[Title 36 CFR ]
[Code of Federal Regulations (annual edition) - July 1, 2012 Edition]
[From the U.S. Government Printing Office]
[[Page i]]
Title 36
Parks, Forests, and Public Property
________________________
Parts 200 to 299
Revised as of July 1, 2012
Containing a codification of documents of general
applicability and future effect
As of July 1, 2012
Published by the Office of the Federal Register
National Archives and Records Administration as a
Special Edition of the Federal Register
[[Page ii]]
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[[Page iii]]
Table of Contents
Page
Explanation................................................. v
Title 36:
Chapter II--Forest Service, Department of
Agriculture 3
Finding Aids:
Table of CFR Titles and Chapters........................ 501
Alphabetical List of Agencies Appearing in the CFR...... 521
List of CFR Sections Affected........................... 531
[[Page iv]]
----------------------------
Cite this Code: CFR
To cite the regulations in
this volume use title,
part and section number.
Thus, 36 CFR 200.1 refers
to title 36, part 200,
section 1.
----------------------------
[[Page v]]
EXPLANATION
The Code of Federal Regulations is a codification of the general and
permanent rules published in the Federal Register by the Executive
departments and agencies of the Federal Government. The Code is divided
into 50 titles which represent broad areas subject to Federal
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parts covering specific regulatory areas.
Each volume of the Code is revised at least once each calendar year
and issued on a quarterly basis approximately as follows:
Title 1 through Title 16.................................as of January 1
Title 17 through Title 27..................................as of April 1
Title 28 through Title 41...................................as of July 1
Title 42 through Title 50................................as of October 1
The appropriate revision date is printed on the cover of each
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OMB CONTROL NUMBERS
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collection request.
[[Page vi]]
Many agencies have begun publishing numerous OMB control numbers as
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CFR INDEXES AND TABULAR GUIDES
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[[Page vii]]
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Director,
Office of the Federal Register.
July 1, 2012.
[[Page ix]]
THIS TITLE
Title 36--Parks, Forests, and Public Property is composed of three
volumes. The parts in these volumes are arranged in the following order:
Parts 1--199, parts 200--299, and part 300 to end. The contents of these
volumes represent all current regulations codified under this title of
the CFR as of July 1, 2012.
For this volume, Bonnie Fritts was Chief Editor. The Code of Federal
Regulations publication program is under the direction of Michael L.
White, assisted by Ann Worley.
[[Page 1]]
TITLE 36--PARKS, FORESTS, AND PUBLIC PROPERTY
(This book contains parts 200 to 299)
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Part
chapter ii--Forest Service, Department of Agriculture....... 200
Abbreviations Used in This Chapter:
A.O. = Administrative order. P.L.O. = Public Land order.
[[Page 3]]
CHAPTER II--FOREST SERVICE, DEPARTMENT OF AGRICULTURE
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Part Page
200 Organization, functions, and procedures..... 5
211 Administration.............................. 13
212 Travel management........................... 14
213 Administration of lands under Title III of
the Bankhead-Jones Farm Tenant Act by
the Forest Service...................... 27
215 Notice, comment, and appeal procedures for
National Forest System projects and
activities.............................. 29
216 Involving the public in the formulation of
Forest Service directives............... 40
218 Predecisional administrative review
processes............................... 43
219 Planning.................................... 48
220 National Environmental Policy Act (NEPA)
compliance.............................. 77
221 Timber management planning.................. 87
222 Range management............................ 88
223 Sale and disposal of National Forest System
timber, special forest products, and
forest botanical products............... 106
228 Minerals.................................... 176
230 State and private forestry assistance....... 210
241 Fish and wildlife........................... 227
242 Subsistence management regulations for
public lands in Alaska.................. 230
251 Land uses................................... 344
254 Landownership adjustments................... 396
261 Prohibitions................................ 413
262 Law enforcement support activities.......... 428
264 Property management......................... 431
271 Use of ``Smokey Bear'' symbol............... 433
272 Use of ``Woodsy Owl'' symbol................ 434
290 Cave resources management................... 435
292 National recreation areas................... 438
293 Wilderness--primitive areas................. 464
294 Special areas............................... 469
[[Page 4]]
296 Protection of archaeological resources:
Uniform regulations..................... 482
297 Wild and scenic rivers...................... 496
298-299 [Reserved]
[[Page 5]]
PART 200_ORGANIZATION, FUNCTIONS, AND PROCEDURES--Table of Contents
Subpart A_Organization
Sec.
200.1 Central organization
200.2 Field organization.
Subpart B_Functions and Procedures
200.3 Forest Service functions.
200.4 Administrative issuances.
200.5 Indexes.
200.6 Information available; inspection, copying, and charges.
200.7 Request for records.
200.8 Appeals.
200.12 Land status and title records.
Authority: 5 U.S.C. 552; 7 U.S.C. 6706; 16 U.S.C. 472, 521, 1603,
and 2101 et seq.
Subpart A_Organization
Sec. 200.1 Central organization.
(a) Central office. The national office of the Forest Service, U.S.
Department of Agriculture, is located in the Auditors Building, 14th and
Independence Avenue, SW. Washington, DC. It consists of the Office of
the Chief and Associate Chief, and a Deputy Chief for each of the
following five activities: Programs and Legislation, National Forest
System, Research, State and Private Forestry, and Administration. All
communications should be addressed to the Forest Service, Department of
Agriculture, P.O. Box 96090, Washington, DC 20090-6090.
(b) Chief of the Forest Service. The Chief of the Forest Service,
under the direction of the Secretary of Agriculture, administers the
formulation, direction, and execution of Forest Service policies,
programs, and activities.
(c) Deputy Chiefs. The major activities of the Forest Service at the
headquarters level are divided into five Deputy Chief areas with each
further divided into staff units. The programs and functions of staff
units are directed by staff directors and may be subdivided into groups
headed by group leaders. A description of the major activities of each
Deputy Chief follows:
(1) Programs and legislation. Overall planning of Forest Service
programs, policy formulation and analysis, budgeting, legislative
development, reporting and liaison, and environmental coordination.
(2) National Forest System. Administration of National Forest System
lands and management of natural resources within the principle of
multiple use and sustained yield. Management includes planning,
coordinating, and directing the national resource programs of timber,
range, wildlife, recreation, watershed, and mineral areas; and support
activities of fire, engineering, lands, aviation, and computer systems.
The National Forest System includes:
155 Proclaimed or designated National Forests
20 National Grasslands
51 Purchase Units
8 Land Utilization Projects
20 Research and Experimental Areas
33 Other Areas
The first four classifications listed above are administered as 121
Forest Service Administrative Units, each headed by a Forest Supervisor.
National Recreation Areas, National Forest Wildernesses, and Primitive
Areas are included in the above land classifications.
(3) Research. Plan, coordinate, and direct research programs to
learn how man can best use and protect the plant, animal, soil, water,
and esthetic resources of nonagricultural rural and exurban lands for
his well-being and enjoyment. These programs include research on timber
management, forest products and engineering, forest economics and
marketing, watersheds, wildlife and fish habitat, range, recreation and
other environmental concerns, forest insects and disease, forest fire
and atmospheric science. Plans and directs international forestry
activities and disseminates forestry research information throughout the
world.
(4) State and private forestry. Coordinate and provide leadership
for intergovernmental resource programs for technical and financial
assistance to improve and protect State and privately-owned forest
resources and urban and community forestry. Carries out this action
through cooperative forestry, area planning and development, cooperative
fire protection, forest insect and disease management, cooperative tree
planting, and overall
[[Page 6]]
Forest Service participation in rural development and environmental
concern, including civil defense and other emergency activities.
(5) Administration. Provide support for Forest Service programs
through management improvement, fiscal and accounting, administrative
services, personnel management, manpower and youth conservation,
antipoverty programs, communication and electronics, internal review
system, external audits, coordination of civil rights activities, public
information, and Service-wide management of systems and computer
applications.
[41 FR 24350, June 16, 1976, as amended at 42 FR 32230, June 24, 1977;
43 FR 27190, June 23, 1978; 44 FR 5660, Jan. 29, 1979; 62 FR 33366, June
19, 1997]
Sec. 200.2 Field organization.
The field organization of the Forest Service consists of regions,
stations, and areas as described below:
(a) Regions of the National Forest System. For the purpose of
managing the lands administered by the Forest Service, the United States
is divided into nine geographic regions of the National Forest System.
Each region has a headquarters office and is supervised by a Regional
Forester who is responsible to the Chief for the activities assigned to
that region. Within each region are located national forests and other
lands of the Forest Service.
(1) National Forests. Each Forest has a headquarters office and is
supervised by a Forest Supervisor who is responsible to the Regional
Forester. Two or more proclaimed or designated National Forests, or all
of the Forests in a State, may be combined into one Forest Service
Administrative Unit headed by one Forest Supervisor. Each Forest is
divided into Ranger Districts. The Alaska Region is composed of two
National Forests without Ranger Districts; with one Forest divided into
three areas, each administered by a Forest Supervisor.
(2) Ranger districts. Each district may include a portion of a
national forest, a national grassland or portion thereof, a national
recreation area, a wilderness or primitive area, and other lands
administered by the Forest Service. Each district has a headquarters
office and is supervised by a District Ranger (or Area Ranger in some
cases) who is responsible to the Forest Supervisor.
(b) Forest and rangeland research coordination. The field research
program is coordinated by six research stations, the national Forest
Products Laboratory, and the International Institute of Tropical
Forestry. Each has a headquarters office and a Director who is
responsible to the Chief for all research activities within a
geographical area of the United States or its territories. Scientists
are based at Research Work Units with laboratories located in 36 lower
States, Hawaii, Alaska, and Puerto Rico. Scientists primarily conduct
their work within a given geographical area, but due to the integrated
and cooperative nature of the research program, they make work
nationwide and internationally.
(c) State and private forestry cooperation. Field level cooperation
between the Forest Service, States, and the private sector on forestry
activities is accomplished by the Northeastern Area State and Private
Forestry for the Northeastern States; and by the National Forest
Regional Offices in the Southeastern and Western States. The
Northeastern Area is supervised by an Area Director who is responsible
to the Chief for State and private forestry activities within the Area.
Regional Foresters in Regions 1 through 8 and Region 10 are responsible
for State and private forestry activities within those regions.
(d) International Institute of Tropical Forestry. The Institute is
managed by a Director who is the senior Forest Service official in
Puerto Rico. The Director is responsible to the Chief for planning and
directing research, science and technology exchange, technical
assistance to the Commonwealth of Puerto Rico, and international
cooperation on natural resources concerning tropical forestry.
(e) Field addresses. The addresses of Regional Foresters, Station
Directors, and Area Directors are given below. Under each Regional
Office address is a list of National Forest Administrative Units by
States with locations of Forest Supervisor headquarters. Headquarters
locations for Ranger Districts, National Grasslands, and National
[[Page 7]]
Recreation Areas are not listed but may be obtained from Forest
Supervisors or Regional Foresters.
National Forests by Region
------------------------------------------------------------------------
Headquarters
State in which forest is National forest location of
located administration unit forest
supervisor
------------------------------------------------------------------------
Region 1, Northern Region
(Regional Forester, Federal
Bldg., P.O. Box 7669,
Missoula, MT 59807):
Idaho........................ Clearwater........... Orofino.
Idaho Panhandle Coeur d'Alene.
National Forests
(Kaniksu-Coeur
'dAlene-St. Joe.
Nezperce............. Grangeville.
Montana...................... Beaverhead........... Dillon.
Bitterroot........... Hamilton.
Custer............... Billings.
Deerlodge............ Butte.
Flathead............. Kalispell.
Gallatin............. Bozeman.
Helena............... Helena.
Kootenai............. Libby.
Lewis and Clark...... Great Falls.
Lolo................. Missoula.
Region 2, Rocky Mountain Region
(Regional Forester, 740 Simms
Street, P. O. Box 25127,
Lakewood, CO 80225):
Colorado..................... Arapaho-Roosevelt.... Fort Collins.
Grand Mesa- Delta.
Uncompahgre and
Gunnison.
Pike-San Isabel...... Pueblo.
San Juan-Rio Grande.. Monte Vista.
White River.......... Glenwood
Springs.
Nebraska..................... Nebraska (Samuel R. Chadron.
McKelvie).
South Dakota................. Black Hills.......... Custer.
Wyoming...................... Bighorn.............. Sheridan.
Medicine Bow-Routt... Laramie.
Shoshone............. Cody.
Region 3, Southwestern Region
(Regional Forester, Federal
Bldg., 517 Gold Ave. SW.,
Albuquerque, NM 87102):
Arizona...................... Apache-Sitgreaves.... Springerville.
Coconino............. Flagstaff.
Coronado............. Tucson.
Kaibab............... Williams.
Prescott............. Prescott.
Tonto................ Phoenix.
New Mexico................... Carson............... Taos.
Cibola............... Albuquerque.
Gila................. Silver City.
Lincoln.............. Alamogordo.
Santa Fe............. Santa Fe.
Region 4, Intermountain Region
(Regional Forester, 324 25th
St., Ogden, UT 84401):
Idaho........................ Boise................ Boise.
Caribou (Cache-Idaho Pocatello.
portion).
Challis.............. Challis.
Payette.............. McCall.
Salmon............... Salmon.
Sawtooth............. Twin Falls.
Targhee.............. St. Anthony.
Nevada....................... Humboldt............. Elko.
Toiyabe, except the Sparks.
Lake Tahoe basin
management unit.
Utah......................... Ashley............... Vernal.
Dixie................ Cedar City.
Fishlake............. Richfield.
Manti-La Sal......... Price.
Uinta................ Provo.
Wasatch (Cache-Utah Salt Lake City.
portion).
Wyoming...................... Bridger-Teton........ Jackson.
Region 5, Pacific Southwest
Region (Regional Forester, 630
Sansome St., San Francisco, CA
94111):
California................... Angeles.............. Arcadia.
Cleveland............ San Diego.
Eldorado, except the Placerville.
Lake Tahoe basin
management unit.
[[Page 8]]
Inyo................. Bishop.
Klamath.............. Yreka.
Lassen............... Susanville.
Los Padres........... Goleta.
Mendocino............ Willows.
Modoc................ Alturas.
Plumas............... Quincy.
San Bernardino....... San Bernardino.
Sequoia.............. Porterville.
Shasta-Trinity....... Redding.
Sierra............... Fresno.
Six Rivers........... Eureka.
Stanislaus (Calaveras Sonora.
Bigtree).
Tahoe, except the Nevada City.
Lake Tahoe basin
management unit.
Lake Tahoe basin South Lake Tahoe
management unit (headed by an
(portions of administrator).
Toiyabe, Eldorado,
and Tahoe National
Forests).
Region 6, Pacific Northwest
Region (Regional Forester, 333
S.W. 1st Avenue, P.O. Box
3623, Portland, OR 97208):
Oregon....................... Deschutes............ Bend
Fremont.............. Lakeview.
Malheur.............. John Day.
Mount Hood........... Gresham.
Ochoco............... Prineville.
Rogue River.......... Medford.
Siskiyou............. Grants Pass.
Siuslaw.............. Corvallis.
Umatilla............. Pendleton.
Umpqua............... Roseburg.
Wallowa-Whitman...... Baker.
Willamette........... Eugene.
Winema............... Klamath Falls.
Washington................... Colville............. Colville.
Gifford Pinchot...... Vancouver.
Mount Baker- Mountain
Snoqualmie. Terrace.
Okanogan............. Okanogan.
Olympic.............. Olympia.
Wenatchee............ Wenatchee.
Region 8, Southern Region
(Regional Forester, 1720
Peachtree Rd. NW., Atlanta, GA
30367):
Alabama...................... National forests in Montgomery.
Alabama (William B.
Bankhead, Conecuh,
Talladega, Tuskegee).
Arkansas..................... Ouachita............. Hot Springs.
Ozark-St. Francis.... Russellville.
Florida...................... National forests in Tallahassee.
Florida
(Apalachicola,
Ocala, Osceola).
Georgia...................... Chattahoochee-Oconee. Gainesville.
Kentucky..................... Daniel Boone......... Winchester.
Louisiana.................... Kisatchie............ Pineville.
Mississippi.................. National Forests in Jackson.
Mississippi
(Bienville, Delta,
De Soto, Holly
Springs, Homochitto,
Tombigbee).
North Carolina............... National forests in Asheville.
North Carolina
(Croatan, Nantahala,
Pisgah, Uwharrie).
Puerto Rico.................. Caribbean............ Rio Piedras, PR.
South Carolina............... Francis Marion and Columbia.
Sumter.
Tennessee.................... Cherokee............. Cleveland.
Texas........................ National forests in Lufkin.
Texas (Angelina,
Davy Crockett,
Sabine, Sam Houston).
Virginia..................... George Washington- Roanoke.
Jefferson.
Region 9, Eastern Region
(Regional Forester, 310 West
Wisconsin Ave., Milwaukee, WI
53203):
Illinois..................... Shawnee.............. Harrisburg.
Indiana and Ohio............. Wayne-Hoosier........ Bedford, IN.
Michigan..................... Hiawatha............. Escanaba.
Huron-Manistee....... Cadillac.
[[Page 9]]
Ottawa............... Ironwood.
Minnesota.................... Chippewa............. Cass Lake.
Superior............. Duluth.
Missouri..................... Mark Twain........... Rolla.
New Hampshire and Maine...... White Mountain....... Laconia, NH.
Pennsylvania................. Allegheny............ Warren.
Vermont...................... Green Mountain....... Rutland.
West Virginia................ Monongahela.......... Elkins.
Wisconsin.................... Chequamegon.......... Park Falls.
Nicolet.............. Rhinelander.
Region 10, Alaska Region
(Regional Forester, Federal
Office Bldg., P.O. Box 21628,
Juneau, AK 99802-1628):
Alaska....................... Chugach.............. Anchorage.
Tongass:.............
Chatham area........ Sitka.
Ketchikan area...... Ketchikan.
Sitkine area........ Petersburg.
------------------------------------------------------------------------
Forest and Range Experiment Stations, Laboratories, and Institutes Name
of Unit and Headquarters of Director
North Central Research Station--1995 Folwell Avenue, St. Paul, MN 55108.
Northeastern Research Station--100 Matsonford Road, 5 Radnor Corporate
Center, Suite 200, P.O. Box 6775, Radnor, PA 19087-4585.
Pacific Northwest Research Station--333 S.W. 1st Avenue, P.O. Box 3890,
Portland, OR 97208-3890.
Pacific Southwest Research Station--800 Buchanan Street, West Building,
Albany, CA 94710-0011.
Rocky Mountain Research Station--240 West Prospect Street, Fort Collins,
CO 80526-2098.
Southern Research Station--200 Weaver Boulevard, P.O. Box 2680,
Asheville, NC 28802.
Laboratory
Forest Products Laboratory--One Gifford Pinchot Drive, Madison, WI
53705-2398.
Institute
International Institute of Tropical Forestry--Call Box 25000, UPR
Experimental Station Grounds, Rio Piedras, Puerto Rico 00928-2500.
State and Private Forestry Area Office
Director, Northeastern Area--100 Matsonford Road, P.O. Box 6775, Radnor,
PA 19087-4585.
Note: In Regions 1 through 8 and 10, State and Private Forestry
activities are directed from Regional headquarters.
[41 FR 24350, June 16, 1976, as amended at 42 FR 32230, June 24, 1977;
42 FR 40438, Aug. 10, 1977; 43 FR 27190, June 23, 1978; 44 FR 5660, Jan.
29, 1979; 62 FR 33366, 33367, June 19, 1997]
Subpart B_Functions and Procedures
Sec. 200.3 Forest Service functions.
(a) Legislative authority. The basic laws authorizing activities of
the Forest Service are set forth in the U.S.C. in title 7 (Agriculture),
chapters 14, 17, 33, 55, 59, and 61; title 16 (Conservation), chapters
2, 3, 4, 5C, 6, 23, 27, 28, 30, 36, and 37; title 29 (Labor), chapter
17; and title 43 (Public Lands), chapters 22 and 35.
(b) Work of the Forest Service. Under delegated authority from the
Secretary of Agriculture, the broad responsibilities of the Forest
Service are:
(1) Leadership in forestry. The Forest Service provides overall
leadership in forest and forest-range conservation, development, and
use. This involves determination of forestry conditions and
requirements, and recommendations of policies and programs needed to
keep the Nation's private and public lands fully productive.
(2) National Forest System administration. (i) The Forest Service
administers and manages the National Forest System lands in accordance
with the Multiple-Use Sustained-Yield Act of June 12, 1960 (16 U.S.C.
528-531); the Forest and Rangeland Renewable Resources Planning Act of
August 17, 1974 (16 U.S.C. 1600-1614); and the National Forest
Management Act of October 22, 1976 (16 U.S.C. 472a, 476, 500, 513-516,
521b; 576b, 1600-1602, 1604, 1606, 1608-1614).
[[Page 10]]
(ii) The National Forest System comprises about 188 million acres of
land in the National Forests, National Grasslands, and other areas which
have been transferred to the Forest Service for administration. On these
public lands:
(A) Forestry methods are applied in growing and harvesting timber,
(B) Forage is scientifically managed for the use of domestic
livestock whose numbers are kept in balance with the carrying capacity
of the range,
(C) Wildlife habitat and species are managed,
(D) Watersheds are managed to safeguard the water supply and
stabilize streamflow,
(E) Recreation resources are managed for public enjoyment and
benefit,
(F) Many forms of land and resource use are granted under permit or
lease, and
(G) Physical and resource improvements needed to develop, protect,
and use all resources are built and maintained.
(3) Cooperative forestry. The Forest Service carries out cooperative
forestry programs for public benefit through programs initiated by
State, county, and other Federal agencies in accordance with the
Cooperative Forestry Assistance Act of July 1, 1978 (16 U.S.C. 2101-
2111). These programs are directed at the protection, development, and
sustained production of all forestry resources, both public and private.
(4) Forest research. The Forest Service conducts research on
problems involving protection, development, management, renewal, and
continuous use of all resources, products, values, and services of
forest lands in accordance with the Forest and Rangeland Renewable
Resources Research Act of June 30, 1978 (16 U.S.C. 1641-1647). Research
is conducted on:
(i) Forest and range management, including the five basic resources
of timber, forest soil and water, range forage, wildlife and fish
habitat, and forest recreation,
(ii) Forest protection from fire, insects, and disease,
(iii) Forest products and engineering, and
(iv) Forest resource economics including forest survey, forest
economics, and forest products marketing.
[44 FR 37505, June 27, 1979]
Sec. 200.4 Administrative issuances.
(a) The regulations of the Secretary of Agriculture governing the
protection and administration of National Forest System lands and other
programs of the Forest Service are set forth in Chapter 2 of Title 36 of
the Code of Federal Regulations.
(b) Administrative policy, procedure, and guidance to Forest Service
employees for the conduct of Forest Service activities are issued as
directives, or through correspondence, by the office of the Chief of the
Forest Service and by the field officers listed in Sec. 200.2.
(1) Directives are issued through the Forest Service Directive
System, which is comprised of the Forest Service Manual and related
Forest Service Handbooks. The Directive System codifies the agency's
policy, practice, and procedure affecting more than one unit and the
delegations of continuing authority and assignment of continuing
responsibilities; serves as the primary administrative basis for the
internal management and control of all programs; and is the primary
source of administrative direction to Forest Service employees.
(2) In contrast to direction issued through the Directive System,
guidance issued to one or more organizational units through letters and
memoranda relate to decisions or interpretations on specific activities,
cases, or incidents or to other matters of agency business, especially
those matters of short-term duration or immediate interest.
(c) Forest Service Directive System issuances are published under
delegated authority as follows:
(1) The Forest Service Manual and Forest Service Handbook issuances
to all Forest Service units are published by the Office of the Chief.
(2) Forest Service Manual and Forest Service Handbook issuances may
be supplemented as needed for field office use by a Regional Forester, a
Regional
[[Page 11]]
Special Agent in Charge of Law Enforcement and Investigations, a
Research Station Director, the International Institute for Tropical
Forestry Director, the Area Director, or a Forest Supervisor.
(d) Guidance issued through letters and memoranda must be issued in
accordance with signing authorities delegated through issuances to the
Forest Service Directive System.
(e) An alphabetical index of the contents of the Forest Service
Manual and related Forest Service Handbooks is published in Forest
Service Handbook 1109.12, Directive System Handbook. The index contains
a listing of all Series, Titles, and Chapters in the Forest Service
Manual and a listing of all Forest Service Handbooks in the Directive
System.
(f) Forest Service Handbook 6209.11, Records Management Handbook,
outlines and indexes the filing system for all correspondence and other
records.
(g) Forms and reports used by the agency are listed in, and
instructions for their use are issued throughout, the Forest Service
Directive System and are collated in Forest Service Handbook 1309.14,
Information Requirements Handbook.
[62 FR 33367, June 19, 1997, as amended at 74 FR 19143, Apr. 28, 2009]
Sec. 200.5 Indexes.
Publication of the indexes described in Sec. 200.4 is deemed both
unnecessary and impractical because of the large volume of material
involved. However, copies of the indexes are available for public review
in the Forest Service headquarters office in Washington, DC, and at
field offices listed under Sec. 200.2(d). The Forest Service will
provide copies of any index upon request at a cost not to exceed the
direct cost of duplication.
[40 FR 12790, Mar. 21, 1975. Redesignated at 62 FR 13540, Mar. 21, 1997]
Sec. 200.6 Information available; inspection, copying, and charges.
(a) In accordance with 5 U.S.C. 552(a) and 7 CFR 1.2, the Forest
Service shall make available for public inspection and copying all
published or unpublished directives, forms, records, and final opinions,
including concurring or dissenting opinions and orders made in the
adjudication of cases. Charges for information requested from the Forest
Service are set out in paragraph (d) of this section and vary according
to the type of information requested.
(b) Information made available pursuant to paragraph (a) of this
section may be obtained at the Office of the Chief, or the office of any
Regional Forester, Research Station Director, Area Director, Institute
Director, Forest Supervisor, or District Ranger. The addresses of these
offices are set forth in Sec. Sec. 200.1 and 200.2. Forest Service
personnel at these offices will assist members of the public seeking
Forest Service records. However, Research Station and Institute
Directors and District Rangers may not have all volumes of the Forest
Service Manual and Handbooks. When the information requested is not
available at a given location, the personnel where the request is
received will direct the requester to another office where the
information may be obtained.
(c) Inspection and copying availability is as follows:
(1) Facilities for inspection and copying are available at the
offices listed in Sec. Sec. 200.1 and 200.2, during established office
hours for the particular location, usually 8 a.m. to 5 p.m., Monday
through Friday. Copying facilities may not be available at all Forest
Service offices.
(2) Requesters for information may make copies of available
information without charge if they elect to bring their own copy
equipment to the appropriate offices listed in Sec. Sec. 200.1 and
200.2.
(3) Requesters should make prior arrangements for using agency
copying facilities or for bringing in copying equipment and, in the
later case, should get advance approval from the office.
(d) Any request for information pursuant to the provisions of the
Freedom of Information Act must be submitted in accordance with
Sec. Sec. 200.7 and 200.8. The Forest Service charges a fee for copies
of records not generally made available to the public but released
pursuant to a FOIA request in accordance with a schedule of fees
established by the Department of Agriculture at 7
[[Page 12]]
CFR Part 1, Subpart A, Appendix A. These fees do not apply to
information that is generally and routinely made available to the public
upon request, such as recreational brochures, pamphlets, maps, and
technical guides as well as agency directive issuances. Separate charges
for such general information are established in the agency's Directive
System (Sec. 200.4). For example, some pamphlets and small segments of
the Forest Service Manual and Handbook may be provided at no cost, but
maps of the National Forest System and larger sections of the Manual and
Handbook are available for a charge. Current charges are explained at
the time the request is made.
[62 FR 13540, Mar. 21, 1997]
Sec. 200.7 Request for records.
Requests for records and the processing of those records are
governed by the rules at 7 CFR 1.6. Agency officials are authorized to
receive and act on requests for records as follows:
(a) The Regional Forester, Regional Special Agent in charge,
Research Station Director, Area Director, and Institute Director at the
field locations and addresses listed in Sec. 200.2; the Director of Law
Enforcement and Investigations, other Staff Directors, or other
officials whom the Chief may authorize, located in the Washington
Office, are authorized to receive requests for such records, to make
determinations regarding whether records exist, and to grant or deny
requests for records exempt from disclosure under the provisions of 5
U.S.C. 552(b).
(b) Each of the officials listed in paragraph (a) of this section
also is authorized to take the following actions:
(1) Extend the 10-day administrative deadline for reply pursuant to
7 CFR 1.14;
(2) Make discretionary releases pursuant to 7 CFR 1.17(b) of records
exempt from mandatory disclosure;
(3) Deny records pursuant to 5 U.S.C. 552(b); and
(4) Make determinations regarding the charges of fees pursuant to 7
CFR 1.8(a).
[62 FR 33368, June 19, 1997, as amended at 63 FR 53811, Oct. 7, 1998]
Sec. 200.8 Appeals.
(a) Appeals from denials of requests submitted under Sec. 200.7
shall be submitted in accordance with U.S. Department of Agriculture
rules at 7 CFR part 1, subpart A, and the appendix to subpart A to the
Chief, Forest Service, U.S. Department of Agriculture, Auditors
Building, 14th and Independence Avenue, S.W., P.O. Box 96090,
Washington, DC 20090-6090.
(b) The Chief, or other official to whom such authority is
delegated, shall determine whether to grant or deny the appeal and make
all necessary determinations relating to an extension of the 20-day
administrative deadline for reply, discretionary release of records
exempt from mandatory disclosure under 5 U.S.C. 552(b), and charging the
appropriate fees, pursuant to U.S. Department of Agriculture rules at 7
CFR part 1, subpart A, and the appendix to subpart A.
(c) The Forest Service Freedom of Information Act/Privacy Act
Officer must review all proposed responses to appeals prior to
signature.
[63 FR 53812, Oct. 7, 1998, as amended at 63 FR 60049, Nov. 6, 1998]
Sec. 200.12 Land status and title records.
(a) Land Status Records System. The Land Status Records System is
the official, permanent repository for all agency realty records and
land title documents for National Forest System lands. It includes an
automated database which contains an accurate account of: acreage,
condition of title, administrative jurisdiction, rights held by the
United States, administrative and legal use restrictions, encumbrances,
and access rights on land or interests in land in the National Forest
System.
(1) Components. The system shall include, but is not limited to, the
following components:
(i) A current and accurate Land Status Atlas for each National
Forest, National Grassland, and other proclaimed or designated
administrative unit, which shall graphically portray on maps keyed to a
tabular summary the following categories of information:
[[Page 13]]
(A) Jurisdiction of and condition of title to lands administered as
part of the National Forest System.
(B) All encumbrances on National Forest System lands.
(C) All partial interests administered by the Forest Service on
other lands.
(D) All use restrictions, withdrawals, and special designated areas
on National Forest System lands.
(E) The acreage of National Forest System lands, including riparian
lands.
(ii) A master Land Status File, from which the agency data for the
Atlas is derived and which includes the following:
(A) Discrete title files of each landownership adjustment.
(B) The original authorizing documents establishing or adjusting
National Forest System lands and interests therein.
(C) Withdrawals, use restrictions, and special designated areas on
National Forest System lands.
(D) Other information as deemed necessary.
(iii) Such reporting systems as are needed to provide title or
status reports.
(2) Display of Information. Information in the system may be
collected and maintained in narrative, graphic, tabular, or other form
and may be entered into and maintained in automated systems as well as
produced in paper form in accordance with such administrative direction
as the Chief of the Forest Service or Regional Foresters may establish.
(b) Availability. A Land Status Atlas shall be maintained at each
National Forest administrative unit or subunit, such as Ranger Districts
or National Recreation Area offices. Each Regional Office shall maintain
copies of the Atlas for all National Forests within that Region. Related
land title and realty records for each National Forest System unit shall
be maintained at the administrative headquarters of that unit. The Land
Status Atlas and such title and realty records as are held at an
administrative unit shall be available for public inspection.
[56 FR 29181, June 26, 1991, as amended at 59 FR 2987, Jan. 20, 1994]
PART 211_ADMINISTRATION--Table of Contents
Subpart A_Cooperation
Sec.
211.1-211.2 [Reserved]
211.3 Cooperation with State officers.
211.4 Cooperation for fire prevention and control.
211.5 Emergency fire suppression assistance.
211.6 Cooperation in forest investigations or the protection,
management, and improvement of the National Forest System.
Subpart B [Reserved]
Authority: 16 U.S.C. 472, 498, 551.
Subpart A_Cooperation
Sec. Sec. 211.1-211.2 [Reserved]
Sec. 211.3 Cooperation with State officers.
All forest officers will cooperate with State officials, insofar as
practicable, to enforce State fire, game, and health laws. They are
authorized to accept appointments, without compensation, as deputy State
fire wardens, game wardens, and/or health officers whenever in the
judgment of the Chief of the Forest Service the performance of the
duties required by these offices will not interfere with their duties as
Federal forest officers.
[1 FR 1261, Aug. 15, 1936]
Sec. 211.4 Cooperation for fire prevention and control.
The Forest Service shall, whenever possible, and is hereby
authorized to enter into such agreements with private owners of timber,
with railroads, and with other industrial concerns operating in or near
the national forests as will result in mutual benefit in the prevention
and suppression of forest fires: Provided, That the service required of
each party by such agreements shall be in proportion to the benefits
conferred.
[1 FR 1261, Aug. 15, 1936]
Sec. 211.5 Emergency fire suppression assistance.
(a) Definitions. For the purpose of this subpart these definitions
apply:
(1) Prescribed fire means a fire burning under a set of specified
conditions
[[Page 14]]
which will accomplish certain planned resource management objectives.
(2) Escaped prescribed fire means a prescribed fire which has either
exceeded the prescription or has rekindled after it has been declared to
be out.
(b) In the absence of a written reciprocal agreement with any fire
organization or in situations outside the scope of an agreement, the
Forest Service is authorized to render emergency assistance in
suppressing fires and in preserving life and property from the threat of
fire within the vicinity of Forest Service fire protection facilities
under the following conditions:
(1) If a prescribed fire initiated on lands administered by the
Forest Service escapes onto lands not administered by the Forest
Service, the Forest Service may commit personnel, materials, and
equipment without reimbursement or consideration of the fire's
continuing threat to National Forest System lands or resources.
(2) When requested, the Forest Service may commit personnel,
materials, and equipment on a reimbursable basis on lands not
administered by the Forest Service without regard to the fire's threat
to National Forest System lands or resources.
[48 FR 44537, Sept. 29, 1983]
Sec. 211.6 Cooperation in forest investigations or the protection,
management, and improvement of the National Forest System.
(a) Purpose and scope. Forest Service officers, when engaged in
cooperative activities otherwise authorized, may receive monies from
cooperators only for cooperative work in forest investigations or for
the protection, management, and improvement of the National Forest
System and only in accordance with written cooperative agreements.
Management of the National Forest System may include such work as
planning, analysis, and related studies, as well as resource activities.
(b) Reimbursements. Agency expenditures for work undertaken in
accordance with this section may be made from Forest Service
appropriations available for such work, with subsequent reimbursement
from the cooperator, in accordance with established written agreements.
Forest Service officers shall issue written bills for collection for
cooperator reimbursement payments within the same fiscal year as Forest
Service expenditures.
(c) Bonding. Each written agreement involving a non-Government
cooperator's total contribution of $25,000 or more to the Forest Service
on a reimbursable basis, must include a provision requiring a payment
bond to guarantee the cooperator's reimbursement payment. Acceptable
security for a payment bond includes Department of the Treasury approved
corporate sureties, Federal Government obligations, and irrevocable
letters of credit. For the purposes of this section, a non-Government
cooperator is an entity that is not a member, division, or affiliate of
a Federal, State, local government, a federally recognized Indian Tribe
(as defined by the Federally Recognized Indian Tribe List Act of 1994
[25 U.S.C. 479a]), or other organizations funding a Forest Service
agreement with pass through funding from an entity that is a member,
division, or affiliate of a Federal, State, local government, or
federally recognized Indian Tribe.
(d) Avoiding conflict of interest. Forest Service officers shall
avoid acceptance of contributions from cooperators when such
contributions would reflect unfavorably upon the ability of the Forest
Service to carry out its responsibilities and duties. Forest Service
officers shall be guided by the provisions of 18 U.S.C. parts 201-209, 5
CFR part 2635, and applicable Department of Agriculture regulations, in
determining if a conflict of interest or potential conflict of interest
exists in a proposed cooperative effort. Forest Service ethics officials
or the designated Department of Agriculture ethics official should be
consulted on conflict of interest issues.
[64 FR 60678, Nov. 8, 1999, as amended at 73 FR 62443, Oct. 21, 2008]
Subpart B [Reserved]
PART 212_TRAVEL MANAGEMENT--Table of Contents
Subpart A_Administration of the Forest Transportation System
Sec.
212.1 Definitions.
[[Page 15]]
212.2 Forest development transportation program.
212.3 Cooperative work.
212.4 Construction and maintenance.
212.5 Road system management.
212.6 Ingress and egress.
212.7 Access procurement by the United States.
212.8 Permission to cross lands and easements owned by the United States
and administered by the Forest Service.
212.9 Principles for sharing use of roads.
212.10 Maximum economy National Forest System roads.
212.11-212.20 [Reserved]
212.21 Pacific Crest National Scenic Trail.
Subpart B_Designation of Roads, Trails, and Areas for Motor Vehicle Use
212.50 Purpose, scope, and definitions.
212.51 Designation of roads, trails, and areas.
212.52 Public involvement.
212.53 Coordination with Federal, State, county, and other local
governmental entities and tribal governments.
212.54 Revision of designations.
212.55 Criteria for designation of roads, trails, and areas.
212.56 Identification of designated roads, trails, and areas.
212.57 Monitoring of effects of motor vehicle use on designated roads
and trails and in designated areas.
Subpart C_Use by Over-Snow Vehicles
212.80 Purpose, scope, and definitions.
212.81 Use by over-snow vehicles.
Subpart A_Administration of the Forest Transportation System
Authority: 16 U.S.C. 551, 23 U.S.C. 205.
Sec. 212.1 Definitions.
For the purpose of this part the following terms, respectively,
shall mean:
Administrative unit. A National Forest, a National Grassland, a
purchase unit, a land utilization project, Columbia River Gorge National
Scenic Area, Land Between the Lakes, Lake Tahoe Basin Management Unit,
Midewin National Tallgrass Prairie, or other comparable unit of the
National Forest System.
Area. A discrete, specifically delineated space that is smaller, and
in most cases much smaller, than a Ranger District.
Chief. The Chief, Forest Service, Department of Agriculture.
Construction engineering. All work and expense of setting out,
controlling, inspecting, and measuring the construction or
reconstruction of a forest transportation facility including:
(1) Construction surveys to establish line and grade for the work,
to control the work, and to measure quantities;
(2) Redesigning, adjusting, and changing the plans, specifications,
and materials to meet conditions;
(3) Inspecting, directing, and controlling operations for compliance
with plans and specifications;
(4) Inspecting, testing, and accepting materials and equipment to be
installed in the work; and
(5) Inspecting, measuring, and accepting completed work.
Designated road, trail, or area. A National Forest System road, a
National Forest System trail, or an area on National Forest System lands
that is designated for motor vehicle use pursuant to Sec. 212.51 on a
motor vehicle use map.
Federal airport funds. Discretionary funds available for airfields
in National Forests under section 6(b)(3) of the Act of May 13, 1946 (60
Stat. 173), as amended; 49 U.S.C. 1105(b)(3).
Forest road and trail funds. Funds authorized or appropriated for
the purpose of carrying out the provisions of section 205 of the Act of
August 27, 1958 (72 Stat. 907), as amended; 23 U.S.C. 205.
Forest road or trail. A road or trail wholly or partly within or
adjacent to and serving the National Forest System that the Forest
Service determines is necessary for the protection, administration, and
utilization of the National Forest System and the use and development of
its resources.
Forest transportation atlas. A display of the system of roads,
trails, and airfields of an administrative unit.
Forest transportation facility. A forest road or trail or an
airfield that is displayed in a forest transportation atlas, including
bridges, culverts, parking lots, marine access facilities, safety
devices, and other improvements appurtenant to the forest transportation
system.
Forest transportation system. The system of National Forest System
roads, National Forest System trails, and airfields on National Forest
System lands.
[[Page 16]]
Maintenance. The upkeep of the entire forest transportation facility
including surface and shoulders, parking and side areas, structures, and
such traffic-control devices as are necessary for its safe and efficient
utilization.
Motor vehicle. Any vehicle which is self-propelled, other than:
(1) A vehicle operated on rails; and
(2) Any wheelchair or mobility device, including one that is
battery-powered, that is designed solely for use by a mobility-impaired
person for locomotion, and that is suitable for use in an indoor
pedestrian area.
Motor vehicle use map. A map reflecting designated roads, trails,
and areas on an administrative unit or a Ranger District of the National
Forest System.
National Forest System. As defined in the Forest Rangeland Renewable
Resources Planning Act, the ``National Forest System'' includes all
National Forest lands reserved or withdrawn from the public domain of
the United States, all National Forest lands acquired through purchase,
exchange, donation, or other means, the National Grasslands and land
utilization projects administered under title III of the Bankhead-Jones
Farm Tennant Act (50 Stat. 525, 7 U.S.C. 1010-1012), and other lands,
waters or interests therein which are administered by the Forest Service
or are designated for administration through the Forest Service as a
part of the system.
National Forest System road. A forest road other than a road which
has been authorized by a legally documented right-of-way held by a
State, county, or other local public road authority.
National Forest System trail. A forest trail other than a trail
which has been authorized by a legally documented right-of-way held by a
State, county, or other local public road authority.
Off-highway vehicle. Any motor vehicle designed for or capable of
cross-country travel on or immediately over land, water, sand, snow,
ice, marsh, swampland, or other natural terrain.
Over-snow vehicle. A motor vehicle that is designed for use over
snow and that runs on a track or tracks and/or a ski or skis, while in
use over snow.
Preconstruction engineering. All work and expense of preparing for
construction or reconstruction of a forest transportation facility
including:
(1) Engineering and economic investigations, studies, and reports;
(2) Reconnaissance surveys;
(3) Preliminary surveys;
(4) Preliminary location surveys;
(5) Soils, foundations, and materials investigations, surveys, and
tests;
(6) Preliminary and final designs;
(7) Preliminary and final plans, drawings, specifications, and
estimates of quantities and cost;
(8) Final location surveys staked on the ground; and
(9) Rights-of-way surveys, plans, and descriptions.
Regional forester. A regional forester of the Forest Service.
Road. A motor vehicle route over 50 inches wide, unless identified
and managed as a trail.
Road and trail 10 percent funds. Funds available from the permanent
appropriation ``Roads and Trails for States'' under the Act of March 4,
1913 (37 Stat. 843), as amended; 16 U.S.C. 501.
Road construction or reconstruction. Supervising, inspecting, actual
building, and incurrence of all costs incidental to the construction or
reconstruction of a road.
Road Decommissioning. Activities that result in the stabilization
and restoration of unneeded roads to a more natural state.
Temporary road or trail. A road or trail necessary for emergency
operations or authorized by contract, permit, lease, or other written
authorization that is not a forest road or trail and that is not
included in a forest transportation atlas.
Trail. A route 50 inches or less in width or a route over 50 inches
wide that is identified and managed as a trail.
Travel management atlas. An atlas that consists of a forest
transportation atlas and a motor vehicle use map or maps.
Unauthorized road or trail. A road or trail that is not a forest
road or trail or a temporary road or trail and that is
[[Page 17]]
not included in a forest transportation atlas.
(25 Stat. 357, 26 Stat. 1103, 30 Stat. 35-36, 1233, 38 Stat. 430, 46
Stat. 1421 64 Stat. 82, 72 Stat. 885, as amended, 74 Stat. 215, 78 Stat.
1089; 16 U.S.C. 471, 478, 498, 525, 528, 531, 532, 538, 551, 572, 23
U.S.C. 101, 205, 40 U.S.C. 257, 258a, et seq., 42 Atty. Gen. Op. No. 7,
Comp. Gen. B-65972, May 19, 1947; 40 Comp. Gen. 372; 41 Comp. Gen. 1; 41
Comp. Gen. 576, and 42 Comp. Gen. 590)
[30 FR 5476, Apr. 16, 1965, as amended at 66 FR 3216, 3217, Jan. 12,
2001; 70 FR 68287, Nov. 9, 2005]
Sec. 212.2 Forest transportation program.
(a) Travel management atlas. For each administrative unit of the
National Forest System, the responsible official must develop and
maintain a travel management atlas, which is to be available to the
public at the headquarters of that administrative unit.
(b) Forest transportation atlas. A forest transportation atlas may
be updated to reflect new information on the existence and condition of
roads, trails, and airfields of the administrative unit. A forest
transportation atlas does not contain inventories of temporary roads,
which are tracked by the project or activity authorizing the temporary
road. The content and maintenance requirements for a forest
transportation atlas are identified in the Forest Service directives
system.
(c) Program of work for the forest transportation system. A program
of work for the forest transportation system shall be developed each
fiscal year in accordance with procedures prescribed by the Chief.
[62 FR 58654, Oct. 30, 1997, as amended at 66 FR 3216, 3217, Jan. 12,
2001; 70 FR 68288, Nov. 9, 2005; 73 FR 74613, Dec. 9, 2008]
Sec. 212.3 Cooperative work.
(a) Cooperative agreements for all projects which involve financial
contributions from cooperators shall be negotiated, approved, and
executed in accordance with procedures prescribed by the Chief.
(b) Cooperative funds contributed in advance shall be deposited in
the United States Treasury to the credit of the Forest Service
Cooperative Fund authorized by the Act of June 30, 1914 (38 Stat. 430),
as amended; 16 U.S.C. 498, or the Act of March 3, 1925 (43 Stat. 1132),
as amended; 16 U.S.C. 572, which deposits will be made available for
expenditure from the appropriation ``Cooperative Work, Forest Service.''
If a State, county or other governmental agency is unable to contribute
funds under the Act of March 3, 1925, as amended, in advance but is able
to pay its share subsequent to performance of the work, the subsequent
payment of such funds will be deposited to the credit of the Forest
Service appropriation from which the expenditures were made or to
appropriations for similar purposes currently available at the time of
deposit.
[25 FR 6360, July 7, 1960. Redesignated at 62 FR 58654, Oct. 30, 1997]
Sec. 212.4 Construction and maintenance.
(a) Construction and maintenance work on forest transportation
facilities with appropriated funds shall be directed to what is
necessary and economically justified for protection, administration,
development, and multiple-use management of the federally owned lands
and resources served.
(b) Preliminary engineering and the construction and maintenance of
forest transportation facilities shall be performed by force account or
let to contract, unless otherwise approved by the Chief. The contract
method shall be employed for roads and trails in accordance with section
205(c) of the Act of August 27, 1958 (72 Stat. 907); 23 U.S.C. 205, and
for all other facilities when it is advantageous and in the interest of
the Government.
(c) No construction work shall be started by force account or let to
contract until all necessary rights of way have been secured, and
approved by the Attorney General, if required, and cooperative
agreements, if any, approved and executed.
[24 FR 10256, Dec. 18, 1959, as amended at 25 FR 6360, July 7, 1960.
Redesignated at 62 FR 58654, Oct. 30, 1997; 66 FR 3216, Jan. 12, 2001]
Sec. 212.5 Road system management.
(a) Traffic rules. Rules set forth under 36 CFR part 261 and this
section shall apply to all National Forest System
[[Page 18]]
roads under the jurisdiction of the Forest Service except when in
conflict with written agreement.
(1) General. Traffic on roads is subject to State traffic laws where
applicable except when in conflict with designations established under
subpart B of this part or with the rules at 36 CFR part 261.
(2) Specific. The following specific traffic rules shall apply
unless different rules are established in 36 CFR part 261.
(i) The load, weight, length, height, and width limitations of
vehicles shall be in accordance with the laws of the States wherein the
road is located. Greater or lesser limits may be imposed and these
greater or lesser limits shall be established as provided in 36 CFR part
261.
(ii) Roads, or segments thereof, may be restricted to use by certain
classes of vehicles or types of traffic as provided in 36 CFR part 261.
Classes of vehicles may include but are not limited to distinguishable
groupings such as passenger cars, buses, trucks, motorcycles, all-
terrain vehicles, 4-wheel drive vehicles, off-highway vehicles, and
trailers. Types of traffic may include but are not limited to groupings
such as commercial hauling, recreation, and administrative.
(iii) Roads, or segments thereof, may be closed to all vehicle use
as provided in 36 CFR part 261.
(iv) Additional rules may be imposed as provided in 36 CFR part 261.
(b) Road system--(1) Identification of road system. For each
national forest, national grassland, experimental forest, and any other
units of the National Forest System (Sec. 212.1), the responsible
official must identify the minimum road system needed for safe and
efficient travel and for administration, utilization, and protection of
National Forest System lands. In determining the minimum road system,
the responsible official must incorporate a science-based roads analysis
at the appropriate scale and, to the degree practicable, involve a broad
spectrum of interested and affected citizens, other state and federal
agencies, and tribal governments. The minimum system is the road system
determined to be needed to meet resource and other management objectives
adopted in the relevant land and resource management plan (36 CFR part
219), to meet applicable statutory and regulatory requirements, to
reflect long-term funding expectations, to ensure that the identified
system minimizes adverse environmental impacts associated with road
construction, reconstruction, decommissioning, and maintenance.
(2) Identification of unneeded roads. Responsible officials must
review the road system on each National Forest and Grassland and
identify the roads on lands under Forest Service jurisdiction that are
no longer needed to meet forest resource management objectives and that,
therefore, should be decommissioned or considered for other uses, such
as for trails. Decommissioning roads involves restoring roads to a more
natural state. Activities used to decommission a road include, but are
not limited to, the following: reestablishing former drainage patterns,
stabilizing slopes, restoring vegetation, blocking the entrance to the
road, installing water bars, removing culverts, reestablishing drainage-
ways, removing unstable fills, pulling back road shoulders, scattering
slash on the roadbed, completely eliminating the roadbed by restoring
natural contours and slopes, or other methods designed to meet the
specific conditions associated with the unneeded road. Forest officials
should give priority to decommissioning those unneeded roads that pose
the greatest risk to public safety or to environmental degradation.
(c) Cost recovery on National Forest System roads. The Chief may
determine that a share of the cost of acquisition, construction,
reconstruction, improvement, or maintenance of a road, or segment
thereof, used or to be used for commercial hauling of non-Federal
forests products and other non-Federal products, commodities and
materials, should be borne by the owners or haulers thereof. The Chief
may condition the permission to use a road, or segment thereof, upon
payment to the United States of the proportionate share of the cost and
bearing proportionate maintenance as determined to be attributable to
the owner's or hauler's use in accordance with Sec. 212.9. This
[[Page 19]]
condition to use roads would apply where the owners or haulers:
(1) Have not shared in the cost of acquisition, construction,
reconstruction, or improvements, and
(2) Have not made contributions to pay their proportionate share of
the costs.
(d) Maintenance and reconstruction of National Forest System roads
by users--(1) Maintenance. The Chief may require, but not in conflict
with an existing permit, easement, contract, or other agreement, the
user or users of a road, including purchasers of Government timber and
other products, to maintain the roads in a satisfactory condition
commensurate with the particular use requirements of each. The
maintenance to be borne by each user shall be proportionate to total use
and no individual user shall be required to perform or bear the costs of
maintenance other than that commensurate with his use.
(2) Reconstruction. The Chief may require, but not in conflict with
an existing permit, easement, contract, or other agreement, the user or
users of a road to reconstruct it when, at the time the use is
requested, reconstruction is determined to be necessary to accommodate
his use.
(3) Deposits in lieu of performance. If the maintenance or
reconstruction cannot be so provided or if the Chief determines that
maintenance or reconstruction by a user would not be practical, the
Chief may require that sufficient funds be deposited by the user to
provide his portion of the total maintenance or reconstruction costs.
Deposits made to cover maintenance or reconstruction of roads shall be
used for the purposes deposited, except that:
(i) Deposits received for work on adjacent and overlapping areas may
be combined when it is the most practicable and efficient manner of
performing the work, and cost thereof may be determined by estimates,
and
(ii) Unexpended balances upon accomplishment of the purposes for
which deposited shall be transferred to miscellaneous receipts or
refunded.
(e) Deposits for making delayed payments to cooperator. Any fees or
other collections received by the Chief under the terms of an agreement
or other document providing for delayed payments to the Government's
cooperator for use of a road shall be placed in a fund available for
making these payments.
[39 FR 27649, July 31, 1974, as amended at 42 FR 2957, Jan. 14, 1977; 43
FR 20007, May 10, 1978; 62 FR 58654, Oct. 30, 1997. Redesignated and
amended at 62 FR 58654, Oct. 30, 1997; 66 FR 3217, Jan. 12, 2001; 70 FR
68288, Nov. 9, 2005]
Sec. 212.6 Ingress and egress.
(a) Policy in acquiring and granting access. To assure effective
protection, management, and utilization of lands administered by the
Forest Service and intermingled and adjacent private and public lands,
and for the use and development of the resources upon which communities
within or adjacent to the National Forests are dependent, the Chief
shall as promptly as is feasible obtain needed access thereto and shall
grant appropriate access across National Forest and other lands and
easements administered by the Forest Service to intermingled or adjacent
landowners. Construction, reconstruction or maintenance of a road or
highway requires written authorization.
(b) Actual settlers and other persons residing within the National
Forests and other areas administered by the Forest Service. Actual
settlers and other persons residing within the National Forests and
other areas administered by the Forest Service shall be permitted
ingress and egress over the same and use of existing National Forest
System roads and trails in order to reach their homes and to utilize
their property: Provided, such ingress and egress or use shall conform
to rules and regulations governing the protection and administration of
the lands and the roads or trails to be used.
(c) Others. Entering upon the National Forests and other lands
administered by the Forest Service and use of existing National Forest
System roads and trails shall be permitted for all proper and lawful
purposes subject to compliance with rules and regulations
[[Page 20]]
governing the lands and the roads or trails to be used.
(25 Stat. 357, 26 Stat. 1103, 30 Stat. 35-36, 1233 38 Stat. 430, 46
Stat. 1421, 64 Stat. 82, 72 Stat. 885; as amended, 74 Stat. 215, 78
Stat. 1089; 16 U.S.C. 471, 478, 498, 525, 528-531, 532, 538, 551, 572,
23 U.S.C. 101, 205, 40 U.S.C. 257, 258a et seq.; 42 Atty. Gen. Op. No.
7; Comp. Gen. B-65972, May 19, 1947; 40 Comp. Gen. 372; 41 Comp. Gen. 1;
41 Comp. Gen. 576, and 42 Comp. Gen. 590)
[40 FR 52611, Nov. 11, 1975, as amended at 42 FR 2957, Jan. 14, 1977.
Redesignated at 62 FR 58654, Oct. 30, 1997; 66 FR 3217, Jan. 12, 2001]
Sec. 212.7 Access procurement by the United States.
(a) Existing or proposed forest roads that are or will be part of a
transportation system of a State, county, or other local public road
authority. Forest roads that are or will be part of a transportation
system of a State, county, or other local public road authority and are
on rights-of-way held by a State, county, or other local public road
authority may be constructed, reconstructed, improved, or maintained by
the Forest Service when there is an appropriate agreement with the
State, county, or other local public road authority under 23 U.S.C. 205
and the construction, reconstruction, improvement, or maintenance is
essential to provide safe and economical access to National Forest
System lands.
(b) Acquisition of easements and rights of use. Except as otherwise
provided in the regulations of this part, easements for road and trail
construction across non-Federal lands and easements or rights of use
over non-Federal roads and trails will be acquired in the name of the
United States of America and its assigns. The easements or rights of use
may be acquired by purchase, condemnation, donation, or as a reciprocal
for permits or easements for roads or trails to be constructed or for
easements over or permits to use existing roads or trails.
(c) Methods of compensation for easements and rights of use acquired
by the United States. Compensation in negotiated acquisitions may be:
(1) By payment from appropriated funds;
(2) Pursuant to reservation in the grant of easement to the United
States whereby the grantor reserves the right to require haulers of
Federal timber or other Federal products over the road conveyed or
thereafter constructed by the grantor to make payments to the grantor in
accordance with the terms of the reservation;
(3) By granting reciprocal rights; or
(4) By a combination of these methods.
(d) Cooperative construction and use agreements. Where areas, partly
lands administered by the Forest Service and partly private or other
ownership are undeveloped or inadequately developed by roads, the Chief
will, to the extent feasible and advantageous to the United States, join
in planning, constructing, reconstructing, improving, maintaining, and
using an adequate road system on the basis of each party bearing the
proportion of the cost attributable to the anticipated benefits as set
forth in Sec. 212.9.
(e) Condemnation. Where access across non-Federal land or over a
non-Federal road or trail cannot be obtained through negotiations with
reasonable promptness, condemnation will be undertaken.
(f) Access over non-Federal land and use of non-Federal roads or
trails on a temporary basis. The Chief may negotiate a temporary
agreement for access over non-Federal land and for use of an existing
non-Federal road or trail where there is immediate need for temporary
access for limited purposes that can be economically met by such
procedure, or where the foreseeable need does not justify the
expenditures necessary to provide a permanent road or trail.
(g) Use and control of interests in roads, trails, and easements
acquired by the United States. Interests in roads, trails, and easements
acquired by the United States shall be under the control of the United
States, subject to approved reservations, limitations and other
provisions set forth in the easement, permit, or other indenture. This
control by the United States may include restricting or conditioning the
use of the interest owned by the United States in the
[[Page 21]]
road, trail, or easement where necessary.
(25 Stat. 357, 26 Stat. 1103, 30 Stat. 35-36, 1233, 38 Stat. 430, 46
Stat. 1421, 64 Stat. 82, 72 Stat. 885, as amended, 74 Stat. 215, 78
Stat. 1089; 16 U.S.C. 471, 478, 498, 525, 528-531, 532, 551, 572, 23
U.S.C. 101, 205, 40 U.S.C. 257, 258a et seq.; 42 Atty. Gen. Op. No. 7;
Comp. Gen. B-65972, May 19, 1947; 40 Comp. Gen. 372; 41 Comp. Gen. 1; 41
Comp. Gen. 576, and 42 Comp. Gen. 590)
[30 FR 5476, Apr. 16, 1965, as amended at 39 FR 27650, July 31, 1974; 62
FR 58654, Oct. 30, 1997. Redesignated and amended at 62 FR 58654, Oct.
30, 1997; 66 FR 3217, Jan. 12, 2001; 70 FR 68288, Nov. 9, 2005]
Sec. 212.8 Permission to cross lands and easements owned by the United States
and administered by the Forest Service.
(a) Permission to construct or use roads across lands and assignable
easements owned by the United States and administered by the Forest
Service. If a reciprocal benefit is needed by the United States,
permission to construct or use a road across lands and across assignable
easements owned by the United States and administered by the Forest
Service will be conditioned, except as provided in this section, for any
applicant who seeks a permit to construct or use a road across the same,
upon the grant to the United States of a reciprocal benefit. Such
benefit shall bear:
(1) A reasonable relation to the management of lands administered by
the Forest Service; and
(2) A value substantially similar to the value of the estate or
interest in lands or easements applied for. In those instances where the
values of the interests needed by the United States exceed those applied
for by the applicant, the additional interests required by the United
States will be acquired as provided in Sec. 212.7(b) and (c). Where
values needed by the applicant exceed those needed by the United States,
the difference in values will be determined under principles set forth
below and in Sec. Sec. 212.5(c) and 212.9. If a reciprocal benefit is
not needed by the United States, or the applicant shows good cause why
the reciprocal benefit needed by the United States cannot or should not
be granted by him, or the applicant declines to grant the reciprocal
benefit requested by the United States or if a bona fide emergency
exists, permission to construct or use a road across lands owned by the
United States may be conditioned for any applicant upon reasonable
charges and all other terms and conditions required by the Chief to
protect the interests of the United States. Permits for such road
construction or use will be non-exclusive and will be conditioned upon
compliance with their terms and conditions and with the rules and
regulations governing the protection and administration of the lands and
those applicable to such roads.
(b) [Reserved]
(c) Replacement of prior grants. (1) Upon application to the Chief,
an easement under the Act of March 3, 1899 (30 Stat. 1233, 16 U.S.C.
525), shall be replaced by an easement under paragraph (d) of this
section.
(2) Upon application to the Chief, an easement shall be granted
under paragraph (d) of this section as a replacement for any
stipulations for ingress and egress issued under the Act of June 4, 1897
or permit or other document evidencing the applicant's right to use a
road: Provided, The applicant has met the requirements for obtaining
such easement as set forth in paragraph (d) of this section.
(d) Easements for roads crossing lands or easements administered by
the Forest Service. (1) Applications for permanent or temporary
easements for specified periods or otherwise to be granted under the Act
of October 13, 1964 (78 Stat. 1039, 16 U.S.C. 533), over lands or
easements administered by the Forest Service, or over roads thereon will
be approved by the Chief for those applicants who have conveyed or
provided appropriate easements over roads, assignable easements and
lands owned or controlled by them to the United States of America and
its assigns and who have already constructed, or will, as scheduled by
agreement, construct their proportionate share of the road or road
system of which the segments described in the application are parts. The
Chief, after approval of the application and the grant of the easement,
will cause the same to be entered in the records of the Forest Service,
and delivered to the applicant.
[[Page 22]]
(2) Notwithstanding paragraph (d)(1) of this section, the Chief may
grant to the applicant a permanent or temporary easement for specified
periods or otherwise upon such exchange of easements or share-cost
arrangement or other reasonable consideration as he may deem
appropriate.
(3) The Chief may grant to a State or local subdivision thereof;
easements for roads over lands or easements administered by the Forest
Service and over roads thereon, when the roads thereon or roads to be
constructed thereon will serve said lands and are, or will become a part
of the road system maintained by such State or local subdivision for
general public use: Provided, That easements shall not be granted under
authority of this act (78 Stat. 1089), 16 U.S.C. 533 which may be
granted under the Highway Act (72 Stat. 916, 23 U.S.C. 317), as amended.
The easements shall contain such provisions, terms, and conditions as
the Chief may determine are necessary to retain and protect the
interests needed by the United States.
(4) All instruments affecting permanent interests in land executed
pursuant to this paragraph (d) of this section shall be recorded in each
county where the lands are located. Copies of all instruments affecting
interests in lands reserved from public domain shall be furnished by the
Chief to the Secretary of the Interior.
(5) The Chief may terminate any easement granted under the
provisions of the Act of October 13, 1964 (78 Stat. 1089, 16 U.S.C.
534),
(i) By consent of the owner of the easement,
(ii) By condemnation, or
(iii) Upon abandonment after nonuse by the owner of the easement for
a period of 5 years. Before any easement is terminated for nonuse or
abandonment, the owner of the easement must be given notice and, upon
his request made within 60 days after receipt of the notice, a hearing
in accordance with the provisions of 36 CFR part 211, subpart B.
(25 Stat. 357, 26 Stat. 1103, 30 Stat. 35-36, 1233, 38 Stat. 430, 46
Stat. 1421, 64 Stat. 82, 72 Stat. 885, as amended, 74 Stat. 215, 78
Stat. 1089; 16 U.S.C. 471, 478, 498, 525, 528-531, 532, 538, 551, 572,
23 U.S.C. 101, 205, 40 U.S.C. 257, 258a et seq.; 42 Atty. Gen. Op. No.
7; Comp. Gen. B-65972, May 19, 1947; 40 Comp. Gen. 372; 41 Comp. Gen. 1;
41 Comp. Gen. 576, and 42 Comp. Gen. 590)
[30 FR 5476, Apr. 16, 1965, as amended at 39 FR 27650, July 31, 1974; 48
FR 28638, June 23, 1983. Redesignated and amended at 62 FR 58654, Oct.
30, 1997]
Sec. 212.9 Principles for sharing use of roads.
The use of roads under arrangements for sharing costs or performance
shall be in accordance with the following:
(a) Road improvement. Use of a road for commercial hauling, except
occasional or minor amounts, will be conditioned upon improvement or
supplemental construction of the road to safety and economically serve
the contemplated use, unless the Chief determines that the safety and
economy of the established and foreseeable use by the United States, its
users and cooperators will not be impaired by the use for which
application is being made. With the consent of the Chief the applicant
may deposit funds in the estimated amount required for the improvements
or supplemental construction in lieu of performance. Such funds will be
used by the Forest Service to do the planned work. The cost of the
improvements or supplemental construction will be taken into account in
determining any otherwise required contribution to cover the
proportionate share of the cost of road acquisition, construction,
reconstruction or improvement attributable to the use.
(b) Corresponding benefits. Corresponding benefits which may be
accepted by the Chief for sharing road use will be those which bear a
reasonable relation to the management of lands administered by the
Forest Service. They may be in the form of:
(1) Deposit of funds with the Forest Service for use in paying the
cost of road construction, reconstruction, or improvement to be borne by
the user;
[[Page 23]]
(2) The grant of a reciprocal right of substantially similar value
to the road use sought;
(3) Construction, reconstruction, or improvement by applicant of a
road needed for access to and use of lands administered by the Forest
Service; or (4) any combination of these.
(c) Cost determinations for roads cooperatively constructed under
agreements. When roads are constructed under cooperative agreements to
meet mutual needs of the United States and others for access,
determinations of the shares of costs to be borne by the United States
and the cooperating parties will include consideration of:
(1) The standard of road required for the planned hauling;
(2) The share of planned use;
(3) The location and volume of tributary timber owned by each party
and expected to be hauled over the road or roads;
(4) The tributary areas owned or controlled by each party;
(5) Expected use by the public; and
(6) Other appropriate considerations.
(d) Cost recovery by the United States from others. When roads are
used under permit for commercial hauling instead of under cooperative
agreement, any cost to be recovered by the United States will be
calculated in proportion to the planned use of the road. The road cost
used in such calculation will be the amount or estimated amount expended
in the acquisition, construction, reconstruction, and improvement of
that capacity of the road required to serve the use needs of all parties
that are or reasonably can be expected to use the road. The road costs
shall not exceed the replacement value of the road. Such road share-cost
payments will be through deposits in advance of use unless the user
provides a payment bond satisfactory to the Chief guaranteeing that
payments will be made promptly upon billing by the Forest Service.
(e) Cost sharing with a cooperator. The costs to achieve the agreed
upon road or road system may be met by:
(1) Use of appropriated funds;
(2) Construction, reconstruction, or improvement of roads or
segments of roads by purchasers of products from lands administered by
the Forest Service or other users;
(3) Use of deposits made by cooperator with the Forest Service to
cover cooperator's agreed share;
(4) Agreement with cooperator pursuant to which cooperator does more
than his agreed share of constructing, reconstructing, or improving a
road and recovers costs incurred in excess of his agreed share by
charging purchasers of products from lands administered by the Forest
Service an equitable amount within the limits and to the total amount
specified in the agreement; or
(5) A combination of the aforementioned methods.
(f) Road maintenance and resurfacing. Cooperators will share the
road maintenance and resurfacing costs under suitable agreements to
perform, arrange for performance by others, or by making deposits with
the Forest Service which will be used to pay the cost of work necessary
to keep such roads in satisfactory condition commensurate with use
requirements of each cooperator. No cooperator shall be required to
perform or bear such costs other than those occasioned by its individual
use. Other users will bear costs in accordance with Sec. 212.5(d).
(g) Interests to be acquired by the United States in roads or
easements therefor. Where the United States is to bear or share the cost
of constructing or improving, or acquiring a road system, a road, or a
segment thereof, or acquires an easement therefor, the interest acquired
will:
(1) Be for perpetual use unless the road use falls within the
limited classes where temporary roads or roads for limited periods are
acceptable;
(2) Provide adequately for foreseeable management, protection, and
utilization needs of lands administered by the Forest Service and
intermingled and adjacent private and public lands and for the use and
development of the resources upon which communities within or adjacent
to the National Forest are dependent; and
(3) not be subject to conditions, reservations, or convenants
unrelated to the road use, or which seek or might
[[Page 24]]
tend to direct or limit policies and procedures for management of lands
administered by the Forest Service.
(25 Stat. 357, 26 Stat. 1103, 30 Stat. 35-36, 1233, 38 Stat. 430, 46
Stat. 1421, 64 Stat. 82, 72 Stat. 885, as amended, 74 Stat. 215, 78
Stat. 1089; 16 U.S.C. 471, 478, 498, 525, 528-531, 532, 538, 551, 572,
23 U.S.C. 101, 205, 40 U.S.C. 257, 258a et seq.; 42 Atty. Gen. Op. No.
7; Comp. Gen. B-65972, May 19, 1947; 40 Comp. Gen. 372; 41 Comp. Gen. 1;
41 Comp. Gen. 576, and 42 Comp. Gen. 590)
[30 FR 5478, Apr. 16, 1965, as amended at 39 FR 27650, July 31, 1974.
Redesignated and amended at 62 FR 58654, Oct. 30, 1997]
Sec. 212.10 Maximum economy National Forest System roads.
The Chief may acquire, construct, reconstruct, improve, and maintain
National Forest System roads within and near the National Forests and
other lands administered by the Forest Service in locations and
according to specifications which will permit maximum economy in
harvesting timber from such lands tributary to such roads and at the
same time meet the requirements for protection, development, and
management thereof and for utilization of the other resources thereof.
Financing of such roads may be accomplished--
(a) By the Chief utilizing appropriated funds,
(b) By requirements on purchasers of National Forest timber and
other products, including provisions for amortization of road costs in
contracts,
(c) By cooperative financing with other public agencies and with
private agencies or persons, or
(d) By a combination of these methods, provided that where roads are
to be constructed at a higher standard than the standard--consistent
with applicable environmental laws and regulations--that is sufficient
for harvesting and removal of National Forest timber and other products
covered by a particular sale, the purchaser of the timber and other
products shall not be required to bear the part of the cost necessary to
meet the higher standard, and the Chief may make such arrangements to
achieve this end as may be appropriate.
(25 Stat. 357, 26 Stat. 1103, 30 Stat. 35-36, 1233, 38 Stat. 430, 46
Stat. 1421, 64 Stat. 82, 72 Stat. 885, as amended, 74 Stat. 215, 78
Stat. 1089; 16 U.S.C. 471, 478, 498, 525, 528-531, 532, 538, 551, 572,
23 U.S.C. 101, 205, 40 U.S.C. 257, 258a et seq.; 42 Atty. Gen. Op. No.
7; Comp. Gen. B-65972, May 19, 1947; 40 Comp. Gen. 372; 41 Comp. Gen. 1;
41 Comp. Gen. 576, and 42 Comp. Gen. 590)
[30 FR 5479, Apr. 16, 1965. Redesignated at 62 FR 58654, Oct. 30, 1997;
66 FR 3217, Jan. 12, 2001; 70 FR 68288, Nov. 9, 2005]
Sec. Sec. 212.11-212.20 [Reserved]
Sec. 212.21 Pacific Crest National Scenic Trail.
The Pacific Crest National Scenic Trail as defined by the National
Trails Systems Act, 82 Stat. 919, shall be administered primarily as a
footpath and horseback riding trail by the Forest Service in
consultation with the Secretary of the Interior. The use of motorized
vehicles may be authorized by the Federal Agency administering the
segment of trail involved when use of such vehicles is necessary to meet
emergencies or to enable landowners or land users to have reasonable
access to their lands or timber rights.
(82 Stat. 919 (16 U.S.C. 1241 et seq.))
[43 FR 20007, May 10, 1978]
Subpart B_Designation of Roads, Trails, and Areas for Motor Vehicle Use
Authority: 7 U.S.C. 1011(f), 16 U.S.C. 551, E.O. 11644, 11989 (42 FR
26959).
Source: 70 FR 68288, Nov. 9, 2005, unless otherwise noted.
Sec. 212.50 Purpose, scope, and definitions.
(a) Purpose. This subpart provides for a system of National Forest
System roads, National Forest System trails, and areas on National
Forest System lands that are designated for motor vehicle use. After
these roads, trails, and areas are designated, motor vehicle use,
including the class of vehicle and time of year, not in accordance with
these designations is prohibited by 36
[[Page 25]]
CFR 261.13. Motor vehicle use off designated roads and trails and
outside designated areas is prohibited by 36 CFR 261.13.
(b) Scope. The responsible official may incorporate previous
administrative decisions regarding travel management made under other
authorities, including designations and prohibitions of motor vehicle
use, in designating National Forest System roads, National Forest System
trails, and areas on National Forest System lands for motor vehicle use
under this subpart.
(c) For definitions of terms used in this subpart, refer to Sec.
212.1 in subpart A of this part.
Sec. 212.51 Designation of roads, trails, and areas.
(a) General. Motor vehicle use on National Forest System roads, on
National Forest System trails, and in areas on National Forest System
lands shall be designated by vehicle class and, if appropriate, by time
of year by the responsible official on administrative units or Ranger
Districts of the National Forest System, provided that the following
vehicles and uses are exempted from these designations:
(1) Aircraft;
(2) Watercraft;
(3) Over-snow vehicles (see Sec. 212.81);
(4) Limited administrative use by the Forest Service;
(5) Use of any fire, military, emergency, or law enforcement vehicle
for emergency purposes;
(6) Authorized use of any combat or combat support vehicle for
national defense purposes;
(7) Law enforcement response to violations of law, including
pursuit; and
(8) Motor vehicle use that is specifically authorized under a
written authorization issued under Federal law or regulations.
(b) Motor vehicle use for dispersed camping or big game retrieval.
In designating routes, the responsible official may include in the
designation the limited use of motor vehicles within a specified
distance of certain forest roads or trails where motor vehicle use is
allowed, and if appropriate within specified time periods, solely for
the purposes of dispersed camping or retrieval of a downed big game
animal by an individual who has legally taken that animal.
[70 FR 68288, Nov. 9, 2005, as amended at 73 FR 74613, Dec. 9, 2008]
Sec. 212.52 Public involvement.
(a) General. The public shall be allowed to participate in the
designation of National Forest System roads, National Forest System
trails, and areas on National Forest System lands and revising those
designations pursuant to this subpart. Advance notice shall be given to
allow for public comment, consistent with agency procedures under the
National Environmental Policy Act, on proposed designations and
revisions. Public notice with no further public involvement is
sufficient if a National Forest or Ranger District has made previous
administrative decisions, under other authorities and including public
involvement, which restrict motor vehicle use over the entire National
Forest or Ranger District to designated routes and areas, and no change
is proposed to these previous decisions and designations.
(b) Absence of public involvement in temporary, emergency closures--
(1) General. Nothing in this section shall alter or limit the authority
to implement temporary, emergency closures pursuant to 36 CFR part 261,
subpart B, without advance public notice to provide short-term resource
protection or to protect public health and safety.
(2) Temporary, emergency closures based on a determination of
considerable adverse effects. If the responsible official determines
that motor vehicle use on a National Forest System road or National
Forest System trail or in an area on National Forest System lands is
directly causing or will directly cause considerable adverse effects on
public safety or soil, vegetation, wildlife, wildlife habitat, or
cultural resources associated with that road, trail, or area, the
responsible official shall immediately close that road, trail, or area
to motor vehicle use until the official determines that such adverse
effects have been mitigated or eliminated and that measures have been
implemented to prevent future recurrence. The responsible official shall
provide public notice of the closure pursuant to 36 CFR 261.51,
including
[[Page 26]]
reasons for the closure and the estimated duration of the closure, as
soon as practicable following the closure.
Sec. 212.53 Coordination with Federal, State, county, and other local
governmental entities and tribal governments.
The responsible official shall coordinate with appropriate Federal,
State, county, and other local governmental entities and tribal
governments when designating National Forest System roads, National
Forest System trails, and areas on National Forest System lands pursuant
to this subpart.
Sec. 212.54 Revision of designations.
Designations of National Forest System roads, National Forest System
trails, and areas on National Forest System lands pursuant to Sec.
212.51 may be revised as needed to meet changing conditions. Revisions
of designations shall be made in accordance with the requirements for
public involvement in Sec. 212.52, the requirements for coordination
with governmental entities in Sec. 212.53, and the criteria in Sec.
212.55, and shall be reflected on a motor vehicle use map pursuant to
Sec. 212.56.
Sec. 212.55 Criteria for designation of roads, trails, and areas.
(a) General criteria for designation of National Forest System
roads, National Forest System trails, and areas on National Forest
System lands. In designating National Forest System roads, National
Forest System trails, and areas on National Forest System lands for
motor vehicle use, the responsible official shall consider effects on
National Forest System natural and cultural resources, public safety,
provision of recreational opportunities, access needs, conflicts among
uses of National Forest System lands, the need for maintenance and
administration of roads, trails, and areas that would arise if the uses
under consideration are designated; and the availability of resources
for that maintenance and administration.
(b) Specific criteria for designation of trails and areas. In
addition to the criteria in paragraph (a) of this section, in
designating National Forest System trails and areas on National Forest
System lands, the responsible official shall consider effects on the
following, with the objective of minimizing:
(1) Damage to soil, watershed, vegetation, and other forest
resources;
(2) Harassment of wildlife and significant disruption of wildlife
habitats;
(3) Conflicts between motor vehicle use and existing or proposed
recreational uses of National Forest System lands or neighboring Federal
lands; and
(4) Conflicts among different classes of motor vehicle uses of
National Forest System lands or neighboring Federal lands.
In addition, the responsible official shall consider:
(5) Compatibility of motor vehicle use with existing conditions in
populated areas, taking into account sound, emissions, and other
factors.
(c) Specific criteria for designation of roads. In addition to the
criteria in paragraph (a) of this section, in designating National
Forest System roads, the responsible official shall consider:
(1) Speed, volume, composition, and distribution of traffic on
roads; and
(2) Compatibility of vehicle class with road geometry and road
surfacing.
(d) Rights of access. In making designations pursuant to this
subpart, the responsible official shall recognize:
(1) Valid existing rights; and
(2) The rights of use of National Forest System roads and National
Forest System trails under Sec. 212.6(b).
(e) Wilderness areas and primitive areas. National Forest System
roads, National Forest System trails, and areas on National Forest
System lands in wilderness areas or primitive areas shall not be
designated for motor vehicle use pursuant to this section, unless, in
the case of wilderness areas, motor vehicle use is authorized by the
applicable enabling legislation for those areas.
Sec. 212.56 Identification of designated roads, trails, and areas.
Designated roads, trails, and areas shall be identified on a motor
vehicle use map. Motor vehicle use maps shall be made available to the
public at the headquarters of corresponding administrative units and
Ranger Districts of the National Forest System and, as
[[Page 27]]
soon as practicable, on the website of corresponding administrative
units and Ranger Districts. The motor vehicle use maps shall specify the
classes of vehicles and, if appropriate, the times of year for which use
is designated.
Sec. 212.57 Monitoring of effects of motor vehicle use on designated roads
and trails and in designated areas.
For each administrative unit of the National Forest System, the
responsible official shall monitor the effects of motor vehicle use on
designated roads and trails and in designated areas under the
jurisdiction of that responsible official, consistent with the
applicable land management plan, as appropriate and feasible.
Subpart C_Use by Over-Snow Vehicles
Authority: 7 U.S.C. 1011(f), 16 U.S.C. 551, E.O. 11644, 11989 (42 FR
26959).
Source: 70 FR 68290, Nov. 9, 2005, unless otherwise noted.
Sec. 212.80 Purpose, scope, and definitions.
The purpose of this subpart is to provide for regulation of use by
over-snow vehicles on National Forest System roads and National Forest
System trails and in areas on National Forest System lands. For
definitions of terms used in this subpart, refer to Sec. 212.1 in
subpart A of this part.
Sec. 212.81 Use by over-snow vehicles.
(a) General. Use by over-snow vehicles on National Forest System
roads and National Forest System trails and in areas on National Forest
System lands may be allowed, restricted, or prohibited.
(b) Exemptions from restrictions and prohibitions. The following
uses are exempted from restrictions and prohibitions on use by over-snow
vehicles:
(1) Limited administrative use by the Forest Service;
(2) Use of any fire, military, emergency, or law enforcement vehicle
for emergency purposes;
(3) Authorized use of any combat or combat support vehicle for
national defense purposes;
(4) Law enforcement response to violations of law, including
pursuit; and
(5) Use by over-snow vehicles that is specifically authorized under
a written authorization issued under Federal law or regulations.
(c) Establishment of restrictions and prohibitions. If the
responsible official proposes restrictions or prohibitions on use by
over-snow vehicles under this subpart, the requirements governing
designation of National Forest System roads, National Forest System
trails, and areas on National Forest System lands in Sec. Sec. 212.52,
212.53, 212.54, 212.55, 212.56, and 212.57 shall apply to establishment
of those restrictions or prohibitions. In establishing restrictions or
prohibitions on use by over-snow vehicles, the responsible official
shall recognize the provisions concerning rights of access in sections
811(b) and 1110(a) of the Alaska National Interest Lands Conservation
Act (16 U.S.C. 3121(b) and 3170(a), respectively).
PART 213_ADMINISTRATION OF LANDS UNDER TITLE III OF THE BANKHEAD-JONES FARM
TENANT ACT BY THE FOREST SERVICE--Table of Contents
Sec.
213.1 Designation, administration, and development of National
Grasslands.
213.2 Authority for Chief, Forest Service, to group, define, and name
national grasslands.
213.3 Protection, occupancy, use, administration, and exercise of
reservations.
213.4 Prior rules and regulations superseded.
Authority: 50 Stat. 525, as amended; 7 U.S.C. 1010-1012.
Sec. 213.1 Designation, administration, and development of National
Grasslands.
(a) The land utilization projects administered by Department of
Agriculture designated in paragraph (e) of this section hereafter shall
be named and referred to as National Grasslands.
(b) The National Grasslands shall be a part of the National Forest
system and permanently held by the Department of Agriculture for
administration under the provisions and purposes of title III of the
Bankhead-Jones Farm Tenant Act.
[[Page 28]]
(c) The National Grasslands shall be administered under sound and
progressive principles of land conservation and multiple use, and to
promote development of grassland agriculture and sustained-yield
management of the forage, fish and wildlife, timber, water and
recreational resources in the areas of which the National Grasslands are
a part.
(d) In the administration of the National Grasslands the resources
shall be managed so as to maintain and improve soil and vegetative
cover, and to demonstrate sound and practical principles of land use for
the areas in which they are located. The Chief of the Forest Service
shall, to the extent such action is feasible provide that policies for
management of the Federally-owned lands exert a favorable influence for
securing sound land conservation practices on associated private lands.
(e) National Grasslands in the following States and counties are
hereby grouped and designated as indicated:
------------------------------------------------------------------------
State in which grassland is Counties where
located National grassland located
------------------------------------------------------------------------
California...................... Butte Valley...... Siskiyou.
Colorado........................ Pawnee............ Weld.
Comanche.......... Baca, Los Animas,
Otero.
Idaho........................... Curlew............ Oneida, Power.
Kansas.......................... Cimarron.......... Morton, Stevens.
Nebraska........................ Oglala............ Dawes, Sioux.
New Mexico...................... Kiowa............. Colfax, Harding,
Mora, Union.
North Dakota.................... Cedar River....... Grant, Sioux.
Sheyenne.......... Ransom, Richland.
Little Missouri... Billings, Golden
Valley, McKenzie,
Slope.
Oklahoma........................ Rita Blanca....... Cimarron.
Oklahoma-Texas.................. Black Kettle...... Roger Mills
(Okla.), Hemphill
(Tex.).
Oregon.......................... Crooked River..... Jefferson.
South Dakota.................... Buffalo Gap....... Custer, Fall
River, Jackson,
Pennington.
Grand River....... Corson, Perkins,
Ziebach.
Fort Pierre....... Jones, Lyman,
Stanley.
Texas........................... Lyndon B. Johnson. Montague, Wise.
Rita Blanca....... Dallas.
Caddo............. Fannin.
McClellan Creek... Gray.
Wyoming......................... Thunder Basin..... Campbell,
Converse, Crook,
Niobrara, Weston.
------------------------------------------------------------------------
[25 FR 5845, June 24, 1960, as amended at 27 FR 12217, Dec. 11, 1962; 28
FR 6268, June 19, 1963; 41 FR 38164, Sept. 9, 1976; 56 FR 8280, Feb. 28,
1991]
Sec. 213.2 Authority for Chief, Forest Service, to group, define, and name
national grasslands.
The Chief, Forest Service, is authorized to group the national
grasslands into administrative units, define, change or modify their
boundaries, and to provide such specific designations therefor as he
finds necessary and desirable for effective and economical
administration thereof and for public and official reference thereto.
[33 FR 12370, Sept. 4, 1968]
Sec. 213.3 Protection, occupancy, use, administration, and exercise of
reservations.
(a) The rules and regulations applicable to the national forests as
set forth in title 36, Code of Federal Regulations, or as hereafter
amended, supplemented, or promulgated, are hereby adopted as the rules
and regulations to govern the exercise of reservations in conveyances to
the United States and to prevent trespasses on and otherwise regulate
the protection, use, occupancy, and administration of the National
Grasslands and all other lands administered by the Forest Service under
the provisions of title III of the Bankhead-Jones Farm Tenant Act
insofar as is practical and consistent with said act: Provided, That
Forest Service officers may continue under delegated authority to
acquire lands, to make exchanges, to grant easements and enter into
leases, permits, agreements, contracts and memoranda of understanding
involving such lands under such terms and conditions and for such
consideration, fees or rentals as authorized by title III of the said
Act.
(b) Existing valid rights, reservations easements, leases, permits,
agreements, contracts and memoranda of understanding affecting these
lands shall continue in full force and effect so long as they remain
valid in accordance with the terms thereof.
[27 FR 9217, Sept. 18, 1962]
Sec. 213.4 Prior rules and regulations superseded.
Except as provided in Sec. 213.3, the rules and regulations
heretofore issued for the land utilization projects are hereby
[[Page 29]]
superseded as to all such projects administered by the Forest Service,
but not as to such project lands administered by other agencies.
[27 FR 9217, Sept. 18, 1962]
PART 215_NOTICE, COMMENT, AND APPEAL PROCEDURES FOR NATIONAL FOREST SYSTEM
PROJECTS AND ACTIVITIES--Table of Contents
Sec.
215.1 Purpose and scope.
215.2 Definitions.
215.3 Proposed actions subject to legal notice and opportunity to
comment.
215.4 Actions not subject to legal notice and opportunity to comment.
215.5 Legal notice of proposed actions.
215.6 Comments on proposed actions.
215.7 Legal notice of decision.
215.8 Appeal Deciding Officer.
215.9 Decision implementation.
215.10 Emergency situations.
215.11 Decisions subject to appeal.
215.12 Decisions and actions not subject to appeal.
215.13 Who may appeal.
215.14 Appeal content.
215.15 Appeal time periods and process.
215.16 Dismissal of appeal without review.
215.17 Informal disposition.
215.18 Formal review and disposition procedures.
215.19 Appeal Reviewing Officer.
215.20 Secretary's authority.
215.21 Judicial proceedings.
215.22 Applicability and effective date.
Authority: 16 U.S.C. 472, 551; sec. 322, Pub. L. 102-381 (Appeals
Reform Act), 106 Stat. 1419 (16 U.S.C. 1612 note).
Source: 68 FR 33595, June 4, 2003, unless otherwise noted.
Sec. 215.1 Purpose and scope.
(a) Purpose. The rules of this part have two purposes. First, this
part establishes a process by which the public receives notice and is
provided an opportunity to comment on proposed actions for projects and
activities implementing a land and resource management plan prior to a
decision by the Responsible Official. Second, this part establishes an
appeal process and identifies the decisions that may be appealed, who
may appeal those decisions, the responsibilities of the participants in
an appeal, and the procedures that apply for the prompt disposition of
the appeal.
(b) Scope. The notice of proposed actions and opportunity to comment
provides an opportunity for the public to provide meaningful input prior
to the decision on projects and activities implementing land and
resource management plans. The rules of this part complement, but do not
replace, numerous other opportunities to participate in and influence
the agency's project and activity planning, such as those provided by
the National Environmental Policy Act of 1969 (NEPA) implementing
regulations and procedures at 40 CFR parts 1500-1508, the National
Forest Management Act (NFMA) implementing regulations at part 219, and
the pertinent requirements at part 216 regarding notice and comment for
certain Forest Service Manual (FSM) directives. The appeal process is
available to those who submit substantive comments during the comment
period. Appeal disposition constitutes the final administrative
determination of the United States Department of Agriculture. Throughout
this part, references to decisions which affect an authorized use or
occupancy of National Forest System lands and meet all other applicable
requirements of this part, are subject to appeal by the holders of such
authorizations under either this part or part 251, subpart C, but not
under both parts. In addition, certain other parties meeting
requirements of Sec. 251.86 may also be eligible to appeal projects
under either this part or part 251, subpart C, but not under both parts.
Sec. 215.2 Definitions.
Address--An individual's or organization's current physical mailing
address. An e-mail address is insufficient for identification.
Appeal--The written document filed with an Appeal Deciding Officer
by someone seeking review of a decision.
Appeal Deciding Officer--The Secretary of Agriculture (USDA) or the
USDA or Forest Service designee having the delegated authority and
responsibility to render a decision on an appeal filed under this part.
The Appeal Deciding Officer is the next higher-level supervisor of the
Responsible Official.
[[Page 30]]
Appeal disposition--Either a written appeal decision or written
notification in cases where the original decision is the final agency
action and no appeal decision is issued.
Appeal period--The 45-calendar-day period following publication of
the legal notice in the newspaper of record of a decision during which
an appeal may be filed with the Appeal Deciding Officer.
Appeal record--The information upon which review of an appeal is
conducted, consisting of the transmittal letter, the appeal, decision
documentation, the legal notice of decision, the Responsible Official's
documentation of the informal disposition meeting, and the Appeal
Reviewing Officer's recommendation.
Appeal Reviewing Officer--A Forest Service line officer or USDA
official who reviews an appeal and makes a written recommendation to the
Appeal Deciding Officer on disposition of the appeal.
Appellant--An individual or organization filing an appeal who
submitted substantive oral or written comments during the comment period
on a specific project or activity.
Categorically excluded (CE)--Proposed actions, which do not
individually or cumulatively have a significant effect on the human
environment and for which neither an environmental impact statement
(EIS) nor an environmental assessment (EA) is required (40 CFR 1508.4;
FSH 1909.15, Chapter 30).
Comment period--The 30-calendar-day period following publication of
the legal notice in the newspaper of record of a proposed action, during
which the public has the opportunity to provide comments to a
Responsible Official on a proposed action subject to this part, except
for projects requiring an EIS which follow CEQ procedures for notice and
comment (40 CFR parts 1503 and 1506.10; FSH 1909.15, Chapter 20). The
time period is computed using calendar days, including Saturdays,
Sundays, and Federal holidays. However, when the time period expires on
a Saturday, Sunday, or Federal holiday, comments shall be accepted until
the end of the next Federal working day.
Decision documentation--The Decision Notice (DN) or Record of
Decision (ROD) and all relevant environmental and other analysis
documentation and records, including all comment letters received, on
which the Responsible Official bases a decision under appeal.
Decision Notice (DN)--A concise written record of a Responsible
Official's decision based on an environmental assessment and a Finding
of No Significant Impact (FONSI) (40 CFR 1508.13; FSH 1909.15, Chapter
40).
Emergency situation--A situation on National Forest System (NFS)
lands for which immediate implementation of all or part of a decision is
necessary for relief from hazards threatening human health and safety or
natural resources on those NFS or adjacent lands; or that would result
in substantial loss of economic value to the Federal Government if
implementation of the decision were delayed.
Environmental Assessment (EA)--A concise public document that
provides sufficient evidence and analysis for determining whether to
prepare an environmental impact statement (EIS) or a finding of no
significant impact, aids an agency's compliance with the National
Environmental Policy Act (NEPA) when no EIS is necessary, and
facilitates preparation of a statement when one is necessary (40 CFR
1508.9; FSH 1909.15, Chapter 40).
Environmental Impact Statement (EIS)--A detailed written statement
as required by section 102(2)(C) of the National Environmental Policy
Act of 1969 (40 CFR 1508.11; FSH 1909.15, Chapter 20).
Finding of No Significant Impact (FONSI)--A document prepared by a
Federal agency presenting the reasons why an action, not otherwise
excluded, will not have a significant effect on the human environment
and for which an environmental impact statement, therefore, will not be
prepared. It includes the environmental assessment or a summary of it
and shall note any other environmental documents related to it (40
CFR1508.13; FSH 1909.15, Chapter 40).
Forest Service line officer--A Forest Service official who serves in
a direct line of command from the Chief and who has the delegated
authority to make and execute decisions subject to this part.
[[Page 31]]
Lead appellant--For appeals submitted with multiple names, or having
multiple organizations listed, the appellant identified to represent all
other appellants for the purposes of communication, written or
otherwise, regarding the appeal. The use of the generic term
``appellant'' applies to lead appellant also.
Name--The first and last name of an individual or the name of an
organization. An electronic username is insufficient for identification
of an individual or organization.
National Forest System land--All lands, waters or interests therein
administered by the Forest Service (Sec. 251.51).
Newspaper(s) of record--Those principal newspapers of general
circulation annually identified in a list and published in the Federal
Register by each Regional Forester to be used for publishing notices of
projects and activities implementing land and resource management plans.
Projects and activities implementing a land and resource management
plan--Site-specific projects and activities, including those for
research, on National Forest System lands that are approved in a
Decision Notice (DN) or Record of Decision (ROD) by a Forest Service
official.
Proposed action--A proposal made by the Forest Service that is a
project or activity implementing a land and resource management plan on
National Forest System lands and is subject to the notice and comment
provisions of this part.
Record of Decision (ROD)--A document signed by a Responsible
Official recording a decision that was preceded by preparation of an
environmental impact statement (40 CFR 1505.2; FSH 1909.15, Chapter 20).
Responsible Official--The Forest Service employee who has the
delegated authority to make and implement a decision subject to this
part.
Substantive comments--Comments that are within the scope of the
proposed action, are specific to the proposed action, have a direct
relationship to the proposed action and include supporting reasons for
the Responsible Official to consider.
Transmittal letter--The Responsible Official's letter transmitting
the decision documentation. The letter shall include only an index of
the transmitted documents and identification of those portions of the
record that relate to the issues raised.
Sec. 215.3 Proposed actions subject to legal notice and opportunity to
comment.
The legal notice (Sec. 215.5) and opportunity to comment procedures
(Sec. 215.6) apply only to:
(a) Proposed projects and activities implementing land management
plans (Sec. 215.2) for which an environmental assessment (EA) is
prepared, except hazardous fuel reduction projects conducted under
provisions of the Healthy Forests Restoration Act (HFRA), as set out at
part 218, subpart A, of this title.
(b) Proposed projects and activities described in a draft
environmental impact statement (DEIS) for which notice and comment
procedures are governed by 40 CFR parts 1500 through 1508, except
hazardous fuel reduction projects conducted under provisions of the
HFRA, as set out at part 218, subpart A, of this title.
(c) Proposed non-significant amendments to a land and resource
management plan (pursuant to the 1982 planning regulations) that are
included as part of a decision on a proposed action for which an EA is
prepared;
(d) A proposed action resulting in a revision of an EA based on
consideration of new information or changed circumstances (FSH 1909.15,
Chapter 10, section 18) as provided for in Sec. 215.18(b)(1); and
(e) Proposed research activities to be conducted on National Forest
System lands.
[68 FR 33595, June 4, 2003, as amended at 69 FR 1533, Jan. 9, 2004; 73
FR 53712, Sept. 17, 2008]
Sec. 215.4 Actions not subject to legal notice and opportunity to comment.
The procedures for legal notice (Sec. 215.5) and opportunity to
comment (Sec. 215.6) do not apply to:
(a) Projects and activities which are categorically excluded from
documentation in an environmental impact
[[Page 32]]
statement (EIS) or environmental assessment (EA) pursuant to FSH
1909.15, Chapter 30, section 31;
(b) Proposed amendments to, revision of, or adoption of land and
resource management plans that are made separately from any proposed
actions, and which are therefore subject to either the objection process
of Sec. 219.32 or the administrative appeal and review procedures of
part 217 in effect prior to November 9, 2000 (see 36 CFR parts 200 to
299, Revised as of July 1, 2000);
(c) Projects and activities not subject to the provisions of the
National Environmental Policy Act and the implementing regulations at 40
CFR parts 1500-1508 and the National Forest Management Act and the
implementing regulations at 36 CFR part 219;
(d) Determinations by the Responsible Official, after consideration
of new information or changed circumstances, that a revision of the EA
is not required (1909.15, Chapter 10, section 18); and
(e) Rules promulgated in accordance with the Administrative
Procedure Act (5 U.S.C. 551 et seq.) or policies and procedures issued
in the Forest Service Manual and Handbooks (part 216).
(f) Hazardous fuel reduction projects conducted under the provisions
of section 105 of the HFRA, except as provided in part 218, subpart A,
of this title.
[68 FR 33595, June 4, 2003, as amended at 69 FR 1533, Jan. 9, 2004]
Sec. 215.5 Legal notice of proposed actions.
(a) Responsible Official. The Responsible Official shall:
(1) Provide notice of the opportunity to comment on a proposed
action implementing the land and resource management plan.
(2) Determine the most effective timing for publishing the legal
notice of the proposed action and opportunity to comment.
(3) Promptly mail notice about the proposed action to any individual
or organization who has requested it and to those who have participated
in project planning.
(4) Publish a legal notice of the opportunity to comment on a
proposed action as provided for in paragraph (b)(2).
(5) Accept all written and oral comments on the proposed action as
provided for in Sec. 215.6(a)(4).
(6) Identify all substantive comments.
(b) Legal notice of proposed action--(1) Content of legal notice.
All legal notices shall include the following:
(i) The title and brief description of the proposed action.
(ii) A general description of the proposed action's location with
sufficient information to allow the interested public to identify the
location.
(iii) A statement that the Responsible Official is requesting an
emergency situation determination or it has been determined that an
emergency situation exists for the project or activity as provided for
in Sec. 215.10, when applicable.
(iv) For a proposed action to be analyzed and documented in an
environmental assessment (EA), a statement that the opportunity to
comment ends 30 days following the date of publication of the legal
notice in the newspaper of record (Sec. 215.6(a)(2)); legal notices
shall not contain the specific date since newspaper publication dates
may vary.
(v) For a proposed action that is analyzed and documented in a draft
environmental impact statement (EIS), a statement that the opportunity
to comment ends 45 days following the date of publication of the notice
of availability (NOA) in the Federal Register (Sec. 215.6(a)(2)). The
legal notice must be published after the NOA and contain the NOA
publication date.
(vi) A statement that only those who submit timely and substantive
comments will be accepted as appellants.
(vii) The Responsible Official's name, title, telephone number, and
addresses (street, postal, facsimile, and e-mail) to whom comments are
to be submitted and the Responsible Official's office business hours for
those submitting hand-delivered comments (Sec. 215.6(a)(4)(ii)).
(viii) A statement indicating that for appeal eligibility each
individual or representative from each organization submitting
substantive comments
[[Page 33]]
must either sign the comments or verify identity upon request.
(ix) The acceptable format(s) for electronic comments.
(x) Instructions on how to obtain additional information on the
proposed action.
(2) Publication. (i) Through notice published annually in the
Federal Register, each Regional Forester shall advise the public of the
newspaper(s) of record utilized for publishing legal notices required by
this part.
(ii) Legal notice of the opportunity to comment on a proposed action
shall be published in the applicable newspaper of record identified in
paragraph (b)(2)(i) for each National Forest System unit. When the Chief
is the Responsible Official, notice shall also be published in the
Federal Register. The publication date of the legal notice in the
newspaper of record is the exclusive means for calculating the time to
submit comments on a proposed action to be analyzed and documented in an
EA. The publication date of the NOA in the Federal Register is the
exclusive means for calculating the time to submit comments on a
proposed action that is analyzed and documented in a draft EIS.
Sec. 215.6 Comments on proposed actions.
(a) Opportunity to comment--(1) Time period for submission of
comments. (i) Environmental Assessment. Comments on the proposed action
shall be accepted for 30 days following the date of publication of the
legal notice.
(ii) Draft Environmental Impact Statement. Comments on the proposed
action shall be accepted for 45 days following the date of publication
in the Federal Register pursuant to 40 CFR parts 1500-1508.
(iii) It is the responsibility of all individuals and organizations
to ensure that their comments are received in a timely manner as
provided for in paragraph (a)(4).
(iv) The time period for the opportunity to comment on environmental
assessments shall not be extended.
(2) Computation of the comment period. The time period is computed
using calendar days, including Saturdays, Sundays, and Federal holidays.
However, when the time period expires on a Saturday, Sunday, or Federal
holiday, comments shall be accepted until the end of the next Federal
working day (11:59 p.m.).
(i) Environmental Assessment (EA). The 30-day comment period for
proposed actions to be analyzed and documented in an EA begins on the
first day after publication of the legal notice.
(ii) Draft Environmental Impact Statement (EIS). The 45-day comment
period for proposed actions that are analyzed and documented in a draft
EIS begins on the first day after publication of the NOA in the Federal
Register.
(3) Requirements. Individuals and organizations wishing to be
eligible to appeal must provide the following:
(i) Name and address.
(ii) Title of the proposed action.
(iii) Specific substantive comments (Sec. 215.2) on the proposed
action, along with supporting reasons that the Responsible Official
should consider in reaching a decision.
(iv) Signature or other verification of identity upon request;
identification of the individual or organization who authored the
comment(s) is necessary for appeal eligibility.
(A) For appeals listing multiple organizations or multiple
individuals, a signature or other means of verification must be provided
for the individual authorized to represent each organization and for
each individual in the case of multiple names, to meet appeal
eligibility requirements.
(B) Those using electronic means may submit a scanned signature.
Otherwise another means of verifying the identity of the individual or
organizational representative may be necessary for electronically
submitted comments or comments received by telephone.
(v) Individual members of an organization must submit their own
substantive comments to meet the requirements of appeal eligibility;
comments received on behalf of an organization are considered as those
of the organization only.
(vi) Oral comments must be provided at the Responsible Official's
office during normal business hours via telephone or in person, or if
during non-business hours, must be at an official
[[Page 34]]
agency function (such as a public meeting) which is designed to elicit
public comment.
(4) Evidence of timely submission. When there is a question about
timely submission of comments, timeliness shall be determined as
follows:
(i) Written comments must be postmarked by the Postal Service, e-
mailed, faxed, or otherwise submitted (for example, express delivery
service) by 11:59 p.m. on the 30th calendar day following publication of
the legal notice for proposed actions to be analyzed and documented in
an EA or the 45th calendar day following publication of the NOA in the
Federal Register for a draft EIS.
(ii) Hand-delivered comments must be time and date imprinted at the
correct Responsible Official's office by the close of business on the
30th calendar day following publication of the legal notice for proposed
actions to be analyzed and documented in an EA or the 45th calendar day
following publication of the NOA in the Federal Register for a draft
EIS.
(iii) For electronically mailed comments, the sender should normally
receive an automated electronic acknowledgment from the agency as
confirmation of receipt. If the sender does not receive an automated
acknowledgment of the receipt of the comments, it is the sender's
responsibility to ensure timely receipt by other means.
(b) Consideration of comments. (1) The Responsible Official shall
consider all substantive written and oral comments submitted in
compliance with paragraph (a).
(2) All written comments received by the Responsible Official shall
be placed in the project file and shall become a matter of public
record.
(3) The Responsible Official shall document and date all oral
comments received in response to the legal notice (Sec. 215.5) and
place them in the project file.
Sec. 215.7 Legal notice of decision.
(a) The Responsible Official shall promptly mail the Record of
Decision (ROD) or the Decision Notice (DN) and Finding of No Significant
Impact (FONSI) to those who requested the decision document and those
who submitted substantive comments during the comment period (Sec.
215.6).
(b) The Responsible Official shall publish a legal notice of any
decision documented in a ROD or DN in the applicable newspaper of record
(Sec. 215.5(b)(2)). The legal notice shall:
(1) Include the title of the project or activity and a concise
description of the action(s) to be taken, the name and title of the
Responsible Official, and instructions for obtaining a copy of the DN
and FONSI or ROD.
(2) State that the decision is subject to appeal pursuant to 36 CFR
part 215 and include the following:
(i) Name and address of the Appeal Deciding Officer with whom an
appeal is to be filed. The notice shall specify a street, postal, fax,
and e-mail address, the acceptable format(s) for appeals electronically
filed, and the Appeal Deciding Official's office business hours for
those filing hand-delivered appeals.
(ii) A statement that the publication date of the legal notice in
the newspaper of record is the exclusive means for calculating the time
to file an appeal (Sec. 215.15 (a)) and that those wishing to appeal
should not rely upon dates or timeframe information provided by any
other source. An actual date shall not be included in the legal notice.
(iii) A statement that an appeal, including attachments, must be
filed (regular mail, fax, e-mail, hand-delivery, express delivery, or
messenger service) with the appropriate Appeal Deciding Officer (Sec.
215.8) within 45 days following the date of publication of the legal
notice.
(iv) A statement indicating that individuals or organizations who
submitted substantive comments during the comment period (Sec. 215.6)
may appeal.
(v) A statement specifying, when applicable, that the Chief of the
Forest Service, or a designee, has determined that an emergency
situation exists (Sec. 215.10), and which portion of the project is
covered by that determination as provided for in Sec. 215.10.
(vi) A statement indicating how many days following publication of
the decision that implementation may begin (Sec. 215.9), including
those portions covered by an emergency situation determination, if
applicable (Sec. 215.10).
[[Page 35]]
(3) When no substantive comments expressing concerns or only
supportive comments are received, include a statement indicating that
the decision is not subject to appeal pursuant to Sec. 215.12.
Sec. 215.8 Appeal Deciding Officer.
(a) Appropriate Appeal Deciding Officer. Appeals must be filed with
the Appeal Deciding Officer as follows:
------------------------------------------------------------------------
If the responsible official who made the Then the Appeal Deciding
decision is: Officer is:
------------------------------------------------------------------------
Chief..................................... Secretary of Agriculture.
Regional Forester or Station Director..... Chief of the Forest Service.
Forest Supervisor......................... Regional Forester.
District Ranger........................... Forest Supervisor.
------------------------------------------------------------------------
(b) Authority. The Appeal Deciding Officer makes all procedural
determinations. Such determinations are not subject to further
administrative review.
(1) Consolidation of appeal decisions. In cases involving more than
one appeal of a decision, the Appeal Deciding Officer may consolidate
appeals and may issue one or more appeal decisions.
(2) Appeals with multiple names (organization(s) or individuals).
(i) When an appeal lists multiple names, the Appeal Deciding Officer
shall identify all qualified appellants (Sec. 215.13).
(ii) The Appeal Deciding Officer may appoint the first name listed
as the lead appellant (Sec. 215.2) to act on behalf of all parties to
that appeal when the appeal does not specify a lead appellant (Sec.
215.14(b)(3)).
(3) Appeal disposition. (i) The Appeal Deciding Officer shall render
the final disposition on an appeal and notify the appellant(s) in
writing concerning the disposition of the appeal (Sec. 215.15(e)(2)).
(ii) The Appeal Deciding Officer may issue an appeal decision
different from the Appeal Reviewing Officer's recommendation.
Sec. 215.9 Decision implementation.
(a) When no appeal is filed within the 45-day time period,
implementation of the decision may begin on, but not before, the 5th
business day following the close of the appeal-filing period (Sec.
215.15).
(b) Except for emergency situations (Sec. 215.10(c)), when an
appeal is filed, implementation may occur on, but not before, the 15th
business day following the date of appeal disposition (Sec. 215.2). In
the event of multiple appeals of the same decision, the implementation
date is controlled by the date of the last appeal disposition.
(c) When a project or activity decision is not subject to appeal
(Sec. 215.12), implementation may occur as follows:
(1) Immediately after publication (Sec. 215.7(b)) of a decision
documented in a Decision Notice; or
(2) Immediately when documented in a Record of Decision after
complying with the timeframes and publication requirements described in
40 CFR 1506.10(b)(2).
Sec. 215.10 Emergency situations.
(a) Authority. The Chief and the Associate Chief of the Forest
Service are authorized to make the determination that an emergency
situation (Sec. 215.2) exists, and they may delegate this authority
only to the Deputy Chief for National Forest System and to the Regional
Foresters. Persons acting in these positions may exercise this authority
only when they are filling vacant positions and they have been formally
delegated full acting authority for the positions. Persons acting in
positions during temporary absences of the incumbents shall not be
delegated this authority to make emergency situation determinations.
(b) Determination. The determination that an emergency situation
exists shall be based on an examination of the relevant information.
During the review, additional information may be requested.
(c) Implementation. When it is determined that an emergency
situation exists with respect to all or part of the decision,
implementation may proceed as follows:
(1) Immediately after publication (Sec. 215.7(b)) of a decision
documented in a Decision Notice, for that portion of the decision
determined to be an emergency.
(2) Immediately when documented in a Record of Decision, after
complying with the timeframes and publication requirements described in
40 CFR 1506.10(b)(2), for that portion of the decision determined to be
an emergency.
[[Page 36]]
(d) Notification. The Responsible Official shall notify the public
in the legal notice of the decision (Sec. 215.7) that the Forest
Service made a determination that all or part of a project decision is
an emergency situation.
Sec. 215.11 Decisions subject to appeal.
The following decisions are subject to appeal under this part:
(a) Decisions for projects and activities implementing land and
resource management plans (Sec. 215.2) documented in a Record of
Decision (ROD) or Decision Notice (DN), including those which contain a
non-significant amendment to a land and resource management plan as a
part of the decision;
(b) A new DN after revision of an environmental assessment (EA), or
a new ROD after supplementation or revision of an environmental impact
statement (EIS), pursuant to FSH 1909.15, Chapter 10, section 18.
However, only that portion of the decision that is changed is subject to
appeal.
(c) Decisions made in conjunction with other Federal agencies and
meeting the requirements of preceding paragraph (a). However, only that
portion of the decision made by the Forest Service affecting National
Forest System lands (Sec. 215.2) is subject to appeal under this part.
(d) Decisions which affect the holders of a special use
authorization or certain applicants for special use authorizations for
use or occupancy of National Forest System lands (Sec. 251.86) and
meeting the requirements of preceding paragraph (a), are subject to
appeal by those same parties under either this part or part 251, subpart
C, but not under both parts.
Sec. 215.12 Decisions and actions not subject to appeal.
The following decisions and actions are not subject to appeal under
this part, except as noted:
(a) The amendment, revision, or adoption of a land and resource
management plan that includes a project decision, except that the
project portion of the decision is subject to this part. The amendment,
revision, or adoption portion of a decision is subject to either the
objection process of Sec. 219.32 or the administrative appeal and
review procedures of part 217 in effect prior to November 9, 2000 (see
36 CFR parts 200 to 299, Revised as of July 1, 2000);
(b) Determination, with documentation, that a new decision is not
needed following supplementation of an environmental impact statement
(EIS) or revision of an environmental assessment (EA) pursuant to FSH
1909.15, Chapter 10, section 18.
(c) Preliminary findings made during planning and/or analysis
processes on a project or activity. Such findings are appealable only
upon issuance of a decision document.
(d) Subsequent implementing actions that result from the initial
project decision that was subject to appeal.
(e) Projects or activities for which notice of the proposed action
and opportunity to comment is published (Sec. 215.5) and
(1) No substantive comments expressing concerns or only supportive
comments are received during the comment period for a proposed action
analyzed and documented in an EA (Sec. 215.6); or
(2) No substantive comments expressing concerns or only supportive
comments are received during the comment period for a draft EIS (40 CFR
1502.19), and the Responsible Official's decision does not modify the
preferred alternative identified in the draft EIS.
(f) Decisions for actions that have been categorically excluded from
documentation in an EA or EIS pursuant to FSH 1909.15, Chapter 30,
section 31.
(g) An amendment, revision, or adoption of a land and resource
management plan that is made independent of a project or activity
(subject to either the objection process of Sec. 219.32 or the
administrative appeal and review procedures of part 217 in effect prior
to November 9, 2000 (see 36 CFR parts 200 to 299, Revised as of July 1,
2000)).
(h) Concurrences and recommendations to other Federal agencies.
(i) Hazardous fuel reduction projects conducted under provisions of
the HFRA, as set out at part 218, subpart A, of this title.
[68 FR 33595, June 4, 2003, as amended at 69 FR 1533, Jan. 9, 2004]
[[Page 37]]
Sec. 215.13 Who may appeal.
(a) Individuals and organizations who submit substantive written or
oral comments during the 30-day comment period for an environmental
assessment, or 45-day comment period for a draft environmental impact
statement (Sec. 215.6, 40 CFR 1506.10; FSH 1909.15, Chapter 20), except
as provided for in paragraph (c) of this section, may file an appeal.
Comments received from an authorized representative(s) of an
organization are considered those of the organization only; individual
members of that organization do not meet appeal eligibility solely on
the basis of membership in an organization; the member(s) must submit
substantive comments as an individual in order to meet appeal
eligibility.
(b) When an appeal lists multiple individuals or organizations, each
shall meet the requirements of paragraph (a) of this section.
Individuals or organizations that do not meet the requirements of
paragraph (a) shall not be accepted as appellants.
(c) Federal agencies may not appeal.
(d) Federal employees, who otherwise meet the requirements of this
part for filing appeals in a non-official capacity, shall comply with
Federal conflict of interest statutes at 18 U.S.C. 202-209 and with
employee ethics requirements at 5 CFR part 2635. Specifically, employees
shall not be on official duty nor use government property or equipment
in the preparation or filing of an appeal. Further, employees shall not
incorporate information unavailable to the public, i.e. Federal agency
documents that are exempt from disclosure under the Freedom of
Information Act (5 U.S.C. 552 (b)).
Sec. 215.14 Appeal content.
(a) It is the appellant's responsibility to provide sufficient
project- or activity-specific evidence and rationale, focusing on the
decision, to show why the Responsible Official's decision should be
reversed (paragraph (b)(6-9)).
(b) The appeal must be filed with the Appeal Deciding Officer Sec.
215.8 in writing. At a minimum, an appeal must include the following:
(1) Appellant's name and address (Sec. 215.2), with a telephone
number, if available;
(2) Signature or other verification of authorship upon request (a
scanned signature for electronic mail may be filed with the appeal);
(3) When multiple names are listed on an appeal, identification of
the lead appellant (Sec. 215.2) and verification of the identity of the
lead appellant upon request;
(4) The name of the project or activity for which the decision was
made, the name and title of the Responsible Official, and the date of
the decision;
(5) The regulation under which the appeal is being filed, when there
is an option to appeal under either this part or part 251, subpart C
(Sec. 215.11(d));
(6) Any specific change(s) in the decision that the appellant seeks
and rationale for those changes;
(7) Any portion(s) of the decision with which the appellant
disagrees, and explanation for the disagreement;
(8) Why the appellant believes the Responsible Official's decision
failed to consider the substantive comments; and
(9) How the appellant believes the decision specifically violates
law, regulation, or policy.
(c) The Appeal Deciding Officer shall not process an appeal when one
or more of the following applies:
(1) An appellant's identity is not provided or cannot be determined
from the signature (written or electronically scanned) and a reasonable
means of contact is not provided.
(2) The appellant has not provided a reasonable means of contact.
(3) The decision cannot be identified.
(4) The appeal is illegible for any reason, including those
submitted electronically in a format different from that specified in
the legal notice.
Sec. 215.15 Appeal time periods and process.
(a) Time to file an appeal. Written appeals, including any
attachments, must be filed with the Appeal Deciding Officer within 45
days following the publication date of the legal notice of the decision
in the newspaper of record (Sec. 215.7). It is the responsibility of
appellants to ensure that their appeal is received in a timely manner.
[[Page 38]]
(b) Computation of time periods. (1) All time periods are computed
using calendar days, including Saturdays, Sundays, and Federal holidays.
However, when the time period expires on a Saturday, Sunday, or Federal
holiday, the time is extended to the end of the next Federal working day
(11:59 p.m.).
(2) The day after the publication of the legal notice of the
decision in the newspaper of record (Sec. 215.7) is the first day of
the appeal-filing period.
(3) The publication date of the legal notice of the decision in the
newspaper of record is the exclusive means for calculating the time to
file an appeal. Appellants should not rely on dates or timeframe
information provided by any other source.
(c) Evidence of timely filing. When there is a question about timely
filing of an appeal, timeliness shall be determined by:
(1) The date of the postmark, e-mail, fax, or other means of filing
(for example, express delivery service) an appeal and any attachment;
(2) The time and date imprint at the correct Appeal Deciding
Officer's office on a hand-delivered appeal and any attachments; or
(3) When an appeal is electronically mailed, the appellant should
normally receive an automated electronic acknowledgment from the agency
as confirmation of receipt. If the appellant does not receive an
automated acknowledgment of the receipt of the appeal, it is the
appellant's responsibility to ensure timely receipt by other means.
(d) Extensions. Time extensions, except as noted in paragraph (b) of
this section, are not permitted.
(e) Other timeframes. Unless an appeal is resolved through the
informal disposition process (Sec. 215.17), the following timeframes
and processes shall apply:
(1) Transmittal of decision documentation. Within 15 days of the
close of the appeal-filing period, the Responsible Official shall
transmit the decision documentation to the Appeal Reviewing Officer
including a list of those individuals or organizations who submitted
substantive comments.
(2) Appeal disposition. Within 45 days following the end of the
appeal-filing period, the Appeal Deciding Officer should render a
written decision to the appellant(s) concerning their appeal. When an
appeal decision is not rendered by day 45, the Appeal Deciding Officer
shall notify the appellant(s) in writing that an appeal decision will
not be issued (Sec. 215.18(b).
(3) When an appeal decision is not issued within 45 days, the
Responsible Official's decision is deemed the final agency action.
Sec. 215.16 Dismissal of appeal without review.
(a) The Appeal Deciding Officer shall dismiss an appeal without
review when one or more of the following applies:
(1) The postmark on an appeal mailed or otherwise filed (for
example, express mail service) or the evidence of the date sent on an e-
mailed or faxed appeal is not within the 45-day appeal-filing period
(Sec. 215.15).
(2) The time and date imprint at the correct Appeal Deciding
Officer's office on a hand-delivered appeal is not within the 45-day
appeal-filing period (Sec. 215.15).
(3) The requested relief or change cannot be granted under law or
regulation.
(4) The appellant has appealed the same decision under part 251
(Sec. 215.11(d)).
(5) The decision is not subject to appeal (Sec. 215.12).
(6) The individual or organization did not submit substantive
comments during the comment period (Sec. 215.6).
(7) The Responsible Official withdraws the decision.
(8) The appeal does not provide sufficient information in response
to Sec. 215.14(b)(6) through (b)(9) for the Appeal Deciding Officer to
render a decision.
(9) The appellant withdraws the appeal.
(b) Any additional information or attachment to an appeal that is
not filed within the 45-day appeal-filing period shall not be considered
with the appeal.
(c) The Appeal Deciding Officer shall give written notice to the
appellant and the Responsible Official when an appeal is dismissed and
shall give the reasons for dismissal.
[[Page 39]]
Sec. 215.17 Informal disposition.
(a) Offer to meet. When an appeal is received, the Responsible
Official, or designee, must contact the appellant and offer to meet and
discuss resolution of the issues raised in the appeal. This contact
shall be made as soon as practicable after the Appeal Deciding Officer
receives the appeal and the Responsible Official is notified. In the
case of multiple names or organizations, it is the responsibility of the
lead appellant (Sec. 215.2) to contact any other persons named in their
appeal who may desire to participate in the informal disposition
meeting. If the appellant(s) decline to meet, the Responsible Official
shall so advise the Appeal Deciding Officer.
(b) Time and location of meeting. When an appellant agrees to meet,
the initial meeting shall take place within 15 days after the closing
date for filing an appeal (Sec. 215.15). The location of the meeting
shall be in the vicinity of the lands affected by the decision. When the
District Ranger is the Responsible Official, meetings will generally be
located on or near that Ranger District. When the Forest Supervisor,
Regional Forester, or the Chief is the Responsible Official, meetings
will generally take place at a location within or near the National
Forest.
(c) Meeting structure. Generally, the appellant(s) should be
physically present at informal disposition meetings. If the appellant
cannot attend a meeting in person because of schedule conflicts or
travel distances, alternative types of meetings (such as telephone
conferences or video conferences) may be arranged. All meetings are open
to the public.
(d) Outcome. After the informal disposition meeting, the Responsible
Official shall notify the Appeal Deciding Officer in writing of the
meeting participants and which of the following three outcomes occurred.
(1) An appellant and the Responsible Official reach agreement on
disposition of all or a portion of an appeal. The appellant shall
withdraw all or the agreed upon portion of the appeal by letter to the
Appeal Deciding Officer within 15 days of the agreement. When the
appellant does not withdraw the appeal in writing, formal review and
disposition of the appeal shall continue.
(2) As a result of the agreement reached at the informal disposition
meeting, new information is received or changes to the original decision
or environmental analysis are proposed. The Responsible Official must
follow the correction, supplementation, or revision of environmental
documentation and reconsideration of decisions to take action guidance
in FSH 1909.15, Chapter 10, section 18, and Sec. Sec. 215.3 and 215.4.
(3) An appeal is not entirely resolved through informal disposition.
Formal review and disposition of the unresolved portion of the appeal
shall continue (Sec. 215.18).
Sec. 215.18 Formal review and disposition procedures.
(a) Scope of review. The Appeal Deciding Officer shall complete a
review based on the appeal record (Sec. 215.2) and the Appeal Reviewing
Officer's recommendation (Sec. 215.19(b)).
(b) Disposition. The Appeal Deciding Officer shall either:
(1) Issue a written appeal decision within 45 days following the end
of the appeal-filing period, which affirms or reverses the Responsible
Official's decision, either in whole or in part, and which may include
instructions for further action. When an appeal decision involves
instructions concerning new information or changed circumstances, the
Responsible Official must follow the correction, supplementation, or
revision of environmental documentation and reconsideration of decisions
to take action guidance in FSH 1909.15, Chapter 10, section 18 and
Sec. Sec. 215.3, 215.4, 215.11, and 215.12. The Appeal Deciding Officer
shall send a copy of the appeal decision to the appellant(s), the Appeal
Reviewing Officer, and the Responsible Official within 5 days; or
(2) Not issue an appeal decision and so notify the appellant(s) in
writing that an appeal decision will not be issued and that the
Responsible Official's decision constitutes the final agency action of
the Department of Agriculture (Sec. 215.15(e)(2)). Notification shall
be sent no sooner than 46 days nor later than 50 days following the end
of the appeal-filing period.
[[Page 40]]
(c) Final administrative determination. The Appeal Deciding
Officer's appeal disposition constitutes the final administrative
determination of the Department of Agriculture.
Sec. 215.19 Appeal Reviewing Officer.
(a) Designation. The Appeal Reviewing Officer shall be:
(1) Designated by the Chief or designee, and shall be a line officer
at least at the level of the agency official who made the initial
decision on the project or activity that is under appeal, who has not
participated in the initial decision and will not be responsible for
implementation of the initial decision after the appeal is decided; or
(2) Designated by the Secretary in the case of Chief's decisions.
(b) Review and recommendation. The Appeal Reviewing Officer shall
review an appeal and the decision documentation and make a written
recommendation to the Appeal Deciding Officer on the disposition of the
appeal. That recommendation shall be released only upon issuance of an
appeal decision.
(c) Multiple appeals. In cases involving more than one appeal of a
decision, the Appeal Reviewing Officer may consolidate appeals and issue
one or more recommendations.
Sec. 215.20 Secretary's authority.
(a) Nothing in this section shall restrict the Secretary of
Agriculture from exercising any statutory authority regarding the
protection, management, or administration of National Forest System
lands.
(b) Decisions of the Secretary of Agriculture or Under Secretary,
Natural Resources and Environment are not subject to the notice,
comment, and appeal procedures set forth in this part. A decision by the
Secretary or Under Secretary constitutes the final administrative
determination of the Department of Agriculture.
Sec. 215.21 Judicial proceedings.
It is the position of the Department of Agriculture that any filing
for Federal judicial review of a decision subject to appeal is premature
and inappropriate unless the plaintiff has first sought to invoke and
exhaust the appeal procedures in this part (7 U.S.C. 6912 (e)).
Sec. 215.22 Applicability and effective date.
(a) The notice, comment, and appeal procedures set out in this part,
except as noted in paragraph (b) below, apply to all projects and
activities for which legal notice is published pursuant to Sec. 215.5
on or after June 4, 2003.
(b) The provisions concerning electronic comments (Sec. Sec.
215.5(b)(vi-vii) and 215.6(a)(4)(iii)) and electronic appeals
(Sec. Sec. 215.7(b)(2)(i) and (iii) and 215.15(c)(1) and (3)) are
effective July 7, 2003.
(c) The notice, comment, and appeal procedures of part 215 in effect
prior to June 4, 2003 remain in effect for those projects and activities
for which legal notice (Sec. 215.5 or Sec. 215.7) is published prior
to June 4, 2003 (see 36 CFR parts 200 to 299, Revised as of July 1,
2002).
PART 216_INVOLVING THE PUBLIC IN THE FORMULATION OF FOREST SERVICE
DIRECTIVES--Table of Contents
Sec.
216.1 Purpose.
216.2 Definitions.
216.3 Applicability; relationship to other public participation
opportunities.
216.4 Determining the need for formal public review on proposed Manual
directives.
216.5 Documentation.
216.6 Notice and comment procedures for proposed Manual directives
identified for formal public review.
216.7 Exemption of proposed Manual directives from normal procedures.
216.8 Availability of proposed Manual directives identified for formal
public review.
Authority: Sec. 14, Forest and Rangeland Renewable Resources
Planning Act of 1974, 88 Stat. 476 as amended, 90 Stat. 2949, 2958 (16
U.S.C. 1612).
Source: 49 FR 16993, Apr. 23, 1984, unless otherwise noted.
Sec. 216.1 Purpose.
This part establishes procedures to ensure that Federal, State, and
local governments and the public have adequate notice and opportunity to
comment upon the formulation of standards, criteria, and guidelines
applicable to Forest Service programs.
[[Page 41]]
Sec. 216.2 Definitions.
(a) The Forest Service Manual consists of numerous volumes organized
by numerically coded subject matter. The volumes contain legal
authorities, responsibilities, delegations, and general instruction and
direction needed on a continuous basis by Forest Service officers at
more than one unit to plan and execute programs. The parent text is
issued by the national headquarters and sets forth the policies, and
other guidance applicable Service-wide. National directives are
supplemented, as necessary, by Forest Service field offices. Supplements
to the Forest Service Manual are applicable only within the Forest
Service organizational jurisdiction for which they are issued. The
Forest Service Manual is revised to conform to changing law, orders,
regulations, or management needs.
(b) Public participation activities are actions initiated by the
Forest Service to facilitate an exchange of information with the public.
These actions include, but are not limited to, oral and written measures
such as public notices, letters, discussion papers, and gatherings such
as meetings, workshops, and hearings.
(c) Standards, criteria, and guidelines means those written
policies, instructions, and orders, originated by the Forest Service and
issued in the Forest Service Manual which establish the general
framework for the management and conduct of Forest Service programs.
Sec. 216.3 Applicability; relationship to other public participation
opportunities.
(a) The requirements described in this part do not apply to--
(1) Rules or regulations promulgated according to the requirements
of the Administrative Procedure Act, 5 U.S.C. 553;
(2) Instructions, procedures, and other material issued in Forest
Service Handbooks; and
(3) Proposed Manual directives which provide guidance and procedures
on administrative support activities such as personnel matters,
procurement, service contracting, and other routine business operations
of the agency.
(b) This part does not supersede or replace the requirements of the
National Environmental Policy Act as set forth in 40 CFR part 1500 and
chapter 1950 of the Forest Service Manual. The requirements described in
this part do not apply where equivalent public notice and opportunity
for comment on the contents of a proposed Manual directive are provided
during compliance with NEPA procedures.
(c) The direction for management of many Forest Service programs is
developed with public participation during land and resource management
planning part 219, and other activities. The relevant results of such
public participation shall be used in formulation of Forest Service
Manual directives to avoid duplicating public participation efforts.
(d) In addition to the opportunity for formal public review and
comment offered in this part, the public may informally review and
comment on Manual material at other times.
(e) These regulations do not prevent informal consultation with
selected Federal, State, and local governments and the public when such
consultation is deemed appropriate in formulating Manual material.
Sec. 216.4 Determining the need for formal public review of proposed Manual
directives.
(a) Agency officials responsible for formulating Manual directives
containing applicable standards, criteria, and guidelines shall
determine whether substantial public interest or controversy concerning
a proposed Manual directive can be expected.
(b) The following shall be considered in making this determination:
(1) Direct written or oral communication with those known to be
interested in the proposal;
(2) The degree to which the proposal is likely to adversely or
beneficially affect the general public as well as those known to be
interested in the proposal;
(3) The amount of change the proposal represents from current
direction;
(4) The extent of recent news media coverage on subjects related to
the proposal; and
[[Page 42]]
(5) The amount of interest or controversy expressed on previous
proposals on the same or similar subjects.
Sec. 216.5 Documentation.
The responsible Forest Service official shall document the results
of the determination made pursuant to Sec. 216.4(b), and the reasons
therefor, in a concise written summary. The summary may be combined with
documentation required by NEPA procedures or other applicable law or
policy. The summary shall be prepared and filed at the same location as
the Forest Service official responsible for developing the Manual
directive.
Sec. 216.6 Notice and comment procedures for proposed Manual directives
identified for formal public review.
(a) Where it is determined that substantial public interest or
controversy concerning a proposed Manual directive can be expected, the
following minimum requirements for notifying the public and giving
opportunity to comment on the proposal apply:
(1) National Forest and Ranger District Proposals. The responsible
official shall determine appropriate means of notifying the public. This
may include, but is not limited to, legal notice in a newspaper of
general circulation or press release. The public shall have a minimum of
30 calendar days to review and comment on the proposal.
(2) Regional, Station, and Area Proposals. The responsible official
shall determine appropriate means of notifying the public. This may
include, but is not limited to, notice and summary of the proposal in
the Federal Register, legal notice in one or more newspapers of general
circulation, or press release. The public shall have a minimum of 30
calendar days to review and comment on the proposal.
(3) National Proposals. The responsible official shall publish a
notice and summary of the proposal in the Federal Register, followed by
a minimum of 60 calendar days for public review and comment.
(b) Agency officials will give direct notice to Federal, State, and
local governments and to the public known to be interested in the
proposal. Along with the notice, the responsible official shall also
provide either a complete proposal or a summary of the proposal for
review.
(c) The responsible Forest Service official may conduct additional
public participation activities related to the proposed Manual directive
as are deemed appropriate and necessary.
(d) Comments received from the public shall be analyzed and
considered in the formulation and preparation of the final Manual
directive.
(e) The final Manual directive or a summary shall be sent to those
who offered comments on the proposed directive and further publicized as
deemed appropriate by the responsible official.
Sec. 216.7 Exemption of proposed Manual directives from normal procedures.
When it is found for good cause that an exigency exists, an interim
Manual directive that is determined to be of substantial public interest
or expected controversy may be issued in advance of providing
opportunity for public comment. However, as soon as practicable after
issuance, the interim Manual directive will be made available for public
review and comment as described in Sec. 216.6. In making the Manual
directive available, the responsible official shall state why the
interim directive was issued prior to obtaining public comments.
Sec. 216.8 Availability of proposed Manual directives identified for formal
public review.
As a minimum, review copies of proposed Manual directives determined
to be of substantial public interest or expected controversy shall be
available in the Forest Supervisor's Office and District Rangers'
Offices when National Forest proposals are involved; in the Regional
Office and Forest Supervisors' Offices when regional proposals are
involved; and in Regional Offices and National Headquarters when
national proposals are involved. When Manual directives involve Forest
Service Research or State and Private Forestry programs, review copies
shall be available at comparable administrative offices.
[[Page 43]]
PART 218_PREDECISIONAL ADMINISTRATIVE REVIEW PROCESSES--Table of Contents
Subpart A_Predecisional Administrative Review Process for Hazardous Fuel
Reduction Projects Authorized by the Healthy Forests Restoration Act of
2003
Sec.
218.1 Purpose and scope.
218.2 Definitions.
218.3 Authorized hazardous fuel reduction projects subject to objection.
218.4 Authorized hazardous fuel reduction projects not subject to
objection.
218.5 Giving notice of proposed authorized hazardous fuel reduction
projects subject to objection.
218.6 Reviewing officer.
218.7 Who may file an objection.
218.8 Filing an objection.
218.9 Objections set aside from review.
218.10 Objection time periods and process.
218.11 Resolution of objections.
218.12 Timing of authorized hazardous fuel reduction project decision.
218.13 Secretary's authority.
218.14 Judicial proceedings.
218.15 Information collection requirements.
218.16 Applicability and effective date.
Subpart B [Reserved]
Authority: Pub. L. 108-148, 117 Stat 1887 (Healthy Forests
Restoration Act of 2003).
Source: 69 FR 1533, Jan. 9, 2004, unless otherwise noted.
Subpart A_Predecisional Administrative Review Process for Hazardous Fuel
Reduction Projects Authorized by the Healthy Forests Restoration Act of
2003
Source: 73 FR 53712, Sept. 17, 2008, unless otherwise noted.
Sec. 218.1 Purpose and scope.
This subpart establishes a predecisional administrative review
(hereinafter referred to as ``objection'') process for proposed
authorized hazardous fuel reduction projects as defined in the Healthy
Forests Restoration Act of 2003 (HFRA). The objection process is the
sole means by which administrative review of a proposed authorized
hazardous fuel reduction project on National Forest System land may be
sought. This subpart identifies who may file objections to those
proposed authorized hazardous fuel reduction projects, the
responsibilities of the participants in an objection, and the procedures
that apply for review of the objection.
Sec. 218.2 Definitions.
Address: An individual's or organization's current physical mailing
address. An e-mail address is not sufficient.
Authorized hazardous fuel reduction project: A hazardous fuel
reduction project authorized by the Healthy Forests Restoration Act of
2003 (HFRA).
Comments: Specific written comments related to a proposed authorized
hazardous fuel reduction project pursuant to the HFRA.
Decision notice (DN): A concise written record of a responsible
official's decision based on an environmental assessment and a finding
of no significant impact (FONSI) (40 CFR 1508.13; Forest Service
Handbook (FSH) 1909.15, chapter 40).
Environmental assessment (EA): A public document that provides
sufficient evidence and analysis for determining whether to prepare an
environmental impact statement (EIS) or a finding of no significant
impact (FONSI), aids an agency's compliance with the National
Environmental Policy Act (NEPA) when no EIS is necessary, and
facilitates preparation of a statement when one is necessary (40 CFR
1508.9; FSH 1909.15, Chapter 40).
Environmental impact statement (EIS): A detailed written statement
as required by section 102(2)(C) of the National Environmental Policy
Act (NEPA) of 1969 (40 CFR 1508.11; FSH 1909.15, Chapter 20).
Forest Service line officer: A Forest Service official who serves in
a direct line of command from the Chief and who has the delegated
authority to make and execute decisions approving hazardous fuel
reduction projects subject to this subpart.
Lead objector: For an objection submitted with multiple individuals
and/or organizations listed, the individual or organization identified
to represent all other objectors for the purposes of
[[Page 44]]
communication, written or otherwise, regarding the objection.
Name: The first and last name of an individual or the name of an
organization. An electronic username is insufficient for identification
of an individual or organization.
National Forest System land: All lands, water, or interests therein
administered by the Forest Service (Sec. 251.51).
Newspaper(s) of record: Those principal newspapers of general
circulation annually identified in a list and published in the Federal
Register by each regional forester to be used for publishing notices of
projects and activities implementing land management plans.
Objection: The written document filed with a reviewing officer by an
individual or organization seeking predecisional administrative review
of a proposed authorized hazardous fuel reduction project as defined in
the HFRA.
Objection period: The 30-calendar-day period following publication
of the legal notice in the newspaper of record of an environmental
assessment (EA) or final environmental impact statement (EIS) for a
proposed authorized hazardous fuel reduction project during which an
objection may be filed with the reviewing officer. When the Chief is the
responsible official the objection period begins following publication
of a notice in the Federal Register.
Objection process: Those procedures established for predecisional
administrative review of proposed authorized hazardous fuel reduction
projects subject to the HFRA.
Objector: An individual or organization filing an objection who
submitted comments specific to the proposed authorized hazardous fuel
reduction project during scoping or other opportunity for public comment
as described in the HFRA. The use of the term ``objector'' applies to
all persons who meet eligibility requirements associated with the filed
objection (Sec. 218.7(a)).
Record of decision (ROD): A document signed by a responsible
official recording a decision that was preceded by preparation of an
environmental impact statement (EIS) (40 CFR 1505.2; FSH 1909.15,
Chapter 20).
Responsible official: The Forest Service employee who has the
delegated authority to make and implement a decision approving proposed
authorized hazardous fuel reduction projects subject to this subpart.
Reviewing officer: The United States Department of Agriculture
(USDA) or Forest Service official having the delegated authority and
responsibility to review an objection filed under this subpart. The
reviewing officer is the next higher level supervisor of the responsible
official.
Sec. 218.3 Authorized hazardous fuel reduction projects subject to objection.
(a) Only authorized hazardous fuel reduction projects as defined by
the HFRA, section 101(2), occurring on National Forest System lands that
have been analyzed in an EA or EIS are subject to this subpart.
Authorized hazardous fuel reduction projects processed under the
provisions of the HFRA are not subject to the notice, comment, and
appeal provisions set forth in part 215 of this chapter.
(b) When authorized hazardous fuel reduction projects are approved
contemporaneously with a plan amendment that applies only to that
project, the objection process of this part applies to both the plan
amendment and the project.
Sec. 218.4 Authorized hazardous fuel reduction projects not subject to
objection.
Projects are not subject to objection when no comments (Sec. 218.2)
are received during the opportunity for public comment (Sec. 218.7(a)).
The responsible official must issue an explanation with the record of
decision (ROD) or decision notice (DN) that the project was not subject
to objection.
Sec. 218.5 Giving notice of proposed authorized hazardous fuel reduction
projects subject to objection.
(a) In addition to the notification required in paragraph (c) of
this section, the responsible official should disclose during scoping
and in the EA or EIS that the project is authorized under the HFRA and
will therefore be subject to the objection procedure at 36 CFR
[[Page 45]]
218, in lieu of the appeal procedure at 36 CFR 215.
(b) The responsible official must promptly distribute the final EIS
or the EA to those who have requested the document or are eligible to
file an objection in accordance with Sec. 218.7(a).
(c) Upon completion and distribution mailing of the final EIS or EA,
legal notice of the opportunity to object to a proposed authorized
hazardous fuel reduction project must be published in the applicable
newspaper of record identified (218.2) for each National Forest System
unit. When the Chief is the responsible official, notice must be
published in the Federal Register. The legal notice or Federal Register
notice must
(1) Include the name of the proposed authorized hazardous fuel
reduction project, a concise description of the preferred alternative
and any proposed land management plan amendments, name and title of the
responsible official, name of the forest and/or district on which the
proposed authorized hazardous fuel reduction project will occur,
instructions for obtaining a copy of the final EIS or EA, and
instructions on how to obtain additional information on the proposed
authorized hazardous fuel reduction project.
(2) State that the proposed authorized hazardous fuel reduction
project is subject to the objection process pursuant to 36 CFR part 218,
subpart A, and include the following:
(i) Name and address of the reviewing officer with whom an objection
is to be filed. The notice must specify a street, postal, fax, and e-
mail address, the acceptable format(s) for objections filed
electronically, and the reviewing officer's office business hours for
those filing hand-delivered objections.
(ii) A statement that objections will be accepted only from those
who have previously submitted written comments specific to the proposed
authorized hazardous fuel reduction project during scoping or other
opportunity for public comment in accordance with Sec. 218.7(a).
(iii) A statement that the publication date of the legal notice in
the newspaper of record or Federal Register notice is the exclusive
means for calculating the time to file an objection (Sec. 218.10(a)),
and that those wishing to object should not rely upon dates or timeframe
information provided by any other source. A specific date must not be
included in the notice.
(iv) A statement that an objection, including attachments, must be
filed (regular mail, fax, e-mail, hand-delivery, express delivery, or
messenger service) with the appropriate reviewing officer (Sec. 218.8)
within 30 days of the date of publication of the legal notice for the
objection process. It should also be stated that incorporation of
documents by reference is permitted only as provided for at Sec.
218.8(b).
(v) A statement describing the minimum content requirements of an
objection (Sec. 218.8(c)).
(vi) A statement that the proposed authorized hazardous fuel
reduction project is not subject to the notice, comment, and appeal
procedures found at part 215 of this chapter (Sec. 218.3).
(d) Publication. Through notice published annually in the Federal
Register, each regional forester must advise the public of the
newspaper(s) of record utilized for publishing legal notice required by
this subpart.
Sec. 218.6 Reviewing officer.
The reviewing officer determines procedures to be used for
processing objections when the procedures are not specifically described
in this subpart, including such procedures as needed to be compatible to
the extent practicable, with the administrative review processes of
other Federal agencies, for authorized hazardous fuel reduction projects
proposed jointly with other agencies. Such determinations are not
subject to further administrative review.
Sec. 218.7 Who may file an objection.
(a) Individuals and organizations who have submitted specific
written comments related to the proposed authorized hazardous fuel
reduction project during the opportunity for public comment provided
during preparation of an EA or EIS for the proposed authorized hazardous
fuel reduction project as characterized in section 104(g) of the HFRA
may file an objection. For proposed authorized hazardous fuel reduction
projects described in a draft EIS,
[[Page 46]]
such opportunity for public comment will be fulfilled during scoping, by
the comment period on the draft EIS in accordance with procedures in 40
CFR 1506.10, and any other periods public comment is specifically
requested. For proposed authorized hazardous fuel reduction projects
described in an EA, such opportunity for public comment will be
fulfilled during scoping or any other periods public comment is
specifically requested.
(b) Comments received from an authorized representative(s) of an
organization are considered those of the organization only. Individual
members of that organization do not meet objection eligibility
requirements solely on the basis of membership in an organization. A
member or an individual must submit comments independently in order to
be eligible to file an objection in an individual capacity.
(c) When an objection lists multiple individuals or organizations,
each individual or organization must meet the requirements of paragraph
(a) of this section. Individuals or organizations listed on an objection
that do not meet eligibility requirements must not be considered
objectors. Objections from individuals or organizations that do not meet
the requirements of paragraph (a) must not be accepted. This must be
documented in the objection record.
(d) Federal agencies may not file objections.
(e) Federal employees who otherwise meet the requirements of this
subpart for filing objections in a non-official capacity must comply
with Federal conflict of interest statutes at 18 U.S.C. 202-209 and with
employee ethics requirements at 5 CFR part 2635. Specifically, employees
must not be on official duty nor use Government property or equipment in
the preparation or filing of an objection. Further, employees must not
incorporate information unavailable to the public, such as Federal
agency documents that are exempt from disclosure under the Freedom of
Information Act (5 U.S.C. 552(b)).
Sec. 218.8 Filing an objection.
(a) Objections must be filed with the reviewing officer in writing.
All objections must be open to public inspection during the objection
process.
(b) Incorporation of documents by reference is not allowed, except
for the following list of items which may be provided by including date,
page, and section of the cited document. All other documents must be
included with the objection.
(1) All or any part of a Federal law or regulation,
(2) Forest Service directives and land management plans,
(3) Documents referenced by the Forest Service in the proposed HFRA
project subject to objection,
(4) Comments previously provided to the Forest Service by the
objector during the proposed HFRA project comment period.
(c) At a minimum, an objection must include the following:
(1) Objector's name and address (Sec. 218.2), with a telephone
number, if available;
(2) Signature or other verification of authorship upon request (a
scanned signature for electronic mail may be filed with the objection);
(3) When multiple names are listed on an objection, identification
of the lead objector (Sec. 218.2). Verification of the identity of the
lead objector must be provided upon request;
(4) The name of the proposed authorized hazardous fuel reduction
project, the name and title of the responsible official, and the name(s)
of the national forest(s) and/or ranger district(s) on which the
proposed authorized hazardous fuel reduction project will be
implemented; and,
(5) Sufficient narrative description of those aspects of the
proposed authorized hazardous fuel reduction project addressed by the
objection, specific issues related to the proposed authorized hazardous
fuel reduction project, and suggested remedies that would resolve the
objection.
Sec. 218.9 Objections set aside from review.
(a) The reviewing officer must set aside and not review an objection
when one or more of the following applies:
(1) Objections are not filed in a timely manner (Sec. Sec.
218.5(c)(2)(iv), 218.10(c)).
[[Page 47]]
(2) The proposed project is not subject to the objection procedures
of this subpart (Sec. Sec. 218.3, 218.4).
(3) The individual or organization did not submit written comments
during scoping or other opportunity for public comment (Sec. 218.7(a)).
(4) The objection does not provide sufficient information as
required by Sec. 218.7(b) through (d) for the reviewing officer to
review.
(5) The objector withdraws the objection.
(6) An objector's identity is not provided or cannot be determined
from the signature (written or electronically scanned) and a reasonable
means of contact is not provided (Sec. 218.8(c)(2)).
(7) The objection is illegible for any reason, including submissions
in an electronic format different from that specified in the legal
notice.
(b) The reviewing officer must give written notice to the objector
and the responsible official when an objection is set aside from review
and must state the reasons for not reviewing the objection. If the
objection is set aside from review for reasons of illegibility or lack
of a means of contact, the reasons must be documented in the project
record.
Sec. 218.10 Objection time periods and process.
(a) Time to file an objection. Written objections, including any
attachments, must be filed with the reviewing officer within 30 days
following the publication date of the legal notice of the EA or final
EIS in the newspaper of record or the publication date of the notice in
the Federal Register when the Chief is the responsible official (Sec.
218.5(c)). It is the responsibility of objectors to ensure that their
objection is received in a timely manner.
(b) Computation of time periods. (1) All time periods are computed
using calendar days, including Saturdays, Sundays, and Federal holidays.
However, when the time period expires on a Saturday, Sunday, or Federal
holiday, the time is extended to the end of the next Federal working day
as stated in the legal notice or to the end of the calendar day (11:59
p.m. in the time zone of the receiving office) for objections filed by
electronic means such as e-mail or facsimile machine.
(2) The day after publication of the legal notice for this subpart
of the EA or final EIS in the newspaper of record or Federal Register
(Sec. 218.5(c)) is the first day of the objection-filing period.
(3) The publication date of the legal notice of the EA or final EIS
in the newspaper of record or, when the Chief is the responsible
official, the Federal Register, is the exclusive means for calculating
the time to file an objection. Objectors may not rely on dates or
timeframe information provided by any other source.
(c) Evidence of timely filing. It is the objector's responsibility
to ensure timely filing of an objection. Timeliness must be determined
by the following indicators:
(1) The date of the U.S. Postal Service postmark;
(2) The electronically generated date and time for e-mail and
facsimiles;
(3) The shipping date for delivery by private carrier; or
(4) The official agency date stamp showing receipt of hand delivery.
(d) Extensions. Time extensions are not permitted.
(e) Other timeframes. The reviewing officer must issue a written
response to the objector(s) concerning their objection(s) within 30 days
following the end of the objection-filing period.
Sec. 218.11 Resolution of objections.
(a) Meetings. Prior to the issuance of the reviewing officer's
written response, either the reviewing officer or the objector may
request to meet to discuss issues raised in the objection and potential
resolution. The reviewing officer has the discretion to determine
whether or not adequate time remains in the review period to make a
meeting with the objector practical.'' All meetings are open to the
public.
(b) Response to objections. (1) A written response must set forth
the reasons for the response, but need not be a point-by-point response
and may contain instructions to the responsible official, if necessary.
In cases involving more than one objection to a proposed authorized
hazardous fuel reduction
[[Page 48]]
project, the reviewing officer may consolidate objections and issue one
or more responses.
(2) There must be no further review from any other Forest Service or
USDA official of the reviewing officer's written response to an
objection.
Sec. 218.12 Timing of authorized hazardous fuel reduction project decision.
(a) The responsible official may not issue a ROD or DN concerning an
authorized hazardous fuel reduction project subject to the provisions of
this subpart until the reviewing officer has responded to all pending
objections.
(b) When no objection is filed within the 30-day time period, the
reviewing officer must notify the responsible official and approval of
the authorized hazardous fuel reduction project in a ROD in accordance
with 40 CFR 1506.10, or DN may occur on, but not before, the fifth
business day following the end of the objection-filing period.
Sec. 218.13 Secretary's authority.
(a) Nothing in this section shall restrict the Secretary of
Agriculture from exercising any statutory authority regarding the
protection, management, or administration of National Forest System
lands.
(b) Authorized hazardous fuel reduction projects proposed by the
Secretary of Agriculture or the Under Secretary, Natural Resources and
Environment, are not subject to the procedures set forth in this
subpart. A decision by the Secretary or Under Secretary constitutes the
final administrative determination of the Department of Agriculture.
Sec. 218.14 Judicial proceedings.
The objection process set forth in this subpart fully implements
Congress' design for a predecisional administrative review process for
proposed hazardous fuel reduction projects authorized by the HFRA. These
procedures present a full and fair opportunity for concerns to be raised
and considered on a project-by-project basis. Individuals and groups
must structure their participation so as to alert the local agency
officials making particular land management decisions of their positions
and contentions. Further, any filing for Federal judicial review of an
authorized hazardous fuel reduction project is premature and
inappropriate unless the plaintiff has submitted specific written
comments relating to the proposed action during scoping or other
opportunity for public comment as prescribed by the HFRA, and the
plaintiff has challenged the authorized hazardous fuel reduction project
by exhausting the administrative review process set out in this subpart.
Further, judicial review of hazardous fuel reduction projects that are
subject to these procedures is strictly limited to those issues raised
by the plaintiff's submission during the objection process, except in
exceptional circumstances such as where significant new information
bearing on a specific claim only becomes available after conclusion of
the administrative review.
Sec. 218.15 Information collection requirements.
The rules of this subpart specify the information that objectors
must provide in an objection to a proposed authorized hazardous fuel
reduction project as defined in the HFRA (Sec. 218.8). As such, these
rules contain information collection requirements as defined in 5 CFR
part 1320. These information requirements are assigned OMB Control
Number 0596-0172.
Sec. 218.16 Applicability and effective date.
The provisions of this subpart are effective as of October 17, 2008
and apply to all proposed authorized hazardous fuel reduction projects
conducted under the provisions of the HFRA for which scoping begins on
or after October 17, 2008.
Subpart B [Reserved]
PART 219_PLANNING--Table of Contents
Subpart A_National Forest System Land Management Planning
Sec.
219.1 Purpose and applicability.
219.2 Levels of planning and responsible officials.
219.3 Role of science in planning.
[[Page 49]]
219.4 Requirements for public participation.
219.5 Planning framework.
219.6 Assessment.
219.7 New plan development or plan revision.
219.8 Sustainability.
219.9 Diversity of plant and animal communities.
219.10 Multiple use.
219.11 Timber requirements based on the NFMA.
219.12 Monitoring.
219.13 Plan amendment and administrative changes.
219.14 Decision document and planning records.
219.15 Project and activity consistency with the plan.
219.16 Public notifications.
219.17 Effective dates and transition.
219.18 Severability.
219.19 Definitions.
Subpart B_Pre-Decisional Administrative Review Process
219.50 Purpose and scope.
219.51 Plans, plan amendments, or plan revisions not subject to
objection.
219.52 Giving notice of a plan, plan amendment, or plan revision subject
to objection before approval.
219.53 Who may file an objection.
219.54 Filing an objection.
219.55 Objections set aside from review.
219.56 Objection time periods and process.
219.57 Resolution of objections.
219.58 Timing of a plan, plan amendment, or plan revision decision.
219.59 Use of other administrative review processes.
219.60 Secretary's authority.
219.61 Information collection requirements.
219.62 Definitions.
Authority: 5 U.S.C. 301; 16 U.S.C. 1604, 1613.
Source: 77 FR 21260, Apr. 9, 2012, unless otherwise noted.
Subpart A_National Forest System Land Management Planning
Sec. 219.1 Purpose and applicability.
(a) This subpart sets out the planning requirements for developing,
amending, and revising land management plans (also referred to as plans)
for units of the National Forest System (NFS), as required by the Forest
and Rangeland Renewable Resources Planning Act of 1974, as amended by
the National Forest Management Act of 1976 (16 U.S.C. 1600 et seq.)
(NFMA). This subpart also sets out the requirements for plan components
and other content in land management plans. This part is applicable to
all units of the NFS as defined by 16 U.S.C. 1609 or subsequent statute.
(b) Consistent with the Multiple-Use Sustained-Yield Act of 1960 (16
U.S.C. 528-531) (MUSYA), the Forest Service manages the NFS to sustain
the multiple use of its renewable resources in perpetuity while
maintaining the long-term health and productivity of the land. Resources
are managed through a combination of approaches and concepts for the
benefit of human communities and natural resources. Land management
plans guide sustainable, integrated resource management of the resources
within the plan area in the context of the broader landscape, giving due
consideration to the relative values of the various resources in
particular areas.
(c) The purpose of this part is to guide the collaborative and
science-based development, amendment, and revision of land management
plans that promote the ecological integrity of national forests and
grasslands and other administrative units of the NFS. Plans will guide
management of NFS lands so that they are ecologically sustainable and
contribute to social and economic sustainability; consist of ecosystems
and watersheds with ecological integrity and diverse plant and animal
communities; and have the capacity to provide people and communities
with ecosystem services and multiple uses that provide a range of
social, economic, and ecological benefits for the present and into the
future. These benefits include clean air and water; habitat for fish,
wildlife, and plant communities; and opportunities for recreational,
spiritual, educational, and cultural benefits.
(d) This part does not affect treaty rights or valid existing rights
established by statute or legal instruments.
(e) During the planning process, the responsible official shall
comply with Section 8106 of the Food, Conservation, and Energy Act of
2008 (25 U.S.C. 3056), Executive Order 13007 of May 24, 1996, Executive
Order 13175 of November 6, 2000, laws, and other requirements with
respect to disclosing or withholding under the Freedom of Information
Act
[[Page 50]]
(5 U.S.C. 552) certain information regarding reburial sites or other
information that is culturally sensitive to an Indian Tribe or Tribes.
(f) Plans must comply with all applicable laws and regulations,
including NFMA, MUSYA, the Clean Air Act, the Clean Water Act, the
Wilderness Act, and the Endangered Species Act.
(g) The responsible official shall ensure that the planning process,
plan components, and other plan content are within Forest Service
authority, the inherent capability of the plan area, and the fiscal
capability of the unit.
Sec. 219.2 Levels of planning and responsible officials.
Forest Service planning occurs at different organizational levels
and geographic scales. Planning occurs at three levels--national
strategic planning, NFS unit planning, and project or activity planning.
(a) National strategic planning. The Chief of the Forest Service is
responsible for national planning, such as preparation of the Forest
Service strategic plan required under the Government Performance and
Results Modernization Act of 2010 (5 U.S.C. 306; 31 U.S.C. 1115-1125; 31
U.S.C. 9703-9704), which is integrated with the requirements of the
Forest and Rangeland Renewable Resources Planning Act of 1974, as
amended by the NFMA. The strategic plan establishes goals, objectives,
performance measures, and strategies for management of the NFS, as well
as the other Forest Service mission areas: Research and Development,
State and Private Forestry, and International Programs.
(b) National Forest System unit planning. (1) NFS unit planning
results in the development, amendment, or revision of a land management
plan. A land management plan provides a framework for integrated
resource management and for guiding project and activity decisionmaking
on a national forest, grassland, prairie, or other administrative unit.
A plan reflects the unit's expected distinctive roles and contributions
to the local area, region, and Nation, and the roles for which the plan
area is best suited, considering the Agency's mission, the unit's unique
capabilities, and the resources and management of other lands in the
vicinity. Through the adaptive planning cycle set forth in this subpart,
a plan can be changed to reflect new information and changing
conditions.
(2) A plan does not authorize projects or activities or commit the
Forest Service to take action. A plan may constrain the Agency from
authorizing or carrying out projects and activities, or the manner in
which they may occur. Projects and activities must be consistent with
the plan (Sec. 219.15). A plan does not regulate uses by the public,
but a project or activity decision that regulates a use by the public
under 36 CFR Part 261, Subpart B, may be made contemporaneously with the
approval of a plan, plan amendment, or plan revision. Plans should not
repeat laws, regulations, or program management policies, practices, and
procedures that are in the Forest Service Directive System.
(3) The supervisor of the national forest, grassland, prairie, or
other comparable administrative unit is the responsible official for
development and approval of a plan, plan amendment, or plan revision for
lands under the responsibility of the supervisor, unless a regional
forester; the Chief; the Under Secretary, Natural Resources and
Environment; or the Secretary acts as the responsible official. Two or
more responsible officials may undertake joint planning over lands under
their respective jurisdictions.
(4) A plan for a unit that contains an experimental area may not be
approved without the concurrence of the appropriate research station
director with respect to the direction applicable to that area, and a
plan amendment applicable to an experimental area may not be approved
without the concurrence of the appropriate research station director.
(5) The Chief is responsible for leadership and direction for
carrying out the NFS land management planning program under this part.
The Chief shall:
(i) Establish planning procedures for this part in the Forest
Service Directive System in Forest Service Manual 1920--Land Management
Planning and
[[Page 51]]
in Forest Service Handbook 1909.12--Land Management Planning Handbook.
(ii) Establish and administer a national oversight process for
accountability and consistency of NFS land management planning under
this part.
(iii) Establish procedures in the Forest Service Directive System
for obtaining inventory data on the various renewable resources, and
soil and water.
(c) Project and activity planning. The supervisor or district ranger
is the responsible official for project and activity decisions, unless a
higher-level official acts as the responsible official. Requirements for
project or activity planning are established in the Forest Service
Directive System. Except as provided in the plan consistency
requirements in Sec. 219.15, none of the requirements of this part
apply to projects or activities.
Sec. 219.3 Role of science in planning.
The responsible official shall use the best available scientific
information to inform the planning process required by this subpart. In
doing so, the responsible official shall determine what information is
the most accurate, reliable, and relevant to the issues being
considered. The responsible official shall document how the best
available scientific information was used to inform the assessment, the
plan decision, and the monitoring program as required in Sec. Sec.
219.6(a)(3) and 219.14(a)(4). Such documentation must: Identify what
information was determined to be the best available scientific
information, explain the basis for that determination, and explain how
the information was applied to the issues considered.
Sec. 219.4 Requirements for public participation.
(a) Providing opportunities for participation. The responsible
official shall provide opportunities to the public for participating in
the assessment process; developing a plan proposal, including the
monitoring program; commenting on the proposal and the disclosure of its
environmental impacts in accompanying NEPA documents; and reviewing the
results of monitoring information. When developing opportunities for
public participation, the responsible official shall take into account
the discrete and diverse roles, jurisdictions, responsibilities, and
skills of interested and affected parties; the accessibility of the
process, opportunities, and information; and the cost, time, and
available staffing. The responsible official should be proactive and use
contemporary tools, such as the Internet, to engage the public, and
should share information in an open way with interested parties. Subject
to the notification requirements in Sec. 219.16, the responsible
official has the discretion to determine the scope, methods, forum, and
timing of those opportunities. The Forest Service retains decisionmaking
authority and responsibility for all decisions throughout the process.
(1) Outreach. The responsible official shall engage the public--
including Tribes and Alaska Native Corporations, other Federal agencies,
State and local governments, individuals, and public and private
organizations or entities--early and throughout the planning process as
required by this part, using collaborative processes where feasible and
appropriate. In providing opportunities for engagement, the responsible
official shall encourage participation by:
(i) Interested individuals and entities, including those interested
at the local, regional, and national levels.
(ii) Youth, low-income populations, and minority populations.
(iii) Private landowners whose lands are in, adjacent to, or
otherwise affected by, or whose actions may impact, future management
actions in the plan area.
(iv) Federal agencies, States, counties, and local governments,
including State fish and wildlife agencies, State foresters and other
relevant State agencies. Where appropriate, the responsible official
shall encourage States, counties, and other local governments to seek
cooperating agency status in the NEPA process for development,
amendment, or revision of a plan. The responsible official may
participate in planning efforts of States, counties, local governments,
and other Federal agencies, where practicable and appropriate.
[[Page 52]]
(v) Interested or affected federally recognized Indian Tribes or
Alaska Native Corporations. Where appropriate, the responsible official
shall encourage federally recognized Tribes to seek cooperating agency
status in the NEPA process for development, amendment, or revision of a
plan. The responsible official may participate in planning efforts of
federally recognized Indian Tribes and Alaska Native Corporations, where
practicable and appropriate.
(2) Consultation with federally recognized Indian Tribes and Alaska
Native Corporations. The Department recognizes the Federal Government
has certain trust responsibilities and a unique legal relationship with
federally recognized Indian Tribes. The responsible official shall honor
the government-to-government relationship between federally recognized
Indian Tribes and the Federal government. The responsible official shall
provide to federally recognized Indian Tribes and Alaska Native
Corporations the opportunity to undertake consultation consistent with
Executive Order 13175 of November 6, 2000, and 25 U.S.C. 450 note.
(3) Native knowledge, indigenous ecological knowledge, and land
ethics. As part of tribal participation and consultation as set forth in
paragraphs (a)(1)(v) and (a)(2) of this section, the responsible
official shall request information about native knowledge, land ethics,
cultural issues, and sacred and culturally significant sites.
(b) Coordination with other public planning efforts. (1) The
responsible official shall coordinate land management planning with the
equivalent and related planning efforts of federally recognized Indian
Tribes, Alaska Native Corporations, other Federal agencies, and State
and local governments.
(2) For plan development or revision, the responsible official shall
review the planning and land use policies of federally recognized Indian
Tribes (43 U.S.C. 1712(b)), Alaska Native Corporations, other Federal
agencies, and State and local governments, where relevant to the plan
area. The results of this review shall be displayed in the environmental
impact statement (EIS) for the plan (40 CFR 1502.16(c), 1506.2). The
review shall include consideration of:
(i) The objectives of federally recognized Indian Tribes, Alaska
Native Corporations, other Federal agencies, and State and local
governments, as expressed in their plans and policies;
(ii) The compatibility and interrelated impacts of these plans and
policies;
(iii) Opportunities for the plan to address the impacts identified
or contribute to joint objectives; and
(iv) Opportunities to resolve or reduce conflicts, within the
context of developing the plan's desired conditions or objectives.
(3) Nothing in this section should be read to indicate that the
responsible official will seek to direct or control management of lands
outside of the plan area, nor will the responsible official conform
management to meet non-Forest Service objectives or policies.
Sec. 219.5 Planning framework.
(a) Planning for a national forest, grassland, prairie, or other
comparable administrative unit of the NFS is an iterative process that
includes assessment (Sec. 219.6); developing, amending, or revising a
plan (Sec. Sec. 219.7 and 219.13); and monitoring (Sec. 219.12). These
three phases of the framework are complementary and may overlap. The
intent of this framework is to create a responsive planning process that
informs integrated resource management and allows the Forest Service to
adapt to changing conditions, including climate change, and improve
management based on new information and monitoring.
(1) Assessment. Assessments rapidly evaluate existing information
about relevant ecological, economic, and social conditions, trends, and
sustainability and their relationship to the land management plan within
the context of the broader landscape. The responsible official shall
consider and evaluate existing and possible future conditions and trends
of the plan area, and assess the sustainability of social, economic, and
ecological systems within the plan area, in the context of the broader
landscape (Sec. 219.6).
(2) Plan development, plan amendment, or plan revision.
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(i) The process for developing or revising a plan includes:
Assessment, preliminary identification of the need to change the plan
based on the assessment, development of a proposed plan, consideration
of the environmental effects of the proposal, providing an opportunity
to comment on the proposed plan, providing an opportunity to object
before the proposal is approved, and, finally, approval of the plan or
plan revision. A new plan or plan revision requires preparation of an
environmental impact statement.
(ii) The process for amending a plan includes: Preliminary
identification of the need to change the plan, development of a proposed
amendment, consideration of the environmental effects of the proposal,
providing an opportunity to comment on the proposed amendment, providing
an opportunity to object before the proposal is approved, and, finally,
approval of the plan amendment. The appropriate NEPA documentation for
an amendment may be an environmental impact statement, an environmental
assessment, or a categorical exclusion, depending upon the scope and
scale of the amendment and its likely effects.
(3) Monitoring. Monitoring is continuous and provides feedback for
the planning cycle by testing relevant assumptions, tracking relevant
conditions over time, and measuring management effectiveness (Sec.
219.12). The monitoring program includes plan-level and broader-scale
monitoring. The plan-level monitoring program is informed by the
assessment phase; developed during plan development, plan amendment, or
plan revision; and implemented after plan decision. The regional
forester develops broader-scale monitoring strategies. Biennial
monitoring evaluation reports document whether a change to the plan or
change to the monitoring program is warranted based on new information,
whether a new assessment may be needed, or whether there is no need for
change at that time.
(b) Interdisciplinary team(s). The responsible official shall
establish an interdisciplinary team or teams to prepare assessments; new
plans, plan amendments, and plan revisions; and plan monitoring
programs.
Sec. 219.6 Assessment.
The responsible official has the discretion to determine the scope,
scale, and timing of an assessment described in Sec. 219.5(a)(1),
subject to the requirements of this section.
(a) Process for plan development or revision assessments. An
assessment must be completed for the development of a new plan or for a
plan revision. The responsible official shall:
(1) Identify and consider relevant existing information contained in
governmental or non-governmental assessments, plans, monitoring reports,
studies, and other sources of relevant information. Such sources of
information may include State forest assessments and strategies, the
Resources Planning Act assessment, ecoregional assessments, non-
governmental reports, State comprehensive outdoor recreation plans,
community wildfire protection plans, public transportation plans, State
wildlife data and action plans, and relevant Agency or interagency
reports, resource plans or assessments. Relevant private information,
including relevant land management plans and local knowledge, will be
considered if publicly available or voluntarily provided.
(2) Coordinate with or provide opportunities for the regional
forester, agency staff from State and Private Forestry and Research and
Development, federally recognized Indian Tribes and Alaska Native
Corporations, other governmental and non-governmental parties, and the
public to provide existing information for the assessment.
(3) Document the assessment in a report available to the public. The
report should document information needs relevant to the topics of
paragraph (b) of this section. Document in the report how the best
available scientific information was used to inform the assessment
(Sec. 219.3). Include the report in the planning record (Sec. 219.14).
(b) Content of the assessment for plan development or revision. In
the assessment for plan development or revision, the responsible
official shall identify and evaluate existing information relevant to
the plan area for the following:
(1) Terrestrial ecosystems, aquatic ecosystems, and watersheds;
[[Page 54]]
(2) Air, soil, and water resources and quality;
(3) System drivers, including dominant ecological processes,
disturbance regimes, and stressors, such as natural succession, wildland
fire, invasive species, and climate change; and the ability of
terrestrial and aquatic ecosystems on the plan area to adapt to change;
(4) Baseline assessment of carbon stocks;
(5) Threatened, endangered, proposed and candidate species, and
potential species of conservation concern present in the plan area;
(6) Social, cultural, and economic conditions;
(7) Benefits people obtain from the NFS planning area (ecosystem
services);
(8) Multiple uses and their contributions to local, regional, and
national economies;
(9) Recreation settings, opportunities and access, and scenic
character;
(10) Renewable and nonrenewable energy and mineral resources;
(11) Infrastructure, such as recreational facilities and
transportation and utility corridors;
(12) Areas of tribal importance;
(13) Cultural and historic resources and uses;
(14) Land status and ownership, use, and access patterns; and
(15) Existing designated areas located in the plan area including
wilderness and wild and scenic rivers and potential need and opportunity
for additional designated areas.
(c) Plan amendment assessments. Where the responsible official
determines that a new assessment is needed to inform an amendment, the
responsible official has the discretion to determine the scope, scale,
process, and content for the assessment depending on the topic or topics
to be addressed.
Sec. 219.7 New plan development or plan revision.
(a) Plan revisions. A plan revision creates a new plan for the
entire plan area, whether the plan revision differs from the prior plan
to a small or large extent. A plan must be revised at least every 15
years. But, the responsible official has the discretion to determine at
any time that conditions on a plan area have changed significantly such
that a plan must be revised (16 U.S.C. 1604(f)(5)).
(b) New plan development. New plan development is required for new
NFS units. The process for developing a new plan is the same as the
process for plan revision.
(c) Process for plan development or revision. (1) The process for
developing or revising a plan includes: Public notification and
participation (Sec. Sec. 219.4 and 219.16), assessment (Sec. Sec.
219.5 and 219.6), developing a proposed plan, considering the
environmental effects of the proposal, providing an opportunity to
comment on the proposed plan, providing an opportunity to object before
the proposal is approved (subpart B), and, finally, approving the plan
or plan revision. A new plan or plan revision requires preparation of an
environmental impact statement.
(2) In developing a proposed new plan or proposed plan revision, the
responsible official shall:
(i) Review relevant information from the assessment and monitoring
to identify a preliminary need to change the existing plan and to inform
the development of plan components and other plan content.
(ii) Consider the goals and objectives of the Forest Service
strategic plan (Sec. 219.2(a)).
(iii) Identify the presence and consider the importance of various
physical, biological, social, cultural, and historic resources on the
plan area (Sec. 219.6), with respect to the requirements for plan
components of Sec. Sec. 219.8 through 219.11.
(iv) Consider conditions, trends, and stressors (Sec. 219.6), with
respect to the requirements for plan components of Sec. Sec. 219.8
through 219.11.
(v) Identify and evaluate lands that may be suitable for inclusion
in the National Wilderness Preservation System and determine whether to
recommend any such lands for wilderness designation.
(vi) Identify the eligibility of rivers for inclusion in the
National Wild and Scenic Rivers System, unless a systematic inventory
has been previously completed and documented and there
[[Page 55]]
are no changed circumstances that warrant additional review.
(vii) Identify existing designated areas other than the areas
identified in paragraphs (c)(2)(v) and (c)(2)(vi) of this section, and
determine whether to recommend any additional areas for designation. If
the responsible official has the delegated authority to designate a new
area or modify an existing area, then the responsible official may
designate such area when approving the plan, plan amendment, or plan
revision.
(viii) Identify the suitability of areas for the appropriate
integration of resource management and uses, with respect to the
requirements for plan components of Sec. Sec. 219.8 through 219.11,
including identifying lands which are not suitable for timber production
(Sec. 219.11).
(ix) Identify the maximum quantity of timber that may be removed
from the plan area (Sec. 219.11(d)(6)).
(x) Identify questions and indicators for the plan monitoring
program (Sec. 219.12).
(xi) Identify potential other content in the plan (paragraph (f) of
this section).
(3) The regional forester shall identify the species of conservation
concern for the plan area in coordination with the responsible official.
(d) Management areas or geographic areas. Every plan must have
management areas or geographic areas or both. The plan may identify
designated or recommended designated areas as management areas or
geographic areas.
(e) Plan components. Plan components guide future project and
activity decisionmaking. The plan must indicate whether specific plan
components apply to the entire plan area, to specific management areas
or geographic areas, or to other areas as identified in the plan.
(1) Required plan components. Every plan must include the following
plan components:
(i) Desired conditions. A desired condition is a description of
specific social, economic, and/or ecological characteristics of the plan
area, or a portion of the plan area, toward which management of the land
and resources should be directed. Desired conditions must be described
in terms that are specific enough to allow progress toward their
achievement to be determined, but do not include completion dates.
(ii) Objectives. An objective is a concise, measurable, and time-
specific statement of a desired rate of progress toward a desired
condition or conditions. Objectives should be based on reasonably
foreseeable budgets.
(iii) Standards. A standard is a mandatory constraint on project and
activity decisionmaking, established to help achieve or maintain the
desired condition or conditions, to avoid or mitigate undesirable
effects, or to meet applicable legal requirements.
(iv) Guidelines. A guideline is a constraint on project and activity
decisionmaking that allows for departure from its terms, so long as the
purpose of the guideline is met. (Sec. 219.15(d)(3)). Guidelines are
established to help achieve or maintain a desired condition or
conditions, to avoid or mitigate undesirable effects, or to meet
applicable legal requirements.
(v) Suitability of lands. Specific lands within a plan area will be
identified as suitable for various multiple uses or activities based on
the desired conditions applicable to those lands. The plan will also
identify lands within the plan area as not suitable for uses that are
not compatible with desired conditions for those lands. The suitability
of lands need not be identified for every use or activity. Suitability
identifications may be made after consideration of historic uses and of
issues that have arisen in the planning process. Every plan must
identify those lands that are not suitable for timber production (Sec.
219.11).
(2) Optional plan component: goals. A plan may include goals as plan
components. Goals are broad statements of intent, other than desired
conditions, usually related to process or interaction with the public.
Goals are expressed in broad, general terms, but do not include
completion dates.
(3) Requirements for the set of plan components. The set of plan
components must meet the requirements set forth in this part for
sustainability (Sec. 219.8), plant and animal diversity (Sec. 219.9),
multiple use (Sec. 219.10), and timber (Sec. 219.11).
[[Page 56]]
(f) Other content in the plan. (1) Other required content in the
plan. Every plan must:
(i) Identify watershed(s) that are a priority for maintenance or
restoration;
(ii) Describe the plan area's distinctive roles and contributions
within the broader landscape;
(iii) Include the monitoring program required by Sec. 219.12; and
(iv) Contain information reflecting proposed and possible actions
that may occur on the plan area during the life of the plan, including:
the planned timber sale program; timber harvesting levels; and the
proportion of probable methods of forest vegetation management practices
expected to be used (16 U.S.C. 1604(e)(2) and (f)(2)). Such information
is not a commitment to take any action and is not a ``proposal'' as
defined by the Council on Environmental Quality regulations for
implementing NEPA (40 CFR 1508.23, 42 U.S.C. 4322(2)(C)).
(2) Optional content in the plan. A plan may include additional
content, such as potential management approaches or strategies and
partnership opportunities or coordination activities.
Sec. 219.8 Sustainability.
The plan must provide for social, economic, and ecological
sustainability within Forest Service authority and consistent with the
inherent capability of the plan area, as follows:
(a) Ecological sustainability. (1) Ecosystem Integrity. The plan
must include plan components, including standards or guidelines, to
maintain or restore the ecological integrity of terrestrial and aquatic
ecosystems and watersheds in the plan area, including plan components to
maintain or restore structure, function, composition, and connectivity,
taking into account:
(i) Interdependence of terrestrial and aquatic ecosystems in the
plan area.
(ii) Contributions of the plan area to ecological conditions within
the broader landscape influenced by the plan area.
(iii) Conditions in the broader landscape that may influence the
sustainability of resources and ecosystems within the plan area.
(iv) System drivers, including dominant ecological processes,
disturbance regimes, and stressors, such as natural succession, wildland
fire, invasive species, and climate change; and the ability of
terrestrial and aquatic ecosystems on the plan area to adapt to change.
(v) Wildland fire and opportunities to restore fire adapted
ecosystems.
(vi) Opportunities for landscape scale restoration.
(2) Air, soil, and water. The plan must include plan components,
including standards or guidelines, to maintain or restore:
(i) Air quality.
(ii) Soils and soil productivity, including guidance to reduce soil
erosion and sedimentation.
(iii) Water quality.
(iv) Water resources in the plan area, including lakes, streams, and
wetlands; ground water; public water supplies; sole source aquifers;
source water protection areas; and other sources of drinking water
(including guidance to prevent or mitigate detrimental changes in
quantity, quality, and availability).
(3) Riparian areas. (i) The plan must include plan components,
including standards or guidelines, to maintain or restore the ecological
integrity of riparian areas in the plan area, including plan components
to maintain or restore structure, function, composition, and
connectivity, taking into account:
(A) Water temperature and chemical composition;
(B) Blockages (uncharacteristic and characteristic) of water
courses;
(C) Deposits of sediment;
(D) Aquatic and terrestrial habitats;
(E) Ecological connectivity;
(F) Restoration needs; and
(G) Floodplain values and risk of flood loss.
(ii) Plans must establish width(s) for riparian management zones
around all lakes, perennial and intermittent streams, and open water
wetlands, within which the plan components required by paragraph
(a)(3)(i) of this section will apply, giving special attention to land
and vegetation for approximately 100 feet from the edges of all
perennial streams and lakes.
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(A) Riparian management zone width(s) may vary based on ecological
or geomorphic factors or type of water body; and will apply unless
replaced by a site-specific delineation of the riparian area.
(B) Plan components must ensure that no management practices causing
detrimental changes in water temperature or chemical composition,
blockages of water courses, or deposits of sediment that seriously and
adversely affect water conditions or fish habitat shall be permitted
within the riparian management zones or the site-specific delineated
riparian areas.
(4) Best management practices for water quality. The Chief shall
establish requirements for national best management practices for water
quality in the Forest Service Directive System. Plan components must
ensure implementation of these practices.
(b) Social and economic sustainability. The plan must include plan
components, including standards or guidelines, to guide the plan area's
contribution to social and economic sustainability, taking into account:
(1) Social, cultural, and economic conditions relevant to the area
influenced by the plan;
(2) Sustainable recreation; including recreation settings,
opportunities, and access; and scenic character;
(3) Multiple uses that contribute to local, regional, and national
economies in a sustainable manner;
(4) Ecosystem services;
(5) Cultural and historic resources and uses; and
(6) Opportunities to connect people with nature.
Sec. 219.9 Diversity of plant and animal communities.
This section adopts a complementary ecosystem and species-specific
approach to maintaining the diversity of plant and animal communities
and the persistence of native species in the plan area. Compliance with
the ecosystem requirements of paragraph (a) is intended to provide the
ecological conditions to both maintain the diversity of plant and animal
communities and support the persistence of most native species in the
plan area. Compliance with the requirements of paragraph (b) is intended
to provide for additional ecological conditions not otherwise provided
by compliance with paragraph (a) for individual species as set forth in
paragraph (b). The plan must provide for the diversity of plant and
animal communities, within Forest Service authority and consistent with
the inherent capability of the plan area, as follows:
(a) Ecosystem plan components. (1) Ecosystem integrity. As required
by Sec. 219.8(a), the plan must include plan components, including
standards or guidelines, to maintain or restore the ecological integrity
of terrestrial and aquatic ecosystems and watersheds in the plan area,
including plan components to maintain or restore their structure,
function, composition, and connectivity.
(2) Ecosystem diversity. The plan must include plan components,
including standards or guidelines, to maintain or restore the diversity
of ecosystems and habitat types throughout the plan area. In doing so,
the plan must include plan components to maintain or restore:
(i) Key characteristics associated with terrestrial and aquatic
ecosystem types;
(ii) Rare aquatic and terrestrial plant and animal communities; and
(iii) The diversity of native tree species similar to that existing
in the plan area.
(b) Additional, species-specific plan components. (1) The
responsible official shall determine whether or not the plan components
required by paragraph (a) of this section provide the ecological
conditions necessary to: contribute to the recovery of federally listed
threatened and endangered species, conserve proposed and candidate
species, and maintain a viable population of each species of
conservation concern within the plan area. If the responsible official
determines that the plan components required in paragraph (a) are
insufficient to provide such ecological conditions, then additional,
species-specific plan components, including standards or guidelines,
must be included in the plan to provide such ecological conditions in
the plan area.
(2) If the responsible official determines that it is beyond the
authority
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of the Forest Service or not within the inherent capability of the plan
area to maintain or restore the ecological conditions to maintain a
viable population of a species of conservation concern in the plan area,
then the responsible official shall:
(i) Document the basis for that determination (Sec. 219.14(a)); and
(ii) Include plan components, including standards or guidelines, to
maintain or restore ecological conditions within the plan area to
contribute to maintaining a viable population of the species within its
range. In providing such plan components, the responsible official shall
coordinate to the extent practicable with other Federal, State, Tribal,
and private land managers having management authority over lands
relevant to that population.
(c) Species of conservation concern. For purposes of this subpart, a
species of conservation concern is a species, other than federally
recognized threatened, endangered, proposed, or candidate species, that
is known to occur in the plan area and for which the regional forester
has determined that the best available scientific information indicates
substantial concern about the species' capability to persist over the
long-term in the plan area.
Sec. 219.10 Multiple use.
While meeting the requirements of Sec. Sec. 219.8 and 219.9, the
plan must provide for ecosystem services and multiple uses, including
outdoor recreation, range, timber, watershed, wildlife, and fish, within
Forest Service authority and the inherent capability of the plan area as
follows:
(a) Integrated resource management for multiple use. The plan must
include plan components, including standards or guidelines, for
integrated resource management to provide for ecosystem services and
multiple uses in the plan area. When developing plan components for
integrated resource management, to the extent relevant to the plan area
and the public participation process and the requirements of Sec. Sec.
219.7, 219.8, 219.9, and 219.11, the responsible official shall
consider:
(1) Aesthetic values, air quality, cultural and heritage resources,
ecosystem services, fish and wildlife species, forage, geologic
features, grazing and rangelands, habitat and habitat connectivity,
recreation settings and opportunities, riparian areas, scenery, soil,
surface and subsurface water quality, timber, trails, vegetation,
viewsheds, wilderness, and other relevant resources and uses.
(2) Renewable and nonrenewable energy and mineral resources.
(3) Appropriate placement and sustainable management of
infrastructure, such as recreational facilities and transportation and
utility corridors.
(4) Opportunities to coordinate with neighboring landowners to link
open spaces and take into account joint management objectives where
feasible and appropriate.
(5) Habitat conditions, subject to the requirements of Sec. 219.9,
for wildlife, fish, and plants commonly enjoyed and used by the public;
for hunting, fishing, trapping, gathering, observing, subsistence, and
other activities (in collaboration with federally recognized Tribes,
Alaska Native Corporations, other Federal agencies, and State and local
governments).
(6) Land status and ownership, use, and access patterns relevant to
the plan area.
(7) Reasonably foreseeable risks to ecological, social, and economic
sustainability.
(8) System drivers, including dominant ecological processes,
disturbance regimes, and stressors, such as natural succession, wildland
fire, invasive species, and climate change; and the ability of the
terrestrial and aquatic ecosystems on the plan area to adapt to change
(Sec. 219.8);
(9) Public water supplies and associated water quality.
(10) Opportunities to connect people with nature.
(b) Requirements for plan components for a new plan or plan
revision. (1) The plan must include plan components, including standards
or guidelines, to provide for:
(i) Sustainable recreation; including recreation settings,
opportunities, and access; and scenic character. Recreation
opportunities may include non-motorized, motorized, developed, and
dispersed recreation on land, water, and in the air.
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(ii) Protection of cultural and historic resources.
(iii) Management of areas of tribal importance.
(iv) Protection of congressionally designated wilderness areas as
well as management of areas recommended for wilderness designation to
protect and maintain the ecological and social characteristics that
provide the basis for their suitability for wilderness designation.
(v) Protection of designated wild and scenic rivers as well as
management of rivers found eligible or determined suitable for the
National Wild and Scenic River system to protect the values that provide
the basis for their suitability for inclusion in the system.
(vi) Appropriate management of other designated areas or recommended
designated areas in the plan area, including research natural areas.
(2) Other plan components for integrated resource management to
provide for multiple use as necessary.
Sec. 219.11 Timber requirements based on the NFMA.
While meeting the requirements of Sec. Sec. 219.8 through 219.10,
the plan must include plan components, including standards or
guidelines, and other plan content regarding timber management within
Forest Service authority and the inherent capability of the plan area,
as follows:
(a) Lands not suited for timber production. (1) The responsible
official shall identify lands within the plan area as not suited for
timber production if any one of the following factors applies:
(i) Statute, Executive order, or regulation prohibits timber
production on the land;
(ii) The Secretary of Agriculture or the Chief has withdrawn the
land from timber production;
(iii) Timber production would not be compatible with the achievement
of desired conditions and objectives established by the plan for those
lands;
(iv) The technology is not currently available for conducting timber
harvest without causing irreversible damage to soil, slope, or other
watershed conditions;
(v) There is no reasonable assurance that such lands can be
adequately restocked within 5 years after final regeneration harvest; or
(vi) The land is not forest land.
(2) The responsible official shall review lands identified in the
plan as not suited for timber production at least once every 10 years,
or as otherwise prescribed by law, to determine whether conditions have
changed so that they have become suitable for timber production. As a
result of this 10-year review, the plan may be amended to identify any
such lands as suitable for timber production, if warranted by changed
conditions.
(b) Timber harvest for purposes of timber production. A plan that
identifies lands as suitable for timber production must include plan
components, including standards or guidelines, to guide timber harvest
for timber production or for other multiple use purposes on such lands.
(c) Timber harvest for purposes other than timber production. Except
as provided in paragraph (d) of this section, the plan may include plan
components to allow for timber harvest for purposes other than timber
production throughout the plan area, or portions of the plan area, as a
tool to assist in achieving or maintaining one or more applicable
desired conditions or objectives of the plan in order to protect other
multiple-use values, and for salvage, sanitation, or public health or
safety. Examples of using timber harvest to protect other multiple use
values may include improving wildlife or fish habitat, thinning to
reduce fire risk, or restoring meadow or savanna ecosystems where trees
have invaded.
(d) Limitations on timber harvest. Whether timber harvest would be
for the purposes of timber production or other purposes, plan
components, including standards or guidelines, must ensure the
following:
(1) No timber harvest for the purposes of timber production may
occur on lands not suited for timber production.
(2) Timber harvest would occur only where soil, slope, or other
watershed conditions would not be irreversibly damaged;
(3) Timber harvest would be carried out in a manner consistent with
the protection of soil, watershed, fish,
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wildlife, recreation, and aesthetic resources.
(4) Where plan components will allow clearcutting, seed tree
cutting, shelterwood cutting, or other cuts designed to regenerate an
even-aged stand of timber, the plan must include standards limiting the
maximize size for openings that may be cut in one harvest operation,
according to geographic areas, forest types, or other suitable
classifications. Except as provided in paragraphs (d)(4)(i) through
(iii) of this section, this limit may not exceed 60 acres for the
Douglas-fir forest type of California, Oregon, and Washington; 80 acres
for the southern yellow pine types of Alabama, Arkansas, Georgia,
Florida, Louisiana, Mississippi, North Carolina, South Carolina,
Oklahoma, and Texas; 100 acres for the hemlock-Sitka spruce forest type
of coastal Alaska; and 40 acres for all other forest types.
(i) Plan standards may allow for openings larger than those
specified in paragraph (d)(4) of this section to be cut in one harvest
operation where the responsible official determines that larger harvest
openings are necessary to help achieve desired ecological conditions in
the plan area. If so, standards for exceptions shall include the
particular conditions under which the larger size is permitted and must
set a maximum size permitted under those conditions.
(ii) Plan components may allow for size limits exceeding those
established in paragraphs (d)(4) and (d)(4)(i) of this section on an
individual timber sale basis after 60 days public notice and review by
the regional forester.
(iii) The plan maximum size for openings to be cut in one harvest
operation shall not apply to the size of openings harvested as a result
of natural catastrophic conditions such as fire, insect and disease
attack, or windstorm (16 U.S.C. 1604(g)(3)(F)(iv)).
(5) Timber will be harvested from NFS lands only where such harvest
would comply with the resource protections set out in sections
6(g)(3)(E) and (F) of the NFMA (16 U.S.C. 1604(g)(3)(E) and (F)). Some
of these requirements are listed in paragraphs (d)(2) to (d)(4) of this
section.
(6) The quantity of timber that may be sold from the national forest
is limited to an amount equal to or less than that which can be removed
from such forest annually in perpetuity on a sustained-yield basis. This
limit may be measured on a decadal basis. The plan may provide for
departures from this limit as provided by the NFMA when departure would
be consistent with the plan's desired conditions and objectives.
Exceptions for departure from this limit on the quantity sold may be
made only after a public review and comment period of at least 90 days.
The Chief must include in the Forest Service Directive System procedures
for estimating the quantity of timber that can be removed annually in
perpetuity on a sustained-yield basis, and exceptions, consistent with
16 U.S.C. 1611.
(7) The regeneration harvest of even-aged stands of trees is limited
to stands that generally have reached the culmination of mean annual
increment of growth. This requirement would apply only to regeneration
harvest of even-aged stands on lands identified as suitable for timber
production and where timber production is the primary purpose for the
harvest. Plan components may allow for exceptions, set out in 16 U.S.C.
1604(m), only if such harvest is consistent with the other plan
components of the land management plan.
Sec. 219.12 Monitoring.
(a) Plan monitoring program. (1) The responsible official shall
develop a monitoring program for the plan area and include it in the
plan. Monitoring information should enable the responsible official to
determine if a change in plan components or other plan content that
guide management of resources on the plan area may be needed. The
development of the plan monitoring program must be coordinated with the
regional forester and Forest Service State and Private Forestry and
Research and Development. Responsible officials for two or more
administrative units may jointly develop their plan monitoring programs.
(2) The plan monitoring program sets out the plan monitoring
questions and associated indicators. Monitoring questions and associated
indicators must be
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designed to inform the management of resources on the plan area,
including by testing relevant assumptions, tracking relevant changes,
and measuring management effectiveness and progress toward achieving or
maintaining the plan's desired conditions or objectives. Questions and
indicators should be based on one or more desired conditions,
objectives, or other plan components in the plan, but not every plan
component needs to have a corresponding monitoring question.
(3) The plan monitoring program should be coordinated and integrated
with relevant broader-scale monitoring strategies (paragraph (b) of this
section) to ensure that monitoring is complementary and efficient, and
that information is gathered at scales appropriate to the monitoring
questions.
(4) Subject to the requirements of paragraph (a)(5) of this section,
the responsible official has the discretion to set the scope and scale
of the plan monitoring program, after considering:
(i) Information needs identified through the planning process as
most critical for informed management of resources on the plan area; and
(ii) The financial and technical capabilities of the Agency.
(5) Each plan monitoring program must contain one or more monitoring
questions and associated indicators addressing each of the following:
(i) The status of select watershed conditions.
(ii) The status of select ecological conditions including key
characteristics of terrestrial and aquatic ecosystems.
(iii) The status of focal species to assess the ecological
conditions required under Sec. 219.9.
(iv) The status of a select set of the ecological conditions
required under Sec. 219.9 to contribute to the recovery of federally
listed threatened and endangered species, conserve proposed and
candidate species, and maintain a viable population of each species of
conservation concern.
(v) The status of visitor use, visitor satisfaction, and progress
toward meeting recreation objectives.
(vi) Measurable changes on the plan area related to climate change
and other stressors that may be affecting the plan area.
(vii) Progress toward meeting the desired conditions and objectives
in the plan, including for providing multiple use opportunities.
(viii) The effects of each management system to determine that they
do not substantially and permanently impair the productivity of the land
(16 U.S.C. 1604(g)(3)(C)).
(6) A range of monitoring techniques may be used to carry out the
monitoring requirements in paragraph (a)(5) of this section.
(7) This section does not apply to projects or activities. Project
and activity monitoring may be used to gather information for the plan
monitoring program, and information gathered through plan monitoring may
be used to inform development of projects or activities. But, the
monitoring requirements of this section are not a prerequisite for
making a decision to carry out a project or activity.
(b) Broader-scale monitoring strategies. (1) The regional forester
shall develop a broader-scale monitoring strategy for plan monitoring
questions that can best be answered at a geographic scale broader than
one plan area.
(2) When developing a monitoring strategy, the regional forester
shall coordinate with the relevant responsible officials, Forest Service
State and Private Forestry and Research and Development, partners, and
the public. Two or more regional foresters may jointly develop broader-
scale monitoring strategies.
(3) Each regional forester shall ensure that the broader-scale
monitoring strategy is within the financial and technical capabilities
of the region and complements other ongoing monitoring efforts.
(4) Projects and activities may be carried out under plans
developed, amended, or revised under this part before the regional
forester has developed a broader-scale monitoring strategy.
(c) Timing and process for developing the plan monitoring program
and broader-scale strategies. (1) The responsible official shall develop
the plan monitoring program as part of the planning process for a new
plan development or plan revision. Where a plan's monitoring
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program has been developed under the provisions of a prior planning
regulation and the unit has not initiated plan revision under this part,
the responsible official shall modify the plan monitoring program within
4 years of the effective date of this part, or as soon as practicable,
to meet the requirements of this section.
(2) The regional forester shall develop a broader-scale monitoring
strategy as soon as practicable.
(3) To the extent practicable, appropriate, and relevant to the
monitoring questions in the plan monitoring program, plan monitoring
programs and broader-scale strategies must be designed to take into
account:
(i) Existing national and regional inventory, monitoring, and
research programs of the Agency, including from the NFS, State and
Private Forestry, and Research and Development, and of other
governmental and non-governmental entities;
(ii) Opportunities to design and carry out multi-party monitoring
with other Forest Service units, Federal, State or local government
agencies, scientists, partners, and members of the public; and
(iii) Opportunities to design and carry out monitoring with
federally recognized Indian Tribes and Alaska Native Corporations.
(d) Biennial evaluation of the monitoring information. (1) The
responsible official shall conduct a biennial evaluation of new
information gathered through the plan monitoring program and relevant
information from the broader-scale strategy, and shall issue a written
report of the evaluation and make it available to the public.
(i) The first monitoring evaluation for a plan or plan revision
developed in accordance with this subpart must be completed no later
than 2 years from the effective date of plan decision.
(ii) Where the monitoring program developed under the provisions of
a prior planning regulation has been modified to meet the requirements
of paragraph (c)(1) of this section, the first monitoring evaluation
must be completed no later than 2 years from the date the change takes
effect.
(iii) The monitoring evaluation report may be postponed for 1 year
in case of exigencies, but notice of the postponement must be provided
to the public prior to the date the report is due for that year (Sec.
219.16(c)(6)).
(2) The monitoring evaluation report must indicate whether or not a
change to the plan, management activities, or the monitoring program, or
a new assessment, may be warranted based on the new information. The
monitoring evaluation report must be used to inform adaptive management
of the plan area.
(3) The monitoring evaluation report may be incorporated into other
planning documents if the responsible official has initiated a plan
revision or relevant amendment.
(4) The monitoring evaluation report is not a decision document
representing final Agency action, and is not subject to the objection
provisions of subpart B.
Sec. 219.13 Plan amendment and administrative changes.
(a) Plan amendment. A plan may be amended at any time. Plan
amendments may be broad or narrow, depending on the need for change, and
should be used to keep plans current and help units adapt to new
information or changing conditions. The responsible official has the
discretion to determine whether and how to amend the plan. Except as
provided by paragraph (c) of this section, a plan amendment is required
to add, modify, or remove one or more plan components, or to change how
or where one or more plan components apply to all or part of the plan
area (including management areas or geographic areas).
(b) Amendment process. The responsible official shall:
(1) Base an amendment on a preliminary identification of the need to
change the plan. The preliminary identification of the need to change
the plan may be based on a new assessment; a monitoring report; or other
documentation of new information, changed conditions, or changed
circumstances. When a plan amendment is made together with, and only
applies to, a project or activity decision, the analysis prepared for
the project or activity may serve as the documentation
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for the preliminary identification of the need to change the plan;
(2) Provide opportunities for public participation as required in
Sec. 219.4 and public notification as required in Sec. 219.16. The
responsible official may combine processes and associated public
notifications where appropriate, considering the scope and scale of the
need to change the plan; and
(3) Amend the plan consistent with Forest Service NEPA procedures.
The appropriate NEPA documentation for an amendment may be an
environmental impact statement, an environmental assessment, or a
categorical exclusion, depending upon the scope and scale of the
amendment and its likely effects. A proposed amendment that may create a
significant environmental effect and thus require preparation of an
environmental impact statement is considered a significant change in the
plan for the purposes of the NFMA.
(c) Administrative changes. An administrative change is any change
to a plan that is not a plan amendment or plan revision. Administrative
changes include corrections of clerical errors to any part of the plan,
conformance of the plan to new statutory or regulatory requirements, or
changes to other content in the plan (Sec. 219.7(f)).
(1) A substantive change to the monitoring program made outside of
the process for plan revision or amendment may be made only after notice
to the public of the intended change and consideration of public comment
(Sec. 219.16(c)(6)).
(2) All other administrative changes may be made following public
notice (Sec. 219.16(c)(6)).
Sec. 219.14 Decision document and planning records.
(a) Decision document. The responsible official shall record
approval of a new plan, plan amendment, or revision in a decision
document prepared according to Forest Service NEPA procedures (36 CFR
220). The decision document must include:
(1) The rationale for approval;
(2) An explanation of how the plan components meet the
sustainability requirements of Sec. 219.8, the diversity requirements
of Sec. 219.9, the multiple use requirements of Sec. 219.10, and the
timber requirements of Sec. 219.11;
(3) A statement of how the plan, plan amendment, or plan revision
applies to approved projects and activities (Sec. 219.15);
(4) The documentation of how the best available scientific
information was used to inform planning, the plan components, and other
plan content, including the plan monitoring program (Sec. 219.3);
(5) The concurrence by the appropriate research station director
with any part of the plan applicable to any experimental forests or
experimental ranges (Sec. 219.2(b)(4)); and
(6) The effective date of the plan, amendment, or revision.
(b) Planning records. (1) The responsible official shall keep the
following documents readily accessible to the public by posting them
online and through other means: assessment reports (Sec. 219.6); the
plan, including the monitoring program; the proposed plan, plan
amendment, or plan revision; public notices and environmental documents
associated with a plan; plan decision documents; and monitoring
evaluation reports (Sec. 219.12).
(2) The planning record includes documents that support analytical
conclusions made and alternatives considered throughout the planning
process. The responsible official shall make the planning record
available at the office where the plan, plan amendment, or plan revision
was developed.
Sec. 219.15 Project and activity consistency with the plan.
(a) Application to existing authorizations and approved projects or
activities. Every decision document approving a plan, plan amendment, or
plan revision must state whether authorizations of occupancy and use
made before the decision document may proceed unchanged. If a plan
decision document does not expressly allow such occupancy and use, the
permit, contract, and other authorizing instrument for the use and
occupancy must be made consistent with the plan, plan amendment, or plan
revision as soon as practicable, as provided in paragraph (d) of this
section, subject to valid existing rights.
[[Page 64]]
(b) Application to projects or activities authorized after plan
decision. Projects and activities authorized after approval of a plan,
plan amendment, or plan revision must be consistent with the plan as
provided in paragraph (d) of this section.
(c) Resolving inconsistency. When a proposed project or activity
would not be consistent with the applicable plan components, the
responsible official shall take one of the following steps, subject to
valid existing rights:
(1) Modify the proposed project or activity to make it consistent
with the applicable plan components;
(2) Reject the proposal or terminate the project or activity;
(3) Amend the plan so that the project or activity will be
consistent with the plan as amended; or
(4) Amend the plan contemporaneously with the approval of the
project or activity so that the project or activity will be consistent
with the plan as amended. This amendment may be limited to apply only to
the project or activity.
(d) Determining consistency. Every project and activity must be
consistent with the applicable plan components. A project or activity
approval document must describe how the project or activity is
consistent with applicable plan components developed or revised in
conformance with this part by meeting the following criteria:
(1) Goals, desired conditions, and objectives. The project or
activity contributes to the maintenance or attainment of one or more
goals, desired conditions, or objectives, or does not foreclose the
opportunity to maintain or achieve any goals, desired conditions, or
objectives, over the long term.
(2) Standards. The project or activity complies with applicable
standards.
(3) Guidelines. The project or activity:
(i) Complies with applicable guidelines as set out in the plan; or
(ii) Is designed in a way that is as effective in achieving the
purpose of the applicable guidelines (Sec. 219.7(e)(1)(iv)).
(4) Suitability. A project or activity would occur in an area:
(i) That the plan identifies as suitable for that type of project or
activity; or
(ii) For which the plan is silent with respect to its suitability
for that type of project or activity.
(e) Consistency of resource plans within the planning area with the
land management plan. Any resource plans (for example, travel management
plans) developed by the Forest Service that apply to the resources or
land areas within the planning area must be consistent with the plan
components. Resource plans developed prior to plan decision must be
evaluated for consistency with the plan and amended if necessary.
Sec. 219.16 Public notifications.
The following public notification requirements apply to plan
development, amendment, or revision. Notifications may be combined where
appropriate.
(a) When formal public notification is required. Public notification
must be provided as follows:
(1) To initiate the development of a proposed plan, plan amendment,
or plan revision;
(2) To invite comments on a proposed plan, plan amendment, or plan
revision, and associated environmental analysis. For a new plan, plan
amendment, or a plan revision for which a draft environmental impact
statement (EIS) is prepared, the comment period is at least 90 days. For
an amendment for which a draft EIS is not prepared, the comment period
is at least 30 days;
(3) To begin the objection period for a plan, plan amendment, or
plan revision before approval (Sec. 219.52);
(4) To approve a final plan, plan amendment, or plan revision; or
(5) To announce whenever a plan, plan amendment, or plan revision
process initiated under the provisions of a previous planning regulation
will be conformed to meet the provisions of this part (Sec.
219.17(b)(3)).
(b) Project or activity plan amendments. When a plan amendment is
approved in a decision document approving a project or activity and the
amendment applies only to the project or activity, the notification
requirements of 36 CFR part 215 or part 218, subpart A, applies instead
of this section.
(c) How public notice is provided. The responsible official should
use contemporary tools to provide notice to the
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public. At a minimum, all public notifications required by this part
must be posted online, and:
(1) When the Chief, the Under Secretary, or the Secretary is the
responsible official, notice must be published in the Federal Register.
(2) For a new plan or plan revision, when an official other than the
Chief, the Under Secretary, or the Secretary is the responsible
official, notice must be published in the Federal Register and the
applicable newspaper(s) of record.
(3) When the notice is for the purpose of inviting comments on a
proposed plan, plan amendment, or plan revision for which a draft EIS is
prepared, the Environmental Protection Agency (EPA) Federal Register
notice of availability of a draft EIS shall serve as the required
Federal Register notice.
(4) For a plan amendment when an official other than the Chief, the
Under Secretary, or the Secretary is the responsible official, and for
which a draft EIS is not prepared, notices must be published in the
newspaper(s) of record.
(5) If a plan, plan amendment, or plan revision applies to two or
more units, notices must be published in the Federal Register and the
newspaper(s) of record for the applicable units.
(6) Additional public notice of administrative changes, changes to
the monitoring program, opportunities to provide information for
assessments, assessment reports, monitoring evaluation reports, or other
notices not listed in paragraph (a) of this section may be made in any
way the responsible official deems appropriate.
(d) Content of public notices. Public notices required by this
section except for notices applicable to paragraph (c)(3) of this
section, must clearly describe the action subject to notice and the
nature and scope of the decisions to be made; identify the responsible
official; describe when, where, and how the responsible official will
provide opportunities for the public to participate in the planning
process; and explain how to obtain additional information.
Sec. 219.17 Effective dates and transition.
(a) Effective dates. (1) A plan or plan revision is effective 30
days after publication of notice of its approval.
(2) Except as provided in paragraph (a)(3) of this section, a plan
amendment for which an environmental impact statement (EIS) has been
prepared is effective 30 days after publication of notice of its
approval; a plan amendment for which an EIS has not been prepared is
effective immediately.
(3) A plan amendment that applies to only one specific project or
activity is effective on the date the project may be implemented in
accordance with administrative review regulations at 36 CFR parts 215
and 218.
(b) Plan amendment and plan revision transition. For the purposes of
this section, initiation means that the Agency has issued a notice of
intent or other notice announcing the beginning of the process to
develop a proposed plan, plan amendment, or plan revision.
(1) Initiating plan development and plan revisions. Plan development
and plan revisions initiated after May 9, 2012 must conform to the
requirements of this part.
(2) Initiating plan amendments. All plan amendments initiated after
May 9, 2012 are subject to the objection process in subpart B of this
part. With respect to plans approved or revised under a prior planning
regulation, including the transition provisions of the reinstated 2000
rule (36 CFR part 209, published at 36 CFR parts 200 to 209, revised as
of July 1, 2010), plan amendments may be initiated under the provisions
of the prior planning regulation for 3 years after May 9, 2012, and may
be completed and approved under those provisions (except for the
optional appeal procedures of the prior planning regulation); or may be
initiated, completed, and approved under the requirements of this part.
After the 3-year transition period, all plan amendments must be
initiated, completed, and approved under the requirements of this part.
(3) Plan development, plan amendments, or plan revisions initiated
before this part. For plan development, plan amendments, or plan
revisions that were initiated before May 9, 2012, the responsible
official may complete and
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approve the plan, plan amendment, or plan revision in conformance with
the provisions of the prior planning regulation, including its
transition provisions (36 CFR part 209, published at 36 CFR parts 200 to
209, revised as of July 1, 2010), or may conform the plan, plan
amendment, or plan revision to the requirements of this part. If the
responsible official chooses to complete an ongoing planning process
under the provisions of the prior planning regulation, but chooses to
allow for an objection rather than an administrative appeal, the
objection process in subpart B of this part shall apply. When the
responsible official chooses to conform an ongoing planning process to
this part, public notice must be made (Sec. 219.16(a)(5)). An objection
process may be chosen only if the public is provided the opportunity to
comment on a proposed plan, plan amendment, or plan revision, and
associated environmental analysis.
(c) Plans developed, amended, or revised under a prior planning
regulation. This part supersedes any prior planning regulation. No
obligations remain from any prior planning regulation, except those that
are specifically included in a unit's existing plan. Existing plans will
remain in effect until revised. This part does not compel a change to
any existing plan, except as required in Sec. 219.12(c)(1). None of the
requirements of this part apply to projects or activities on units with
plans developed or revised under a prior planning rule until the plan is
revised under this part, except that projects or activities on such
units must comply with the consistency requirement of Sec. 219.15 with
respect to any amendments that are developed and approved pursuant to
this part.
Sec. 219.18 Severability.
In the event that any specific provision of this part is deemed by a
court to be invalid, the remaining provisions shall remain in effect.
Sec. 219.19 Definitions.
Definitions of the special terms used in this subpart are set out as
follows.
Alaska Native Corporation. One of the regional, urban, and village
native corporations formed under the Alaska Native Claims Settlement Act
of 1971.
Assessment. For the purposes of this subpart, an assessment is the
identification and evaluation of existing information to support land
management planning. Assessments are not decisionmaking documents, but
provide current information on select topics relevant to the plan area,
in the context of the broader landscape.
Best management practices for water quality (BMPs). Methods,
measures, or practices selected by an agency to meet its nonpoint source
control needs. BMPs include but are not limited to structural and
nonstructural controls and operation and maintenance procedures. BMPs
can be applied before, during, and after pollution-producing activities
to reduce or eliminate the introduction of pollutants into receiving
waters.
Candidate species. (1) For U.S. Fish and Wildlife Service candidate
species, a species for which the U.S. Fish and Wildlife Service
possesses sufficient information on vulnerability and threats to support
a proposal to list as endangered or threatened, but for which no
proposed rule has yet been published by the U.S. Fish and Wildlife
Service.
(2) For National Marine Fisheries Service candidate species, a
species that is:
(i) The subject of a petition to list and for which the National
Marine Fisheries Service has determined that listing may be warranted,
pursuant to section 4(b)(3)(A) of the Endangered Species Act (16 U.S.C.
1533(b)(3)(A)), or
(ii) Not the subject of a petition but for which the National Marine
Fisheries Service has announced in the Federal Register the initiation
of a status review.
Collaboration or collaborative process. A structured manner in which
a collection of people with diverse interests share knowledge, ideas,
and resources while working together in an inclusive and cooperative
manner toward a common purpose. Collaboration, in the context of this
part, falls within the full spectrum of public engagement described in
the Council on Environmental Quality's publication of October, 2007:
Collaboration in NEPA--A Handbook for NEPA Practitioners.
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Connectivity. Ecological conditions that exist at several spatial
and temporal scales that provide landscape linkages that permit the
exchange of flow, sediments, and nutrients; the daily and seasonal
movements of animals within home ranges; the dispersal and genetic
interchange between populations; and the long distance range shifts of
species, such as in response to climate change.
Conservation. The protection, preservation, management, or
restoration of natural environments, ecological communities, and
species.
Conserve. For purposes of Sec. 219.9, to protect, preserve, manage,
or restore natural environments and ecological communities to
potentially avoid federally listing of proposed and candidate species.
Culmination of mean annual increment of growth. See mean annual
increment of growth.
Designated area. An area or feature identified and managed to
maintain its unique special character or purpose. Some categories of
designated areas may be designated only by statute and some categories
may be established administratively in the land management planning
process or by other administrative processes of the Federal executive
branch. Examples of statutorily designated areas are national heritage
areas, national recreational areas, national scenic trails, wild and
scenic rivers, wilderness areas, and wilderness study areas. Examples of
administratively designated areas are experimental forests, research
natural areas, scenic byways, botanical areas, and significant caves.
Disturbance. Any relatively discrete event in time that disrupts
ecosystem, watershed, community, or species population structure and/or
function and changes resources, substrate availability, or the physical
environment.
Disturbance regime. A description of the characteristic types of
disturbance on a given landscape; the frequency, severity, and size
distribution of these characteristic disturbance types; and their
interactions.
Ecological conditions. The biological and physical environment that
can affect the diversity of plant and animal communities, the
persistence of native species, and the productive capacity of ecological
systems. Ecological conditions include habitat and other influences on
species and the environment. Examples of ecological conditions include
the abundance and distribution of aquatic and terrestrial habitats,
connectivity, roads and other structural developments, human uses, and
invasive species.
Ecological integrity. The quality or condition of an ecosystem when
its dominant ecological characteristics (for example, composition,
structure, function, connectivity, and species composition and
diversity) occur within the natural range of variation and can withstand
and recover from most perturbations imposed by natural environmental
dynamics or human influence.
Ecological sustainability. See sustainability.
Ecological system. See ecosystem.
Economic sustainability. See sustainability.
Ecosystem. A spatially explicit, relatively homogeneous unit of the
Earth that includes all interacting organisms and elements of the
abiotic environment within its boundaries. An ecosystem is commonly
described in terms of its:
(1) Composition. The biological elements within the different levels
of biological organization, from genes and species to communities and
ecosystems.
(2) Structure. The organization and physical arrangement of
biological elements such as, snags and down woody debris, vertical and
horizontal distribution of vegetation, stream habitat complexity,
landscape pattern, and connectivity.
(3) Function. Ecological processes that sustain composition and
structure, such as energy flow, nutrient cycling and retention, soil
development and retention, predation and herbivory, and natural
disturbances such as wind, fire, and floods.
(4) Connectivity. (see connectivity above).
Ecosystem diversity. The variety and relative extent of ecosystems.
Ecosystem services. Benefits people obtain from ecosystems,
including:
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(1) Provisioning services, such as clean air and fresh water,
energy, fuel, forage, fiber, and minerals;
(2) Regulating services, such as long term storage of carbon;
climate regulation; water filtration, purification, and storage; soil
stabilization; flood control; and disease regulation;
(3) Supporting services, such as pollination, seed dispersal, soil
formation, and nutrient cycling; and
(4) Cultural services, such as educational, aesthetic, spiritual and
cultural heritage values, recreational experiences and tourism
opportunities.
Environmental assessment (EA). See definition in Sec. 219.62.
Environmental document. For the purposes of this part: an
environmental assessment, environmental impact statement, finding of no
significant impact, categorical exclusion, and notice of intent to
prepare an environmental impact statement.
Environmental impact statement (EIS). See definition in Sec.
219.62.
Even-aged stand. A stand of trees composed of a single age class.
Federally recognized Indian Tribe. An Indian or Alaska Native Tribe,
band, nation, pueblo, village, or community that the Secretary of the
Interior acknowledges to exist as an Indian Tribe under the Federally
Recognized Indian Tribe List Act of 1994, 25 U.S.C. 479a.
Focal species. A small subset of species whose status permits
inference to the integrity of the larger ecological system to which it
belongs and provides meaningful information regarding the effectiveness
of the plan in maintaining or restoring the ecological conditions to
maintain the diversity of plant and animal communities in the plan area.
Focal species would be commonly selected on the basis of their
functional role in ecosystems.
Forest land. Land at least 10 percent occupied by forest trees of
any size or formerly having had such tree cover and not currently
developed for non-forest uses. Lands developed for non-forest use
include areas for crops, improved pasture, residential or administrative
areas, improved roads of any width and adjoining road clearing, and
power line clearings of any width.
Geographic area. A spatially contiguous land area identified within
the planning area. A geographic area may overlap with a management area.
Inherent capability of the plan area. The ecological capacity or
ecological potential of an area characterized by the interrelationship
of its physical elements, its climatic regime, and natural disturbances.
Integrated resource management. Multiple use management that
recognizes the interdependence of ecological resources and is based on
the need for integrated consideration of ecological, social, and
economic factors.
Landscape. A defined area irrespective of ownership or other
artificial boundaries, such as a spatial mosaic of terrestrial and
aquatic ecosystems, landforms, and plant communities, repeated in
similar form throughout such a defined area.
Maintain. In reference to an ecological condition: To keep in
existence or continuance of the desired ecological condition in terms of
its desired composition, structure, and processes. Depending upon the
circumstance, ecological conditions may be maintained by active or
passive management or both.
Management area. A land area identified within the planning area
that has the same set of applicable plan components. A management area
does not have to be spatially contiguous.
Management system. For purposes of this subpart, a timber management
system including even-aged management and uneven-aged management.
Mean annual increment of growth and culmination of mean annual
increment of growth. Mean annual increment of growth is the total
increment of increase of volume of a stand (standing crop plus
thinnings) up to a given age divided by that age. Culmination of mean
annual increment of growth is the age in the growth cycle of an even-
aged stand at which the average annual rate of increase of volume is at
a maximum. In land management plans, mean annual increment is expressed
in cubic measure and is based on the expected growth of stands,
according to intensities and utilization guidelines in the plan.
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Monitoring. A systematic process of collecting information to
evaluate effects of actions or changes in conditions or relationships.
Multiple use. The management of all the various renewable surface
resources of the NFS so that they are utilized in the combination that
will best meet the needs of the American people; making the most
judicious use of the land for some or all of these resources or related
services over areas large enough to provide sufficient latitude for
periodic adjustments in use to conform to changing needs and conditions;
that some land will be used for less than all of the resources; and
harmonious and coordinated management of the various resources, each
with the other, without impairment of the productivity of the land, with
consideration being given to the relative values of the various
resources, and not necessarily the combination of uses that will give
the greatest dollar return or the greatest unit output, consistent with
the Multiple-Use Sustained-Yield Act of 1960 (16 U.S.C. 528-531).
National Forest System. See definition in Sec. 219.62.
Native knowledge. A way of knowing or understanding the world,
including traditional ecological and social knowledge of the environment
derived from multiple generations of indigenous peoples' interactions,
observations, and experiences with their ecological systems. Native
knowledge is place-based and culture-based knowledge in which people
learn to live in and adapt to their own environment through
interactions, observations, and experiences with their ecological
system. This knowledge is generally not solely gained, developed by, or
retained by individuals, but is rather accumulated over successive
generations and is expressed through oral traditions, ceremonies,
stories, dances, songs, art, and other means within a cultural context.
Native species. An organism that was historically or is present in a
particular ecosystem as a result of natural migratory or evolutionary
processes; and not as a result of an accidental or deliberate
introduction into that ecosystem. An organism's presence and evolution
(adaptation) in an area are determined by climate, soil, and other
biotic and abiotic factors.
Newspaper(s) of record. See definition in Sec. 219.62.
Objection. See definition in Sec. 219.62.
Online. See definition in Sec. 219.62.
Participation. Activities that include a wide range of public
involvement tools and processes, such as collaboration, public meetings,
open houses, workshops, and comment periods.
Persistence. Continued existence.
Plan area. The NFS lands covered by a plan.
Plan or land management plan. A document or set of documents that
provide management direction for an administrative unit of the NFS
developed under the requirements of this part or a prior planning rule.
Plant and animal community. A naturally occurring assemblage of
plant and animal species living within a defined area or habitat.
Productivity. The capacity of NFS lands and their ecological systems
to provide the various renewable resources in certain amounts in
perpetuity. For the purposes of this subpart, productivity is an
ecological term, not an economic term.
Project. An organized effort to achieve an outcome on NFS lands
identified by location, tasks, outputs, effects, times, and
responsibilities for execution.
Proposed Species. Any species of fish, wildlife, or plant that is
proposed by the U.S. Fish and Wildlife Service or the National Marine
Fisheries Service in the Federal Register to be listed under Section 4
of the Endangered Species Act.
Recovery. For the purposes of this subpart, and with respect to
threatened or endangered species: The improvement in the status of a
listed species to the point at which listing as federally endangered or
threatened is no longer appropriate.
Recreation. See Sustainable recreation.
Recreation opportunity. An opportunity to participate in a specific
recreation activity in a particular recreation setting to enjoy desired
recreation experiences and other benefits that accrue. Recreation
opportunities include non-motorized, motorized,
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developed, and dispersed recreation on land, water, and in the air.
Recreation setting. The social, managerial, and physical attributes
of a place that, when combined, provide a distinct set of recreation
opportunities. The Forest Service uses the recreation opportunity
spectrum to define recreation settings and categorize them into six
distinct classes: primitive, semi-primitive non-motorized, semi-
primitive motorized, roaded natural, rural, and urban.
Responsible official. See definition in Sec. 219.62.
Restoration. The process of assisting the recovery of an ecosystem
that has been degraded, damaged, or destroyed. Ecological restoration
focuses on reestablishing the composition, structure, pattern, and
ecological processes necessary to facilitate terrestrial and aquatic
ecosystems sustainability, resilience, and health under current and
future conditions.
Restore. To renew by the process of restoration (see restoration).
Riparian Areas. Three-dimensional ecotones of interaction that
include terrestrial and aquatic ecosystems that extend down into the
groundwater, up above the canopy, outward across the floodplain, up the
near-slopes that drain to the water, laterally into the terrestrial
ecosystem, and along the water course at variable widths.
Riparian management zone. Portions of a watershed where riparian-
dependent resources receive primary emphasis, and for which plans
include plan components to maintain or restore riparian functions and
ecological functions.
Risk. A combination of the likelihood that a negative outcome will
occur and the severity of the subsequent negative consequences.
Scenic character. A combination of the physical, biological, and
cultural images that gives an area its scenic identity and contributes
to its sense of place. Scenic character provides a frame of reference
from which to determine scenic attractiveness and to measure scenic
integrity.
Social sustainability. See sustainability.
Sole source aquifer. Underground water supply designated by the
Environmental Protection Agency (EPA) as the ``sole or principle''
source of drinking water for an area as established under section
1424(e) of the Safe Drinking Water Act (42 U.S.C. 300h-3(e)).
Source water protection areas. The area delineated by a State or
Tribe for a public water system (PWS) or including numerous PWSs,
whether the source is ground water or surface water or both, as part of
a State or tribal source water assessment and protection program (SWAP)
approved by Environmental Protection Agency under section 1453 of the
Safe Drinking Water Act (42 U.S.C. 300h-3(e)).
Stressors. For the purposes of this subpart: Factors that may
directly or indirectly degrade or impair ecosystem composition,
structure or ecological process in a manner that may impair its
ecological integrity, such as an invasive species, loss of connectivity,
or the disruption of a natural disturbance regime.
Sustainability. The capability to meet the needs of the present
generation without compromising the ability of future generations to
meet their needs. For purposes of this part, ``ecological
sustainability'' refers to the capability of ecosystems to maintain
ecological integrity; ``economic sustainability'' refers to the
capability of society to produce and consume or otherwise benefit from
goods and services including contributions to jobs and market and
nonmarket benefits; and ``social sustainability'' refers to the
capability of society to support the network of relationships,
traditions, culture, and activities that connect people to the land and
to one another, and support vibrant communities.
Sustainable recreation. The set of recreation settings and
opportunities on the National Forest System that is ecologically,
economically, and socially sustainable for present and future
generations.
Timber harvest. The removal of trees for wood fiber use and other
multiple-use purposes.
Timber production. The purposeful growing, tending, harvesting, and
regeneration of regulated crops of trees to be cut into logs, bolts, or
other round sections for industrial or consumer use.
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Viable population. A population of a species that continues to
persist over the long term with sufficient distribution to be resilient
and adaptable to stressors and likely future environments.
Watershed. A region or land area drained by a single stream, river,
or drainage network; a drainage basin.
Watershed condition. The state of a watershed based on physical and
biogeochemical characteristics and processes.
Wild and scenic river. A river designated by Congress as part of the
National Wild and Scenic Rivers System that was established in the Wild
and Scenic Rivers Act of 1968 (16 U.S.C. 1271 (note), 1271-1287).
Wilderness. Any area of land designated by Congress as part of the
National Wilderness Preservation System that was established in the
Wilderness Act of 1964 (16 U.S.C. 1131-1136).
Subpart B_Pre-Decisional Administrative Review Process
Sec. 219.50 Purpose and scope.
This subpart establishes a pre-decisional administrative review
(hereinafter referred to as objection) process for plans, plan
amendments, or plan revisions. This process gives an individual or
entity an opportunity for an independent Forest Service review and
resolution of issues before the approval of a plan, plan amendment, or
plan revision. This subpart identifies who may file objections to a
plan, plan amendment, or plan revision; the responsibilities of the
participants in an objection; and the procedures that apply to the
review of the objection.
Sec. 219.51 Plans, plan amendments, or plan revisions not subject to
objection.
(a) A plan, plan amendment, or plan revision is not subject to
objection when the responsible official receives no substantive formal
comments (Sec. 219.62) on that proposal during the opportunities for
public comment (Sec. 219.53(a)).
(b) Plans, plan amendments, or plan revisions proposed by the
Secretary of Agriculture or the Under Secretary for Natural Resources
and Environment are not subject to the procedures set forth in this
section. A decision by the Secretary or Under Secretary constitutes the
final administrative determination of the U.S. Department of
Agriculture.
(c) A plan, plan amendment, or plan revision is not subject to
objection under this subpart if another administrative review process is
used consistent with Sec. 219.59.
(d) When a plan, plan amendment, or plan revision is not subject to
objection under this subpart, the responsible official shall include an
explanation with the signed decision document.
Sec. 219.52 Giving notice of a plan, plan amendment, or plan revision subject
to objection before approval.
(a) The responsible official shall disclose during the NEPA scoping
process and in the appropriate NEPA documents that the proposed plan,
plan amendment, or plan revision is subject to the objection procedures
in this subpart. This disclosure is in addition to the public notice
that begins the objection filing period, as required at Sec. 219.16.
When a responsible official chooses to use the objection process of this
subpart for a plan, plan amendment, or plan revision process initiated
before the effective date of this rule, notice that the objection
process will be used must be given prior to an opportunity to provide
substantive formal comment on a proposed plan, plan amendment, or
revision and associated environmental analysis.
(b) The responsible official shall make available the public notice
for the beginning of the objection period for a plan, plan amendment, or
plan revision (Sec. 219.16(a)(3)) to those who have requested the
environmental documents or are eligible to file an objection consistent
with Sec. 219.53.
(c) The content of the public notice for the beginning of the
objection period for a plan, plan amendment, or plan revision before
approval (Sec. 219.16(a)(3)) must:
(1) Inform the public of the availability of the plan, plan
amendment, or plan revision, the appropriate final environmental
documents, the draft plan decision document, and any relevant assessment
or monitoring evaluation
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report; the commencement of the objection filing period under 36 CFR
part 219 Subpart B; and the process for objecting. The documents in this
paragraph will be made available online at the time of public notice.
(2) Include the name of the plan, plan amendment, or plan revision,
the name and title of the responsible official, and instructions on how
to obtain a copy of the appropriate final environmental documents; the
draft plan decision document; and the plan, plan amendment, or plan
revision.
(3) Include the name and address of the reviewing officer with whom
an objection is to be filed. The notice must specify a street, postal,
fax, and email address; the acceptable format(s) for objections filed
electronically; and the reviewing officer's office business hours for
those filing hand-delivered objections.
(4) Include a statement that objections will be accepted only from
those who have previously submitted substantive formal comments specific
to the proposed plan, plan amendment, or plan revision during any
opportunity for public comment as provided in subpart A.
(5) Include a statement that the publication date of the public
notice in the applicable newspaper of record (or the Federal Register,
if the responsible official is the Chief) is the exclusive means for
calculating the time to file an objection (Sec. 219.56).
(6) Include a statement that an objection, including attachments,
must be filed with the appropriate reviewing officer (Sec. 219.62)
within 60 days, if an environmental impact statement has been prepared,
otherwise within 45 days of the date of publication of the public notice
for the objection process.
(7) Include a statement describing the minimum content requirements
of an objection (Sec. 219.54(c)).
Sec. 219.53 Who may file an objection.
(a) Individuals and entities who have submitted substantive formal
comments related to a plan, plan amendment, or plan revision during the
opportunities for public comment as provided in subpart A during the
planning process for that decision may file an objection. Objections
must be based on previously submitted substantive formal comments
attributed to the objector unless the objection concerns an issue that
arose after the opportunities for formal comment. The burden is on the
objector to demonstrate compliance with requirements for objection.
Objections that do not meet the requirements of this paragraph may not
be accepted; however, objections not accepted must be documented in the
planning record.
(b) Formal comments received from an authorized representative(s) of
an entity are considered those of the entity only. Individual members of
that entity do not meet objection eligibility requirements solely based
on membership in an entity. A member or an individual must submit
substantive formal comments independently to be eligible to file an
objection in an individual capacity.
(c) When an objection lists multiple individuals or entities, each
individual or entity must meet the requirements of paragraph (a) of this
section. Individuals or entities listed on an objection that do not meet
eligibility requirements may not be considered objectors, although an
objection must be accepted (if not otherwise set aside for review under
Sec. 219.55) if at least one listed individual or entity meets the
eligibility requirements.
(d) Federal agencies may not file objections.
(e) Federal employees who otherwise meet the requirements of this
subpart for filing objections in a non-official capacity must comply
with Federal conflict of interest statutes at 18 U.S.C. 202-209 and with
employee ethics requirements at 5 CFR part 2635. Specifically, employees
may not be on official duty nor use government property or equipment in
the preparation or filing of an objection. Further, employees may not
include information unavailable to the public, such as Federal agency
documents that are exempt from disclosure under the Freedom of
Information Act (5 U.S.C. 552(b)).
Sec. 219.54 Filing an objection.
(a) All objections must be filed, in writing, with the reviewing
officer for the plan. All objections must be open
[[Page 73]]
to public inspection during the objection process.
(b) Including documents by reference is not allowed, except for the
following list of items that may be referenced by including the name,
date, page number (where applicable), and relevant section of the cited
document. All other documents or Web links to those documents, or both
must be included with the objection, if referenced in the objection.
(1) All or any part of a Federal law or regulation.
(2) Forest Service Directive System documents and land management
plans or other published Forest Service documents.
(3) Documents referenced by the Forest Service in the planning
documentation related to the proposal subject to objection.
(4) Formal comments previously provided to the Forest Service by the
objector during the proposed plan, plan amendment, or plan revision
comment period.
(c) At a minimum, an objection must include the following:
(1) The objector's name and address (Sec. 219.62), along with a
telephone number or email address if available;
(2) Signature or other verification of authorship upon request (a
scanned signature for electronic mail may be filed with the objection);
(3) Identification of the lead objector, when multiple names are
listed on an objection (Sec. 219.62). Verification of the identity of
the lead objector if requested;
(4) The name of the plan, plan amendment, or plan revision being
objected to, and the name and title of the responsible official;
(5) A statement of the issues and/or the parts of the plan, plan
amendment, or plan revision to which the objection applies;
(6) A concise statement explaining the objection and suggesting how
the proposed plan decision may be improved. If applicable, the objector
should identify how the objector believes that the plan, plan amendment,
or plan revision is inconsistent with law, regulation, or policy; and
(7) A statement that demonstrates the link between prior substantive
formal comments attributed to the objector and the content of the
objection, unless the objection concerns an issue that arose after the
opportunities for formal comment (Sec. 219.53(a)).
Sec. 219.55 Objections set aside from review.
(a) The reviewing officer shall set aside and not review an
objection when one or more of the following applies:
(1) Objections are not filed in a timely manner (Sec. 219.56);
(2) The proposed plan, plan amendment, or plan revision is not
subject to the objection procedures of this subpart pursuant to
Sec. Sec. 219.51 and 219.59;
(3) The individual or entity did not submit substantive formal
comments (Sec. 219.53) during opportunities for public comment on the
proposed decision (Sec. 219.16(a)(1) and (a)(2));
(4) None of the issues included in the objection is based on
previously submitted substantive formal comments unless one or more of
those issues arose after the opportunities for formal comment;
(5) The objection does not provide sufficient information as
required by Sec. 219.54(c);
(6) The objector withdraws the objection in writing;
(7) The objector's identity is not provided or cannot be determined
from the signature (written or electronically scanned), and a reasonable
means of contact is not provided (Sec. 219.54(c)); or
(8) The objection is illegible for any reason and a legible copy
cannot easily be obtained.
(b) When an objection includes an issue that is not based on
previously submitted substantive formal comments and did not arise after
the opportunities for formal comment, that issue will be set aside and
not reviewed. Other issues raised in the objection that meet the
requirements of this subpart will be reviewed.
(c) The reviewing officer shall give written notice to the objector
and the responsible official when an objection or part of an objection
is set aside from review and shall state the reasons for not reviewing
the objection in whole or part. If the objection is set aside from
review for reasons of illegibility or lack of a means of contact, the
reasons
[[Page 74]]
must be documented in the planning record.
Sec. 219.56 Objection time periods and process.
(a) Time to file an objection. For a new plan, plan amendment, or
plan revision for which an environmental impact statement (EIS) is
prepared, written objections, including any attachments, must be filed
within 60 days following the publication date of the public notice for a
plan, plan amendment, or plan revision before approval (Sec. Sec.
219.16 and 219.52). For an amendment for which an EIS is not prepared,
the time to file an objection is within 45 days. It is the
responsibility of the objector to ensure that the reviewing officer
receives the objection in a timely manner.
(b) Computation of time periods. (1) All time periods are computed
using calendar days, including Saturdays, Sundays, and Federal holidays
in the time zone of the reviewing officer. However, when the time period
expires on a Saturday, Sunday, or Federal holiday, the time is extended
to the end of the next Federal working day (11:59 p.m. for objections
filed by electronic means such as email or facsimile machine).
(2) The day after publication of the public notice for a plan, plan
amendment, or plan revision before approval (Sec. Sec. 219.16 and
219.52), is the first day of the objection filing period.
(3) The publication date of the public notice for a plan, plan
amendment, or plan revision before approval (Sec. Sec. 219.16 and
219.52), is the exclusive means for calculating the time to file an
objection. Objectors may not rely on dates or timeframe information
provided by any other source.
(c) Evidence of timely filing. The objector is responsible for
filing the objection in a timely manner. Timeliness must be determined
by one of the following indicators:
(1) The date of the U.S. Postal Service postmark for an objection
received before the close of the fifth business day after the objection
filing date;
(2) The electronically generated posted date and time for email and
facsimiles;
(3) The shipping date for delivery by private carrier for an
objection received before the close of the fifth business day after the
objection filing date; or
(4) The official agency date stamp showing receipt of hand delivery.
(d) Extensions. Time extensions for filing are not permitted except
as provided at paragraph (b)(1) of this section.
(e) Reviewing officer role and responsibilities. The reviewing
officer is the U.S. Department of Agriculture (USDA) or Forest Service
official having the delegated authority and responsibility to review an
objection filed under this subpart. The reviewing officer is a line
officer at the next higher administrative level above the responsible
official; except that:
(1) For a plan amendment, that next higher-level line officer may
delegate the reviewing officer authority and responsibility to a line
officer at the same administrative level as the responsible official.
Any plan amendment delegation of reviewing officer responsibilities must
be made prior to the public notification of an objection filing period
(Sec. 219.52).
(2) For an objection or part of an objection specific to the
identification of species of conservation concern, the regional forester
who identified the species of conservation concern for the plan area may
not be the reviewing officer. The Chief may choose to act as the
reviewing officer or may delegate the reviewing officer authority to a
line officer at the same administrative level as the regional forester.
The reviewing officer for the plan will convey any such objections or
parts thereof to the appropriate line officer.
(f) Notice of objections filed. Within 10 days after the close of
the objection period, the responsible official shall publish a notice of
all objections in the applicable newspaper of record and post the notice
online.
(g) Response to objections. The reviewing officer must issue a
written response to the objector(s) concerning their objection(s) within
90 days of the end of the objection-filing period. The reviewing officer
has the discretion to extend the time when it is determined to be
necessary to provide adequate response to objections or to participate
[[Page 75]]
in discussions with the parties. The reviewing officer must notify all
parties (lead objectors and interested persons) in writing of any
extensions.
Sec. 219.57 Resolution of objections.
(a) Meetings. Prior to the issuance of the reviewing officer's
written response, either the reviewing officer or the objector may
request to meet to discuss issues raised in the objection and potential
resolution. The reviewing officer must allow other interested persons to
participate in such meetings. An interested person must file a request
to participate in an objection within 10 days after publication of the
notice of objection by the responsible official (Sec. 219.56(f)). The
responsible official shall be a participant in all meetings involving
the reviewing officer, objectors, and interested persons. During
meetings with objectors and interested persons, the reviewing officer
may choose to use alternative dispute resolution methods to resolve
objections. All meetings are open to observation by the public.
(b) Response to objections. (1) The reviewing officer must render a
written response to the objection(s) within 90 days of the close of the
objection-filing period, unless the allowable time is extended as
provided at Sec. 219.56(g). A written response must set forth the
reasons for the response but need not be a point-by-point response, and
may contain instructions to the responsible official. In cases involving
more than one objection to a plan, plan amendment, or plan revision, the
reviewing officer may consolidate objections and issue one or more
responses. The response must be sent to the objecting party(ies) by
certified mail, return receipt requested, and posted online.
(2) The reviewing officer's review of and response to the
objection(s) is limited to only those issues and concerns submitted in
the objection(s).
(3) The response of the reviewing officer will be the final decision
of the U.S. Department of Agriculture on the objection.
Sec. 219.58 Timing of a plan, plan amendment, or plan revision decision.
(a) The responsible official may not issue a decision document
concerning a plan, plan amendment, or plan revision subject to the
provisions of this subpart until the reviewing officer has responded in
writing to all objections.
(b) A decision by the responsible official approving a plan, plan
amendment, or plan revision must be consistent with the reviewing
officer's response to objections.
(c) When no objection is filed within the allotted filing period,
the reviewing officer must notify the responsible official. The
responsible official's approval of the plan, plan amendment, or plan
revision in a plan decision document consistent with Sec. 219.14, may
occur on, but not before, the fifth business day following the end of
the objection-filing period.
Sec. 219.59 Use of other administrative review processes.
(a) Where the Forest Service is a participant in a multi-federal
agency effort that would otherwise be subject to objection under this
subpart, the responsible official may waive the objection procedures of
this subpart and instead adopt the administrative review procedure of
another participating Federal agency. As a condition of such a waiver,
the responsible official for the Forest Service must have agreement with
the responsible official of the other agency or agencies that a joint
agency response will be provided to those who file for administrative
review of the multi-agency effort. When such an agreement is reached,
the responsible official for the Forest Service shall ensure public
notice required in Sec. 219.52 sets forth which administrative review
procedure is to be used.
(b) When a plan amendment is approved in a decision document
approving a project or activity and the amendment applies only to the
project or activity, the administrative review process of 36 CFR part
215 or part 218, subpart A, applies instead of the objection process
established in this subpart. When a plan amendment applies to all future
projects or activities, the objection process established in this
subpart applies only to the plan amendment decision; the review process
of 36 CFR part 215 or part 218 would apply to the project or activity
part of the decision.
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Sec. 219.60 Secretary's authority.
Nothing in this subpart restricts the Secretary of Agriculture from
exercising any statutory authority regarding the protection, management,
or administration of NFS lands.
Sec. 219.61 Information collection requirements.
This subpart specifies the information that objectors must give in
an objection to a plan, plan amendment, or plan revision (Sec.
219.54(c)). As such, this subpart contains information collection
requirements as defined in 5 CFR part 1320 and have been approved by the
Office of Management and Budget and assigned control number 0596-0158.
Sec. 219.62 Definitions.
Definitions of the special terms used in this subpart are set out as
follows.
Address. An individual's or entity's current mailing address used
for postal service or other delivery services. An email address is not
sufficient.
Decision memo. A concise written record of the responsible
official's decision to implement an action that is categorically
excluded from further analysis and documentation in an environmental
impact statement (EIS) or environmental assessment (EA), where the
action is one of a category of actions which do not individually or
cumulatively have a significant effect on the human environment, and
does not give rise to extraordinary circumstances in which a normally
excluded action may have a significant environmental effect.
Environmental assessment (EA). A public document that provides
sufficient evidence and analysis for determining whether to prepare an
EIS or a finding of no significant impact, aids an agency's compliance
with the National Environmental Policy Act (NEPA) when no EIS is
necessary, and facilitates preparation of a statement when one is
necessary (40 CFR 1508.9; FSH 1909.15, Chapter 40).
Environmental impact statement (EIS). A detailed written statement
as required by section 102(2)(C) of the National Environmental Policy
Act (NEPA) of 1969 (40 CFR 1508.11; 36 CFR 220).
Formal comments. See substantive formal comments.
Lead objector. For an objection submitted with multiple individuals,
multiple entities, or combination of individuals and entities listed,
the individual or entity identified to represent all other objectors for
the purposes of communication, written or otherwise, regarding the
objection.
Line officer. A Forest Service official who serves in a direct line
of command from the Chief.
Name. The first and last name of an individual or the name of an
entity. An electronic username is insufficient for identification of an
individual or entity.
National Forest System. The National Forest System includes national
forests, national grasslands, and the National Tallgrass Prairie.
Newspaper(s) of record. The newspaper(s) of record is (are) the
principal newspaper(s) of general circulation annually identified and
published in the Federal Register by each regional forester to be used
for publishing notices as required by 36 CFR 215.5. The newspaper(s) of
record for projects in a plan area is (are) the newspaper(s) of record
for notices related to planning.
Objection. The written document filed with a reviewing officer by an
individual or entity seeking pre-decisional administrative review of a
plan, plan amendment, or plan revision.
Objection period. The allotted filing period following publication
of a public notice in the applicable newspaper of record (or the Federal
Register, if the responsible official is the Chief) of the availability
of the appropriate environmental documents and draft decision document,
including a plan, plan amendment, or plan revision during which an
objection may be filed with the reviewing officer.
Objection process. Those procedures established for pre-decisional
administrative review of a plan, plan amendment, or plan revision.
Objector. An individual or entity who meets the requirements of
Sec. 219.53, and files an objection that meets the requirements of
Sec. Sec. 219.54 and 219.56.
Online. Refers to the appropriate Forest Service Web site or future
electronic equivalent.
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Responsible official. The official with the authority and
responsibility to oversee the planning process and to approve a plan,
plan amendment, and plan revision.
Reviewing officer. The USDA or Forest Service official having the
delegated authority and responsibility to review an objection filed
under this subpart.
Substantive formal comments. Written comments submitted to, or oral
comments recorded by, the responsible official or his designee during an
opportunity for public participation provided during the planning
process (Sec. Sec. 219.4 and 219.16), and attributed to the individual
or entity providing them. Comments are considered substantive when they
are within the scope of the proposal, are specific to the proposal, have
a direct relationship to the proposal, and include supporting reasons
for the responsible official to consider.
PART 220_NATIONAL ENVIRONMENTAL POLICY ACT (NEPA) COMPLIANCE--Table of
Contents
Sec.
220.1 Purpose and scope.
220.2 Applicability.
220.3 Definitions.
220.4 General requirements.
220.5 Environmental impact statement and record of decision.
220.6 Categorical exclusions.
220.7 Environmental assessment and decision notice.
Authority: 42 U.S.C. 4321 et seq.; E. O. 11514; 40 CFR parts 1500-
1508; 7 CFR part 1b.
Source: 73 FR 43093, July 24, 2008, unless otherwise noted.
Sec. 220.1 Purpose and scope.
(a) Purpose. This part establishes Forest Service, U.S. Department
of Agriculture (USDA) procedures for compliance with the National
Environmental Policy Act (NEPA) of 1969 (42 U.S.C. 4321 et seq.) and the
Council on Environmental Quality (CEQ) regulations for implementing the
procedural provisions of NEPA (40 CFR parts 1500 through 1508).
(b) Scope. This part supplements and does not lessen the
applicability of the CEQ regulations, and is to be used in conjunction
with the CEQ regulations and USDA regulations at 7 CFR part 1b.
Sec. 220.2 Applicability.
This part applies to all organizational elements of the Forest
Service. Consistent with 40 CFR 1500.3, no trivial violation of this
part shall give rise to any independent cause of action.
Sec. 220.3 Definitions.
The following definitions supplement, by adding to, the terms
defined at 40 CFR parts 1500-1508.
Adaptive management. A system of management practices based on
clearly identified intended outcomes and monitoring to determine if
management actions are meeting those outcomes; and, if not, to
facilitate management changes that will best ensure that those outcomes
are met or re-evaluated. Adaptive management stems from the recognition
that knowledge about natural resource systems is sometimes uncertain.
Decision document. A record of decision, decision notice or decision
memo.
Decision memo. A concise written record of the responsible
official's decision to implement an action categorically excluded from
further analysis and documentation in an environmental impact statement
(EIS) or environmental assessment (EA).
Decision notice. A concise written record of the responsible
official's decision when an EA and finding of no significant impact
(FONSI) have been prepared.
Environmentally preferable alternative. The environmentally
preferable alternative is the alternative that will best promote the
national environmental policy as expressed in NEPA's section 101 (42
U.S.C. 4321). Ordinarily, the environmentally preferable alternative is
that which causes the least harm to the biological and physical
environment; it also is the alternative which best protects and
preserves historic, cultural, and natural resources. In some situations,
there may be more than one environmentally preferable alternative.
Reasonably foreseeable future actions. Those Federal or non-Federal
activities not yet undertaken, for which there are existing decisions,
funding, or
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identified proposals. Identified proposals for Forest Service actions
are described in Sec. 220.4(a)(1).
Responsible official. The Agency employee who has the authority to
make and implement a decision on a proposed action.
Schedule of proposed actions (SOPA). A Forest Service document that
informs the public about those proposed and ongoing Forest Service
actions for which a record of decision, decision notice or decision memo
would be or has been prepared. The SOPA also identifies a contact for
additional information on any proposed actions.
Sec. 220.4 General requirements.
(a) Proposed actions subject to the NEPA requirements. As required
by 42 U.S.C. 4321 et seq., a Forest Service proposal is subject to the
NEPA requirements when all of the following apply:
(1) The Forest Service has a goal and is actively preparing to make
a decision on one or more alternative means of accomplishing that goal
and the effects can be meaningfully evaluated (see 40 CFR 1508.23);
(2) The proposed action is subject to Forest Service control and
responsibility (see 40 CFR 1508.18);
(3) The proposed action would cause effects on the natural and
physical environment and the relationship of people with that
environment (see 40 CFR 1508.14); and
(4) The proposed action is not statutorily exempt from the
requirements of section 102(2)(C) of the NEPA (42 U.S.C. 4332(2)(C)).
(b) Emergency responses. When the responsible official determines
that an emergency exists that makes it necessary to take urgently needed
actions before preparing a NEPA analysis and any required documentation
in accordance with the provisions in Sec. Sec. 220.5, 220.6, and 220.7
of this part, then the following provisions apply.
(1) The responsible official may take actions necessary to control
the immediate impacts of the emergency and are urgently needed to
mitigate harm to life, property, or important natural or cultural
resources. When taking such actions, the responsible official shall take
into account the probable environmental consequences of the emergency
action and mitigate foreseeable adverse environmental effects to the
extent practical.
(2) If the responsible official proposes emergency actions other
than those actions described in paragraph (b)(1) of this section, and
such actions are not likely to have significant environmental impacts,
the responsible official shall document that determination in an EA and
FONSI prepared in accord with these regulations. If the responsible
official finds that the nature and scope of proposed emergency actions
are such that they must be undertaken prior to preparing any NEPA
analysis and documentation associated with a CE or an EA and FONSI, the
responsible official shall consult with the Washington Office about
alternative arrangements for NEPA compliance. The Chief or Associate
Chief of the Forest Service may grant emergency alternative arrangements
under NEPA for environmental assessments, findings of no significant
impact and categorical exclusions (FSM 1950.41a). Consultation with the
Washington Office shall be coordinated through the appropriate regional
office.
(3) If the responsible official proposes emergency actions other
than those actions described in paragraph (b)(1) of this section and
such actions are likely to have significant environmental impacts, then
the responsible official shall consult with CEQ, through the appropriate
regional office and the Washington Office, about alternative
arrangements in accordance with CEQ regulations at 40 CFR 1506.11 as
soon as possible.
(c) Agency decisionmaking. For each Forest Service proposal (Sec.
220.4(a)), the responsible official shall coordinate and integrate NEPA
review and relevant environmental documents with agency decisionmaking
by:
(1) Completing the environmental document review before making a
decision on the proposal;
(2) Considering environmental documents, public and agency comments
(if any) on those documents, and agency responses to those comments;
(3) Including environmental documents, comments, and responses in
the administrative record;
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(4) Considering the alternatives analyzed in environmental
document(s) before rendering a decision on the proposal; and
(5) Making a decision encompassed within the range of alternatives
analyzed in the environmental documents.
(d) Schedule of proposed actions (SOPA). The responsible official
shall ensure the SOPA is updated and notify the public of the
availability of the SOPA.
(e) Scoping (40 CFR 1501.7). (1) Scoping is required for all Forest
Service proposed actions, including those that would appear to be
categorically excluded from further analysis and documentation in an EA
or an EIS (Sec. 220.6).
(2) Scoping shall be carried out in accordance with the requirements
of 40 CFR 1501.7. Because the nature and complexity of a proposed action
determine the scope and intensity of analysis, no single scoping
technique is required or prescribed.
(3) The SOPA shall not to be used as the sole scoping mechanism for
a proposed action.
(f) Cumulative effects considerations of past actions. Cumulative
effects analysis shall be carried out in accordance with 40 CFR 1508.7
and in accordance with ``The Council on Environmental Quality Guidance
Memorandum on Consideration of Past Actions in Cumulative Effects
Analysis'' dated June 24, 2005. The analysis of cumulative effects
begins with consideration of the direct and indirect effects on the
environment that are expected or likely to result from the alternative
proposals for agency action. Agencies then look for present effects of
past actions that are, in the judgment of the agency, relevant and
useful because they have a significant cause-and-effect relationship
with the direct and indirect effects of the proposal for agency action
and its alternatives. CEQ regulations do not require the consideration
of the individual effects of all past actions to determine the present
effects of past actions. Once the agency has identified those present
effects of past actions that warrant consideration, the agency assesses
the extent that the effects of the proposal for agency action or its
alternatives will add to, modify, or mitigate those effects. The final
analysis documents an agency assessment of the cumulative effects of the
actions considered (including past, present, and reasonable foreseeable
future actions) on the affected environment. With respect to past
actions, during the scoping process and subsequent preparation of the
analysis, the agency must determine what information regarding past
actions is useful and relevant to the required analysis of cumulative
effects. Cataloging past actions and specific information about the
direct and indirect effects of their design and implementation could in
some contexts be useful to predict the cumulative effects of the
proposal. The CEQ regulations, however, do not require agencies to
catalogue or exhaustively list and analyze all individual past actions.
Simply because information about past actions may be available or
obtained with reasonable effort does not mean that it is relevant and
necessary to inform decisionmaking. (40 CFR 1508.7)
(g) Classified information. To the extent practicable, the
responsible official shall segregate any information that has been
classified pursuant to Executive order or statute. The responsible
official shall maintain the confidentiality of such information in a
manner required for the information involved. Such information may not
be included in any publicly disclosed documents. If such material cannot
be reasonably segregated, or if segregation would leave essentially
meaningless material, the responsible official must withhold the entire
analysis document from the public; however, the responsible official
shall otherwise prepare the analysis documentation in accord with
applicable regulations. (40 CFR 1507.3(c))
(h) Incorporation by reference. Material may be incorporated by
reference into any environmental or decision document. This material
must be reasonably available to the public and its contents briefly
described in the environmental or decision document. (40 CFR 1502.21)
(i) Applicants. The responsible official shall make policies or
staff available to advise potential applicants of studies
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or other information foreseeably required for acceptance of their
applications. Upon acceptance of an application as provided by 36 CFR
251.54(g) the responsible official shall initiate the NEPA process.
Sec. 220.5 Environmental impact statement and record of decision.
(a) Classes of actions normally requiring environmental impact
statements--(1) Class 1: Proposals to carry out or to approve aerial
application of chemical pesticides on an operational basis. Examples
include but are not limited to:
(i) Applying chemical insecticides by helicopter on an area infested
with spruce budworm to prevent serious resource loss.
(ii) Authorizing the application of herbicides by helicopter on a
major utility corridor to control unwanted vegetation.
(iii) Applying herbicides by fixed-wing aircraft on an area to
release trees from competing vegetation.
(2) Class 2: Proposals that would substantially alter the
undeveloped character of an inventoried roadless area or a potential
wilderness area. Examples include but are not limited to:
(i) Constructing roads and harvesting timber in an inventoried
roadless area where the proposed road and harvest units impact a
substantial part of the inventoried roadless area.
(ii) Constructing or reconstructing water reservoir facilities in a
potential wilderness area where flow regimens may be substantially
altered.
(iii) Approving a plan of operations for a mine that would cause
considerable surface disturbance in a potential wilderness area.
(b) Notice of intent. Normally, a notice of intent to prepare an EIS
shall be published in the Federal Register as soon as practicable after
deciding that an EIS will be prepared. Where there is a lengthy period
between the agency's decision to prepare an environmental impact
statement and the time of actual preparation, the notice of intent may
be published at a reasonable time in advance of preparation of the draft
statement. A notice must meet the requirements of 40 CFR 1508.22, and in
addition, include the following:
(1) Title of the responsible official(s);
(2) Any permits or licenses required to implement the proposed
action and the issuing authority;
(3) Lead, joint lead, or cooperating agencies if identified; and
(4) Address(es) to which comments may be sent.
(c) Withdrawal notice. A withdrawal notice must be published in the
Federal Register if, after publication of the notice of intent or notice
of availability, an EIS is no longer necessary. A withdrawal notice must
refer to the date and Federal Register page number of the previously
published notice(s).
(d) Environmental impact statement format and content. The
responsible official may use any EIS format and design as long as the
statement is in accord with 40 CFR 1502.10.
(e) Alternative(s). The EIS shall document the examination of
reasonable alternatives to the proposed action. An alternative should
meet the purpose and need and address one or more significant issues
related to the proposed action. Since an alternative may be developed to
address more than one significant issue, no specific number of
alternatives is required or prescribed. The following procedures are
available to the responsible official to develop and analyze
alternatives:
(1) The responsible official may modify the proposed action and
alternative(s) under consideration prior to issuing a draft EIS. In such
cases, the responsible official may consider the incremental changes as
alternatives considered. The documentation of these incremental changes
to a proposed action or alternatives shall be included or incorporated
by reference in accord with 40 CFR 1502.21.
(2) The proposed action and one or more alternatives to the proposed
action may include adaptive management. An adaptive management proposal
or alternative must clearly identify the adjustment(s) that may be made
when monitoring during project implementation indicates that the action
is not having its intended effect, or is causing unintended and
undesirable effects. The EIS must disclose not only the effect of the
proposed action or alternative but also the effect of the
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adjustment. Such proposal or alternative must also describe the
monitoring that would take place to inform the responsible official
during implementation whether the action is having its intended effect.
(f) Circulating and filing draft and final environmental impact
statements. (1) The draft and final EISs shall be filed with the
Environmental Protection Agency's Office of Federal Activities in
Washington, DC (see 40 CFR 1506.9).
(2) Requirements at 40 CFR 1506.9 ``Filing requirements,'' 40 CFR
1506.10 ``Timing of agency action,'' and 40 CFR 1502.19 ``Circulation of
the environmental impact statement'' shall only apply to the last draft
and final EIS and not apply to material produced prior to the draft EIS
or between the draft and final EIS which are filed with EPA.
(3) When the responsible official determines that an extension of
the review period on a draft EIS is appropriate, notice shall be given
in the same manner used for inviting comments on the draft.
(g) Distribution of the record of decision. The responsible official
shall notify interested or affected parties of the availability of the
record of decision as soon as practical after signing.
Sec. 220.6 Categorical exclusions.
(a) General. A proposed action may be categorically excluded from
further analysis and documentation in an EIS or EA only if there are no
extraordinary circumstances related to the proposed action and if:
(1) The proposed action is within one of the categories established
by the Secretary at 7 CFR part 1b.3; or
(2) The proposed action is within a category listed in Sec.
220.6(d) and (e).
(b) Resource conditions. (1) Resource conditions that should be
considered in determining whether extraordinary circumstances related to
a proposed action warrant further analysis and documentation in an EA or
an EIS are:
(i) Federally listed threatened or endangered species or designated
critical habitat, species proposed for Federal listing or proposed
critical habitat, or Forest Service sensitive species;
(ii) Flood plains, wetlands, or municipal watersheds;
(iii) Congressionally designated areas, such as wilderness,
wilderness study areas, or national recreation areas;
(iv) Inventoried roadless area or potential wilderness area;
(v) Research natural areas;
(vi) American Indians and Alaska Native religious or cultural sites;
and
(vii) Archaeological sites, or historic properties or areas.
(2) The mere presence of one or more of these resource conditions
does not preclude use of a categorical exclusion (CE). It is the
existence of a cause-effect relationship between a proposed action and
the potential effect on these resource conditions, and if such a
relationship exists, the degree of the potential effect of a proposed
action on these resource conditions that determines whether
extraordinary circumstances exist.
(c) Scoping. If the responsible official determines, based on
scoping, that it is uncertain whether the proposed action may have a
significant effect on the environment, prepare an EA. If the responsible
official determines, based on scoping, that the proposed action may have
a significant environmental effect, prepare an EIS.
(d) Categories of actions for which a project or case file and
decision memo are not required. A supporting record and a decision memo
are not required, but at the discretion of the responsible official, may
be prepared for the following categories:
(1) Orders issued pursuant to 36 CFR part 261--Prohibitions to
provide short-term resource protection or to protect public health and
safety. Examples include but are not limited to:
(i) Closing a road to protect bighorn sheep during lambing season,
and
(ii) Closing an area during a period of extreme fire danger.
(2) Rules, regulations, or policies to establish servicewide
administrative procedures, program processes, or instructions. Examples
include but are not limited to:
(i) Adjusting special use or recreation fees using an existing
formula;
(ii) Proposing a technical or scientific method or procedure for
screening effects of emissions on air quality related values in Class I
wildernesses;
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(iii) Proposing a policy to defer payments on certain permits or
contracts to reduce the risk of default;
(iv) Proposing changes in contract terms and conditions or terms and
conditions of special use authorizations;
(v) Establishing a servicewide process for responding to offers to
exchange land and for agreeing on land values; and
(vi) Establishing procedures for amending or revising forest land
and resource management plans.
(3) Repair and maintenance of administrative sites. Examples include
but are not limited to:
(i) Mowing lawns at a district office;
(ii) Replacing a roof or storage shed;
(iii) Painting a building; and
(iv) Applying registered pesticides for rodent or vegetation
control.
(4) Repair and maintenance of roads, trails, and landline
boundaries. Examples include but are not limited to:
(i) Authorizing a user to grade, resurface, and clean the culverts
of an established NFS road;
(ii) Grading a road and clearing the roadside of brush without the
use of herbicides;
(iii) Resurfacing a road to its original condition;
(iv) Pruning vegetation and cleaning culverts along a trail and
grooming the surface of the trail; and
(v) Surveying, painting, and posting landline boundaries.
(5) Repair and maintenance of recreation sites and facilities.
Examples include but are not limited to:
(i) Applying registered herbicides to control poison ivy on infested
sites in a campground;
(ii) Applying registered insecticides by compressed air sprayer to
control insects at a recreation site complex;
(iii) Repaving a parking lot; and
(iv) Applying registered pesticides for rodent or vegetation
control.
(6) Acquisition of land or interest in land. Examples include but
are not limited to:
(i) Accepting the donation of lands or interests in land to the NFS,
and
(ii) Purchasing fee, conservation easement, reserved interest deed,
or other interests in lands.
(7) Sale or exchange of land or interest in land and resources where
resulting land uses remain essentially the same. Examples include but
are not limited to:
(i) Selling or exchanging land pursuant to the Small Tracts Act;
(ii) Exchanging NFS lands or interests with a State agency, local
government, or other non-Federal party (individual or organization) with
similar resource management objectives and practices;
(iii) Authorizing the Bureau of Land Management to issue leases on
producing wells when mineral rights revert to the United States from
private ownership and there is no change in activity; and
(iv) Exchange of administrative sites involving other than NFS
lands.
(8) Approval, modification, or continuation of minor, short-term (1
year or less) special uses of NFS lands. Examples include, but are not
limited to:
(i) Approving, on an annual basis, the intermittent use and
occupancy by a State-licensed outfitter or guide;
(ii) Approving the use of NFS land for apiaries; and
(iii) Approving the gathering of forest products for personal use.
(9) Issuance of a new permit for up to the maximum tenure allowable
under the National Forest Ski Area Permit Act of 1986 (16 U.S.C. 497b)
for an existing ski area when such issuance is a purely ministerial
action to account for administrative changes, such as a change in
ownership of ski area improvements, expiration of the current permit, or
a change in the statutory authority applicable to the current permit.
Examples include, but are not limited to:
(i) Issuing a permit to a new owner of ski area improvements within
an existing ski area with no changes to the master development plan,
including no changes to the facilities or activities for that ski area;
(ii) Upon expiration of a ski area permit, issuing a new permit to
the holder of the previous permit where the holder is not requesting any
changes to the master development plan, including changes to the
facilities or activities; and
(iii) Issuing a new permit under the National Forest Ski Area Permit
Act of 1986 to the holder of a permit issued
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under the Term Permit and Organic Acts, where there are no changes in
the type or scope of activities authorized and no other changes in the
master development plan.
(10) Amendment to or replacement of an existing special use
authorization that involves only administrative changes and does not
involve changes in the authorized facilities or increase in the scope or
intensity of authorized activities, or extensions to the term of
authorization, when the applicant or holder is in full compliance with
the terms and conditions of the special use authorization. Examples
include, but are not limited to:
(i) Amending a special use authorization to reflect administrative
changes such as adjustment to the land use fees, inclusion of non-
discretionary environmental standards or updating a special use
authorization to bring it into conformance with current laws or
regulations (for example, new monitoring required by water quality
standards), and
(ii) Issuance of a new special use authorization to reflect
administrative changes such as, a change of ownership or control of
previously authorized facilities or activities, or conversion of the
existing special use authorization to a new type of special use
authorization (for example, converting a permit to a lease or easement).
(e) Categories of actions for which a project or case file and
decision memo are required. A supporting record is required and the
decision to proceed must be documented in a decision memo for the
categories of action in paragraphs (e)(1) through (17) of this section.
As a minimum, the project or case file should include any records
prepared, such as: The names of interested and affected people, groups,
and agencies contacted; the determination that no extraordinary
circumstances exist; a copy of the decision memo; and a list of the
people notified of the decision. If the proposed action is approval of a
land management plan, plan amendment, or plan revision, the plan
approval document required by 36 CFR part 219 satisfies the decision
memo requirements of this section.
(1) Construction and reconstruction of trails. Examples include, but
are not limited to:
(i) Constructing or reconstructing a trail to a scenic overlook, and
(ii) Reconstructing an existing trail to allow use by handicapped
individuals.
(2) Additional construction or reconstruction of existing telephone
or utility lines in a designated corridor. Examples include, but are not
limited to:
(i) Replacing an underground cable trunk and adding additional phone
lines, and
(ii) Reconstructing a power line by replacing poles and wires.
(3) Approval, modification, or continuation of minor special uses of
NFS lands that require less than five contiguous acres of land. Examples
include, but are not limited to:
(i) Approving the construction of a meteorological sampling site;
(ii) Approving the use of land for a one-time group event;
(iii) Approving the construction of temporary facilities for filming
of staged or natural events or studies of natural or cultural history;
(iv) Approving the use of land for a 40-foot utility corridor that
crosses one mile of a national forest;
(v) Approving the installation of a driveway, mailbox, or other
facilities incidental to use of a residence;
(vi) Approving an additional telecommunication use at a site already
used for such purposes;
(vii) Approving the removal of mineral materials from an existing
community pit or common-use area; and
(viii) Approving the continued use of land where such use has not
changed since authorized and no change in the physical environment or
facilities are proposed.
(4) [Reserved]
(5) Regeneration of an area to native tree species, including site
preparation that does not involve the use of herbicides or result in
vegetation type conversion. Examples include, but are not limited to:
(i) Planting seedlings of superior trees in a progeny test site to
evaluate genetic worth, and
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(ii) Planting trees or mechanical seed dispersal of native tree
species following a fire, flood, or landslide.
(6) Timber stand and/or wildlife habitat improvement activities that
do not include the use of herbicides or do not require more than 1 mile
of low standard road construction. Examples include, but are not limited
to:
(i) Girdling trees to create snags;
(ii) Thinning or brush control to improve growth or to reduce fire
hazard including the opening of an existing road to a dense timber
stand;
(iii) Prescribed burning to control understory hardwoods in stands
of southern pine; and
(iv) Prescribed burning to reduce natural fuel build-up and improve
plant vigor.
(7) Modification or maintenance of stream or lake aquatic habitat
improvement structures using native materials or normal practices.
Examples include, but are not limited to:
(i) Reconstructing a gabion with stone from a nearby source;
(ii) Adding brush to lake fish beds; and
(iii) Cleaning and resurfacing a fish ladder at a hydroelectric dam.
(8) Short-term (1 year or less) mineral, energy, or geophysical
investigations and their incidental support activities that may require
cross-country travel by vehicles and equipment, construction of less
than 1 mile of low standard road, or use and minor repair of existing
roads. Examples include, but are not limited to:
(i) Authorizing geophysical investigations which use existing roads
that may require incidental repair to reach sites for drilling core
holes, temperature gradient holes, or seismic shot holes;
(ii) Gathering geophysical data using shot hole, vibroseis, or
surface charge methods;
(iii) Trenching to obtain evidence of mineralization;
(iv) Clearing vegetation for sight paths or from areas used for
investigation or support facilities;
(v) Redesigning or rearranging surface facilities within an approved
site;
(vi) Approving interim and final site restoration measures; and
(vii) Approving a plan for exploration which authorizes repair of an
existing road and the construction of \1/3\ mile of temporary road;
clearing vegetation from an acre of land for trenches, drill pads, or
support facilities.
(9) Implementation or modification of minor management practices to
improve allotment condition or animal distribution when an allotment
management plan is not yet in place. Examples include, but are not
limited to:
(i) Rebuilding a fence to improve animal distribution;
(ii) Adding a stock watering facility to an existing water line; and
(iii) Spot seeding native species of grass or applying lime to
maintain forage condition.
(10) Hazardous fuels reduction activities using prescribed fire, not
to exceed 4,500 acres; and mechanical methods for crushing, piling,
thinning, pruning, cutting, chipping, mulching, and mowing, not to
exceed 1,000 acres. Such activities:
(i) Shall be limited to areas:
(A) In the wildland-urban interface; or
(B) Condition Classes 2 or 3 in Fire Regime Groups I, II, or III,
outside the wildland-urban interface.
(ii) Shall be identified through a collaborative framework as
described in ``A Collaborative Approach for Reducing Wildland Fire Risks
to Communities and Environment 10-Year Comprehensive Strategy
Implementation Plan'';
(iii) Shall be conducted consistent with Agency and Departmental
procedures and applicable land and resource management plans;
(iv) Shall not be conducted in wilderness areas or impair the
suitability of wilderness study areas for preservation as wilderness;
and
(v) Shall not include the use of herbicides or pesticides or the
construction of new permanent roads or other new permanent
infrastructure; and may include the sale of vegetative material if the
primary purpose of the activity is hazardous fuels reduction.
(11) Post-fire rehabilitation activities, not to exceed 4,200 acres
(such as
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tree planting, fence replacement, habitat restoration, heritage site
restoration, repair of roads and trails, and repair of damage to minor
facilities such as campgrounds), to repair or improve lands unlikely to
recover to a management approved condition from wildland fire damage, or
to repair or replace minor facilities damaged by fire. Such activities:
(i) Shall be conducted consistent with Agency and Departmental
procedures and applicable land and resource management plans;
(ii) Shall not include the use of herbicides or pesticides or the
construction of new permanent roads or other new permanent
infrastructure; and
(iii) Shall be completed within 3 years following a wildland fire.
(12) Harvest of live trees not to exceed 70 acres, requiring no more
than \1/2\ mile of temporary road construction. Do not use this category
for even-aged regeneration harvest or vegetation type conversion. The
proposed action may include incidental removal of trees for landings,
skid trails, and road clearing. Examples include, but are not limited
to:
(i) Removal of individual trees for sawlogs, specialty products, or
fuelwood, and
(ii) Commercial thinning of overstocked stands to achieve the
desired stocking level to increase health and vigor.
(13) Salvage of dead and/or dying trees not to exceed 250 acres,
requiring no more than \1/2\ mile of temporary road construction. The
proposed action may include incidental removal of live or dead trees for
landings, skid trails, and road clearing. Examples include, but are not
limited to:
(i) Harvest of a portion of a stand damaged by a wind or ice event
and construction of a short temporary road to access the damaged trees,
and
(ii) Harvest of fire-damaged trees.
(14) Commercial and non-commercial sanitation harvest of trees to
control insects or disease not to exceed 250 acres, requiring no more
than \1/2\ mile of temporary road construction, including removal of
infested/infected trees and adjacent live uninfested/uninfected trees as
determined necessary to control the spread of insects or disease. The
proposed action may include incidental removal of live or dead trees for
landings, skid trails, and road clearing. Examples include, but are not
limited to:
(i) Felling and harvest of trees infested with southern pine beetles
and immediately adjacent uninfested trees to control expanding spot
infestations, and
(ii) Removal and/or destruction of infested trees affected by a new
exotic insect or disease, such as emerald ash borer, Asian long horned
beetle, and sudden oak death pathogen.
(15) Issuance of a new special use authorization for a new term to
replace an existing or expired special use authorization when the only
changes are administrative, there are not changes to the authorized
facilities or increases in the scope or intensity of authorized
activities, and the applicant or holder is in full compliance with the
terms and conditions of the special use authorization.
(16) Land management plans, plan amendments, and plan revisions
developed in accordance with 36 CFR part 219 et seq. that provide broad
guidance and information for project and activity decisionmaking in a
NFS unit. Proposals for actions that approve projects and activities, or
that command anyone to refrain from undertaking projects and activities,
or that grant, withhold or modify contracts, permits or other formal
legal instruments, are outside the scope of this category and shall be
considered separately under Forest Service NEPA procedures.
(17) Approval of a Surface Use Plan of Operations for oil and
natural gas exploration and initial development activities, associated
with or adjacent to a new oil and/or gas field or area, so long as the
approval will not authorize activities in excess of any of the
following:
(i) One mile of new road construction;
(ii) One mile of road reconstruction;
(iii) Three miles of individual or co-located pipelines and/or
utilities disturbance; or
(iv) Four drill sites.
(f) Decision memos. The responsible official shall notify interested
or affected
[[Page 86]]
parties of the availability of the decision memo as soon as practical
after signing. While sections may be combined or rearranged in the
interest of clarity and brevity, decision memos must include the
following content:
(1) A heading, which must identify:
(i) Title of document: Decision Memo;
(ii) Agency and administrative unit;
(iii) Title of the proposed action; and
(iv) Location of the proposed action, including administrative unit,
county, and State.
(2) Decision to be implemented and the reasons for categorically
excluding the proposed action including:
(i) The category of the proposed action;
(ii) The rationale for using the category and, if more than one
category could have been used, why the specific category was chosen;
(iii) A finding that no extraordinary circumstances exist;
(3) Any interested and affected agencies, organizations, and persons
contacted;
(4) Findings required by other laws such as, but not limited to
findings of consistency with the forest land and resource management
plan as required by the National Forest Management Act; or a public
interest determination (36 CFR 254.3(c));
(5) The date when the responsible official intends to implement the
decision and any conditions related to implementation;
(6) Whether the decision is subject to review or appeal, the
applicable regulations, and when and where to file a request for review
or appeal;
(7) Name, address, and phone number of a contact person who can
supply further information about the decision; and
(8) The responsible official's signature and date when the decision
is made.
Sec. 220.7 Environmental assessment and decision notice.
(a) Environmental assessment. An environmental assessment (EA) shall
be prepared for proposals as described in Sec. 220.4(a) that are not
categorically excluded from documentation (Sec. 220.6) and for which
the need of an EIS has not been determined (Sec. 220.5). An EA may be
prepared in any format useful to facilitate planning, decisionmaking,
and public disclosure as long as the requirements of paragraph (b) of
this section are met. The EA may incorporate by reference information
that is reasonably available to the public.
(b) An EA must include the following:
(1) Need for the proposal. The EA must briefly describe the need for
the project.
(2) Proposed action and alternative(s). The EA shall briefly
describe the proposed action and alternative(s) that meet the need for
action. No specific number of alternatives is required or prescribed.
(i) When there are no unresolved conflicts concerning alternative
uses of available resources (NEPA, section 102(2)(E)), the EA need only
analyze the proposed action and proceed without consideration of
additional alternatives.
(ii) The EA may document consideration of a no-action alternative
through the effects analysis by contrasting the impacts of the proposed
action and any alternative(s) with the current condition and expected
future condition if the proposed action were not implemented.
(iii) The description of the proposal and alternative(s) may include
a brief description of modifications and incremental design features
developed through the analysis process to develop the alternatives
considered. The documentation of these incremental changes to a proposed
action or alternatives may be incorporated by reference in accord with
40 CFR 1502.21.
(iv) The proposed action and one or more alternatives to the
proposed action may include adaptive management. An adaptive management
proposal or alternative must clearly identify the adjustment(s) that may
be made when monitoring during project implementation indicates that the
action is not having its intended effect, or is causing unintended and
undesirable effects. The EA must disclose not only the effect of the
proposed action or alternative but also the effect of the adjustment.
Such proposal or alternative must also describe the monitoring that
would take place to inform
[[Page 87]]
the responsible official whether the action is having its intended
effect.
(3) Environmental Impacts of the Proposed Action and Alternative(s).
The EA:
(i) Shall briefly provide sufficient evidence and analysis,
including the environmental impacts of the proposed action and
alternative(s), to determine whether to prepare either an EIS or a FONSI
(40 CFR 1508.9);
(ii) Shall disclose the environmental effects of any adaptive
management adjustments;
(iii) Shall describe the impacts of the proposed action and any
alternatives in terms of context and intensity as described in the
definition of ``significantly'' at 40 CFR 1508.27;
(iv) May discuss the direct, indirect, and cumulative impact(s) of
the proposed action and any alternatives together in a comparative
description or describe the impacts of each alternative separately; and
(v) May incorporate by reference data, inventories, other
information and analyses.
(4) Agencies and Persons Consulted.
(c) Decision notice. If an EA and FONSI have been prepared, the
responsible official must document a decision to proceed with an action
in a decision notice unless law or regulation requires another form of
decision documentation (40 CFR 1508.13). A decision notice must document
the conclusions drawn and the decision(s) made based on the supporting
record, including the EA and FONSI. A decision notice must include:
(1) A heading, which identifies the:
(i) Title of document;
(ii) Agency and administrative unit;
(iii) Title of the project; and
(iv) Location of the action, including county and State.
(2) Decision and rationale;
(3) Brief summary of public involvement;
(4) A statement incorporating by reference the EA and FONSI if not
combined with the decision notice;
(5) Findings required by other laws and regulations applicable to
the decision at the time of decision;
(6) Expected implementation date;
(7) Administrative review or appeal opportunities and, when such
opportunities exist, a citation to the applicable regulations and
directions on when and where to file a request for review or an appeal;
(8) Contact information, including the name, address, and phone
number of a contact person who can supply additional information; and
(9) Responsible Official's signature, and the date the notice is
signed.
(d) Notification. The responsible official shall notify interested
and affected parties of the availability of the EA, FONSI and decision
notice, as soon as practicable after the decision notice is signed.
PART 221_TIMBER MANAGEMENT PLANNING--Table of Contents
Authority: 30 Stat. 34, 44 Stat. 242; 16 U.S.C. 475, 616.
Sec. 221.3 Disposal of national forest timber according to management plans.
(a) Management plans for national forest timber resources shall be
prepared and revised, as needed, for working circles or other
practicable units of national forest. Such plans shall:
(1) Be designed to aid in providing a continuous supply of national
forest timber for the use and necessities of the citizens of the United
States.
(2) Be based on the principle of sustained yield, with due
consideration to the condition of the area and the timber stands covered
by the plan.
(3) Provide, so far as feasible, an even flow of national forest
timber in order to facilitate the stabilization of communities and of
opportunities for employment.
(4) Provide for coordination of timber production and harvesting
with other uses of national forest land in accordance with the
principles of multiple use management.
(5) Establish the allowable cutting rate which is the maximum amount
of timber which may be cut from the national forest lands within the
unit by years or other periods.
(6) Be approved by the Chief, Forest Service, unless authority for
such approval shall be delegated to subordinates by the Chief.
[[Page 88]]
(b) When necessary to promote better utilization of national forest
timber or to facilitate protection and management of the national
forests, a management plan may include provisions for requirements of
purchasers for processing the timber to at least a stated degree within
the working circle, or within a stated area, and, when appropriate, by
machinery of a stated type; and agreements for cutting in accordance
with the plan may so require.
[13 FR 7711, Dec. 14, 1948, as amended at 28 FR 723, Jan. 26, 1963; 34
FR 743, Jan. 17, 1969]
PART 222_RANGE MANAGEMENT--Table of Contents
Subpart A_Grazing and Livestock Use on the National Forest System
Sec.
222.1 Authority and definitions.
222.2 Management of the range environment.
222.3 Issuance of grazing and livestock use permits.
222.4 Changes in grazing permits.
222.6 Compensation for permittees' interest in authorized permanent
improvements.
222.7 Cooperation in management.
222.8 Cooperation in control of estray or unbranded livestock, animal
diseases, noxious farm weeds, and use of pesticides.
222.9 Range improvements.
222.10 Range betterment fund.
222.11 Grazing advisory boards.
Subpart B_Management of Wild Free-Roaming Horses and Burros
222.20 Authority and definitions.
222.21 Administration of wild free-roaming horses and burros and their
environment.
222.22 Ownership claims.
222.23 Removal of other horses and burros.
222.24 Use of helicopters, fixed-wing aircraft and motor vehicles.
222.25 Protection of wild free-roaming horses and burros when they are
upon other than the National Forest System or public lands.
222.26 Removal of wild free-roaming horses and burros from private
lands.
222.27 Maintenance of wild free-roaming horses and burros on privately-
owned lands.
222.28 Agreements.
222.29 Relocation and disposal of animals.
222.30 Disposal of carcasses.
222.31 Loss of status.
222.32 Use of non-Forest Service personnel.
222.33 Management coordination.
222.34 National Advisory Board.
222.35 Studies.
222.36 Arrest.
Subpart C_Grazing Fees
222.50 General procedures.
222.51 National Forests in 16 Western States.
222.52 National Grasslands.
222.53 Grazing fees in the East--noncompetitive procedures.
222.54 Grazing fees in the East--competitive bidding.
Authority: 7 U.S.C. 1010-1012; 16 U.S.C. 551; 16 U.S.C. 572; 31
U.S.C. 9701; 43 U.S.C. 1901; E.O. 12548, 51 FR 1986 Comp., p. 188.
Subpart A_Grazing and Livestock Use on the National Forest System
Authority: 92 Stat. 1803, as amended (43 U.S.C. 1901), 85 Stat. 649,
as amended (16 U.S.C. 1331-1340); sec. 1, 30 Stat. 35, as amended (18
U.S.C. 551); sec. 32, 50 Stat. 522, as amended (7 U.S.C. 1011).
Source: 42 FR 56732, Oct. 28, 1977, unless otherwise noted.
Sec. 222.1 Authority and definitions.
(a) Authority. The Chief, Forest Service, shall develop, administer
and protect the range resources and permit and regulate the grazing use
of all kinds and classes of livestock on all National Forest System
lands and on other lands under Forest Service control. He may redelegate
this authority.
(b) Definitions. (1) An allotment is a designated area of land
available for livestock grazing.
(2) An allotment management plan is a document that specifies the
program of action designated to reach a given set of objectives. It is
prepared in consultation with the permittee(s) involved and:
(i) Prescribes the manner in and extent to which livestock
operations will be conducted in order to meet the multiple-use,
sustained yield, economic, and other needs and objectives as determined
for the lands, involved; and
(ii) Describes the type, location, ownership, and general
specifications for the range improvements in place or to be installed
and maintained on the lands to meet the livestock grazing and other
objectives of land management; and
[[Page 89]]
(iii) Contains such other provisions relating to livestock grazing
and other objectives as may be prescribed by the Chief, Forest Service,
consistent with applicable law.
(3) Base property is land and improvements owned and used by the
permittee for a farm or ranch operation and specifically designated by
him to qualify for a term grazing permit.
(4) Cancel means action taken to permanently invalidate a term
grazing permit in whole or in part.
(5) A grazing permit is any document authorizing livestock to use
National Forest System or other lands under Forest Service control for
the purpose of livestock production including:
(i) Temporary grazing permits for grazing livestock temporarily and
without priority for reissuance.
(ii) Term permits for up to 10 years with priority for renewal at
the end of the term.
(6) Land subject to commercial livestock grazing means National
Forest System lands within established allotments.
(7) Lands within National Forest in the 16 contiguous western States
means lands designated as National Forest within the boundaries of
Arizona, California, Colorado, Idaho, Kansas, Montana, Nebraska, Nevada,
New Mexico, North Dakota, Oklahoma, Oregon, South Dakota, Utah,
Washington, and Wyoming (National Grasslands are excluded).
(8) Livestock means animals of any kind kept or raised for use or
pleasure.
(9) Livestock use permit means a permit issued for not to exceed one
year where the primary use is for other than grazing livestock.
(10) Modify means to revise the terms and conditions of an issued
permit.
(11) National Forest System lands, are the National Forests,
National Grasslands, Land Utilization Projects, and other Federal lands
for which the Forest Service has administrative jurisdiction.
(12) On-and-off grazing permits are permits with specific provisions
on range only part of which is National Forest System lands or other
lands under Forest Service control.
(13) On-the-ground expenditure means payment of direct project costs
of implementing an improvement or development, such as survey and
design, equipment, labor and material (or contract) costs, and on-the-
ground supervision.
(14) Other lands under Forest Service control are non-Federal public
and private lands over which the Forest Service has been given control
through lease, agreement, waiver, or otherwise.
(15) Private land grazing permits are permits issued to persons who
control grazing lands adjacent to National Forest System lands and who
waive exclusive grazing use of these lands to the United States for the
full period the permit is to be issued.
(16) Permittee means any person who has been issued a grazing
permit.
(17) Permitted livestock is livestock authorized by a written
permit.
(18) Person means any individual, partnership, corporation,
association, organization, or other private entity, but does not include
Government Agencies.
(19) Range betterment means rehabilitation, protection and
improvement of National Forest System lands to arrest range
deterioration and improve forage conditions, fish and wildlife habitat,
watershed protection, and livestock production.
(20) Range betterment fund means the fund established by title IV,
section 401(b)(1), of the Federal Land Policy and Management Act of
1976. This consists of 50 percent of all monies received by the United
States as fees for grazing livestock on the National Forests in the 16
contiguous western States.
(21) Range Improvement means any activity or program designed to
improve production of forage and includes facilities or treatments
constructed or installed for the purpose of improving the range resource
or the management of livestock and includes the following types:
(i) Non-structural which are practices and treatments undertaken to
improve range not involving construction of improvements.
(ii) Structural which are improvements requiring construction or
installation undertaken to improve the range or to facilitate management
or to control distribution and movement of livestock.
[[Page 90]]
(A) Permanent which are range improvements installed or constructed
and become a part of the land such as: dams, ponds, pipelines, wells,
fences, trails, seeding, etc.
(B) Temporary which are short-lived or portable improvements that
can be removed such as: troughs, pumps and electric fences, including
improvements at authorized places of habitation such as line camps.
(22) Suspend means temporary withholding of a term grazing permit
privilege, in whole or in part.
(23) Term period means the period for which term permits are issued,
the maximum of which is 10 years.
(24) Transportation livestock is livestock used as pack and saddle
stock for travel on the National Forest System.
(Sec. 1, 30 Stat. 35, as amended (16 U.S.C. 551); sec. 1, 33 Stat. 628
(16 U.S.C. 472); sec. 32, 50 Stat. 525, as amended (7 U.S.C. 1011); sec.
19, 64 Stat. 88 (16 U.S.C. 580l); Title IV, Pub. L. 94, 90 Stat. 2771
(43 U.S.C. 1751, et seq.); 92 Stat. 1803 (43 U.S.C. 1901))
[42 FR 56732, Oct. 28, 1977, as amended at 44 FR 61345, Oct. 25, 1979]
Sec. 222.2 Management of the range environment.
(a) Allotments will be designated on the National Forest System and
on other lands under Forest Service control where the land is available
for grazing. Associated private and other public lands should, but only
with the consent of the landowner, lessee, or agency, be considered in
such designations to form logical range management units.
(b) Each allotment will be analyzed and with careful and considered
consultation and cooperation with the affected permittees, landowners,
and grazing advisory boards involved, as well as the State having land
within the area covered, and an allotment management plan developed. The
plan will then be approved and implemented. The analysis and plan will
be updated as needed.
(c) Forage producing National Forest System lands will be managed
for livestock grazing and the allotment management plans will be
prepared consistent with land management plans.
(Sec. 1, 30 Stat. 35, as amended (16 U.S.C. 551); sec. 1, 33 Stat. 628
(16 U.S.C. 472); sec. 32, 50 Stat. 525, as amended (7 U.S.C. 1011); sec.
19, 64 Stat. 88 (16 U.S.C. 5801); Title IV, Pub. L. 94, 90 Stat. 2771
(43 U.S.C. 1751, et seq.); 92 Stat. 1803 (43 U.S.C. 1901))
[42 FR 56732, Oct. 28, 1977, as amended at 44 FR 61346, Oct. 25, 1979;
46 FR 42449, Aug. 21, 1981]
Sec. 222.3 Issuance of grazing and livestock use permits.
(a) Unless otherwise specified by the Chief, Forest Service, all
grazing and livestock use on National Forest System lands and on other
lands under Forest Service control must be authorized by a grazing or
livestock use permit.
(b) Grazing permits and livestock use permits convey no right,
title, or interest held by the United States in any lands or resources.
(c) The Chief, Forest Service, is authorized to issue permits for
livestock grazing and other use by livestock of the National Forest
System and on other lands under Forest Service control as follows:
(1) Grazing permits with priority for renewal may be issued as
follows: On National Forests in the 16 contiguous western States 10-year
term permits will be issued unless the land is pending disposal, or will
be devoted to other uses prior to the end of ten years, or it will be in
the best interest of sound land management to specify a shorter term. On
National Forest System lands other than National Forests in the 16
contiguous western States, the permit term shall be for periods of 10
years or less. Term grazing permits for periods of 10 years or less in
the form of grazing agreements may be issued to cooperative grazing
associations or similar organizations incorporated or otherwise
established pursuant to State law. Such an agreement will make National
Forest System lands and improvements available to the association for
grazing in accordance with provisions of the grazing agreement and
Forest Service policies. Term permits authorized in this paragraph may
be in the form of private land or on-and-off grazing permits where the
person is qualified to
[[Page 91]]
hold such permits under provisions the Chief may require. Permits issued
under this paragraph are subject to the following:
(i) Except as provided for by the Chief, Forest Service, paid term
permits will be issued to persons who own livestock to be grazed and
such base property as may be required, provided the land is determined
to be available for grazing purposes by the Chief, Forest Service, and
the capacity exists to graze specified numbers of animals.
(ii) A term permit holder has first priority for receipt of a new
permit at the end of the term period provided he has fully complied with
the terms and conditions of the expiring permit.
(iii) In order to update terms and conditions, term permits may be
cancelled at the end of the calendar year of the midyear of the decade
(1985, 1995, etc.), provided they are reissued to the existing permit
holder for a new term of 10 years.
(iv) New term permits may be issued to the purchaser of a
permittee's permitted livestock and/or base property, provided the
permittee waives his term permit to the United States and provided the
purchaser is otherwise eligible and qualified.
(v) If the permittee chooses to dispose of all or part of his base
property or permitted livestock (not under approved nonuse) but does not
choose to waive his term permit, the Forest Supervisor will give written
notice that he no longer is qualified to hold a permit, provided he is
given up to one year to reestablish his qualifications before
cancellation action is final.
(vi) The Chief, Forest Service, shall prescribe provisions and
requirements under which term permits will be issued, renewed, and
administered, including:
(A) The amount and character of base property and livestock the
permit holder shall be required to own.
(B) Specifying the period of the year the base property shall be
capable of supporting permitted livestock.
(C) Acquisition of base property and/or permitted livestock.
(D) Conditions for the approval of nonuse of permit for specified
periods.
(E) Upper and special limits governing the total number of livestock
for which a person is entitled to hold a permit.
(F) Conditions whereby waiver of grazing privileges may be confirmed
and new applicants recognized.
(2) Permits with no priority for reissuance, subject to terms and
conditions as the Chief, Forest Service, may prescribe, are authorized
as follows:
(i) Temporary grazing permits for periods not to exceed one year,
and on a charge basis, may be issued:
(A) To allow for use of range while a term grazing permit is held in
suspension.
(B) To use forage created by unusually favorable climatic
conditions.
(C) To use the forage available when the permit of the normal user's
livestock is in nonuse status for reasons of personal convenience.
(D) To allow a person to continue to graze livestock for the
remainder of the grazing season where base property has been sold, the
permit waived, and a new term permit issued.
(E) To allow grazing use in the event of drought or other emergency
of National or Regional scope where such use would not result in
permanent resource damage.
(ii) Livestock use permits for not to exceed one year may be issued
under terms and conditions prescribed by the Chief, Forest Service, as
follows:
(A) Paid permits for transportation livestock to persons engaged in
commercial packing, dude ranching, or other commercial enterprises which
involve transportation livestock including mining, ranching, and
logging, activities.
(B) Paid or free permits for research purposes and administrative
studies.
(C) Paid or free permits to trail livestock across National Forest
System lands.
(D) Free permits to persons who reside on ranch or agricultural
lands within or contiguous to National Forest System lands for not to
exceed 10 head of livestock owned or kept and whose products are
consumed or whose services are used directly by the family of the
resident, and who distinctly need such National Forest System lands to
support such animals.
(E) Free permits to campers and travelers for the livestock actually
[[Page 92]]
used during the period of occupancy. This may be authorized without
written permit.
(F) Paid or free permits for horses, mules, or burros to persons who
clearly need National Forest System land to support the management of
permitted livestock.
(G) Free permits for horses, mules, or burros to cooperators who
clearly need National Forest System land to support research,
administration or other work being conducted. This may be authorized
without written permit.
(H) Paid permits to holders of grazing permits for breeding animals
used to service livestock permitted to graze on lands administered by
the Forest Service.
(I) Paid permits or cooperative agreements entered into as a
management tool to manipulate revegetation on a given parcel of land.
[42 FR 56732, Oct. 28, 1977, as amended at 43 FR 27532, June 26, 1978;
44 FR 61345, Oct. 25, 1979; 46 FR 42449, Aug. 21, 1981]
Sec. 222.4 Changes in grazing permits.
(a) The Chief, Forest Service, is authorized to cancel, modify, or
suspend grazing and livestock use permits in whole or in part as
follows:
(1) Cancel permits where lands grazed under the permit are to be
devoted to another public purpose including disposal. In these cases,
except in an emergency, no permit shall be cancelled without two years'
prior notification.
(2) Cancel the permit in the event the permittee:
(i) Refuses to accept modification of the terms and conditions of an
existing permit.
(ii) Refuses or fails to comply with eligibility or qualification
requirements.
(iii) Waives his permit back to the United States.
(iv) Fails to restock the allotted range after full extent of
approved personal convenience non-use has been exhausted.
(v) Fails to pay grazing fees within established time limits.
(3) Cancel or suspend the permit if the permittee fails to pay
grazing fees within established time limit.
(4) Cancel or suspend the permit if the permittee does not comply
with provisions and requirements in the grazing permit or the
regulations of the Secretary of Agriculture on which the permit is
based.
(5) Cancel or suspend the permit if the permittee knowingly and
willfully makes a false statement or representation in the grazing
application or amendments thereto.
(6) Cancel or suspend the permit if the permit holder is convicted
for failing to comply with Federal laws or regulations or State laws
relating to protection of air, water, soil and vegetation, fish and
wildlife, and other environmental values when exercising the grazing use
authorized by the permit.
(7) Modify the terms and conditions of a permit to conform to
current situations brought about by changes in law, regulation,
executive order, development or revision of an allotment management
plan, or other management needs.
(8) Modify the seasons of use, numbers, kind, and class of livestock
allowed or the allotment to be used under the permit, because of
resource condition, or permittee request. One year's notice will be
given of such modification, except in cases of emergency.
(b) Association permits or grazing agreements may be canceled for
noncompliance with title VI of the Civil Rights Act of 1964 and
Department of Agriculture regulation promulgated thereunder.
[42 FR 56732, Oct. 28, 1977, as amended at 46 FR 42449, Aug. 21, 1981]
Sec. 222.6 Compensation for permittees' interest in authorized permanent
improvements.
(a) Whenever a term permit for grazing livestock on National Forest
land in the 16 contiguous western States is canceled in whole or in part
to devote the lands covered by the permit to another public purpose,
including disposal, the permittee shall receive from the United States a
reasonable compensation for the adjusted value of his interest in
authorized permanent improvements placed or constructed by him on the
lands covered by the canceled permit. The adjusted value is to
[[Page 93]]
be determined by the Chief, Forest Service. Compensation received shall
not exceed the fair market value of the terminated portion of the
permittee's interest therein.
(b) In the event a permittee waives his grazing permit in connection
with sale of his base property or permitted livestock, he is not
entitled to compensation.
(Sec. 1, 30 Stat. 35, as amended (16 U.S.C. 551); sec. 1, 33 Stat. 628
(16 U.S.C. 472); sec. 32, 50 Stat. 525, as amended (7 U.S.C. 1011); sec.
19, 64 Stat. 88 (16 U.S.C. 5801); Title IV, Pub. L. 94, 90 Stat. 2771
(43 U.S.C. 1751, et seq.); 92 Stat. 1803 (43 U.S.C. 1901))
[42 FR 56732, Oct. 28, 1977, as amended at 44 FR 61345, Oct. 25, 1979]
Sec. 222.7 Cooperation in management.
(a) Cooperation with local livestock associations--(1) Authority.
The Chief, Forest Service, is authorized to recognize, cooperate with,
and assist local livestock associations in the management of the
livestock and range resources on a single range allotment, associated
groups of allotments, or other association-controlled lands on which the
members' livestock are permitted to graze.
(2) Purposes. These associations will provide the means for the
members to:
(i) Manage their permitted livestock and the range resources.
(ii) Meet jointly with Forest officers to discuss and formulate
programs for management of their livestock and the range resources.
(iii) Express their wishes through their designated officers or
committees.
(iv) Share costs for handling of livestock, construction and
maintenance of range improvements or other accepted programs deemed
needed for proper management of the permitted livestock and range
resources.
(v) Formulate association special rules needed to ensure proper
resource management.
(3) Requirements for recognition. The requirements for receiving
recognition by the Forest Supervisor are:
(i) The members of the association must constitute a majority of the
grazing permittees on the range allotment or allotments involved.
(ii) The officers of the association must be elected by a majority
of the association members or of a quorum as specified by the
association's constitution and bylaws.
(iii) The officers other than the Secretary and Treasurer must be
grazing permittees on the range allotment or allotments involved.
(iv) The association's activities must be governed by a constitution
and bylaws acceptable to the Forest Supervisor and approved by him.
(4) Withdrawing recognition. The Forest Supervisor may withdraw his
recognition of the association whenever:
(i) The majority of the grazing permittees request that the
association be dissolved.
(ii) The association becomes inactive, and does not meet in annual
or special meetings during a consecutive 2-year period.
(b) Cooperation with national, State, and county livestock
organizations. The policies and programs of national, State, and county
livestock organizations give direction to, and reflect in, the practices
of their members. Good working relationships with these groups is
conducive to the betterment of range management on both public and
private lands. The Chief, Forest Service, will endeavor to establish and
maintain close working relationships with National livestock
organizations who have an interest in the administration of National
Forest System lands, and direct Forest officers to work cooperatively
with State and county livestock organizations having similar interests.
(c) Interagency cooperation. The Chief, Forest Service, will
cooperate with other Federal agencies which have interest in improving
range management on public and private lands.
(d) Cooperation with others. The Chief, Forest Service, will
cooperate with other agencies, institutions, organizations, and
individuals who have interest in improvement of range management on
public and private lands.
[[Page 94]]
Sec. 222.8 Cooperation in control of estray or unbranded livestock, animal
diseases, noxious farm weeds, and use of pesticides.
(a) Insofar as it involves National Forest System lands and other
lands under Forest Service control or the livestock which graze
thereupon, the Chief, Forest Service, will cooperate with:
(1) State, county, and Federal agencies in the application and
enforcement of all laws and regulations relating to livestock diseases,
sanitation and noxious farm weeds.
(2) The Animal and Plant Health Inspection Service and other Federal
or State agencies and institutions in surveillance of pesticides spray
programs; and
(3) State cattle and sheep sanitary or brand boards in control of
estray and unbranded livestock to the extent it does not conflict with
the Wild Free-Roaming Horse and Burro Act of December 15, 1971.
(b) The Chief, Forest Service, will cooperate with county or other
local weed control districts in analyzing noxious farm weed problems and
developing control programs in areas of which the National Forests and
National Grasslands are a part.
(85 Stat. 649 (16 U.S.C. 1331-1340))
Sec. 222.9 Range improvements.
(a) The Chief, Forest Service, is authorized to install and maintain
structural and nonstructural range improvements needed to manage the
range resource on National Forest System lands and other lands
controlled by the Forest Service.
(b) Such improvements may be constructed or installed and
maintained, or work performed by individuals, organizations or agencies
other than the Forest Service subject to the following:
(1) All improvements must be authorized by cooperative agreement or
memorandum of understanding, the provisions of which become a part of
the grazing permit(s).
(2) Title to permanent structural range improvements shall rest in
the United States.
(3) Title to temporary structural range improvements may be retained
by the Cooperator where no part of the cost for the improvement is borne
by the United States.
(4) Title to nonstructural range improvements shall vest in the
United States.
(5) Range improvement work performed by a cooperator or permittee on
National Forest System lands shall not confer the exclusive right to use
the improvement or the land influenced.
(c) A user of the range resource on National Forest System lands and
other lands under Forest Service control may be required by the Chief,
Forest Service, to maintain improvements to specified standards.
(d) Grazing fees or the number of animal months charged shall not be
adjusted to compensate permittees for range improvement work performed
on National Forest System lands: Provided, That, in accordance with
section 32(c), title III, Bankhead-Jones Farm Tenant Act, the cost to
grazing users in complying with requirements of a grazing permit or
agreement may be considered in determining the annual grazing fee on
National Grasslands or land utilization projects if it has not been used
in establishing the grazing base value.
Sec. 222.10 Range betterment fund.
In addition to range development which is accomplished through funds
from the rangeland management budget line item and the Granger-Thye Act,
and deposited and nondeposited cooperative funds, range development may
also be accomplished through use of the range betterment fund as
follows:
(a) On National Forest land within the 16 contiguous western States,
the Chief, Forest Service, shall implement range improvement programs
where necessary to arrest range deterioration and improve forage
conditions with resulting benefits to wildlife, watershed protection,
and livestock production. One-half of the available funds will be
expended on the National Forest where derived. The remaining one-half of
the fund will be allocated for range rehabilitation, protection and
improvements on National Forest lands within the Forest Service Regions
where they were derived. During the planning process there will be
consultation with grazing permittees who will be affected
[[Page 95]]
by the range rehabilitation, protection and improvements, and other
interested persons or organizations.
(b) Range betterment funds shall be utilized only for on-the-ground
expenditure for range land betterment, including, but not limited to,
seeding and reseeding, fence construction, water development, weed and
other plant control, and fish and wildlife habitat enhancement within
allotments.
(Sec. 1, 30 Stat. 35, as amended (16 U.S.C. 551); sec. 1, 33 Stat. 628
(16 U.S.C. 472); sec. 32, 50 Stat. 525, as amended (7 U.S.C. 1011); sec.
19, 64 Stat. 88 (16 U.S.C. 5801); Title IV, Pub. L. 94, 90 Stat. 2771
(43 U.S.C. 1751, et seq.); 92 Stat. 1803 (43 U.S.C. 1901))
[42 FR 56732, Oct. 28, 1977, as amended at 44 FR 61345, Oct. 25, 1979]
Sec. 222.11 Grazing advisory boards.
(a) Establishment. Persons holding term permits to graze livestock
on National Forest System lands with headquarters, office in the 16
contiguous western States having jurisdiction over more than 500,000
acres of land subject to commercial livestock grazing may petition the
Forest Supervisor for establishment of a statutory grazing advisory
board in accordance with provisions of the Federal Land Policy and
Management Act of 1976.
(1) Upon being properly petitioned by a simple majority (more than
50 percent) of term grazing permittees under the jurisdiction of such
headquarters office, the Secretary shall establish and maintain at least
one grazing advisory board.
(2) The Chief, Forest Service, shall determine the number of such
boards, the area to be covered, and the number of advisers on each
board.
(3) Processing Petitions. Upon receiving a proper petition from the
grazing permittees, the Forest Supervisor will request the Chief, Forest
Service, through the Regional Forester, to initiate action to establish
grazing advisory boards in accordance with regulations of the Secretary
of Agriculture. Grazing advisory boards will comply with the provisions
of the Federal Advisory Committee Act.
(b) Membership. Grazing advisory boards established under this
authority shall consist of members who are National Forest System term
permittees under the jurisdiction of a National Forest headquarters
office in the 16 contiguous western States, provided board members shall
be elected by term grazing permittees in the area covered by the board.
(c) Elections. The Forest Supervisor of the headquarters office
shall prescribe and oversee the manner in which permittees are nominated
and board members are elected. Nominations will be made by petition with
all term grazing permittees under the jurisdiction of such headquarters
office being eligible for membership on the board. All members of the
board will be elected by secret ballot with each term grazing permittee
in the area covered by the board being qualified to vote. No person
shall be denied the opportunity to serve as a grazing advisory board
member because of race, color, sex, religion, or national origin. No
board member shall concurrently serve on another USDA advisory
committee. The Forest Supervisor shall determine and announce the
results of the election of the members of the board and shall recognize
the duly elected board as representing National Forest System term
grazing permittees in the areas for which it is established. Board
members will be elected to terms not to exceed 2 years.
(d) Charter and bylaws. (1) The Forest Supervisor will prepare a
charter to be filed with the Department and the Congress as required by
Section 9(c) of the Federal Advisory Committee Act.
(2) A duly recognized grazing advisory board may, with the
concurrence of a majority of its members and the Forest Supervisor,
adopt bylaws to govern its proceedings.
(e) Function. The function of grazing advisory boards will be to
offer advice and make recommendations concerning the development of
allotment management plans and the utilization of range betterment
funds.
(f) Meetings. The Forest Supervisor shall call at least one meeting
of each board annually, and call additional meetings as needed to meet
the needs of the permittees and the Forest Service. Each meeting shall
be conducted in accordance with an agenda approved by the Forest
Supervisor and in the presence of a Forest officer.
[[Page 96]]
(g) Termination. (1) Grazing advisory boards established under the
Federal Land Policy and Management Act of 1976 shall continue until
December 31, 1985, unless terminated earlier.
(2) The Forest Supervisor may withdraw recognition of any board
whenever:
(i) A majority of the term grazing permittees for the area which the
board represents requests that the board be dissolved.
(ii) The board becomes inactive and does not meet at least once each
calendar year.
(86 Stat. 770 (5 U.S.C., App. 1); sec. 1, 30 Stat. 35, as amended (16
U.S.C. 551); sec. 1, 33 Stat. 628 (16 U.S.C. 472); sec. 32, 50 Stat.
525, as amended (7 U.S.C. 1011); sec. 19, 64 Stat. 88 (16 U.S.C. 5801);
Title IV, Pub. L. 94, 90 Stat. 2771 (43 U.S.C. 1751, et seq.); 92 Stat.
1803 (43 U.S.C. 1901))
[42 FR 56732, Oct. 28, 1977, as amended at 43 FR 27532, June 26, 1978;
44 FR 61345, Oct. 25, 1979]
Subpart B_Management of Wild Free-Roaming Horses and Burros
Authority: 85 Stat. 649, as amended (16 U.S.C. 1331-1340); sec. 1,
30 Stat. 35, as amended (16 U.S.C. 551); sec. 32, 50 Stat. 522, as
amended (7 U.S.C. 1011); 92 Stat. 1803 (43 U.S.C. 1901 note).
Source: 45 FR 24135, Apr. 9, 1980, unless otherwise noted.
Sec. 222.20 Authority and definitions.
(a) Authority. The Chief, Forest Service, shall protect, manage, and
control wild free-roaming horses and burros on lands of the National
Forest System and shall maintain vigilance for the welfare of wild free-
roaming horses and burros that wander or migrate from the National
Forest System. If these animals also use lands administered by the
Bureau of Land Management as a part of their habitat, the Chief, Forest
Service, shall cooperate to the fullest extent with the Department of
the Interior through the Bureau of Land Management in administering the
animals.
(b) Definitions.
(1) Act means the Act of December 15, 1971 (85 Stat. 649, as
amended, 16 U.S.C. 1331-1340).
(2) Captured animal means a wild free-roaming horse or burro taken
and held in the custody of an authorized officer, his delegate, or
agent. This term does not apply to an animal after it is placed in
private custody through a Private Maintenance and Care agreement.
(3) Excess animals means wild free-roaming horses and burros which
have been removed by authorized personnel pursuant to applicable law or
which must be removed from an area in order to preserve and maintain a
thriving natural ecological balance in coordination with other resources
and activities.
(4) Herd means one or more stallions and their mares, or jacks and
their jennies.
(5) Humane treatment means kind and merciful treatment, without
causing unnecessary stress or suffering to the animal.
(6) Inhumane treatment means causing physical stress to an animal
through any harmful action or omission that is not compatible with
standard animal husbandry practices; causing or allowing an animal to
suffer from a lack of necessary food, water, or shelter; using any
equipment, apparatus, or technique during transportation, domestication,
or handling that causes undue injury to an animal; or failing to treat
or care for a sick or injured animal.
(7) Lame means a wild free-roaming horse or burro with
malfunctioning muscles, ligaments or limbs that impair freedom of
movement.
(8) Malicious harassment means any intentional act demonstrating
deliberate disregard for the well-being of wild free-roaming horses and
burros and which creates a likelihood of injury or is detrimental to
normal behavior pattern of wild free-roaming horses or burros including
feeding, watering, resting, and breeding. Such acts include, but are not
limited to, unauthorized chasing, pursuing, herding, roping, or
attempting to gather wild free-roaming horses or burros. It does not
apply to activities conducted by or on behalf of the Forest Service or
the Bureau of Land Management in implementation or performance of duties
and responsibilities under the Act.
[[Page 97]]
(9) National Advisory Board means the Advisory Board as established
jointly by the Secretary of Agriculture and the Secretary of the
Interior under the provisions of the Act.
(10) National Forest System includes the National Forests, National
Grasslands, and other Federal lands for which the Forest Service has
administrative jurisdiction.
(11) Old means a wild free-roaming horse or burro characterized by
inability to fend for itself because of age, physical deterioration,
suffering or closeness to death.
(12) Sick means a wild free-roaming horse or burro with failing
health, infirmness, or disease from which there is little chance of
recovery.
(13) Wild free-roaming horses and burros mean all unbranded and
unclaimed horses and burros and their progeny that have used lands of
the National Forest System on or after December 15, 1971, or do
hereafter use these lands as all or part of their habitat, but does not
include any horse or burro introduced onto the National Forest System on
or after December 15, 1971, by accident, negligence, or willful
disregard of private ownership. Unbranded, claimed horses and burros for
which the claim is found to be erroneous, are also considered as wild
and free-roaming if they meet the criteria above.
(14) Wild-horse and burro range means an area of National Forest
System specifically so designated by the Chief, Forest Service, from
wild horse and burro territory, for the purpose of sustaining an
existing herd or herds of wild free-roaming horses and burros, provided
the range does not exceed known territorial limits and is devoted
principally, but not necessarily exclusively, to the welfare of the wild
horses and burros, in keeping with the multiple-use management concept
for the National Forest System.
(15) Wild horse and burro territory means lands of the National
Forest System which are identified by the Chief, Forest Service, as
lands which were territorial habitat of wild free-roaming horses and/or
burros at the time of the passage of the Act.
Sec. 222.21 Administration of wild free-roaming horses and burros and their
environment.
(a) The Chief, Forest Service, shall:
(1) Administer wild free-roaming horses and burros and their progeny
on the National Forest System in the areas where they now occur (wild
horse and burro territory) to maintain a thriving ecological balance
considering them an integral component of the multiple use resources,
and regulating their population and accompanying need for forage and
habitat in correlation with uses recognized under the Multiple-Use
Sustained Yield Act of 1960 (70 Stat. 215; 16 U.S.C. 528-531);
(2) Provide direct administration for the welfare of wild free-
roaming horses and burros that are located on the National Forest System
by use of the Forest Service organization rather than by the granting of
leases and permits for maintenance of these animals to individuals and
organizations;
(3) Establish wild horse and burro territories in accordance with
the Act and continue recognition of such territories where it is
determined that horses and/or burros will be recognized as part of the
natural system, and designate areas within these territories as a
specific wild horse and burro range in those situations where he
determines such designation as especially fitting to meet the purposes
of the Act and the Multiple Use Sustained-Yield Act, after consultation
with the appropriate State agencies where such range is proposed and
with the National Advisory Board;
(4) Analyze each wild horse or burro territory and, based on the
analysis, develop and implement a management plan, which analysis and
plans will be updated, whenever needed, as determined by conditions on
each territory;
(5) Maintain a current inventory of wild free-roaming horses and
burros on each territory to determine whether and where excess animals
exists;
(6) Based on paragraphs (a) (4) and (5) of this section, determine
appropriate management levels, whether action should be taken to remove
excess animals and what actions are appropriate to achieve the removal
or destruction of excess animals; and
[[Page 98]]
(7) In making determinations cited in this section, the authorized
officer shall consult with the U.S. Fish and Wildlife Service, wildlife
agencies in the State, individuals and organizations independent of
Federal or State Government recommended by the National Academy of
Sciences, and any other individual or organizations determined to have
scientific expertise or special knowledge of wild horse and burro
protection, wildlife management and animal husbandry as related to range
management.
Sec. 222.22 Ownership claims.
(a) Any person claiming ownership under State branding and estray
laws of branded or unbranded horses or burros within a wild horse or
burro territory or range on the National Forest System where such
animals are not authorized must present evidence of ownership to justify
a roundup before permission will be granted to gather such animals.
Claims of ownership with supporting evidence were required to be filed
during a claiming period which expired November 15, 1973. Unauthorized
privately owned horses or burros entering the National Forest System
after November 15, 1973, which become intermingled with wild horses or
burros, may be claimed by filing an application with the District
Ranger. All authorizations to gather claimed animals shall be in writing
in accordance with instructions as the Chief, Forest Service, may
prescribe. After such public notice as an authorized officer deems
appropriate to inform interested parties, gathering operations may be
authorized. The authorization shall provide that the gathering or
roundup be consistent with regulations, and will (1) establish a
specific reasonable period of time to allow the gathering of claimed
animals and (2) stipulate other conditions, including visual observation
by Forest Service personnel deemed necessary to ensure humane treatment
of associated wild free-roaming horses and burros and to protect other
resources involved.
(b) Prior to removal of claimed animals which have been captured
from the National Forest System, claimants shall substantiate their
claim of ownership in accordance with whatever criteria are
cooperatively agreed to between the Forest Service and the State agency
administering the State estray laws. In the absence of an agreement,
ownership claims shall be substantiated in accordance with State law and
subject to approval of the Forest Service.
Sec. 222.23 Removal of other horses and burros.
Horses and burros not within the definition in Sec. 222.20(b)(13)
which are introduced onto Wild Horse and Burro Territories or ranges
after December 15, 1971, by accident, negligence, or willful disregard
of private ownership, and which do not become intermingled with wild
free-roaming horses or burros shall be considered as unauthorized
livestock and treated in accordance with provisions in 36 CFR 261.7 and
262.10.
[61 FR 35959, July 9, 1996]
Sec. 222.24 Use of helicopters, fixed-wing aircraft and motor vehicles.
The Chief, Forest Service, is authorized to use helicopters, fixed-
wing aircraft, and motor vehicles in a manner that will ensure humane
treatment of wild free-roaming horses and burros as provided by the
following paragraphs:
(a) Prior to using helicopters in capture operations and/or using
motor vehicles for the purpose of transporting captured animals, a
public meeting will be held in the proximity of the territory where the
capture operation is proposed.
(b) Helicopters may be used in all phases of the administration of
the Act including, but not limited to, inventory, observation,
surveillance, and capture operations. In capture operations, helicopters
may be used to locate the animals involved to assist ground crews in
moving the animals and for related purposes, such as, to transport
personnel and equipment. The condition of the animals shall be
continuously observed by the authorized officer and, should signs of
harmful stress be noted, the source of stress shall be removed so as to
allow recovery. Helicopters may be used in round-ups or other capture
operations subject to the following procedures.
[[Page 99]]
(1) Helicopters shall be used in such a manner that bands or herds
will tend to remain together.
(2) Horses or burros will not be moved at a rate which exceeds
limitations set by the authorized officer who shall consider terrain,
weather, distance to be traveled, and condition of the animals.
(3) Helicopters shall be used to observe the presence of dangerous
areas and may be used to move animals away from hazards during capture
operations.
(4) During capture operations, animals shall be moved in such a way
as to prevent harmful stress or injury.
(5) The authorized officer shall supervise all helicopter uses as
follows:
(i) Have means to communicate with the pilot and be able to direct
the use of the helicopter; and
(ii) Be able to observe effects of the use of the helicopters on the
well-being of the animals.
(c) Fixed-wing aircraft may be used for inventory, observation, and
surveillance purposes necessary in administering the Act. Such use shall
be consistent with the Act of September 8, 1959, as amended (18 U.S.C.
41 et seq.). Fixed-wing aircraft shall not be used in connection with
capture operations except as support vehicles.
(d) Motor vehicles may be used in the administration of the Act
except that such vehicles shall not be used for driving or chasing wild
horses or burros in capture operations. Motor vehicles may also be used
for the purpose of transporting captured animals subject to the
following humane procedures.
(1) Such transportation shall comply with appropriate State and
Federal laws and regulations applicable to humane transportation of
horses and burros.
(2) Vehicles shall be inspected by an authorized officer prior to
use to ensure vehicles are in good repair and of adequate rate capacity.
(3) Vehicles shall be carefully operated to ensure that captured
animals are transported without undue risk or injury.
(4) Where necessary and practical, animals shall be sorted as to
age, temperament, sex, size, and condition so as to limit, to the extent
possible, injury due to fighting and trampling.
(5) The authorizing officer shall consider the condition of the
animals, weather conditions, type of vehicle, and distance to be
traveled when planning for transportation of captured animals.
(6) Unless otherwise approved by the authorized officer, the
transportation of wild free-roaming horses and burros shall be limited
in sequence, to a maximum of 24 hours in transit followed by a minimum
of 5 hours of on-the-ground rest with adequate feed and water.
Sec. 222.25 Protection of wild free-roaming horses and burros when they are
upon other than the National Forest System or public lands.
Individual animals and herds of wild free-roaming horses and burros
will be under the protection of the Chief, Forest Service, even though
they may thereafter move to lands of other ownership or jurisdiction as
a part of their annual territorial habitat pattern or for other reasons.
The Chief will exercise surveillance of these animals through the use of
cooperative agreements and as otherwise authorized by law and act
immediately through appropriate administrative or criminal and civil
judicial procedures to provide them the protective measures of the Act
at any time he has cause to believe its provisions are being violated.
Sec. 222.26 Removal of wild free-roaming horses and burros from private
lands.
Owners of land upon which wild free-roaming horses and burros have
strayed from the National Forest System may request their removal by
calling the nearest office of either the Forest Service or Federal
Marshall.
Sec. 222.27 Maintenance of wild free-roaming horses and burros on privately-
owned lands.
Owners of land who wish to maintain wild free-roaming horses and
burros which have strayed onto their lands from the National Forest
System may do so by notifying the nearest office of the Forest Service
in a timely fashion and providing such information on a continuing basis
as the Chief, Forest Service, may require. Such owners
[[Page 100]]
shall protect the wild free-roaming horses and burros on their lands.
They may not, in so maintaining these animals, impede their return to
National Forest System lands unless authorized by agreement with the
Forest Service.
Sec. 222.28 Agreements.
The Chief, Forest Service, may enter into agreements as he deems
necessary to further the protection, management, and control of wild
free-roaming horses and burros.
Sec. 222.29 Relocation and disposal of animals.
(a) The Chief, Forest Service, shall, when he determines over-
population of wild horses and burros exists and removal is required,
take immediate necessary action to remove excess animals from that
particular territory. Such action shall be taken until all excess
animals have been removed so as to restore a thriving natural ecological
balance to the range, and protect the range from deterioration
associated with over-population.
(b) No person except an authorized Forest Service officer or his
agent shall destroy, remove, or relocate any wild free-roaming horse or
burro located on the National Forest System.
(c) Wild horses and burros shall be relocated or removed in the
following order of priority:
(1) In the most humane manner possible, sick, lame, or old animals
shall be destroyed;
(2) Relocate animals to other National Forest System lands which
were identified as 1971 wild horse or burro territory, providing
suitable habitat exists and relocation of animals will not jeopardize
vegetation condition;
(3) Relocate animals to other federally-owned lands which were
identified as 1971 wild horse or burro occupied lands, providing
suitable habitat exists and relocation of animals will not jeopardize
vegetation condition and animals are requested by the appropriate land
manager having jurisdiction;
(4) Place animals under private maintenance and care agreements
where there is an adoption demand by qualified individuals, groups, or
Government agency, and for which there is assurance of humane treatment
and care, provided not more than four animals are placed under private
maintenance and care agreements per year to any individual,
organization, or government agency unless there is a determination
expressed otherwise in writing, by an authorized Forest Service Officer;
and
(5) Excess animals, for which an adoption demand by qualified
applicants does not exist, shall be destroyed in the most humane manner
possible, and if several methods are equally humane, select the most
cost efficient.
(d) Where excess animals have been placed under private maintenance
and care agreements after December 15, 1971, as provided for in
paragraph (c)(4) of this section, and animals have been provided humane
conditions, treatment, and care, for a period of one year, the Chief,
Forest Service, may grant title to not more than four animals per year
to each individual, organization, or government agency.
(e) The applicants must make written application for title and/or
adoption, must be of legal age in the State in which they reside, and
must pay fees for adoption and transportation as follows:
(1) The application must be accompanied by a nonrefundable advance
payment of $25 by guaranteed remittance. If custody of a wild, free-
roaming horse or burro is granted by the authorized Forest Service
officer, the advance payment shall be applied against the adoption fee
required to be paid at the time the maintenance and care agreement Sec.
222.29(c)(4) is executed.
(2) The Forest Service shall charge an adoption fee of $125 for each
horse and $75 for each burro, except that there shall be no adoption fee
for an unweaned offspring under 6 months of age accompanying its mother.
(3) Any transportation costs incurred for the transportation of the
animal(s) to the point of pickup must be paid before an approved
individual, group, or government agency takes custody of the animal(s).
(f) Humane conditions, treatment, and care must have been provided
for no less that one year preceding the filing of the application for
title. The conveyance of title shall include a
[[Page 101]]
written statement by an authorized officer attesting that the animal is
in good condition.
[45 FR 24135, Apr. 9, 1980, as amended at 46 FR 42450, Aug. 21, 1981; 48
FR 25188, June 6, 1983]
Sec. 222.30 Disposal of carcasses.
Carcasses of animals that have lost their status as wild free-
roaming horses or burros may be disposed of in any customary manner
acceptable under applicable State sanitary statutes including disposal
through a rendering plant.
Sec. 222.31 Loss of status.
Wild free-roaming horses and burros or their remains shall lose
their status under the 1971 Wild Horses and Burros Act.
(a) Upon passage of title pursuant to Sec. 222.29 (d) and (e).
(b) Upon transfer to private maintenance and care pursuant to Sec.
222.29(c)(4) and die of natural causes before passage of title;
(c) Upon destruction by an authorized Forest officer pursuant to
Sec. 222.29(c)(5).
(d) Upon death by natural causes or accident on the National Forest
System or on private lands where maintained thereon pursuant to Sec.
222.27 and disposal is authorized by a Forest officer; and
(e) Upon destruction or death for purposes of or incident to the
program authorized in Sec. 222.20(a).
Sec. 222.32 Use of non-Forest Service personnel.
The Chief, Forest Service, may authorize the use of non-Forest
Service personnel to assist in specific situations of short duration.
Sec. 222.33 Management coordination.
All management activities by the Chief, Forest Service, shall be
carried out in consultation with the appropriate agencies of the State
involved. The expert advice of qualified scientists in the fields of
biology and ecology shall also be sought in administering wild free-
roaming horses and burros. The advice and suggestions of agencies,
qualified scientists, and other qualified interest groups shall be made
available to the National Advisory Board for their use and
consideration. Actions taken in connection with private ownership claims
shall be coordinated to the fullest extent possible with the State
agency responsible for livestock estray law administration.
Sec. 222.34 National Advisory Board.
The Chief, Forest Service, shall appoint a representative to attend
meetings of the National Advisory Board for Wild Free-Roaming Horses and
Burros and to function as prescribed by the Memorandum of Agreement
between the Department of the Interior and the Department of Agriculture
and the Joint Charter issued by the Secretary of the Interior and the
Secretary of Agriculture. Policies and guidelines relative to proposals
for the establishment of ranges, adjustments in number, relocation and
disposal of animals, and other matters relating generally to the
protection, management, and control of wild free-roaming horses and
burros shall be presented to the National Advisory Board for
recommendations.
Sec. 222.35 Studies.
The Chief, Forest Service, is authorized and directed to undertake
those studies of the habits and habitat of wild free-roaming horses and
burros that he may deem necessary. In doing so, he shall consult with
the appropriate agencies of the State(s) involved and the National
Academy of Sciences.
Sec. 222.36 Arrest.
Any employee designated by the Chief, Forest Service, shall have the
power to arrest without warrant, any person committing in the presence
of the employee a violation of the Act and to take such person
immediately for examination or trial before an officer or court of
competent jurisdiction. Any employee so designated shall have power to
execute any warrant or other process issued by an officer or court of
competent jurisdiction to enforce the provisions of the Act.
[[Page 102]]
Subpart C_Grazing Fees
Authority: 16 U.S.C. 551; 31 U.S.C. 483A; 43 U.S.C. 1901; E.O.
12548, 51 FR 1986 Comp., p. 188.
Sec. 222.50 General procedures.
(a) Fees shall be charged for all livestock grazing or livestock use
of National Forest system lands, or other lands under Forest Service
control. An exception is livestock authorized free of charge under
provisions of Sec. 222.3(c)(2)(ii) (B) through (G).
(b) Guiding establishment of fees are the law and general
governmental policy as established by Bureau of the Budget (now, Office
of Management and Budget) Circular A-25 of September 23, 1959, which
directs that a fair market value be obtained for all services and
resources provided the public through establishment of a system of
reasonable fee charges, and that the users be afford equitable
treatment. This policy precludes a monetary consideration in the fee
structure for any permit value that may be capitalized into the permit
holder's private ranching operation.
(c) A grazing fee shall be charged for each head month of livestock
grazing or use. A head month is a month's use and occupancy of range by
one animal, except for sheep or goats. A full head month's fee is
charged for a month of grazing by adult animals; if the grazing animal
is weaned or 6 months of age or older at the time of entering National
Forest System lands; or will become 12 months of age during the
permitted period of use. For fee purposes 5 sheep or goats, weaned or
adult, are equivalent to one cow, bull, steer, heifer, horse, or mule.
(d) No additional charge will be made for the privilege of lambing
upon National Forest System lands, or other lands under Forest Service
control.
(e) Transportation livestock may be charged for at a special rate,
and at a minimum established for such use. Fees for horses, mules, or
burros associated with management of permitted livestock on an
allotment, or for research purposes and administrative studies, and
authorized on a charge basis, are determined under provisions of
paragraph (b) of this section.
(f) The fees for trailing livestock across National Forest System
lands will conform with the rates established for other livestock. Where
practicable, fees for trailing permitted livestock will be covered in
the regular grazing fee and the crossing period covered in the regular
grazing period.
(g) All fees for livestock grazing or livestock use of National
Forest System lands or other lands under Forest Service control are
payable in advance of the opening date of the grazing period, entry, or
livestock use unless otherwise authorized by the Chief, Forest Service.
(h) Unauthorized grazing use rate will be determined by establishing
a base value without giving consideration for those contributions
normally made by the permittee under terms of the grazing permit. The
base will be adjusted annually by the same indexes used to adjust the
regular fee. This rate will also apply to excess number of livestock
grazing by permittees; to livestock grazed outside the permitted grazing
season; or to livestock grazed under an unvalidated permit.
(i) Refunds or credits may be allowed under justifiable conditions
and circumstances as the Chief, Forest Service, may specify.
(j) The fee year for the purpose of charging grazing fees will be
March 1 through the following February.
(k) The data year for the purpose of collecting beef cattle price
data for computing indexes will be November 1 through the following
October and apply to the following fee year.
[44 FR 24843, Apr. 27, 1979, as amended at 46 FR 42450, Aug. 21, 1981;
53 FR 2984, Feb. 2, 1988]
Sec. 222.51 National Forests in 16 Western States.
(a) Grazing fees are established on lands designated National
Forests and Land Utilization Projects in the 16 contiguous Western
States of Arizona, California, Colorado, Idaho, Kansas, Montana,
Nebraska, Nevada, New Mexico, North Dakota, Oklahoma, Oregon, South
Dakota, Utah, Washington, and Wyoming. (National Grasslands are
excluded, see Sec. 222.52.)
(b) Notwithstanding the provisions of Sec. 222.50, paragraph (b),
the calculated
[[Page 103]]
grazing fee for 1988 and subsequent grazing fee years represents the
economic value of the use of the land to the user and is the product of
multiplying the base fair market value of $1.23 by the result of the
annual Forage Value Index, added to the sum of the Beef Cattle Price
Index minus the Prices Paid Index and divided by 100; provided, that the
annual increase or decrease in such fee for any given year shall be
limited to not more than plus or minus 25 percent of the previous year's
fee, and provided further, that the fee shall not be less than $1.35 per
head per month. The indexes used in this formula are as follows:
(1) Forage Value Index means the weighted average estimate of the
annual rental charge per head per month for pasturing cattle on private
rangelands in the 11 Western States (Arizona, California, Colorado,
Idaho, Montana, New Mexico, Nevada, Oregon, Utah, Washington, and
Wyoming) (computed by the National Agricultural Statistics Service) from
the June Enumerative Survey) divided by $3.65 per head month and
multiplied by 100;
(2) Beef Cattle Price Index means the weighted average annual
selling price for beef cattle (excluding calves) in the 11 Western
States (Arizona, California, Colorado, Idaho, Montana, New Mexico,
Nevada, Oregon, Utah, Washington, and Wyoming) (computed by the National
Agricultural Statistics Service) for November through October (computed
by the National Agricultural Statistics Service) divided by $22.04 per
hundred weight and multiplied by 100; and
(3) Prices Paid Index means the following selected components from
the National Agricultural Statistics Service ``Annual National Index of
Prices Paid by Farmers for Goods and Services'' adjusted by the weights
indicated in parentheses to reflect livestock production costs in the
Western States:
1. Fuels and Energy (14.5);
2. Farm and Motor Supplies (12.0);
3. Autos and Trucks (4.5);
4. Tractors and Self-Propelled Machinery (4.5);
5. Other Machinery (12.0);
6. Building and Fencing Materials (14.5);
7. Interest (6.0);
8. Farm Wage Rates (14.0);
9. Farm Services (18.0).
[44 FR 24843, Apr. 27, 1979, as amended at 53 FR 2984, Feb. 2, 1988]
Sec. 222.52 National Grasslands.
Grazing fees for National Grasslands will be established under
concepts and principles similar to those in Sec. 222.51(b).
[44 FR 24843, Apr. 27, 1979]
Sec. 222.53 Grazing fees in the East--noncompetitive procedures.
(a) Scope. Except as provided in Sec. 222.54 of this subpart, the
fee charged for commercial livestock grazing use and occupancy on
National Forest System (NFS) lands in the States of New York, Missouri,
Vermont, West Virginia, and in the Southern Region shall be determined
through noncompetitive, fair market value procedures. These rules do not
apply to grazing fees on National Forest System lands in Oklahoma or
National Grasslands in Texas. Grazing permits under the noncompetitive
fee method in the East are subject to the rules governing grazing permit
administration in Subpart A of this part.
(b) Applicability. The rules of this section apply to the
establishment of grazing fees for existing permittees in the Eastern and
Southern Regions on National Forest System lands, including grazing
associations in New York and Missouri as of March 1, 1990, to any
livestock on-and-off permits defined in Subpart A of this part; and to
any allotments advertised for competitive bidding which were not bid on
(Sec. 222.54(h)). Noncompetitive permits vacated or terminated by an
existing permittee and any new allotments created after the effective
date of this rule shall be offered on a competitive bid basis as
specified in Sec. 222.54 of this subpart. As provided in subpart A of
this part, holders of term permits have first priority for receipt of a
new permit.
(c) Fee System. The grazing fee charged under this section shall be
based on fair market value, as determined by: Using comparable private
grazing lease rates, adjusted for the difference in the costs of grazing
comparable private leased lands and National Forest System lands, or by
reference to prevailing prices in competitive markets for other Federal
or State
[[Page 104]]
leased grazing lands that are the same or substantially similar to
grazing lands offered or administered by the Forest Service in the East
with comparability adjustments as appropriate. Comparable grazing lease
rates shall be adjusted for the difference between the total costs of
operating on leased grazing lands and the total costs (other than
grazing fee costs) of operating on National Forest System lands.
(1) Establishing Base Grazing Value. (i) The Chief of the Forest
Service, or an authorized officer to whom such authority has been
delegated, shall determine an estimated base market value of grazing use
and occupancy on National Forest System lands in the Eastern States for
the following designated subregions:
(A) Corn Belt (Illinois, Indiana, Missouri, and Ohio);
(B) Lake States (Michigan, Minnesota, and Wisconsin);
(C) Northeast (Maine, New Hampshire, New York, Pennsylvania, and
Vermont);
(D) Appalachia (Kentucky, North Carolina, Tennessee, Virginia, and
West Virginia);
(E) Southeast/Delta (Alabama, Arkansas, Georgia, Louisiana,
Mississippi, South Carolina, and Texas); and
(F) Florida.
(ii) The Chief or authorized officer shall revise or update
estimated market values of grazing use and occupancy, as necessary to
respond to significant changes in the agricultural economy in the East,
and to ensure that fees represent fair market value.
(iii) The Chief, or an authorized officer to whom authority has been
delegated, where sufficient market data exist, may establish the base
grazing value for grazing allotments using comparable, local lease rates
for private grazing lands.
(2) Annual Adjustment of Base Grazing Value. To maintain currency
with the private grazing lease market, the respective base grazing
value(s) established for grazing permits under this section shall be
annually adjusted through a hay price index, by respective subregion.
The hay price index means the weighted average selling price of ``other
baled hay,'' computed by the National Agricultural Statistics Service of
the U.S. Department of Agriculture, by designated State and subregion.
This index shall be based on 3-year average hay prices and annually
reflect the percentage change in the cost of alternative livestock feed.
(3) Computation of Annual Grazing Fee--(i) Annual Fee Basis. The
annual grazing fee shall equal the base grazing value, adjusted by the
current period's hay price index, less the value of any agency required
range improvements.
(ii) Grazing Fee Credits for Range Improvements. Any requirements
for permittee construction or development of range improvements shall be
identified through an agreement and incorporated into the grazing
permit, with credits for such improvements to be allowed toward the
annual grazing fee. Fee credits shall be allowed only for range
improvements which the Forest Service requires an individual permittee
to construct or develop on a specific allotment to meet the management
direction and prescriptions in the relevant forest land and resource
management plan and allotment management plan. These improvements must
involve costs which the permittee would not ordinarily incur under the
grazing permit, must be of tangible public benefit, and must enhance
management of vegetation for resource protection, soil productivity,
riparian, watershed, and wetland values, wildlife and fishery habitat,
or outdoor recreation values. Maintenance of range improvements
specified in allotment management planning documents or the grazing
permit, and other costs incurred by the permittee in the ordinary course
of permitted livestock grazing, do not qualify for grazing fee credits.
(4) Implementation. The grazing fee formula provided by this section
shall be used to calculate fees for the 1990 grazing fee year. Where
implementation would raise fees, the increase shall be phased in over a
5-year period. Full fair market value will be reached in 5 years,
beginning in 1990.
[55 FR 2650, Jan. 26, 1990]
Sec. 222.54 Grazing fees in the East--competitive bidding.
(a) General Procedures--(1) Applicability. The rules of this section
apply to
[[Page 105]]
grazing fees for any allotment established or vacated on National Forest
System lands in the Eastern or Southern Regions, as of February 26, 1990
as well as to grazing fees for existing allotments for such lands that
have already been established under competitive procedures as of the
date of this rule. Permits offered for competitive bidding in the East
are subject to the rules governing grazing permit administration in
subpart A of this part. The rules of this section do not apply to
negotiated livestock use permits or permits with on-and-off grazing
provisions as authorized in subpart A of this part. Holders of term
permits have first priority for receipt of a new term grazing permit in
accordance with subpart A of this part. These rules also do not apply to
grazing fees on National Forest System lands in Oklahoma or National
Grasslands in Texas.
(2) Allowable Bidders. Bids for grazing permits shall be accepted
from individuals, partnerships, grazing associations (formed after
February 26, 1990), joint ventures, corporations, and organizations.
(b) Establishment of Minimum Bid Price. Authorized officers shall
establish a minimum bid price for each available allotment as described
in Sec. 222.53 of this subpart.
(c) Prospectus. (1) At such time as allotments are vacated, as new
allotments are established, or as existing competitively bid permits
expire, the authorized officer shall prepare and advertise a prospectus
for those allotments on which grazing will be permitted.
(2) The prospectus shall include the terms and conditions of
occupancy and use under the grazing permit to be issued, as well as
document existing improvements and their condition. The prospectus shall
also disclose the following:
(i) Estimated market value of the forage per head month of grazing
use;
(ii) The minimum bid price the agency will accept;
(iii) Any required range improvements; and
(iv) The minimum qualifications that applicants must meet to be
eligible for a permit.
(3) Copies of the applicable grazing permit, allotment management
planning documents and allotment maintenance requirements, and the
latest annual permittee instructions shall be made available to all
prospective bidders upon request.
(d) Submission of bid. Each applicant shall submit an application
for the grazing permit, along with a sealed bid for the grazing fee, and
a bid deposit of 10 percent of the total amount of the bid.
(e) Qualifications and Deposit Refunds. Upon opening applicants
bids, the authorized officer shall determine whether each bidder meets
the qualifications to hold a permit as set forth in Subpart A of this
part; and shall refund the deposit to any applicant who is not qualified
or who does not offer the high bid.
(f) Permit Issuance. The authorized officer shall issue the grazing
permit to the qualified high bidder, except as provided in paragraphs
(f)(1) and (2) of this section. The successful bidder receives the
privilege of obtaining or renewing a grazing permit and is billed for
the occupancy offered and forage sold.
(1) Priority for Reissuance. On allotments where a current permit is
expiring and competition has been held on a new grazing permit, the
current grazing permittee shall have priority for retaining the permit.
Accordingly, an applicant who holds the permit on the allotment under
bid, who has a satisfactory record of performance under that permit, and
who is not the higher bidder for the future grazing privileges in the
specified allotment shall be offered the opportunity to match the high
bid and thereby retain the permit. Should there be more than one
existing permittee in the allotment under bid, each shall be offered the
option of meeting the high bid; if only one current permittee opts to
meet the high bid, the remaining allowable grazing use, if any, shall be
awarded to the initial high bidder.
(2) Identical Bids. In cases of identical bids, the selection of the
successful applicant shall be made through a drawing.
(g) Computation of Successful Bidder's Annual Fee--(1) Annual Fee
Basis. The highest bid received shall establish the
[[Page 106]]
base grazing value in the initial year of the grazing permit for each
allotment offered. The annual grazing fee shall equal the base grazing
value, adjusted by the current period's hay price index for the relevant
subregion as described in Sec. 222.53(c)(1), and (c)(3), less the value
of any agency required range improvements. This hay price index shall be
based on 3-year average hay prices and annually reflect the percent
change in the cost of alternative livestock feed.
(2) Grazing Fee Credits for Range Improvements. Any requirements for
permittee construction or development of range improvements shall be
identified through an agreement and incorporated into the grazing
permit, with credits for such improvements to be allowed toward the
annual grazing fee. Fee credits shall be allowed only for range
improvements which the Forest Service requires an individual permittee
to construct or develop on a specific allotment to meet the management
direction and prescriptions in the relevant forest land and resource
management plan and allotment management plan. These improvements must
involve costs which the permittee would not ordinarily incur under the
grazing permit, must be of tangible public benefit, and must enhance
management of vegetation for resource protection, soil productivity,
riparian, watershed, and wetland values, wildlife and fishery habitat,
or outdoor recreation values. Maintenance of range improvements
specified in allotment management planning documents or the grazing
permit, and other costs incurred by the permittee in the ordinary course
of permitted livestock grazing, do not qualify for grazing fee credits.
(h) No Bids Received. If qualified sealed bids are not received, the
authorized officer reserves the right to conduct an oral auction using
the minimum bid price established under paragraph (b) of this section or
to establish grazing fees through noncompetitive grazing fee procedures
specified in Sec. 222.53 of this subpart.
[55 FR 2651, Jan. 26, 1990]
PART 223_SALE AND DISPOSAL OF NATIONAL FOREST SYSTEM TIMBER, SPECIAL FOREST
PRODUCTS, AND FOREST BOTANICAL PRODUCTS--Table of Contents
Subpart A_General Provisions
Sec.
223.1 Authority to sell timber.
223.2 Disposal of timber for administrative use.
223.3 Sale of seized material.
223.4 Exchange of trees or portions of trees.
223.5 Scope of free use granted to individuals.
223.6 Cutting and removal of timber in free-use areas.
223.7 Permission for free use of timber outside free-use areas.
223.8 Delegations of authority to approve free use by individuals.
223.9 Free use to owners of certain mining claims.
223.10 Free use to Alaskan settlers, miners, residents, and prospectors.
223.11 Free use to other Federal agencies.
223.12 Permission to cut, damage, or destroy trees without
advertisement.
223.13 Compliance.
223.14 Where timber may be cut.
Subpart B_Timber Sale Contracts
Contract Conditions and Provisions
223.30 Consistency with plans, environmental standards, and other
management requirements.
223.31 Duration of contracts.
223.32 Timber sale operating plan.
223.33 Redetermination of stumpage rates and deposits.
223.34 Advance payment.
223.35 Performance bond.
223.36 Volume determination.
223.37 Revegetation of temporary roads.
223.38 Standards for road design and construction.
223.39 [Reserved]
223.40 Cancellation for environmental protection or inconsistency with
plans.
223.41 Payment when purchaser elects government road construction.
223.42 Transfer of effective purchaser credits.
223.43 Limitation on amounts of transferred purchaser credit.
223.44 Collection rights on contracts involved in transfer of purchaser
credit.
223.45 Definitions applicable to transfer of purchaser credit.
223.46 Adjustment of contract termination date.
223.47 Date of completion of permanent road construction.
[[Page 107]]
223.48 Restrictions on export and substitution of unprocessed timber.
223.49 Downpayments.
223.50 Periodic payments.
223.51 Bid monitoring.
223.52 Market-related contract term additions.
223.53 Urgent removal contract extensions.
Appraisal and Pricing
223.60 Determining fair market value.
223.61 Establishing minimum stumpage rates.
223.62 Timber purchaser road construction credit.
223.63 Advertised rates.
223.64 Appraisal on a lump-sum value or rate per unit of measure basis.
223.65 Appraisal of timber for land exchange; right-of-way, or other
authorized use.
223.66 [Reserved]
Advertisement and Bids
223.80 When advertisement is required.
223.81 Shorter advertising periods in emergencies.
223.82 Contents of advertisement.
223.83 Contents of prospectus.
223.84 Small business bid form provisions on sales with specified road
construction.
223.85 Noncompetitive sale of timber.
223.86 Bid restriction on resale of noncompleted contract.
223.87 Requirements of bidders concerning exports.
223.88 Bidding methods.
223.89 Relation to other bidders.
Award of Contracts
223.100 Award to highest bidder.
223.101 Determination of purchaser responsibility.
223.102 Procedures when sale is not awarded to highest bidder.
223.103 Award of small business set-aside sales.
Contract Administration
223.110 Delegation to regional forester.
223.111 Administration of contracts in designated disaster areas.
223.112 Modification of contracts.
223.113 Modification of contracts to prevent environmental damage or to
conform to forest plans.
223.114 Acquisition by third party.
223.115 Contract extensions.
223.116 Cancellation.
223.117 Administration of cooperative or Federal sustained yield units.
223.118 Appeal process for small business timber sale set-aside program
share recomputation decisions.
Subpart C_Suspension and Debarment of Timber Purchasers
223.130 Scope.
223.131 Applicability.
223.132 Policy.
223.133 Definitions.
223.134 List of debarred and suspended purchasers.
223.135 Effect of listing.
223.136 Debarment.
223.137 Causes for debarment.
223.138 Procedures for debarment.
223.139 Period of debarment.
223.140 Scope of debarment.
223.141 Suspension.
223.142 Causes for suspension.
223.143 Procedures for suspension.
223.144 Period of suspension.
223.145 Scope of suspension.
Subpart D_Timber Export and Substitution Restrictions
223.159 Scope and applicability.
223.160 Definitions.
223.161 [Reserved]
223.162 Limitations on timber harvested from all other states.
223.163 [Reserved]
223.164 Penalty for falsification.
Subpart E [Reserved]
Subpart F_The Forest Resources Conservation and Shortage Relief Act of
1990 Program
223.185 Scope and applicability.
223.186 Definitions.
223.187 Determination of unprocessed timber.
223.188 Prohibitions against exporting unprocessed Federal timber.
223.189 Prohibitions against substitution.
223.190 Sourcing area application procedures.
223.191 Sourcing area disapproval and review procedures.
223.192 Procedures for a non-manufacturer.
223.193 Procedures for reporting acquisition and disposition of
unprocessed Federal timber.
223.194 Procedures for reporting the acquisition and disposition of
unprocessed private timber.
223.195 Procedures for identifying and marking unprocessed timber.
223.196 Civil penalties for violation.
223.197 Civil penalty assessment procedures.
223.198 Administrative remedies.
223.199 Procedures for cooperating with other agencies.
223.200 Determinations of surplus species.
223.201 Limitations on unprocessed timber harvested in Alaska.
223.202 Information requirements.
[[Page 108]]
223.203 Indirect substitution exception for National Forest System
timber from within Washington State.
Subpart G_Special Forest Products
223.215 Applicability.
223.216 Special Forest Products definitions.
223.217 Authority to dispose of special forest products.
223.218 Consistency with plans, environmental standards, and other
management requirements.
223.219 Sustainable harvest of special forest products.
223.220 Quantity determination.
Appraisal and Pricing
223.221 Establishing minimum rates.
223.222 Appraisal.
Contract and Permit Conditions and Provisions
223.223 Advance payment.
223.224 Performance bonds and security.
223.225 Term.
223.226 Term adjustment for force majeure delay.
Advertisement and Bids
223.227 Sale advertisement.
223.228 Contents of advertisement.
223.229 Contents of prospectus.
223.230 Bid restriction on resale of incomplete contracts, permits, or
other instruments.
223.231 Bidding methods.
223.232 Disclosure of relation to other bidders.
Award of Contracts, Permits, or Other Authorizing Instruments
223.233 Award to highest bidder.
223.234 Determination of responsibility.
223.235 Unilateral delay, suspension, or modification of contracts,
permits, or other instruments authorizing the sale of special
forest products.
223.236 Unilateral termination.
223.237 Request for delay, suspension, modification, or termination.
223.238 Free use authorization to U.S. Army and Navy.
223.239 Free use by individuals.
223.240 Tribes and treaty and other reserved rights.
223.241 Disposal of seized special forest products.
223.242 Supplemental guidance, memorandums of agreement, and memorandums
of understanding.
Subpart H_Forest Botanical Products
223.275 Establishment of a pilot program.
223.276 Applicability.
223.277 Forest botanical products definition.
223.278 Sale of forest botanical products and collection of fees.
223.279 Personal use.
223.280 Waiver of fees and/or fair market value.
223.281 Monitoring and revising sustainable harvest levels.
223.282 Deposit and expenditure of collected fees.
Authority: 90 Stat. 2958, 16 U.S.C. 472a; 98 Stat. 2213, 16 U.S.C.
618, 104 Stat. 714-726, 16 U.S.C. 620-620j, unless otherwise noted.
Effective Date Note: At 73 FR 79386, Dec. 29, 2008, the authority
citation to part 223 was revised, effective Jan. 28, 2009. At 74 FR
5107, Jan. 29, 2009, the amendment was delayed until Mar. 30, 2009. At
74 FR 14049, Mar. 30, 2009, the amendment was further delayed until May
29, 2009. At 74 FR 26091, June 1, 2009, the amendment was delayed
indefinitely. For the convenience of the user, the revised text is set
forth as follows:
Authority: 90 Stat. 2958, 16 U.S.C. 472a; 98 Stat. 2213, 16 U.S.C.
618, 104 Stat. 714-726, 16 U.S.C. 620-620j, 113 Stat. 1501a, 16 U.S.C.
528 note; unless otherwise noted.
Source: 42 FR 28252, June 2, 1977, unless otherwise noted.
Redesignated at 49 FR 2760-2761, Jan. 23, 1984.
Subpart A_General Provisions
Sec. 223.1 Authority to sell timber.
Trees, portions of trees, and other forest products on National
Forest System lands may be sold for the purpose of achieving the
policies set forth in the Multiple-Use Sustained-Yield Act of 1960, as
amended (74 Stat. 215; 16 U.S.C. 528-531), and the Forest and Rangeland
Renewable Resources Planning Act of 1974, as amended (88 Stat. 476; as
amended, 16 U.S.C. 1600-1614), and the Program thereunder.
Sec. 223.2 Disposal of timber for administrative use.
Trees, portions of trees, or other forest products in any amount on
National Forest System lands may be disposed of for administrative use,
by sale or without charge, as may be most advantageous to the United
States, subject to the maximum cut fixed in accordance with established
policies for management of the National Forests. Such administrative use
shall be limited to the following conditions and purposes:
[[Page 109]]
(a) For construction, maintenance or repair of roads, bridges,
trails, telephone lines, fences, recreation areas or other improvements
of value for the protection or the administration of Federal lands.
(b) For fuel in Federal camps, buildings and recreation areas.
(c) For research and demonstration projects.
(d) For use in disaster relief work conducted by public agencies.
(e) For disposal when removal is desirable to protect or enhance
multiple-use values in a particular area.
Sec. 223.3 Sale of seized material.
Seized material (trees, portions of trees or other forest products
cut in trespass from National Forest System lands) may be sold to the
highest bidder under specific authorization from the Regional Forester.
If advertisement is impractical, sales of material with an appraised
value of less than $10,000 will be made on informal bids.
Sec. 223.4 Exchange of trees or portions of trees.
Trees or portions of trees may be exchanged for land under laws
authorizing the exchange of National Forest timber. Cutting of exchange
timber must comply with the purposes cited in Sec. 223.1.
(42 Stat. 465, 16 U.S.C 485; 43 Stat. 1215, 16 U.S.C. 516)
Sec. 223.5 Scope of free use granted to individuals.
(a) Free use may be granted to individuals for firewood for personal
use, except that such use may be limited to bona fide settlers, miners,
residents and prospectors living within or immediately adjacent to the
National Forest when the available supply is insufficient to meet the
total demand. Free use may be granted to such bona fide settlers,
miners, residents and prospectors for minerals, for fencing, building,
mining, prospecting and domestic purposes.
(Sec. 1, 30 Stat. 35, as amended; 16 U.S.C. 477, 551)
(b) Free use will be granted individuals primarily to aid in the
protection and silvicultural improvement of the forests. Except in
unusual cases, the material will be restricted to dead, insect-infested,
or diseased timber, logging debris, and thinnings. Other material may be
granted in unusual cases where its refusal would cause unwarranted
hardship. Where limited supply or other conditions justify such action,
the free use of green material may be refused.
Sec. 223.6 Cutting and removal of timber in free-use areas.
Supervisors may designate portions or all of a National Forest as
free-use areas where such action is compatible with land management
plans and shall give public notice of their action. Within such free-use
areas, any dead timber or any green timber previously marked or
designated by forest officers may be cut and removed for personal use
for domestic purposes. Cutting and removal of timber in free-use areas
shall be in accordance with such rules as may be prescribed by the
district ranger to prevent fires, minimize damage to uncut trees and
other resources, and to avoid confusion among users.
[42 FR 28252, June 2, 1977, as amended at 44 FR 73029, Dec. 17, 1979.
Redesignated at 49 FR 2760, Jan. 23, 1984]
Sec. 223.7 Permission for free use of timber outside free-use areas.
Similar material may be cut outside of a free-use area without
permit in cases of emergency, but the person taking such material shall
promptly notify the district ranger. Small quantities of material needed
by transients while in the forest may also be taken without permit;
subject to such rules as may be prescribed pursuant to Sec. 261.70. In
all other cases permits will be required for green material.
Sec. 223.8 Delegations of authority to approve free use by individuals.
(a) Forest officers whom the supervisor may designate are authorized
to grant free use of timber to individuals up to $200 in value in any
one fiscal year. Supervisors may grant permits for material not
exceeding $5,000 in value. Regional Foresters may approve permits for
larger amounts, and in times of emergency may delegate authority to
supervisors for not over
[[Page 110]]
$10,000 in value. Prior review by the Chief of the Forest Service will
be given if the amount involved exceeds $10,000 in value.
(b) Regional Foresters may authorize supervisors to permit the
removal of specific classes of material without scaling or measurement.
[42 FR 28252, June 2, 1977. Redesignated at 49 FR 2760-2761, Jan. 23,
1984, as amended at 71 FR 525, Jan. 4, 2006]
Sec. 223.9 Free use to owners of certain mining claims.
Free use will be granted to an owner of a mining claim located
subsequent to July 23, 1955, or of a mining claim which is otherwise
subject to Section 4 of the Act of July 23, 1955 (69 Stat. 367), if at
any time said claim owner requires more timber for his mining
operations, in connection with that claim, than is available on that
claim because of Forest Service timber disposal therefrom subsequent to
location of that claim. He will be granted, free of charge, timber from
the nearest National Forest land which is ready for harvesting under the
applicable management plan, substantially equivalent in kind and
quantity to that estimated by the Forest Service to have been cut under
Forest Service authorization from the claim subsequent to its location,
Forest officers may be delegated authority to grant amounts of timber
not in excess of those which these officers are authorized to sell in
commercial sales.
(Sec. 4, 69 Stat. 368, 16 U.S.C. 612)
Sec. 223.10 Free use to Alaskan settlers, miners, residents, and prospectors.
Bona fide settlers, miners, residents, and prospectors for minerals
in Alaska may take free of charge green or dried timber from the
National Forests in Alaska for personal use but not for sale. Permits
will be required for green saw timber. Other material may be taken
without permit. The amount of material granted to any one person in 1
year shall not exceed 10,000 board feet of saw timber and 25 cords of
wood, or an equivalent volume in other forms. Persons obtaining
materials shall, on demand, forward to the supervisor a statement of the
quantity taken and the location from which it was removed.
(Sec. 1, 30 Stat. 35, 16 U.S.C. 477)
Sec. 223.11 Free use to other Federal agencies.
(a) National Forest timber will be granted free of charge to other
branches of the Federal Government when authorized by law. Permits may
be approved by forest officers for amounts not greater than they are
otherwise authorized to sell.
(b) Permits for timber issued hereunder shall be in accordance with
the conditions prescribed in Sec. 223.30. The permittee may be required
to report to the supervisor the amount of timber, by species, actually
cut or may be required to furnish scalers for work under the direction
of the forest officers in charge or, if authorized, to provide funds for
the employment by the Forest Service of scalers to scale or measure the
timber cut. The permittee may be required to dispose of the slash as
cutting proceeds, or to employee people to work under the direction of a
forest officer in disposing of the slash, or, if authorized, to provide
funds for the employment of people for slash disposal under the
direction of a forest officer.
(38 Stat. 1100, as amended; 16 U.S.C. 492)
Sec. 223.12 Permission to cut, damage, or destroy trees without
advertisement.
Permission may be granted to cut, damage, or destroy trees, portions
of trees, or other forest products on National Forest System lands
without advertisement when necessary for the occupancy of a right-of-way
or other authorized use of National Forest System land. Payment for
timber of merchantable size and quality will be required at its
appraised value, but at not less than applicable minimum prices
established by Regional Foresters, and payment will be required for
young growth timber below merchantable size at its damage appraisal
value. Payment will not be required:
(a) For timber necessarily killed or cut in connection with land
uses which are of substantial benefit to the National Forests;
[[Page 111]]
(b) For timber necessarily killed or cut and used by the permittee
which would have been granted free under other applicable regulations;
or
(c) For timber which will be cut by the permittee which the Forest
Service retains for sale in log or other product form.
(Sec. 1, 30 Stat. 35, as amended, 16 U.S.C. 551)
Sec. 223.13 Compliance.
Forest officers authorizing free use shall ensure that such use is
in compliance with applicable land management plans and is conducted in
a manner which protects National Forest System resource values.
(92 Stat. 1301, Pub. L. 95-465)
Sec. 223.14 Where timber may be cut.
(a) The cutting of trees, portions of trees or other forest products
may be authorized on any National Forest System lands, except for:
(1) Timber reserved by a grantor of land, during the life of such
reservation.
(2) Timber reserved from cutting under other regulations.
(3) Timber on unpatented mining claims located prior to July 23,
1955, unless the claimant has executed a waiver pursuant to section 6 of
the Act of July 23, 1955 (69 Stat. 367), or unless pursuant to a
proceeding under Section 5 of that Act, the claimant has failed to file
a verified statement or has failed to establish the validity and
effectiveness of his asserted rights.
(4) Timber on lands identified in land management plans as not
suited for timber production, except that salvage sales or sales
necessitated to protect other multiple-use values may be made.
(b) The cutting of timber on mining claims shall be conducted in
such manner as not to endanger or materially interfere with prospecting,
mining or processing operations.
(c) Timber on an unpatented claim to which the United States does
not otherwise have disposal rights may be disposed of with the written
consent of the claimant, or, in emergencies without the consent of the
claimant.
(d) Timber on an unpatented claim may be cut by the claimant only
for the actual development of the claim or for uses consistent with the
purposes for which the claim was entered. Any severance or removal of
timber, other than severance or removal to provide clearance, shall be
in accordance with plan of operations required by Part 252 of this
chapter, and with sound principles of forest management.
(e) With prior approval by the Regional Forester, timber on lands
under option by the United States or on offered lands included in an
approved land exchange agreement may be sold. Before the sale is made, a
cooperative agreement must be made with the owner of the land
authorizing the Forest Service to conduct the sale and providing for
return of stumpage receipts to the owner if title to the land is not
accepted by the United States.
(f) With prior approval by the Regional Forester, cutting of
exchange timber described in Sec. 223.4 may be authorized in advance of
the acceptance of title to the non-Federal land offered in exchange.
Subpart B_Timber Sale Contracts
Contract Conditions and Provisions
Sec. 223.30 Consistency with plans, environmental standards, and other
management requirements.
The approving officer will insure that each timber sale contract,
permit or other authorized form of National Forest timber disposal is
consistent with applicable land and resource management plans and
environmental quality standards and includes, as appropriate,
requirements for:
(a) Fire protection and suppression;
(b) Protection of residual timber;
(c) Regeneration of timber as may be made necessary by harvesting
operations;
(d) Minimizing increases in soil erosion;
(e) Providing favorable conditions of water flow and quality;
(f) Utilization of the timber resource to provide for the optimum
practical use of the wood material as may be obtained with available
technology, considering opportunities to promote more efficient wood
utilization, regional conditions and species characteristics;
[[Page 112]]
(g) Reduction of the likelihood of loss to destructive agencies; and
(h) Minimizing adverse effects on, or providing protection for and
enhancing other National Forest resources, uses and improvements.
Sec. 223.31 Duration of contracts.
Sale contracts shall not exceed 10 years in duration, unless there
is a finding by the Chief, Forest Service, that better utilization of
the various forest resources (consistent with the provisions of the
Multiple-Use Sustained-Yield Act of 1960) will result.
Sec. 223.32 Timber sale operating plan.
Sale contracts with a term of 2 years or more shall provide for the
filing of an operating plan as soon as practicable after execution of
the contract, such plan shall be a part of the contract. The plan of
operation shall be general in nature, outlining the expected timing and
order of sale development, including such major operations as road
construction, felling and removal of timber, distribution of timber, and
contractual requirements for erosion prevention and slash disposal. The
plan of operation and revisions thereto shall be subject to concurrence
by the Forest Service.
Sec. 223.33 Redetermination of stumpage rates and deposits.
Sale contracts exceeding 7 years in duration, and those of shorter
duration to the extent found desirable by the approving officer, will
provide for the redetermination of rates for stumpage and for required
deposits at intervals of not more than 5 years, exclusive of any period
allowed for the construction of improvements.
Sec. 223.34 Advance payment.
Sale contracts shall provide that timber and forest products be paid
for in advance of cutting, unless the contract authorizes the purchaser
to furnish a payment guarantee satisfactory to the Forest Service.
Advance payments found to be in excess of amounts due the United States
shall be refunded to the current holder of the contract or to successors
in interest. (90 Stat. 2959; 16 U.S.C. 472a.)
[43 FR 38008, Aug. 25, 1978. Redesignated at 49 FR 2761, Jan. 23, 1984]
Sec. 223.35 Performance bond.
Timber sale contracts may require the purchaser to furnish a
performance bond for satisfactory compliance with its terms.
Sec. 223.36 Volume determination.
(a) Timber sale contracts may provide for volume determination by
scaling, measuring, weighing, or counting the logs or other products, or
by measuring the trees before cutting. If the contract or permit
provides for the determination of volume by tree measurement and the
timber has been paid for, the marking or otherwise designating of the
tree authorizes cutting and removal. Otherwise no timber cut under any
contract shall be removed from the place designated until it has been
scaled, measured or counted as provided in the timber sale contract,
unless such removal is specifically authorized in the contract.
(b) National Forest timber sold on board foot scale shall be scaled
by the Scribner Decimal C Log Rule, or if the advertisement and contract
or permit so state, by the International \1/4\-inch log rule or by the
International \1/4\-inch Decimal log rule. National Forest timber may
also be sold by the cubic volume rule or by cords, each as used by the
Forest Service.
Sec. 223.37 Revegetation of temporary roads.
Timber sale contracts, permits and other documents authorizing the
cutting or removal of timber or forest products shall require the
purchaser to treat temporary roads constructed or used thereunder so as
to permit the reestablishment by artificial or natural means, or
vegetative cover on the roadway and areas where the vegetative cover was
disturbed by the construction or use of the road, as necessary to
minimize erosion from the disturbed area. Such treatment shall be
designed to reestablish vegetative cover as soon as practicable, but at
least within 10 years after the termination of the contract.
[[Page 113]]
Sec. 223.38 Standards for road design and construction.
Road construction authorized under timber sale contracts, permits
and other documents authorizing the cutting or removal of timber or
forest products shall be designed to standards appropriate for the
intended uses, considering safety, cost of transportation, and impacts
on land and resources. If the sale contract provides for road design
standards in excess of those needed for the harvest and removal of
timber from that sale, including measures to protect adjacent resource
values, provision shall be made in the contract for compensating the
purchaser for the additional costs, unless the purchaser elects
Government construction under section 14(i) of the National Forest
Management Act of 1976.
Sec. 223.39 [Reserved]
Sec. 223.40 Cancellation for environmental protection or inconsistency with
plans.
Timber sale contracts, permits, and other such instruments,
authorizing the harvesting of trees or other forest products, with terms
of longer than 2 years, shall provide for cancellation in order to
prevent serious environmental damage or when they are significantly
inconsistent with land management plans adopted or revised in accordance
with section 6 of the Forest and Rangeland Renewable Resources Planning
Act of 1974, as amended. Such provision shall provide for reasonable
compensation to the purchaser for unrecovered costs incurred under the
contract and for the difference between the current contract value and
the average value of comparable National Forest timber sold during the
preceding 6-month period.
Sec. 223.41 Payment when purchaser elects government road construction.
Each contract having a provision for construction of specified roads
with total estimated construction costs of $50,000 or more shall include
a provision to ensure that if the purchaser elects government road
construction, the purchaser shall pay, in addition to the price paid for
the timber or other forest products, an amount equal to the estimated
cost of the roads.
[71 FR 11510, Mar. 8, 2006]
Sec. 223.42 Transfer of effective purchaser credits.
The Forest Service may permit transfer of unused effective purchaser
credit earned after December 16, 1975, from one timber sale account to
another timber sale account of the same purchaser within the same
National Forest, provided the sale contracts provide procedures for the
use of purchaser credit. Approval for transfer shall not be granted for
amounts needed to satisfy unfulfilled payment obligations or claims for
damages due the United States. Purchaser credit transferred under this
paragraph is subject to such additional restrictions as may be necessary
for its orderly use.
(Pub. L. 94-154, 89 Stat. 823 (16 U.S.C. 535)
[42 FR 63777, Dec. 20, 1977. Redesignated at 49 FR 2761, Jan. 23, 1984]
Sec. 223.43 Limitation on amounts of transferred purchaser credit.
(a) The amount of purchaser credit which may be transferred into a
given sale shall be limited to the difference between remaining current
contract value and the total of:
(1) Remaining base rate value needs,
(2) Salvage sale fund needs plus sale area improvement needs in
excess of base rate value needs, and
(3) Total purchaser credit limit on the given sale.
(b) This calculation shall be made as of the date of sale award for
sales made on or after January 1, 1978. For sales made prior to January
1, 1978, the calculation shall be made as of December 31, 1977, except
that if the amount actually transferred in as of December 31, 1977,
exceeds the calculated limit, the actual transfers as of that date shall
be the established limit. Purchaser credit earned on a sale and
subsequently transferred out may be replaced without regard to the
transfer in limit. Sale area improvement needs shall be based on the
original sale area betterment plan or revisions thereto approved prior
to July 1, 1976. Salvage sale fund
[[Page 114]]
needs shall be based on the original salvage sale fund plan.
(Pub. L. 94-154, 89 Stat. 823 (16 U.S.C. 535)
[42 FR 63777, Dec. 20, 1977. Redesignated at 49 FR 2761, Jan. 23, 1984]
Sec. 223.44 Collection rights on contracts involved in transfer of purchase
credit.
To assure protection of the United States in connection with the
implementation of this regulation, contract provisions shall not prevent
the Forest Service from carrying out collection rights, authorized by
the Federal Claims Collection Act of 1966 (80 Stat. 309), between
contracts involved in the transfer of purchaser credit. Such claims
against the contract receiving the transferred purchaser credit shall be
limited to the amount transferred.
(Pub. L. 94-154, 89 Stat. 823 (16 U.S.C. 535)
[42 FR 63777, Dec. 20, 1977. Redesignated at 49 FR 2761, Jan. 23, 1984]
Sec. 223.45 Definitions applicable to transfer of purchaser credit.
As used in Sec. Sec. 223.42 and 223.43, the term Purchaser includes
any single individual, corporation, company, firm, partnership, joint
venture, or other business entity or the successor in interest of any of
the foregoing business entities having timber sale contracts on the same
National Forest. The term National Forest shall be considered as a unit
of the National Forest System, regardless of how it was established,
which maintains a separate identity with respect to the distribution of
receipts earned thereon to the States and counties. The term Effective
Purchaser Credit means unused purchaser credit which does not exceed
current contract value minus base rate value. The term base rate value
is the sum of the products of base rates and estimated remaining
unscaled (unreported on tree measurement contracts) volumes by species
of timber included in a timber sale contract.
(Pub. L. 94-154, 89 Stat. 823 (16 U.S.C. 535)
[42 FR 63777, Dec. 20, 1977. Redesignated at 49 FR 2761, Jan. 23, 1984]
Sec. 223.46 Adjustment of contract termination date.
Timber sale contracts may provide for adjustment of the termination
date to provide additional time to compensate for delays in road
construction and timber removal due to those causes beyond the
purchaser's control, which may include but are not limited to acts of
God, acts of the public enemy, acts of the Government, labor disputes,
fires, insurrections or floods.
Sec. 223.47 Date of completion of permanent road construction.
(a) The date of completion of permanent road construction
obligations as set forth in the Notice of Sale shall be incorporated
into the timber sale contract.
(b) This date is applicable to construction by both the Forest
Service and the timber purchaser.
(c) The date is not applicable to roads not needed by the purchaser
for timber removal.
(d) The date for completion may be revised, if additional time is
needed, under guidelines provided by the Chief, Forest Service,
including but not limited to (1) default of contractors or (2) design
changes, physical changes, or catastrophic damages which necessitate
modification of specified road construction work.
(e) If Forest Service failure to perform results in delay in road
completion, the termination date shall be adjusted in accordance with
the contract term adjustment provisions of the timber sale contract. If
there is substantial delay in performance by the Forest Service, the
contract shall provide that rates of payment may be redetermined, at the
request of the purchaser, in accordance with guidelines established by
the Chief, Forest Service.
(f) If the purchaser retains responsibility for road construction,
the date of completion for permanent roads may be modified to conform to
the approved plan of operation.
Sec. 223.48 Restrictions on export and substitution of unprocessed timber.
(a) Contracts for the sale of unprocessed timber from National
Forest System lands located west of the 100th meridian in the contiguous
48 States and
[[Page 115]]
Alaska, awarded before August 20, 1990, shall include provisions
implementing the Secretary's timber export and substitution regulations
at subpart D of this part in effect prior to that data. Such contracts
shall also require purchasers to:
(1) Submit annually, until all unprocessed timber is accounted for,
a certified report on the disposition of any unprocessed timber
harvested from the sale including a description of unprocessed timber
which is sold, exchanged or otherwise disposed of to another person and
a description of the relationship with the other person;
(2) Submit annually, until all unprocessed timber from the sale is
accounted for, a certified report on the sale of any unprocessed timber
from private lands in the tributary area which is exported or sold for
export; and
(3) Maintain records of all such transactions involving unprocessed
timber and to make such records available for inspection and
verification by the Forest Service for up to three (3) years after the
sale is terminated.
(b) Contracts for the sale of unprocessed timber from National
Forest System lands located west of the 100th meridian in the contiguous
48 States, awarded on or after August 20, 1990, shall include provisions
implementing the requirements of the Forest Resources Conservation and
Shortage Relief Act of 1990 (16 U.S.C. 620 et seq.).
(c) The reporting and recordkeeping procedures in this section
constitute information collection requirements as defined in 5 CFR part
1320. These requirements have been approved by the Office of Management
and Budget and assigned clearance number 0596-0021.
[56 FR 65842, Dec. 19, 1991]
Sec. 223.49 Downpayments.
(a) For the purposes of this section, the terms listed in this
paragraph shall have the following meaning:
(1) Total bid value is the sum of the products obtained by
multiplying the rate the purchaser bid for each species by the estimated
volume listed in the contract.
(2) Bid premium is the amount in excess of the advertised value that
a purchaser bids for timber offered.
(3) Lump sum timber sales are premeasured sales where the entire
value of the sale is paid in one payment at time of release for cutting.
(4) Affiliate. Concerns or individuals are affiliates if directly or
indirectly, either one controls or has the power to control the other,
or a third party controls or has the power to control both. In
determining whether or not affiliation exists, the Forest Service shall
consider all appropriate factors, including, but not limited to, common
ownership, common management, and contractual relationships.
(b) Timber sale contracts shall include provisions that require
purchasers to make a downpayment in cash at the time a timber sale
contract is executed, except that a downpayment is not required for
stewardship contracts unless the contracting officer determines that a
downpayment is needed to ensure the government's financial security.
(c) The minimum downpayment shall be equivalent to 10 percent of the
total advertised value of each sale, plus 20 percent of the bid premium,
except in those geographic areas where the Chief of the Forest Service
determines that it is necessary to increase the amount of the
downpayment in order to deter speculation. The amount of the downpayment
shall be redetermined when contract rates for timber are redetermined
under the terms of the contract for environmental modification;
catastrophic damage; market change; or an emergency rate
redetermination. For the purpose of recalculating the minimum
downpayment, total advertised value shall be replaced with total
redetermined value.
(d) A purchaser cannot apply the amount deposited as a downpayment
to cover other obligations due on that sale until:
(1) On scaled sales, stumpage value representing 25 percent of the
total bid value of the sale has been charged and paid for, or the
estimated value of unscaled timber is equal to or less than the amount
of the downpayment; or
(2) On tree measurement sales, stumpage value representing 25
percent of the total bid value of the sale is shown on the timber sale
statement of account to have been cut, removed, and
[[Page 116]]
paid for, or the estimated value of timber remaining to be cut, removed
and paid for as shown on the timber sale statement of account is equal
to or less than the amount of the downpayment. On lump sum sales, the
downpayment amount may be applied to payment for release of the single
payment unit.
(e) A purchaser or any affiliate of that purchaser awarded a Forest
Service timber sale contract must meet the additional downpayment
requirements of paragraph (g) of this section under the following
circumstances:
(1) The purchaser or its affiliate after September 29, 1988, has
failed to perform in accordance with the terms of a Forest Service or
Bureau of Land Management timber sale contract and is notified by a
Contracting Officer that a contract has expired uncompleted or is
terminated for cause; and
(2) The estimated value of the unscaled timber on scaled sales, or
the estimated value of the timber outstanding on tree measurement sales,
included in those terminated or expired contracts exceeds $100,000; and
(3) Unpaid damages claimed by the Government remain outstanding
prior to award of the new sale at issue and corrective action has not
been taken to avoid future deficient performance.
(f) A subsequent final determination by the Contracting Officer or
by a court of competent jurisdiction that a contract was improperly
classified under the criteria in paragraph (e) of this section will
result in the refund or credit of any unobligated portion of the amount
of downpayment exceeding that required by paragraphs (c) and (d) of this
section and the limitations of paragraph (h) of this section on
application of downpayment shall no longer apply.
(g) Notwithstanding the provisions of paragraphs (c) and (d) of this
section, a purchaser meeting the criteria of paragraph (e) of this
section must make a minimum downpayment equal to 20 percent of the total
advertised value of that sale, plus 40 percent of the total bid premium.
This higher downpayment requirement applies throughout the National
Forest System, except in those areas where the Chief of the Forest
Service determines, before advertisement of the sale, that another
downpayment rate is necessary to achieve the management objectives of
the National Forest System. The amount of the downpayment shall be
redetermined in accordance with this paragraph when contract rates for
timber are redetermined under the terms of the contract for
environmental modification; catastrophic damage; market change; or an
emergency rate redetermination. For the purpose of redetermining the
downpayment, total advertised value shall be replaced with total
redetermined value.
(h) A purchaser subject to the additional downpayment requirements
of paragraph (g) of this section cannot apply the amount deposited as a
downpayment to other uses until:
(1) On scaled sales, the estimated value of the unscaled timber is
equal to or less than the amount of the downpayment; or
(2) On tree measurement sales, the estimated value remaining to be
cut and removed as shown on the timber sale statement of account is
equal to or less than the amount of the downpayment.
(i) For the purpose of releasing funds deposited as downpayment by a
purchaser subject to paragraph (f) of this section, the Forest Service
shall compute the estimated value of timber as follows:
(1) On scaled sales, the estimated value of the unscaled timber is
the sum of the products obtained by multiplying the current contract
rate for each species by the difference between the advertised volume
and the volume that has been scaled of that species.
(2) On tree measurement sales, the estimated value of the timber
outstanding (i.e., not shown on the timber sale statement of account as
cut and removed) is the sum of the products obtained by multiplying the
current contract rate for each species by the difference between the
advertised volume and the volume that has been shown on the timber sale
statement to have been cut and removed of the species. The current
contract rate for each species is that specified in the Forest Service
timber sale contract.
(j) In order to deter speculation, the Chief of the Forest Service
may increase the period for retention of the
[[Page 117]]
downpayment and/or preclude temporary reduction of the downpayment under
paragraphs (k)(2) and (k)(3) of this section for future contracts
subject to such criteria as the Chief may adopt after giving the public
notice and opportunity to comment.
(k) The Forest Service may temporarily reduce the downpayment when a
purchaser's scheduled operations are delayed, interrupted, or extended
for 30 or more consecutive days for any of the following reasons:
(1) Forest Service requests or orders purchaser to delay or
interrupt operations for reasons other than breach;
(2) A contract term addition pursuant to purchaser shifting
operations to a sale designated by the Forest Service as in urgent need
of harvesting; or
(3) An extension of the contract term authorized upon a
determination of substantial overriding public interest, including a
market-related contract term addition, or an urgent removal contract
term extension under 36 CFR 223.53.
(l) When purchaser is not cutting or removing timber under contract
during a qualifying period of delay, interruption, or extension listed
in paragraph (k) of this section, the downpayment may be reduced to
$1000 or 2 percent of the downpayment amount stated in the contract,
whichever is greater. The purchaser must restore the downpayment to the
full amount stated in the contract within 15 days from receipt of the
bill for collection and written notice from the contracting officer that
the basis for temporarily reducing the downpayment no longer exists.
Purchaser shall not cut or remove timber on a contract where the
downpayment has been temporarily reduced until the downpayment amount
stated in the contract is fully restored.
[74 FR 40743, Aug. 13, 2009]
Sec. 223.50 Periodic payments.
(a) For the purposes of this section, the following terms have the
meaning given:
(1) Total contract value is the product of the estimated volume of
the sale multiplied by the rates bid by the purchaser. Total contract
value excludes required deposits and is determined at bid date.
(2) Current contract value is the sum of the products of the current
contract rates and, in a scaled sale, estimated remaining unscaled
volume or, in a tree measurement sale, the estimated remaining
quantities by species of included timber meeting utilization standards.
(3) Normal operating season is the period so specified in a timber
sale contract.
(4) Periodic payment(s) is/are amount(s) specified in a timber sale
contract that a purchaser must pay by the periodic payment determination
date(s) unless reduced by amounts paid as stumpage for volume removed.
(5) A periodic payment determination date is a date specified in a
timber sale contract upon which the Forest Service will compare the
payments made by the timber sale purchaser for timber charges
(stumpage), exclusive of required deposits, with the periodic payment
amount required as of that date in the contract.
(b) Except for lump sum sales, each timber sale contract of more
than one full normal operating season shall provide for periodic
payments. The number of periodic payments required will be dependent
upon the number of normal operating seasons within the contract, but
shall not exceed two such payments during the course of the contract.
Periodic payments must be made by the periodic payment determination
date, except that the amount of the periodic payment shall be reduced to
the extent that timber has been removed and paid for by the periodic
payment determination date. Should the payment fall due on a date other
than normal billing dates, the contract shall provide that the payment
date will be extended to coincide with the next timber sale statement of
account billing date.
(1) At a minimum, each such contract shall require an initial
periodic payment at the midpoint between the specified road completion
date and the termination date. If there is no road construction
requirement, payment shall be due at the midpoint between award date and
the termination date.
(2) Contracts exceeding 2 full operating seasons shall require an
additional periodic payment to be due no
[[Page 118]]
later than the midpoint of the last normal operating season or 12 months
from the initial periodic payment whichever date is first.
(3) Notwithstanding this paragraph (b), periodic payments are not
required for stewardship contracts unless the contracting officer
determines that periodic payments are needed to ensure the Government's
financial security.
(c) Each timber sale contract shall require the initial periodic
payment to equal 35 percent of the total contract value or 50 percent of
the bid premium, whichever is greater. The amount of this periodic
payment will be reduced if the payment would result in the purchaser's
credit balance for timber charges exceeding the current contract value.
(d) Where an additional periodic payment is required by the timber
sale contract, this payment will equal 75 percent of the total contract
value. The amount of this periodic payment will be reduced if the
payment would result in the purchaser's credit balance for timber
charges exceeding the current contract value.
(e) Dates for determining future periodic payments shall be adjusted
as follows:
(1) When contract term adjustments are granted under Sec. 223.46,
(2) When market-related contract term additions are granted under
Sec. 223.52,
(3) When urgent removal extensions are granted under Sec. 223.53,
or
(4) When extensions in the substantial overriding public interest
are granted under Sec. 223.115(b). Periodic payment determination dates
shall not be adjusted when a contract term extension is granted under
the general authority of Sec. 223.115(a).
(f) The amount of any periodic payment(s) not yet reached shall be
revised when rates are redetermined under the contract. The revised
periodic payment amounts shall be based on a recalculated total contract
value using the same procedures described in (c) and (d) of this
section. The recalculated total contract value is the current contract
value following the rate redetermination plus:
(1) The total value of timber scaled prior to establishing
redetermined rates in a scaled sale; or
(2) The total value of timber shown on the timber sale statement of
account as having been cut, removed and paid for.
[56 FR 36104, July 31, 1991, as amended at 56 FR 55822, Oct. 30, 1991;
67 FR 70169, Nov. 21, 2002; 74 FR 40744, Aug. 13, 2009]
Sec. 223.51 Bid monitoring.
Each Regional Forester shall monitor bidding patterns on timber
sales to determine if speculative bidding is occurring or if Purchasers
are bidding in such a way that they would be unable to perform their
obligations under the timber sale contract. A Regional Forester shall
propose to the Chief changes in service wide timber sale procedures, as
they appear necessary, to discourage speculative bidding.
[50 FR 41500, Oct. 11, 1985]
Sec. 223.52 Market-related contract term additions.
(a) Contract provision. (1) Except as provided in paragraph (a)(3)
of this section, each timber sale contract exceeding 1 year in length
shall contain a provision for the addition of time to the contract term,
under the following conditions:
(i) The Chief of the Forest Service has determined that adverse wood
products market conditions have resulted in a drastic reduction in wood
product prices applicable to the sale; and
(ii) The purchaser makes a written request for additional time to
perform the contract.
(2) The contract term addition provision of the contract must
specify the index to be applied to each sale. The Forest Supervisor
shall determine and select from paragraph (b) of this section, the index
to be used for each sale based on the species and product
characteristics, by volume, being harvested on the sale. The index
specified shall represent more than one-half of the advertised volume.
If none of the indices in paragraph (b) of this section represent more
than one-half of the advertised volume, the index specified shall
[[Page 119]]
represent the species product combination representing the highest
percentage of volume for which there is an index. When the Forest
Supervisor determines that the species and potential product
characteristics are such that more than one index could be used, the
prospectus will state that the Contracting Officer may, upon the
purchaser's written request, select an alternative index from paragraph
(b) of this section, and may modify the contract by mutual agreement, at
time of contract execution, to include an alternative index that the
Contracting Officer has determined represents the highest percentage of
products the purchaser intends to produce or have produced from the
sale. Purchasers seeking a change of index at time of award must
substantiate the need for an alternative index by providing the
Contracting Officer with a written request that includes a list of
products by volume the purchaser intends to produce or expects will be
produced from the timber on that sale. In the event a mutual agreement
to modify a contract to include an alternative index is not reached at
time of contract execution, the index specified in the sample contract
shall apply.
(3) A market-related contract term addition provision shall not be
included in contracts where the primary management objective requires
prompt removal of the timber, such as, timber is subject to rapid
deterioration, timber is in a wildland-urban interface area, or hazard
trees adjacent to developed sites.
(b) Determination of drastic wood product price reductions. (1) The
Forest Service shall monitor and use Producer Price Indices, as prepared
by the Department of Labor, Bureau of Labor Statistics (BLS), adjusted
to a constant dollar base, to determine if market-related contract term
additions are warranted.
(i) The Forest Service shall monitor and use only the following
indices:
------------------------------------------------------------------------
BLS producer price index Index series Index code
------------------------------------------------------------------------
Hardwood Lumber..................... Commodity............ 0812
Softwood Lumber..................... Commodity............ 0811
Wood Chips.......................... Industry............. 3211135
------------------------------------------------------------------------
(ii) Preliminary index values will be revised when final index
values become available, however, determination of a qualifying quarter
will not be revised when final index values become available.
(2) For PPI index codes 0811 and 0812, the Chief of the Forest
Service shall determine that a drastic reduction in wood prices has
occurred when, for any 2 or more consecutive qualifying quarters, the
applicable adjusted price index is less than 88.5 percent of the average
of such index for the 4 highest of the 8 calendar quarters immediately
prior to the qualifying quarter. A qualifying quarter is a quarter,
following the contract award date, where the applicable adjusted index
is more than 11.5 percent below the average of such index for the 4
highest of the previous 8 calendar quarters. For PPI index code 3211135,
the Chief of the Forest Service shall determine that a drastic reduction
in wood prices has occurred when, for any 2 or more consecutive
qualifying quarters, the adjusted price index is less than 85 percent of
the average of such index for the 4 highest of the 8 calendar quarters
immediately prior to the qualifying quarter. A qualifying quarter is a
quarter, following the contract award date, where the adjusted index is
more than 15 percent below the average of such index for the 4 highest
of the previous eight calendar quarters. Qualifying quarter
determinations will be made using the Producer Price Indices for the
months of March, June, September, and December.
(3) A determination, made pursuant to paragraph (b)(2) of this
section, that a drastic reduction in wood product prices has occurred,
shall constitute a finding that the substantial overriding public
interest justifies the contract term addition.
(c) Granting market-related contract term additions. When the Chief
of the Forest Service determines, pursuant to this section, that a
drastic reduction in wood product prices has occurred, the Forest
Service is to notify affected timber sale purchasers. For any contract
which has been awarded and has not been terminated, the Forest Service,
upon a purchaser's written request, will add 1 year to the contract's
terms,
[[Page 120]]
except as provided in paragraphs (c)(1) through (4) of this section.
This 1-year addition includes time outside of the normal operating
season.
(1) Additional contract time may not be granted for those portions
of the contract:
(i) With a required completion date;
(ii) Where the Forest Service determines that the timber is in need
of urgent removal;
(iii) Where timber deterioration or resource damage may result from
delay; or
(iv) Where included timber is designated by diameter and delay may
change the treatment as a result of trees growing into or out of the
specified diameter range(s).
(2) For each additional consecutive quarter in which a contract
qualifies for market-related contract term addition, the Forest Service
will, upon the purchaser's written request, add an additional 3 months
during the normal operating season to the contract, except that no
single 3-month addition shall extend the term of a contract by more than
1 year.
(3) No more than 3 years shall be added to a contract's term by
market-related contract term addition unless the following conditions
are met:
(i) The sale was awarded after December 31, 2006;
(ii) A drastic reduction in wood product prices occurred in at least
ten of twelve consecutive quarters during the contract term, but not
including the quarter in which the contract was awarded; and
(4) For each qualifying quarter meeting the criteria in paragraph
(c)(3)(ii) of this section, the Forest Service will, upon the
purchaser's written request, add an additional 3 months during the
normal operating season to the contract, except no single 3-month
addition shall extend the term of a contract by more than 1 year.
(5) In no event shall a revised contract term exceed 10 years as a
result of market-related contract term addition.
(d) Recalculation of periodic payments. Where a contract is
lengthened as a result of market conditions, any subsequent periodic
payment dates shall be delayed 1 month for each month added to the
contract's term.
[63 FR 24114, May 1, 1998, as amended at 70 FR 37269, June 29, 2005; 71
FR 3411, Jan. 23, 2006; 73 FR 65551, Nov. 4, 2008]
Sec. 223.53 Urgent removal contract extensions.
(a) Finding. There is substantial, overriding public interest in
extending National Forest System timber sale contracts for undamaged
(green) timber not requiring expeditious removal in order to facilitate
the rapid harvest of catastrophically damaged timber requiring
expeditious removal on private or other non-National Forest System
lands. Such an extension may be granted when a specific catastrophic
event beyond the control of the landowner occurs on non-National Forest
System lands that poses a threat to general forest health, public
safety, and property. Catastrophic events include, but are not limited
to, severe wildfire, wind, floods, insects and disease infestation, and
drought.
(b) Regional Forester determination. If the Regional Forester
determines that adequate cause for urgent removal extensions exists,
Contracting Officers may extend National Forest System timber sale
contracts, up to a maximum of 1 year, for the estimated amount of time
required to harvest and process the damaged timber on non-National
Forest System lands. Contracting Officers may grant urgent removal
extensions only when the Regional Forester verifies in writing that:
(1) A specific catastrophe occurred for which urgent removal
extensions should be granted;
(2) The manufacturing facilities or logging equipment capacity
available to purchasers are insufficient to provide for both the rapid
harvest of damaged non-National Forest System timber in need of
expeditious removal and the continued harvest of undamaged (green)
timber under contract with the Forest Service; and
(3) Failure to harvest the damaged non-National Forest System timber
promptly could result in the following:
(i) Pose a threat to public safety,
(ii) Create a threat of an insect or disease epidemic to National
Forest System or other lands or resources, or
[[Page 121]]
(iii) Significant private or other public resource loss.
(c) Purchaser request. To obtain an urgent removal extension on a
National Forest System timber sale contract, a purchaser must make a
written request to the Contracting Officer, which includes the
following:
(1) An explanation of why the harvest of undamaged (green) National
Forest System timber within the term of the existing National Forest
System contract(s) will prevent or otherwise impede the removal of
damaged non-National Forest System timber in need of expeditious
removal; and
(2) Documentation that the manufacturing facilities or logging
equipment capacity available to a purchaser would be insufficient to
provide for both the rapid salvage of damaged non-National Forest System
timber in need of expeditious removal and continued harvest of undamaged
(green) National Forest System timber under contract with the Forest
Service.
(d) Contracting Officer determination. To grant an urgent removal
extension, the timber sale Contracting Officer must verify the
following:
(1) That it is likely that the undamaged (green) timber from
National Forest System land would be delivered to the same manufacturing
facilities as are needed to process the damaged non-National Forest
System timber or the National Forest System timber sale contract would
require the use of the same logging equipment as is needed to remove the
damaged non-National Forest System timber from the area affected by the
catastrophe;
(2) That extension of the National Forest System contract will not
be injurious to the United States and will protect, to the extent
possible, the health of the National Forest System lands, including:
(i) That urgent removal extension does not adversely affect other
resource management objectives to be implemented by the National Forest
System timber sale being extended; and
(ii) That the National Forest System timber sale contract to be
extended is not a sale containing damaged, dead, or dying timber subject
to rapid deterioration.
(3) That the purchaser has not been granted a previous urgent
removal extension on the same National Forest System timber sale
contract based on the current catastrophic event. Subsequent urgent
removal extensions may be granted if there are subsequent Regional
Forester determinations on other catastrophic events.
(4) That the revised National Forest System timber sale contract
term will not exceed 10 years from the date the National Forest System
contract was awarded; and
(5) That the purchaser is not in breach of the National Forest
System contract, and all work items, payments, and deposits are current.
(e) Execution of contract extension. An urgent removal extension of
a National Forest System timber sale contract is executed through a
mutual agreement contract modification pursuant to Sec. 223.112, which
must include specific contract provisions. An agreement to modify a
contract must identify the specific provision(s) of the contract being
modified and must include the requirement that purchasers make cash
payment to cover the costs of remarking timber on the sale area or
reestablishing cutting unit boundaries if the Contracting Officer
determines such work is necessary.
(f) Information collection. The information required of a purchaser
to request an extension of an National Forest System timber sale
contract, as outlined in paragraph (c) of this section, to facilitate
expeditious removal of timber from non-National Forest System lands
constitutes an information collection requirement as defined in 5 CFR
Part 1320 and has been assigned Office of Management and Budget control
number 0596-0167.
[67 FR 70169, Nov. 21, 2002, as amended at 69 FR 33, Jan. 2, 2004]
Appraisal and Pricing
Sec. 223.60 Determining fair market value.
The objective of Forest Service timber appraisals is to determine
fair market value. Fair market value is estimated by such methods as are
authorized by the Chief, Forest Service, through issuance of agency
directives
[[Page 122]]
(36 CFR 200.4). Valid methods to determine fair market value include,
but are not limited to, transaction evidence appraisals, analytical
appraisals, comparison appraisals, and independent estimates based on
average investments. Pertinent factors affecting market value also
considered include, but are not limited to, prices paid and valuations
established for comparable timber, selling value of products produced,
estimated operating costs, operating difficulties, and quality of
timber. Considerations and valuations may recognize and adjust for
factors which are not normal market influences.
[61 FR 5685, Feb. 14, 1996]
Sec. 223.61 Establishing minimum stumpage rates.
The Chief, Forest Service, shall establish minimum stumpage rates,
i.e., ``base rates,'' for species and products on individual National
Forests, or groups of National Forests. Timber shall be sold for
appraised value or minimum stumpage rates, whichever is higher. No
timber may be sold or cut under timber sale contracts for less than
minimum stumpage rates except to provide for the removal of insect-
infested, diseased, dead or distressed timber or in accordance with
contract provisions specifically providing for catastrophically-affected
timber and incidental amounts of material not meeting utilization
standards of the timber sale contract. For any timber sale offering
where deposits are to be required for reforestation under the Act of
June 9, 1930, as amended (46 Stat. 527; 16 U.S.C. 576-576b) which exceed
the value of the established minimum stumpage rates, the minimum rates
may be increased by the approving officer as necessary to the amount of
such required reforestation deposits and a minimum deposit to the
Treasury. Minimum rates in timber sale contracts will not be set higher
than established minimum rates for purposes other than assuring adequate
funds for reforestation.
Sec. 223.62 Timber purchaser road construction credit.
Appraisal may also establish stumpage value as if unconstructed
roads or other developments needed by the purchaser for removal of the
timber were in place. When timber is appraised and sold on such basis,
purchaser credit for road construction, not to exceed the estimated
construction cost of such roads or other developments specified in the
timber sale contract, shall, when such construction is accomplished by
purchaser, be deducted from stumpage payments made by or due from
purchaser under the timber sale contract for other than minimum stumpage
rates and required deposits for slash disposal and road maintenance. As
used in this section estimated construction costs means the total cost
of constructing all permanent roads specified in the timber sale
contract, estimated as if construction is to be accomplished by an
independent contractor who is not the timber purchaser. In determining
the purchaser credit amount applicable against timber payments, the
estimated construction cost may be reduced for the effect of differences
in applicable wage rates.
Sec. 223.63 Advertised rates.
Timber shall be advertised for sale at its appraised value. The road
construction cost used to develop appraised value means the total
estimated cost of constructing all permanent roads specified in the
timber sale contract, estimated as if construction is to be accomplished
by the timber purchaser. The advertised rates shall be not less than
minimum stumpage rates, except that sales of insect-infested, diseased,
dead, or distressed timber may be sold at less than minimum rates when
harvest of such timber is necessary to protect or improve the forest or
prevent waste of usable wood fiber.
[71 FR 11510, Mar. 8, 2006]
Sec. 223.64 Appraisal on a lump-sum value or rate per unit of measure basis.
Timber may be appraised and sold at a lump-sum value or at a rate
per unit of measure which rate may be adjusted during the period of the
contract and as therein specified in accordance with formulas or other
equivalent specifications for the following reasons:
(a) Variations in lumber or other product value indices between the
price index base specified in the contract and
[[Page 123]]
the price index actually experienced during the cutting of the timber;
(b) Variance between advertised rates and rates redetermined by
appraisal at dates specified in the contract;
(c) Variance between redetermined rates and rates appropriate for
changes in costs or selling values subsequent to the rate
redetermination which reduce conversion value to less than such
redetermined rates; and
(d) Substantial loss of value due to physical deterioration of green
timber or other physical damage to the sale area or access to the
timber.
Sec. 223.65 Appraisal of timber for land exchange; right-of-way, or other
authorized use.
The value of timber in land exchange or the value of timber required
to be cut for occupancy of a right-of-way or other authorized use of
National Forest System land for which payment will be made is to be
determined by the appraisal methods in Sec. 223.60 of this part.
[61 FR 48625, Sept. 16, 1996]
Sec. 223.66 [Reserved]
Advertisement and Bids
Sec. 223.80 When advertisement is required.
Except as otherwise provided in this part each sale in which the
appraised value of the timber or other forest products exceeds $10,000
will be made only after advertisement for a period of 30 days or, if in
the opinion of the officer authorizing the sale, the quantity, value or
other conditions justify, a longer period; and any sale of smaller
appraised value will be advertised or informal bids solicited from
potential purchasers if, in the judgment of the officer authorizing the
sale, such action is deemed advisable.
Sec. 223.81 Shorter advertising periods in emergencies.
In emergency situations where prompt removal of timber included in a
sale is essential to avoid deterioration or to minimize the likelihood
of the spread of insects, the approving officer may authorize shortening
the formal advertising period to not less than 7 days. In other
emergency situations, or for timber sold under 36 CFR 223.2 the Regional
Forester or Chief may authorize shortening the formal advertising period
to not less than 7 days.
[44 FR 73029, Dec. 17, 1979. Redesignated at 49 FR 2761, Jan. 23, 1984]
Sec. 223.82 Contents of advertisement.
(a) A timber sale advertisement shall include the following
information:
(1) The location and estimated quantities of timber or other forest
products offered for sale.
(2) The time and place at which sealed bids will be opened in public
or at which sealed bids will be opened in public followed by an oral
auction.
(3) A provision asserting the agency's right to reject any and all
bids.
(4) The place where complete information on the offering may be
obtained.
(5) Notice that a prospectus is available to the public and to
interested potential bidders.
(b) For each timber sale which includes specified road construction
with total estimated construction costs of $50,000 or more, the
advertisement shall also include:
(1) The total estimated construction cost of the permanent roads.
(2) A statement extending to small business concerns qualified for
preferential bidding on timber sales, under the Small Business Act, as
amended, and the regulations issued thereunder, the option to elect,
when submitting a bid, to have all permanent roads constructed by the
Forest Service.
(3) Notice that the prospectus referred to in paragraph (a)(5) of
this section contains additional information concerning the options to
have all permanent roads constructed by the Forest Service.
(c) When timber or other forest products are offered for
preferential bidding in accordance with the Small Business Act, as
amended, the advertisement shall state that the offering is set-aside
for competitive bidding by small business concerns.
[50 FR 32696, Aug. 14, 1985, as amended at 71 FR 523, Jan. 4, 2006; 71
FR 11510, Mar. 8, 2006]
[[Page 124]]
Sec. 223.83 Contents of prospectus.
(a) A timber sale prospectus shall specify, as a minimum:
(1) The minimum acceptable stumpage or other unit prices and the
amount or rate of any additional required deposits.
(2) The amount of bid guarantee which must accompany each bid.
(3) The amount of cash deposit or down payment to be made promptly
by the successful bidder.
(4) The location and area of the sale, including harvest acreage.
(5) The estimated volumes, quality, size or age class of timber.
(6) A description of special logging requirements for the sale.
(7) The status of marking at time of advertisement.
(8) The method of bidding which will be used.
(9) The contract form to be used.
(10) The estimated deposits for reforestation and stand improvement
work.
(11) The contract termination date and normal operating period.
(12) The date and amount of periodic payments which are to be made.
(13) The discount of payment rates for early harvest, if
appropriate.
(14) The amount of performance bond required.
(15) The road standards for specified roads to be constructed.
(16) The estimated road construction cost and the estimated public
works construction cost.
(17) For deficit sales:
(i) An estimate of the difference between fair market value and
advertised value, that is, the amount by which the advertised value
exceeds the appraised value.
(ii) The amount of Forest Service funds or materials to be used to
offset the deficit.
(18) Status of financial assistance available to small business
purchasers.
(19) Notification of preferential award to small business firms and
certification requirements for set-aside sales.
(20) Notification of log export and substitution restrictions.
(21) Notification of Equal Employment Opportunity compliance review
requirements.
(22) General or special information concerning the sale which are
deemed appropriate to furnish sufficient information to prospective
purchasers to warrant further investigation.
(b) For each advertisement which extends to small concerns the
option to have all permanent roads constructed by the Forest Service,
the prospectus shall also include:
(1) The road standards applicable to construction of permanent roads
or a reference to the source of such information.
(2) The date of final completion for all permanent roads.
(3) A statement explaining how the Forest Service intends to perform
road construction by force account or contract, if the high bidder
elects Forest Service construction.
(4) The maximum period for which timber sale contract award will be
delayed while the Forest Service seeks a satisfactory construction bid.
The period stated shall not exceed 120 days unless the Regional Forester
approves a longer period.
[50 FR 32696, Aug. 14, 1985, as amended at 71 FR 523, Jan. 4, 2006; 71
FR 11510, Mar. 8, 2006]
Sec. 223.84 Small business bid form provisions on sales with specified road
construction.
For each sale described in Sec. 223.82(b), the bid form must
include provision for a small business concern:
(a) To elect road construction by the Forest Service and where such
election is made;
(b) To certify as to small business status, and
(c) To indicate knowledge--
(1) Of the road construction completion date,
(2) That the Forest Service expects to contract for road
construction with a third party,
(3) That the timber sale contract will not be awarded unless a
satisfactory road construction bid is received or, if the Forest Service
fails to receive such a bid within a maximum period stated in the
advertisement, the bidder agrees to perform road construction,
(4) That the Forest Service may extend the maximum award delay time
by the amount of time needed to confirm the bidder's size status or by
any
[[Page 125]]
time in excess of 40 days from timber sale bid opening needed to begin
solicitation of construction bids, and
(5) That if the Forest Service extends the maximum award delay
period because solicitation of the road contract is delayed, the bidder
may withdraw his bid without penalty.
[42 FR 28252, June 2, 1977. Redesignated at 49 FR 2761, Jan. 23, 1984.
Redesignated and amended at 50 FR 32696, Aug. 14, 1985]
Sec. 223.85 Noncompetitive sale of timber.
(a) Forest officers may sell, within their authorization, without
further advertisement, at not less than appraised value, any timber
previously advertised for competitive bids but not sold because of lack
of bids and any timber on uncut areas included in a contract which has
been terminated by abandonment, cancellation, contract period
expiration, or otherwise if such timber would have been cut under the
contract. This authority shall not be utilized if there is evidence of
competitive interest in the product.
(b) Extraordinary conditions, as provided for in 16 U.S.C. 472a(d),
are defined to include the potential harm to natural resources,
including fish and wildlife, and related circumstances arising as a
result of the award or release of timber sale contracts pursuant to
section 2001(k) of Public Law 104-19 (109 Stat. 246). Notwithstanding
the provisions of paragraph (a) of this section or any other regulation
in this part, for timber sale contracts that have been or will be
awarded or released pursuant to section 2001(k) of Public Law 104-19
(109 Stat. 246), the Secretary of Agriculture may allow forest officers
to, without advertisement, modify those timber sale contracts by
substituting timber from outside the sale area specified in the contract
for timber within the timber sale contract area.
(c) Extraordinary conditions, as provided for in 16 U.S.C. 472a(d),
includes those conditions under which contracts for the sale or exchange
of timber or other forest products must be suspended, modified, or
terminated under the terms of such contracts to prevent environmental
degradation or resource damage, or as the result of administrative
appeals, litigation, or court orders. Notwithstanding the provisions of
paragraph (a) of this section or any other regulation in this part, when
such extraordinary conditions exist on sales not addressed in paragraph
(b) of this section, the Secretary of Agriculture may allow forest
officers to, without advertisement, modify those contracts by
substituting timber or other forest products from outside the contract
area specified in the contract for timber or forest products within the
area specified in the contract. When such extraordinary conditions
exist, the Forest Service and the purchaser shall make good faith
efforts to identify replacement timber or forest products of similar
volume, quality, value, access, and topography. When replacement timber
or forest products agreeable to both parties is identified, the contract
will be modified to reflect the changes associated with the
substitution, including a rate redetermination. Concurrently, both
parties will sign an agreement waiving any future claims for damages
associated with the deleted timber or forest products, except those
specifically provided for under the contract up to the time of the
modification. If the Forest Service and the purchaser cannot reach
agreement on satisfactory replacement timber or forest products, or the
proper value of such material, either party may opt to end the search.
Replacement timber or forest products must come from the same National
Forest as the original contract. The term National Forest in this
paragraph refers to an administrative unit headed by a single Forest
Supervisor. Only timber or forest products for which a decision
authorizing its harvest has been made and for which any applicable
appeals or objection process has been completed may be considered for
replacement pursuant to this paragraph. The value of replacement timber
or forest products may not exceed the value of the material it is
replacing by more than $10,000, as determined by standard Forest Service
appraisal methods.
[61 FR 14621, Apr. 3, 1996, as amended at 71 FR 34826, June 16, 2006; 72
FR 59190, Oct. 19, 2007]
[[Page 126]]
Sec. 223.86 Bid restriction on resale of noncompleted contract.
(a) Except as otherwise provided in this section, no bid will be
considered in the resale of timber remaining from any uncompleted timber
sale contract from any person, or from an affiliate of such person, who
failed to complete the original contract:
(1) Because of termination for purchaser's branch or; or
(2) Through failure to cut designated timber on portions of the sale
area by the termination date, unless acceptance of such bid is
determined to be in the public interest.
(b) The no bid restriction in the preceding paragraph:
(1) Shall only apply when 50 percent or more of the timber included
in the resale is timber remaining from the uncompleted contract and the
resale is advertised within 3 years of the date the uncompleted contract
terminated;
(2) When imposed because of failure to cut designated timber on
portions of the sale area by the termination date, shall not apply to
resales of timber for which the original contract was awarded prior to
April 30, 1972, unless the contract is extended thereafter; and
(3) Shall not apply to:
(i) Resales of timber within a sustained yield unit unless
competition may be invited under the policy statement for the unit,
(ii) Resales of timber on contract which would ordinarily have been
awarded prior to April 30, 1972, if award was delayed through no fault
of the purchaser, and
(iii) Resales of timber on contracts not extended because of
environmental considerations.
(c) Where a third-party agreement has been approved in accordance
with Sec. 223.114; the original purchaser shall not be affected by this
section unless such purchaser is an affiliate of the third party.
(d) As used in this section, person includes any individual,
corporation, company, association, firm, partnership, society, joint
stock company, or other business entity or the successor in interest of
any of the foregoing business entities. A person is an affiliate when
either directly or indirectly:
(1) A person controls or has the power to control the other, or
(2) A third person or persons control or has the power to control
both.
[42 FR 28252, June 2, 1977. Redesignated at 49 FR 2761, Jan. 23, 1984
and 50 FR 32696, Aug. 14, 1985]
Sec. 223.87 Requirements of bidders concerning exports.
In order to have a bid considered responsive for a sale of timber
from National Forest System lands, each bidder must certify that the
bidder is eligible to purchase timber from National Forest System lands
consistent with the Forest Resources Conservation and Shortage Relief
Act of 1990 (16 U.S.C. 620, et seq.) and its implementing regulations at
36 CFR part 223, and that the bidder's timber purchase and export
activities are in compliance with the timber export and substitution
provisions of the Forest Resources Conservation and Shortage Relief Act
of 1990 (16 U.S.C. 620, et seq.) and its implementing regulations at 36
CFR part 223.
[60 FR 46920, Sept. 8, 1995]
Sec. 223.88 Bidding methods.
(a) Competitive sales of National Forest timber shall be offered
through either sealed or oral auction bidding. The method chosen for
each sale will:
(1) Insure open and fair competition,
(2) Insure that the Federal Government receives not less than fair
market value for the public resource,
(3) Consider the economic stability of communities whose economies
are dependent upon National Forest timber, and
(4) Be consistent with the objectives of the National Forest
Management Act of 1976, as amended, and other Federal Statutes.
(b) As a prerequisite to participation in an oral auction, bidders
shall submit a written sealed bid at least equal to the minimum
acceptable bid prices specified in the prospectus. No price subsequently
bid at oral auction shall be accepted if it is less than the written
sealed bid.
(c) The Chief, Forest Service, shall specify the use of sealed bids
or a mix of bidding methods in areas where he has reasonable belief that
collusive
[[Page 127]]
bidding may be occurring or where he determines that less than normal
competitive bidding is occurring.
(d) Sealed bids shall be used for sales within Federal Sustained
Yield Units, except where the policy statement for the Unit restricts
purchasers of timber within the Unit from buying National Forest timber
outside the Unit and the Chief determines that oral bidding will protect
individual communities within the Unit.
(e) The Chief, Forest Service, may authorize departures from the
requirements of paragraphs (c) and (d) of this section when he
determines that departures are necessary to protect the public interest.
(f) The Chief, Forest Service, may authorize the testing and
evaluation of alternative bidding methods for National Forest timber.
[43 FR 21882, May 22, 1978. Redesignated at 49 FR 2761, Jan. 23, 1984.
Further redesignated and amended at 50 FR 32696, Aug. 14, 1985]
Sec. 223.89 Relation to other bidders.
Any bidder or applicant for a sale may be required to furnish a
statement of his relation to other bidders or operators, including, if
desired by the supervisor or Regional Forester, a certified statement of
stockholders or members of the firm, and the holders of bonds, notes or
other evidences of indebtedness, so far as known, so that the statement
will show the extent of the interest of each in the bidder or applicant.
[44 FR 73029, Dec. 17, 1979. Redesignated at 49 FR 2761, Jan. 23, 1984
and 50 FR 32696, Aug. 14, 1985]
Award of Contracts
Sec. 223.100 Award to highest bidder.
The sale of advertised timber shall be awarded to the responsible
bidder submitting the highest bid that conforms to the conditions of the
sale as stated in the prospectus unless:
(a) Determination is made to reject all bids.
(b) Two or more bidders, all of whom meet the requirements, submit
equal bids which are the highest bids, in which case award may be by the
drawing of lots. Equal bids from parties having direct or indirect
common control or association in logging, processing or marketing may be
consolidated to the extent deemed necessary by the awarding officer in
order to give to any others who have bid the same amount an equitable
opportunity in the drawing of lots.
(c) The highest bidder is notoriously or habitually careless with
fire.
(d) Monopoly, injurious to the public welfare, would result from the
control of large amounts of public or of public and private timber.
(e) The high bidder has elected Forest Service road construction in
response to an advertisement extending such an option, the Forest
Service cannot perform the construction and in response to solicitation
has not received a satisfactory bid for such construction within the
period stated in the prospectus and the high timber sale bidder is
unwilling to perform the construction.
[44 FR 73029, Dec. 17, 1979. Redesignated at 49 FR 2761, Jan. 23, 1984,
and amended at 50 FR 32696, Aug. 14, 1985; 53 FR 33132, Aug. 30, 1988]
Sec. 223.101 Determination of purchaser responsibility.
(a) A Contracting Officer shall not award a timber sale contract
unless that officer makes an affirmative determination of purchaser
responsibility. In the absence of information clearly indicating that
the prospective purchaser is responsible, the Contracting Officer shall
conclude that the prospective purchaser does not qualify as a
responsible purchaser.
(b) To determine a purchaser to be responsible, a Contracting
Officer must find that:
(1) The purchaser has adequate financial resources to perform the
contract or the ability to obtain them;
(2) The purchaser is able to perform the contract within the
contract term taking into consideration all existing commercial and
governmental business commitments;
(3) The purchaser has a satisfactory performance record on timber
sale contracts. A prospective purchaser that is or recently has been
seriously deficient in contract performance shall be presumed not to be
responsible, unless the Contracting Officer determines that the
circumstances were beyond the
[[Page 128]]
purchaser's control and were not created through improper actions by the
purchaser or affiliate, or that the purchaser has taken appropriate
corrective action. Past failure to apply sufficient tenacity and
perseverance to perform acceptably under a contract is strong evidence
that a purchaser is not a responsible contractor. The Contracting
Officer shall consider the number of contracts involved and extent of
deficiency of each in making this evaluation;
(4) The purchaser has a satisfactory record of integrity and
business ethics;
(5) The purchaser has or is able to obtain equipment and supplies
suitable for logging the timber and for meeting the resource protection
provisions of the contract;
(6) The purchaser is otherwise qualified and eligible to receive an
award under applicable laws and regulations.
(c) If the prospective purchaser is a small business concern and the
Contracting Officer determines that the purchaser does not qualify as a
responsible purchaser on an otherwise acceptable bid, the Contracting
Officer shall refer the matter to the Small Business Administration
which will decide whether or not to issue a Certificate of Competency.
(d) Affiliated concerns, as defined in Sec. 223.49(a)(5) of this
subpart are normally considered separate entities in determining whether
the concern that is to perform the contract meets the applicable
standards for responsibility. However, the Contracting Officer shall
consider an affiliate's past performance and integrity when they may
adversely affect the prospective purchaser's responsibility.
[53 FR 33132, Aug. 30, 1988]
Sec. 223.102 Procedures when sale is not awarded to highest bidder.
If the highest bid is not accepted and the sale is still deemed
desirable, all bids may be rejected and the timber readvertised; or, if
the highest bidder cannot meet the requirements under which the timber
was advertised or the withholding of award to him is based on one or
more of paragraphs (c), (d), and (e) of Sec. 223.100, award at the
highest price bid may be offered to the next highest qualified bidder or
to the other qualified bidders in order of their bids until the award is
accepted by one or refused by all of the qualified bidders.
(92 Stat. 1301, Pub. L. 95-465)
[44 FR 73029, Dec. 17, 1979. Redesignated at 49 FR 2761, Jan. 23, 1984,
and 53 FR 33132, Aug. 30, 1988]
Sec. 223.103 Award of small business set-aside sales.
If timber is advertised as set aside for competitive bidding by
small business concerns, award will be made to the highest bidder who
qualifies as a small business concern and who has not been determined by
the Small Business Administration to be ineligible for preferential
award of set-aside sales. If there are no qualified small business
bidders any readvertisement shall be without restriction on the size of
bidders.
(92 Stat. 1301, Pub. L. 95-465)
[44 FR 73029, Dec. 17, 1979. Redesignated at 49 FR 2761, Jan. 23, 1984,
and 53 FR 33132, Aug. 30, 1988]
Contract Administration