential substantive issues in existing SIPs may be addressed separately from actions on infrastructure SIP submissions.</P>

        <P>The requirement for the SIP submissions at issue arises out of CAA section 110(a)(1). That provision requires that states must make a SIP submission “within 3 years (or such shorter period as the Administrator may prescribe) after the promulgation of a national primary ambient air quality standard (or any revision thereof)” and that these SIPs are to provide for the “implementation, maintenance, and enforcement” of such NAAQS. Section 110(a)(2) includes a list of specific elements that “[e]ach such plan” submission must meet. EPA has historically referred to these particular submissions that states must make after the promulgation of a new or revised NAAQS as “infrastructure SIPs.” This specific term does not appear in the statute, but EPA uses the term to distinguish this particular type of SIP submission designed to address basic structural requirements of a SIP from other types of SIP submissions designed to address other different requirements, such as “nonattainment SIP” submissions required to address the nonattainment planning requirements of part D, “regional haze SIP” submissions required to address the visibility protection requirements of CAA section 169A, new source review permitting program submissions required to address the requirements of part D, and a host of other specific types of SIP<PRTPAGE P="16788"/>submissions that address other specific matters.</P>
        <P>Although section 110(a)(1) addresses the timing and general requirements for these infrastructure SIPs, and section 110(a)(2) provides more details concerning the required contents of these infrastructure SIPs, EPA believes that many of the specific statutory provisions are facially ambiguous. In particular, the list of required elements provided in section 110(a)(2) contains a wide variety of disparate provisions, some of which pertain to required legal authority, some of which pertain to required substantive provisions, and some of which pertain to requirements for both authority and substantive provisions.<SU>3</SU>
          <FTREF/>Some of the elements of section 110(a)(2) are relatively straightforward, but others clearly require interpretation by EPA through rulemaking, or recommendations through guidance, in order to give specific meaning for a particular NAAQS.<SU>4</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>3</SU>For example, section 110(a)(2)(E) provides that states must provide assurances that they have adequate legal authority under state and local law to carry out the SIP; section 110(a)(2)(C) provides that states must have a substantive program to address certain sources as required by part C of the CAA; section 110(a)(2)(G) provides that states must have both legal authority to address emergencies and substantive contingency plans in the event of such an emergency.</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>4</SU>For example, section 110(a)(2)(D)(i) requires EPA to be sure that each state's SIP contains adequate provisions to prevent significant contribution to nonattainment of the NAAQS in other states. This provision contains numerous terms that require substantial rulemaking by EPA in order to determine such basic points as what constitutes significant contribution. See, e.g., “Rule To Reduce Interstate Transport of Fine Particulate Matter and Ozone (Clean Air Interstate Rule); Revisions to Acid Rain Program; Revisions to the NO<E T="52">X</E>SIP Call; Final Rule,” 70 FR 25,162 (May 12, 2005)(defining, among other things, the phrase “contribute significantly to nonattainment”).</P>
        </FTNT>
        <P>Notwithstanding that section 110(a)(2) provides that “each” SIP submission must meet the list of requirements therein, EPA has long noted that this literal reading of the statute is internally inconsistent, insofar as section 110(a)(2)(I) pertains to nonattainment SIP requirements that could not be met on the schedule provided for these SIP submissions in section 110(a)(1).<SU>5</SU>
          <FTREF/>This illustrates that EPA must determine which provisions of section 110(a)(2) may be applicable for a given infrastructure SIP submission. Similarly, EPA has previously decided that it could take action on different parts of the larger, general “infrastructure SIP” for a given NAAQS without concurrent action on all subsections, such as section 110(a)(2)(D)(i), because the Agency bifurcated the action on these latter “interstate transport” provisions within section 110(a)(2) and worked with states to address each of the four prongs of section 110(a)(2)(D)(i) with substantive administrative actions proceeding on different tracks with different schedules.<SU>6</SU>
          <FTREF/>This illustrates that EPA may conclude that subdividing the applicable requirements of section 110(a)(2) into separate SIP actions may sometimes be appropriate for a given NAAQS where a specific substantive action is necessitated, beyond a mere submission addressing basic structural aspects of the state's SIP. Finally, EPA notes that not every element of section 110(a)(2) would be relevant, or as relevant, or relevant in the same way, for each new or revised NAAQS and the attendant infrastructure SIP submission for that NAAQS. For example, the monitoring requirements that might be necessary for purposes of section 110(a)(2)(B) for one NAAQS could be very different than what might be necessary for a different pollutant. Thus, the content of an infrastructure SIP submission to meet this element from a state might be very different for an entirely new NAAQS, versus a minor revision to an existing NAAQS.<SU>7</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>5</SU>See, e.g.,<E T="03">Id.,</E>70 FR 25,162, at 63-65 (May 12, 2005)(explaining relationship between timing requirement of section 110(a)(2)(D) versus section 110(a)(2)(I)).</P>
        </FTNT>
        <FTNT>
          <P>

            <SU>6</SU>EPA issued separate guidance to states with respect to SIP submissions to meet section 110(a)(2)(D)(i) for the 1997 ozone and 1997 PM<E T="52">2.5</E>NAAQS. See, “Guidance for State Implementation Plan (SIP) Submissions to Meet Current Outstanding Obligations Under Section 110(a)(2)(D)(i) for the 8-Hour Ozone and PM<E T="52">2.5</E>National Ambient Air Quality Standards,” from William T. Harnett, Director Air Quality Policy Division OAQPS, to Regional Air Division Director, Regions I-X, dated August 15, 2006.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>7</SU>For example, implementation of the 1997 PM<E T="03">2.5</E>NAAQS required the deployment of a system of new monitors to measure ambient levels of that new indicator species for the new NAAQS.</P>
        </FTNT>

        <P>Similarly, EPA notes that other types of SIP submissions required under the statute also must meet the requirements of section 110(a)(2), and this also demonstrates the need to identify the applicable elements for other SIP submissions. For example, nonattainment SIPs required by part D likewise have to meet the relevant subsections of section 110(a)(2) such as section 110(a)(2)(A) or (E). By contrast, it is clear that nonattainment SIPs would not need to meet the portion of section 110(a)(2)(C) that pertains to part C,<E T="03">i.e.,</E>the PSD requirements applicable in attainment areas. Nonattainment SIPs required by part D also would not need to address the requirements of section 110(a)(2)(G) with respect to emergency episodes, as such requirements would not be limited to nonattainment areas. As this example illustrates, each type of SIP submission may implicate some subsections of section 110(a)(2) and not others.</P>

        <P>Given the potential for ambiguity of the statutory language of section 110(a)(1) and (2), EPA believes that it is appropriate for EPA to interpret that language in the context of acting on the infrastructure SIPs for a given NAAQS. Because of the inherent ambiguity of the list of requirements in section 110(a)(2), EPA has adopted an approach in which it reviews infrastructure SIPs against this list of elements “as applicable.” In other words, EPA assumes that Congress could not have intended that each and every SIP submission, regardless of the purpose of the submission or the NAAQS in question, would meet each of the requirements, or meet each of them in the same way. EPA elected to use guidance to make recommendations for infrastructure SIPs for these ozone and PM<E T="52">2.5</E>NAAQS.</P>

        <P>EPA's 2007 Guidance provided recommendations for the infrastructure SIP submissions for both the 1997 8-hour ozone NAAQS and the 1997 PM<E T="52">2.5</E>NAAQS. Within this guidance document, EPA described the duty of states to make these submissions to meet what the Agency characterized as the “infrastructure” elements for SIPs, which it further described as the “basic SIP requirements, including emissions inventories, monitoring, and modeling to assure attainment and maintenance of the standards.”<SU>8</SU>
          <FTREF/>As further identification of these basic structural SIP requirements, “attachment A” to the guidance document included a short description of the various elements of section 110(a)(2) and additional information about the types of issues that EPA considered germane in the context of such infrastructure SIPs. EPA emphasized that the description of the basic requirements listed on attachment A was not intended “to constitute an interpretation of” the requirements, and was merely a “brief description of the required elements.”<SU>9</SU>
          <FTREF/>EPA also stated its belief that with one exception, these requirements were “relatively self explanatory, and past experience with SIPs for other NAAQS should enable States to meet these requirements with assistance from EPA Regions.”<SU>10</SU>
          <FTREF/>For the<PRTPAGE P="16789"/>one exception to that general assumption, however,<E T="03">i.e.,</E>how states should proceed with respect to the requirements of section 110(a)(2)(G) for the 1997 PM<E T="52">2.5</E>NAAQS, EPA gave much more specific recommendations. But for other infrastructure SIP submittals, and for certain elements of the submittals for the 1997 PM<E T="52">2.5</E>NAAQS, EPA assumed that each State would work with its corresponding EPA regional office to refine the scope of a State's submittal based on an assessment of how the requirements of section 110(a)(2) should reasonably apply to the basic structure of the State's SIP for the NAAQS in question.</P>
        <FTNT>
          <P>
            <SU>8</SU>
            <E T="03">Id.,</E>at page 2.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>9</SU>
            <E T="03">Id.,</E>at attachment A, page 1.</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>10</SU>
            <E T="03">Id.,</E>at page 4. In retrospect, the concerns raised by commenters with respect to EPA's approach to some substantive issues indicates that the statute is not so “self explanatory,” and indeed is sufficiently ambiguous that EPA needs to interpret it in order to explain why these substantive issues do not need to be addressed in the context of infrastructure SIPs and may be addressed at other times and by other means.</P>
        </FTNT>

        <P>On September 25, 2009, EPA issued guidance to make recommendations to states with respect to the infrastructure SIPs for the 2006 PM<E T="52">2.5</E>NAAQS.<SU>11</SU>

          <FTREF/>In the 2009 Guidance, EPA addressed a number of additional issues that were not germane to the infrastructure SIPs for the 1997 8-hour ozone and 1997 PM<E T="52">2.5</E>NAAQS, but were germane to these SIP submissions for the 2006 PM<E T="52">2.5</E>NAAQS, e.g., the requirements of section 110(a)(2)(D)(i) that EPA had bifurcated from the other infrastructure elements for those specific 1997 ozone and PM<E T="52">2.5</E>NAAQS. Significantly, neither the 2007 Guidance nor the 2009 Guidance explicitly referred to the SSM, director's discretion, minor source NSR, or NSR Reform issues as among specific substantive issues EPA expected states to address in the context of the infrastructure SIPs, nor did EPA give any more specific recommendations with respect to how states might address such issues even if they elected to do so. The SSM and director's discretion issues implicate section 110(a)(2)(A), and the minor source NSR and NSR Reform issues implicate section 110(a)(2)(C). In the 2007 Guidance and the 2009 Guidance, however, EPA did not indicate to states that it intended to interpret these provisions as requiring a substantive submission to address these specific issues in existing SIP provisions in the context of the infrastructure SIPs for these NAAQS. Instead, EPA's 2007 Guidance merely indicated its belief that the states should make submissions in which they established that they have the basic SIP structure necessary to implement, maintain, and enforce the NAAQS. EPA believes that states can establish that they have the basic SIP structure, notwithstanding that there may be potential deficiencies within the existing SIP. Thus, EPA's proposals for other states mentioned these issues not because the Agency considers them issues that must be addressed in the context of an infrastructure SIP as required by section 110(a)(1) and (2), but rather because EPA wanted to be clear that it considers these potential existing SIP problems as separate from the pending infrastructure SIP actions. The same holds true for this action on the 1997 8-hour ozone infrastructure SIP for Alaska.</P>
        <FTNT>
          <P>

            <SU>11</SU>See, “Guidance on SIP Elements Required Under Sections 110(a)(1) and (2) for the 2006 24-Hour Fine Particle (PM<E T="52">2.5</E>) National Ambient Air Quality Standards (NAAQS),” from William T, Harnett, Director Air Quality Policy Division, to Regional Air Division Directors, Regions I-X, dated September 25, 2009 (the “2009 Guidance”).</P>
        </FTNT>

        <P>EPA believes that this approach to the infrastructure SIP requirement is reasonable, because it would not be feasible to read section 110(a)(1) and (2) to require a top to bottom, stem to stern, review of each and every provision of an existing SIP merely for purposes of assuring that the state in question has the basic structural elements for a functioning SIP for a new or revised NAAQS. Because SIPs have grown by accretion over the decades as statutory and regulatory requirements under the CAA have evolved, they may include some outmoded provisions and historical artifacts that, while not fully up to date, nevertheless may not pose a significant problem for the purposes of “implementation, maintenance, and enforcement” of a new or revised NAAQS when EPA considers the overall effectiveness of the SIP. To the contrary, EPA believes that a better approach is for EPA to determine which specific SIP elements from section 110(a)(2) are applicable to an infrastructure SIP for a given NAAQS, and to focus attention on those elements that are most likely to need a specific SIP revision in light of the new or revised NAAQS. Thus, for example, EPA's 2007 Guidance specifically directed states to focus on the requirements of section 110(a)(2)(G) for the 1997 PM<E T="52">2.5</E>NAAQS because of the absence of underlying EPA regulations for emergency episodes for this NAAQS and an anticipated absence of relevant provisions in existing SIPs.</P>
        <P>Finally, EPA believes that its approach is a reasonable reading of section 110(a)(1) and (2) because the statute provides other avenues and mechanisms to address specific substantive deficiencies in existing SIPs. These other statutory tools allow the Agency to take appropriate tailored action, depending upon the nature and severity of the alleged SIP deficiency. Section 110(k)(5) authorizes EPA to issue a “SIP call” whenever the Agency determines that a state's SIP is substantially inadequate to attain or maintain the NAAQS, to mitigate interstate transport, or otherwise to comply with the CAA.<SU>12</SU>
          <FTREF/>Section 110(k)(6) authorizes EPA to correct errors in past actions, such as past approvals of SIP submissions.<SU>13</SU>
          <FTREF/>Significantly, EPA's determination that an action on the infrastructure SIP is not the appropriate time and place to address all potential existing SIP problems does not preclude the Agency's subsequent reliance on provisions in section 110(a)(2) as part of the basis for action at a later time. For example, although it may not be appropriate to require a state to eliminate all existing inappropriate director's discretion provisions in the course of acting on the infrastructure SIP, EPA believes that section 110(a)(2)(A) may be among the statutory bases that the Agency cites in the course of addressing the issue in a subsequent action.<SU>14</SU>
          <FTREF/>
        </P>
        <FTNT>
          <P>
            <SU>12</SU>EPA has recently issued a SIP call to rectify a specific SIP deficiency related to the SSM issue. See, “Finding of Substantial Inadequacy of Implementation Plan; Call for Utah State Implementation Plan Revision,” 74 FR 21,639 (April 18, 2011).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>13</SU>EPA has recently utilized this authority to correct errors in past actions on SIP submissions related to PSD programs. See, “Limitation of Approval of Prevention of Significant Deterioration Provisions Concerning Greenhouse Gas Emitting-Sources in State Implementation Plans; Final Rule,” 75 FR 82,536 (Dec. 30, 2010). EPA has previously used its authority under CAA 110(k)(6) to remove numerous other SIP provisions that the Agency determined it had approved in error. See, e.g., 61 FR 38,664 (July 25, 1996) and 62 FR 34,641 (June 27, 1997) (corrections to American Samoa, Arizona, California, Hawaii, and Nevada SIPs); 69 FR 67,062 (November 16, 2004) (corrections to California SIP); and 74 FR 57,051 (November 3, 2009) (corrections to Arizona and Nevada SIPs).</P>
        </FTNT>
        <FTNT>
          <P>
            <SU>14</SU>EPA has recently disapproved a SIP submission from Colorado on the grounds that it would have included a director's discretion provision inconsistent with CAA requirements, including section 110(a)(2)(A). See, e.g., 75 FR 42,342 at 42,344 (July 21,2010)(proposed disapproval of director's discretion provisions); 76 FR 4,540 (Jan. 26, 2011)(final disapproval of such provisions).</P>
        </FTNT>
        <HD SOURCE="HD1">V. What is EPA's analysis of Alaska's submittal?</HD>
        <HD SOURCE="HD2">110(a)(2)(A): Emission Limits and Other Control Measures</HD>
        <P>Section 110(a)(2)(A) requires SIPs to include enforceable emission limits and other control measures, means or techniques, schedules for compliance and other related matters. EPA notes that the specific nonattainment area plan requirements of Section 110(a)(2)(I) are subject to the timing requirement of Section 172, not the timing requirement of Section 110(a)(1).</P>
        <P>
          <E T="03">Alaska's submittal:</E>Alaska's SIP submittal cites an overview of the Alaska environmental and air quality laws found at AS 46.03 and AS 46.14 and regulations found at AAC Title 18 Environmental Conservation, Chapter<PRTPAGE P="16790"/>50 Air Quality Control. The regulations include statewide ambient air quality standards, major and minor permits, transportation conformity and fees, among others. A detailed discussion of the relevant laws and regulations can be found in the technical support document (TSD) in the docket for this action.</P>
        <P>
          <E T="03">EPA analysis:</E>Alaska's SIP meets the requirements of section 110(a)(2)(A) for the 1997 8-hour ozone NAAQS, subject to the following clarifications. First, this infrastructure element does not require the submittal of regulations or emission limitations developed specifically for attaining the 1997 ozone NAAQS. Furthermore, Alaska has no areas designated nonattainment for the 1997 8-hour ozone NAAQS. As a result, Alaska primarily regulates emissions of ozone and its precursors through its SIP-approved major and minor source permitting programs.</P>
        <P>The current federally-approved Alaska ambient air quality standards rule at 18 AAC 50.010 contains the previously promulgated one-hour ozone standard, but not the 1997 ozone standard at an 8-hour averaging period. Alaska submitted a SIP revision to EPA on April 9, 2010, which includes a number of updates to incorporate recent federal ozone regulatory changes. The SIP revision updates Alaska's ambient air quality standards at 18 AAC 50.010 to include the 2008 ozone standard of 0.075 ppm at an 8-hour averaging period. This revision inherently satisfies the requirements for the 1997 8-hour ozone NAAQS because the 2008 8-hour ozone NAAQS of 0.075 ppm is more stringent than the 1997 8-hour ozone NAAQS of 0.080 ppm. The SIP revision also adds a basic definition of ozone at 18 AAC 50.990(129). In addition, the April 9, 2010, SIP revision revises the lead-in language of 18 AAC 50.010 to reference analytical methods adopted by reference at 18 AAC 50.035. The SIP revision then incorporates by reference these analytical methods (40 CFR part 50, appendix P: Interpretation of the Primary and Secondary National Ambient Air Quality Standards for Ozone) at 18 AAC 50.035(b)(1) and adds a reference to 40 CFR part 50 appendix P at 18 AAC 50.215(a)(2). EPA is proposing to approve these portions of the April 9, 2010, SIP revision in order to update Alaska's SIP to reflect the most recent changes to the ozone NAAQS and related analytical methods. EPA is also proposing to concurrently approve Alaska's SIP as meeting the requirements of section 110(a)(2)(A) for the 1997 8-hour ozone NAAQS.</P>
        <P>In this action, EPA is not proposing to approve or disapprove any existing state provisions with regard to excess emissions during startup, shutdown, or malfunction (SSM) of operations at a facility. EPA believes that a number of states may have SSM provisions that are contrary to the Clean Air Act and existing EPA guidance<SU>15</SU>
          <FTREF/>and the Agency plans to address such state regulations in the future. In the meantime, EPA encourages any state having a deficient SSM provision to take steps to correct it as soon as possible.</P>
        <FTNT>
          <P>
            <SU>15</SU>Steven Herman, Assistant Administrator for Enforcement and Compliance Assurance, and Robert Perciasepe, Assistant Administrator for Air and Radiation. “State Implementation Plans (SIPs): Policy Regarding Excess Emissions During Malfunctions, Startup, and Shutdown.” Memorandum to EPA Air Division Directors, August 11, 1999.</P>
        </FTNT>
        <P>In this action, EPA is not proposing to approve or disapprove any existing state rules with regard to director's discretion or variance provisions. EPA believes that a number of states may have such provisions that are contrary to the Clean Air Act and existing EPA guidance (52 FR 45109), November 24, 1987, and the Agency plans to take action in the future to address such state regulations. In the meantime, EPA encourages any state having a director's discretion or variance provision that is contrary to the Clean Air Act and EPA guidance to take steps to correct the deficiency as soon as possible.</P>
        <HD SOURCE="HD2">110(a)(2)(B): Ambient Air Quality Monitoring/Data System</HD>
        <P>Section 110(a)(2)(B) requires SIPs to include provisions to provide for establishment and operation of ambient air quality monitors, collecting and analyzing ambient air quality data, and making these data available to EPA upon request.</P>
        <P>
          <E T="03">Alaska's submittal:</E>Alaska's SIP submittal references Alaska statutory and regulatory authority to conduct ambient air monitoring investigations relevant to the ozone NAAQS. The submittal also describes Memoranda of Understanding between ADEC and the Municipality of Anchorage (MOA) and Fairbanks North Star Borough (FNSB) to operate air quality control programs in their respective jurisdictions. ADEC's Air Non-Point Mobile Source Program and Air Monitoring &amp; Quality Assurance Program work with MOA and FNSB to prepare Alaska's annual ambient air monitoring network plan, the most recent of which is the 2011 Alaska Air Monitoring Network Plan at<E T="03">http://www.dec.state.ak.us/air/am/index.htm.</E>There are no nonattainment areas for 1997 8-hour ozone standard in Alaska. ADEC has recently implemented monitoring for ozone in the Anchorage area, as outlined in the above-referenced monitoring network plan.</P>

        <P>Alaska's SIP submittal states that Alaska collects and validates State and Local Air Monitoring Stations and Special Purpose Monitoring ambient air quality monitoring data and reports the data to EPA through the Air Quality System (AQS) on a quarterly basis. The submittal notes that ADEC's revised “Quality Assurance Project Plan for the State of Alaska Air Monitoring and Quality Assurance Program” can be found at<E T="03">http://www.dec.state.ak.us/air/doc/ADEC_AMQA_QAPP_23FEB10-final.pdf.</E>
        </P>
        <P>
          <E T="03">EPA analysis:</E>A comprehensive air quality monitoring plan, intended to meet requirements of 40 CFR part 58 was submitted by Alaska to EPA on January 18, 1980 (40 CFR 52.70) and approved by EPA on April 15, 1981. This air quality monitoring plan has been subsequently updated and submitted to EPA. The most recent plan is dated July 1, 2011, and was approved by EPA on October 5, 2011. This plan includes, among other things, the locations for ozone monitoring. The plan is available for public review at<E T="03">http://www.dec.state.ak.us/air/am/index.htm.</E>
        </P>
        <P>As discussed above, Alaska submitted a SIP revision to EPA on April 9, 2010, which includes, among other things, the incorporation by reference of 40 CFR part 50, appendix P: Interpretation of the Primary and Secondary National Ambient Air Quality Standards for Ozone. EPA is proposing to approve the incorporation by reference of these analytical methods for ozone. Based on the foregoing, EPA is proposing to approve the Alaska SIP as meeting the requirements of CAA Section 110(a)(2)(B) for the 1997 8-hour ozone NAAQS.</P>
        <HD SOURCE="HD2">110(a)(2)(C): Program for Enforcement of Control Measures</HD>
        <P>Section 110(a)(2)(C) requires states to include a program providing for enforcement of all SIP measures and the regulation of construction of new or modified stationary sources, including a program to meet PSD and nonattainment NSR requirements.</P>
        <P>
          <E T="03">Alaska's submittal:</E>Alaska's SIP submittal refers to ADEC's statutory authority to regulate stationary sources via an air permitting program established in AS 46.14 Air Quality Control, Article 01 General Regulations and Classifications and Article 02 Emission Control Permit Program. In addition, Alaska's SIP submittal states that a violation of these prohibitions or any permit condition can result in civil actions, administrative penalties, or<PRTPAGE P="16791"/>criminal penalties. In addition, Alaska's SIP submittal refers to regulations pertaining to compliance orders and enforcement proceedings found in 18 AAC Chapter 95 Administrative Enforcement. Please see the TSD in the docket for this action for a detailed description.</P>
        <P>
          <E T="03">EPA analysis:</E>As discussed above, EPA is not evaluating nonattainment related provisions in this action, such as the nonattainment NSR program required by part D of the CAA. In addition, Alaska has no nonattainment areas for the 1997 ozone NAAQS. EPA believes the cited Alaska SIP-approved provisions provide ADEC with the authority to enforce air quality regulations, permits, and orders promulgated pursuant to AS 46.03 and AS 46.14. ADEC staffs and maintains an enforcement program to ensure compliance with SIP requirements. ADEC has emergency order authority when there is an imminent or present danger to health or welfare or potential for irreversible or irreparable damage to natural resources or environment. Enforcement cases may be referred to the State Department of Law. Therefore, EPA is proposing to approve the Alaska SIP as meeting the requirements of section 110(a)(2)(C) relating to enforcement for the 1997 8-hour ozone NAAQS.</P>
        <P>EPA believes Alaska's PSD program generally meets the requirements for the 1997 8-hour ozone standard, with the exception discussed below. EPA recently approved changes to Alaska's PSD program on February 9, 2011, to reflect changes to the federal PSD program relating to the permitting of greenhouse gas emissions (76 FR 7116). Prior to that, EPA approved revisions to Alaska's PSD program on August 14, 2007 (72 FR 45378). However, in order for Alaska's SIP-approved PSD program to satisfy the requirements of section 110(a)(2)(C) for the 1997 ozone NAAQS, the program must also properly regulate nitrogen oxides as a precursor to ozone. On November 29, 2005, EPA promulgated the phase 2 implementation rule for the 1997 ozone NAAQS, which includes requirements for PSD programs to treat nitrogen oxides as a precursor to ozone (72 FR 71612). The phase 2 implementation rule accordingly updated the regulations at 40 CFR 51.166 and 40 CFR 52.21 to meet these requirements, effective January 30, 2006. This effective date is after the July 1, 2004 date of incorporation by reference of 40 CFR 51.166 and 40 CFR 52.21 by the current federally-approved Alaska SIP. In other words, Alaska's current federally-approved PSD program does not meet the requirements of the phase 2 ozone implementation rule.</P>
        <P>On November 19, 2010, Alaska submitted a SIP revision that includes, among other things, updates to the state's incorporate by reference dates of federal PSD regulations. Specifically, the SIP revision updates the Alaska SIP to incorporate by reference revised federal definitions of several terms referenced by the Alaska PSD program including “major stationary source,” “major modification,” “significant” and “regulated NSR pollutant.” As a result of this updated incorporation by reference, Alaska's federally-approved PSD program will meet the requirement to regulate NOx as a precursor to ozone. Therefore, EPA is proposing to approve the portion of Alaska's November 19, 2010, SIP revision that updates the incorporation by reference dates for 40 CFR 51.166 and 40 CFR part 52 as revised as of August 2, 2010, at 18 AAC 50.040(h) for purposes of the four definitions listed above. EPA is also proposing to approve the parts of 18 AAC 50.990 which also reference these federal definitions: 18 AAC 50.990(52) “major stationary source,” 18 AAC 50.990(53) “major modification,” and 18 AAC 50.990(92) “regulated NSR pollutant.” As a result, EPA is proposing to approve the Alaska SIP as meeting the requirements of 110(a)(2)(C) as they relate to PSD for the 1997 8-hour ozone standard, conditioned upon the approval of the SIP revisions pertaining to the PSD definitions identified above.</P>
        <P>EPA is also proposing to approve Alaska's SIP for the 1997 8-hour ozone NAAQS with respect to the general requirement in section 110(a)(2)(C) to include a program in the SIP that regulates the modification and construction of any stationary source as necessary to assure that the NAAQS are achieved. In this action, EPA is not proposing to approve or disapprove any state rules with regard to NSR Reform requirements for major sources. EPA most recently approved changes to Alaska's NSR program, including NSR Reform, on August 14, 2007 (72 FR 45378).</P>
        <P>Alaska's SIP-approved minor NSR program adopted pursuant to section 110(a)(2)(C) of the Act regulates ozone and its precursors. In this action, EPA is not proposing to approve or disapprove the state's existing minor NSR program itself to the extent that it is inconsistent with EPA's regulations governing this program. EPA believes that a number of states may have minor NSR provisions that are contrary to the existing EPA regulations for this program. EPA intends to work with states to reconcile state minor NSR programs with EPA's regulatory provisions for the program. The statutory requirements of section 110(a)(2)(C) provide for considerable flexibility in designing minor NSR programs, and EPA believes it may be time to revisit the regulatory requirements for this program to give the states an appropriate level of flexibility to design a program that meets their particular air quality concerns, while assuring reasonable consistency across the country in protecting the NAAQS with respect to new and modified minor sources. Based on the above analysis, EPA is proposing to approve the Alaska SIP as meeting the requirements of CAA Section 110(a)(2)(C)